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Gjensidige Forsikring ASA

Capital/Financing Update Sep 12, 2025

3606_sha_2025-09-12_6ef134bf-83f3-4c57-a538-dc2816d2c48b.html

Capital/Financing Update

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GJF04 - Key information about partial redemption of bond issue

GJF04 - Key information about partial redemption of bond issue

Issuer: Gjensidige Forsikring ASA

ISIN: NO0010965429

Amount: NOK 489 million

Original maturity date: Perpetual tenor

Redemption date: 18.09.2025

Redemption price: 100.853

Remaining outstanding amount: NOK 711 million

Gjensidige issued a new NOK 1.2 billion Restricted Tier 1 bond issue on 11

September 2025 with settlement date 18 September and has in connection with this

issuance bought back NOK 489 million of GJF04.

Contact:

Mitra Hagen Negård, Head of Investor Relations, tel. +47 957 93 631

This information is subject to disclosure under the Norwegian Securities Act

section §5-12.

Gjensidige is a leading Nordic insurance group listed on the Oslo Stock

Exchange. We have approximately 4,700 full time employees and offer insurance

products in Norway, Denmark, Sweden and the Baltic states. In Norway, we also

provide pension and savings solutions. In 2024, the Group's insurance revenue

was NOK 39 billion, and total assets amounted to NOK 171 billion.

For more information, visit: www.gjensidige.com

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