It has been decided to admit the following structured bonds for trading and official listing with effect from 21 September 2018: Udsteder / issuer Nordea Bank AB Nordea Bank AB Nordea Bank AB -------------------------------------------------------------------------------- Første dato for handel / 21-09-2018 21-09-2018 21-09-2018 First day of trading -------------------------------------------------------------------------------- ISIN DK0030426770 DK0030426697 DK0030426507 -------------------------------------------------------------------------------- Instrument name/ticker Kreditb. EUR IG 30-2 Kreditb. EUR HY Interval Kurvestejler Interval 2023 -------------------------------------------------------------------------------- Udstedelsesvaluta / EUR DKK EUR Currency, issuance -------------------------------------------------------------------------------- Årlig nominel rente / 0 0 0 Nominal interest rate -------------------------------------------------------------------------------- Udløbsdato / Maturity date 20-07-2023 29-09-2023 20-07-2023 -------------------------------------------------------------------------------- Terminer pr. år / Payments 1 1 1 per year -------------------------------------------------------------------------------- ? For further information please contact Nasdaq Copenhagen A/S, Surveillance, tel. 33 93 33 66