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14955_rns_2025-10-01_0fe6b08a-9331-437c-b4f7-d35b5697867d.pdf

Capital/Financing Update

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Extraordinary announcement on the final results of the auction of the MVMKP2028/A Bonds

MVM Energy Private Limited Liability Company (registered office: 1031 Budapest, Szentendrei út 207- 209.; company registration number: 01-10-041828, hereinafter: the Issuer) wishes to inform market participants on the results of the auction of MVMKP2028/A Bonds (the Bonds) held on 1 October 2025 as follows:

Series name: MVMKP2028/A Bonds
ISIN code: HU0000365770
Method of distribution: Auction
Auction date: 01.10.2025
Settlement date: 03.10.2025
Maturity date: 03.10.2028
Aggregate nominal amount offered: HUF 5,000,000,000
Nominal value of total bids submitted: HUF 28,200,000,000
Aggregate nominal amount: HUF 14,000,000,000
Interest basis (%): 6.75% per annum fixed rate
Maximum issue yield (net) (%): 7.08%
Minimum issue yield (net) (%): 7.00%
Average issue yield (net) (%): 7.04%

Following the issuance of the Bonds, the Issuer will initiate the admission to trading of the Bonds on the regulated market of the Budapest Stock Exchange.

Budapest, 1 October 2025

MVM Energy Private Limited Liability Company

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