NEW ISSUE: Nordea Mortgage Bank € bmk 3yr Green Covered Bond; MS+16bp area
IGC European Market: Deal Flow - General
Issuer
Term
Maturity
Size
Ranking
Type
ISIN
IPT
Nordea Mortgage Bank
3yr
03-Apr-29
Benchmark
Covered Bond
Fixed
XS3330368518
MS+16 area
IPTs: 3yr: MS+16bp area
Issuer:Nordea Mortgage Bank Plc
Legal Entity Identifier: 7437001LESKGLAEOEU84
Expected Issue Ratings: Aaa (Moody's)
Status of the Covered Bonds: Bearer Covered Bonds
Form of the Covered Bonds: Reg S Bearer - New Global Covered Bond (NGCB) form
Label: Eurooppalainen katettu joukkolaina (premium) (European Covered Bond (Premium))
Size: € benchmark
Launch Date: 25-Mar-26
Settle: 01-Apr-26 (T+5)
Maturity Date: 03-Apr-29 (3-year)
Extended Maturity Date: Interest Payment Date falling in or nearest to 03-Apr-30. Any extension is subject to Condition 5(j) of the EUR 25bn Covered Bond Programme
IPTs: MS+16bps area
Use of Proceeds: The Issuer intends to apply an amount equal to the net proceeds of the Covered Bond to directly or indirectly, finance or refinance Green Assets, in accordance with the Programmatic European Green Bond Factsheet 2026.
European Green Bonds: Yes. Date of the Programmatic European Green Bond Factsheet and Pre-issuance External Review: 23-Mar-26 (these are available at https://www.nordea.com/en/investors/debt-and-rating/sustainable-funding but are not incorporated by reference in, nor form part of, this termsheet, the relevant Final Terms or the Base Prospectus)
Interest Payment Dates (for the period up to and including the Maturity date): On 3 April each year commencing on 03-Apr-27 up to (and including) the Maturity Date
Extension of Maturity Date: The Issuer may redeem the European Green Covered Bonds in whole, or in part, on the Maturity Date or any Interest Payment Date thereafter up to (and including) the Extended Maturity Date
Interest Payment Dates (for the period from the Maturity Date until the Extended Maturity Date): Monthly, commencing on 03-Apr-29 up to (and including) the Extended Maturity Date
Denominations: €100k + €1k
Redemption Amount: 100% of the outstanding nominal amount
Clearing: Euroclear / Clearstream, Luxembourg
Listing: Euronext Dublin
Governing Law: Finnish law
ISIN: XS3330368518
Manufacturer Target Market: The Manufacturer target market is eligible counterparties and professional clients (all distribution channels), each as defined in MiFID II. No EU PRIIPs key information document or UK PRIIPs key information document has been prepared as not available to retail in EEA or in the UK
Documentation: In accordance with the Issuer's EUR 25,000,000,000 Covered Bond Programme, with the Base Prospectus dated 25-Sep-25