It has been decided to admit the following mortgage bonds for trading and official listing with effect from 14 April 2021: ?? Udsteder / issuer Nykredit Nykredit Nykredit Realkredit A/S Realkredit A/S Realkredit A/S Første dato for handel / 14-04-2021 14-04-2021 14-04-2021 First day of trading ISIN DK0009532103 DK0009532293 DK0009532376 Instrument name/ticker F3NYK32HDKKapr2 F3NYK22HEURokt2 F3NYK32Gokt24 4 4 Udstedelsesvaluta / Currency, DKK EUR DKK issuance Årlig nominel rente / Nominal 0 0 0 interest rate Udløbsdato / Maturity date 01-04-2024 01-10-2024 01-10-2024 Terminer pr. år / Payments 4 4 4 per year Udsteder / issuer Nykredit Nykredit Nykredit Realkredit A/S Realkredit A/S Realkredit A/S Første dato for handel / 14-04-2021 14-04-2021 14-04-2021 First day of trading ISIN DK0009532459 DK0009532533 DK0009532616 Instrument name/ticker F3NYK32GEUapr24 F3NYK32GEURapr2 1NYK13Hap23DKKIT 4 Udstedelsesvaluta / EUR EUR DKK Currency, issuance Årlig nominel rente / 0 0 1 Nominal interest rate Udløbsdato / Maturity date 01-04-2024 01-04-2024 01-04-2023 Terminer pr. år / Payments 4 4 1 per year For further information please contact Nasdaq Copenhagen A/S, Surveillance, tel.+45 33 93 33 66