UNOFFICIAL TRANSALTION16.01.2026 - Report 2/2026: Costs ofthe issuance of the green Senior Preferred series 4 Eurobonds with anaggregate nominal value of EUR 500,000,000 under the EMTN ProgrammeBankPolska Kasa Opieki S.A. (the "Bank"), with reference to current reportNo. 43/2025 dated 16 September 2025, advises that:1. the total costsrecognised as issuance costs broken down by cost item comprise thefollowing:a. preparation and conduct of the offer: 4.44 mn. PLN;b.underwriters' remuneration, for each separately: not applicable (theBank did not enter into any underwriting agreements in connection withthe issue);c. preparation of the EMTN Programme prospectus (the"Prospectus"), preparation of supplement to the Prospectus, includingadvisory costs: 0.28 mn. PLN;d. promotion of the offer: 0.004 mn.PLN.The total expenditure listed above amounted to 4.72 mn.PLN gross (i.e. including VAT).2. the method of accounting for costsin the accounts and how they are recognised in the Bank's financialstatements:Expenses will be deferred for a period of 12 months orfor a period of 60 months, excluding immaterial costs that were settledon a one-off basis.3. the average cost of carrying out thesubscription per unit of security subscribed: 0.89 ths. PLN.Itshould be noted that the above average cost does not include the cost ofdrawing up the Prospectus and supplement to Prospectus, as those itemsapply to all bond offerings carried out under the EMTN Programme. If thecost of drawing up the Prospectus and the supplement was included, theaverage cost of carrying out the subscription per security unitsubscribed for would be 0.95 ths. PLN.Legal basis: ยง 17 of theOrdinance of the Minister of Finance of 6 June 2025 on current andperiodic information provided by issuers of securities and conditionsfor recognising as equivalent information required by the laws of anon-member state.