Storebrand Bank will exercise its right to call NO0010786510. The call has been
approved by the Financial Supervisory Authority of Norway.
Issuer: Storebrand Bank
ISIN for bond loan: NO0010786510
Original maturity date: February 22th 2027
New maturity date: February 22th 2022
Redemption price: 100
Other information: n/a
Contact person in Storebrand Bank:
Einar Leikanger, Head of Treasury, tlf. +47 93 42 03 79
This information is published in accordance with the requirements of the
Continuing Obligations.