-------------------------------------------------------------------------------- Notification for bond issue The issuer is responsible for the content of this announcement. -------------------------------------------------------------------------------- Issuer: Oberbank AG -------------------------------------------------------------------------------- ISIN: AT000B112941 Issue description: Variable hypothekarisch fundierte Bankschuldverschreibung der Oberbank AG 2015-25.02.2022 /PP Product type: Securities Product category: Bonds and bond-type values Interest rate: 0.4780% Maturity date: 2022-02-25 Issue amount: 20.000.000 \ EUR -------------------------------------------------------------------------------- Reporting category: bond issue Reporting time: 19.02.2015 15:28:08 Language: english -------------------------------------------------------------------------------- Transmitted by Oesterreichische Kontrollbank within the scope of ISIN Services.