Disclosure obligation - Protector Forsikring ASA

(a)the name of the issuer of the shares,
Protector Forsikring ASA (ISIN: NO0010209331)

(b)the date on which the proportion of shares held
reached, exceeded or fell below the thresholds set in
the Securities Trading Act section 4-3 subsection (1),
May 22nd 2015

(c)name of the entity subject to the disclosure
obligation, including the name of the shareholder,
Swedbank Robur Fonder AB
Funds:
Småbolagsfond Norden (Short Name: SMA)
Småbolagsfond Europa (Short Name: SME)

(d)the number of shares the notification encompasses,
Total: 4,915,425 (SMA: 2,915,425 and SME: 2,000,000)

(e)the subsequent situation with regard to voting
rights, including the percentage of the votes and
shares of the company held by the entity concerned,
Votes (%): 5.71
Shares (%): 5.71

(f)what percentage of the votes and shares of the
company the entity concerned holds in the form of
rights to shares,
0

(g)the circumstance that triggered the disclosure
obligation and whether such circumstance applied to
the entity concerned himself or to any related party
as mentioned in the Securities Trading Act section 2-
5,
Acquisition of shares.

(h)the chain of controlled undertakings through which
the shares or rights are owned,
Fund management

(h)the chain of controlled undertakings through which
the shares or rights are owned,
0

(i)where the notification concerns rights to shares
as mentioned in the Securities Trading Act section 4-
3 subsection (4) the notification shall also contain
a description of the rights, including information on
the date and time that the rights will or can be
exercised and the date and time of their expiry.