26 Jan 2026 15:48 CET

Issuer

SpareBank 1 Nord-Norge

Issuer: SpareBank 1 Nord-Norge
ISIN: NO0010917123
Original maturity date: February 12th 2027
New maturity date: February 12th 2026
Redemption price: 100,00

Contact person at SpareBank 1 Nord-Norge:
Head of Treasury Ronny Løvberg Sørensen, tel. +47 971 05 220

This information is published in accordance with the requirements of the
Continuing Obligations.


Source

SpareBank 1 Nord-Norge

Provider

Oslo Børs Newspoint

Company Name

SPAREBANK 1 NORD-NORGE, Spb 1 Nord-Norge 21/27 FRN C, Spb 1 Nord-Norge 21/28 FRN C, Spb 1 Nord-Norge 21/32 FRN C SUB, Spb 1 Nord-Norge 22/PERP FRN C HYBRID, Spb 1 Nord-Norge 23/PERP FRN C HYBRID, Spb 1 Nord-Norge 23/33 FRN C SUB, Spb 1 Nord-Norge 23/33 ADJ C SUB, Spb 1 Nord-Norge 23/PERP ADJ C HYBRID, Spb 1 Nord-Norge 23/26 FRN, Spb 1 Nord-Norge 23/34 FRN C SUB, Spb 1 Nord-Norge 24/30 4,13%, Spb 1 Nord-Norge 24/29 FRN, Spb 1 Nord-Norge 24/34 ADJ C SUB, Spb 1 Nord-Norge 24/27 FRN, Spb 1 Nord-Norge 24/PERP FRN C HYBRID, Spb 1 Nord-Norge 25/30 FRN, Spb 1 Nord-Norge 25/27 FRN, Spb 1 Nord-Norge 25/28 FRN, Spb 1 Nord-Norge 25/35 4,50%, Spb 1 Nord-Norge 25/36 ADJ C SUB, Spb 1 Nord-Norge 26/31 4,70%

ISIN

NO0006000801, NO0010917123, NO0010947229, NO0010958127, NO0012428152, NO0012842386, NO0012850645, NO0012989955, NO0012990672, NO0013013268, NO0013062927, NO0013062919, NO0013062299, NO0013116376, NO0013116368, NO0013197632, NO0013314088, NO0013314070, NO0013407056, NO0013488726, NO0013573642, NO0013632422, NO0013638023, NO0013644393, NO0013661835, NO0013696377, NO0013711069

Symbol

NONG

Market

Euronext Oslo Børs Nordic Alternative Bond Market