EXCHANGE NOTICE, JUNE 28, 2021 BONDS CHANGE IN THE AMOUNT OF INSTRUMENT ISSUED BY OMA SÄÄSTÖPANKKI OYJ Change in the amount 150,000,000 EUR. Updated identifiers as of June 29, 2021: Trading code: OMASP25112027 ISIN code: FI4000466412 Amount: 400,000,000 EUR Nasdaq Helsinki Oy, Surveillance, survo@nasdaq.com, +358 9 6166 7260
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