With effect from August 18, 2020, the convertible loan 1 in Cortus Energy AB will be listed on the list for STO FN Convertible Bonds. Cortus Energy AB's convertible loan has a nominal value of 1 SEK. The loan has an annual interest rate of 10 % with one coupon payment on the maturity date. The maturity date of the loan is January 07, 2022. Last trading day will be December 30, 2021. Instru Convertible loan ment: -------------------------------------------------------------------------------- ISIN SE0014429619 code: -------------------------------------------------------------------------------- Tradin 1 g lot: -------------------------------------------------------------------------------- Conver The conversion price per share shall amount to seventy (70) percent of tible the volume-weighted average price in the Company's share during the rate: last ten trading days before the conversion period begins. However, the conversion price cannot amount to less than SEK 0,26 or exceed SEK 0,40. -------------------------------------------------------------------------------- Conver 2020-09-24 - 2020-09-30 sion 2020-12-22 - 2020-12-30 perio 2021-03-25 - 2021-03-31 ds: 2021-06-23 - 2021-06-30 2021-09-24 - 2021-09-30 2021-12-13 - 2021-12-17 -------------------------------------------------------------------------------- Tradin CE_KV1 g code: -------------------------------------------------------------------------------- Market STO FN Convertible Bonds Segme nt: -------------------------------------------------------------------------------- Segmen FNSE t MIC Code: -------------------------------------------------------------------------------- For further information concerning this exchange notice please contact Issuer Surveillance, telephone + 46 8 405 70 50.