The following bond loan issued by SIBS AB (publ) have a new redemption date. Please find instrument identifier in the attached document. ISIN Old Redemption date New Redemption date SE0014965729 19 April 2024 19 October 2025 For further information concerning this exchange notice please contact Nasdaq Stockholm, Issuer Surveillance, iss@nasdaq.com, +46 8 405 72 80. Attachment: https://cns.omxgroup.com/cds/DisclosureAttachmentServlet?messageAttachmentId=1186621