2023-11-01

("NOTICE OF REDEMPTION")

NIVIKA FASTIGHETER AB (PUBL) HEREBY GIVE NOTICE OF UNCONDITIONAL REDEMPTION OF THEIR MAXIMUM SEK 800,000,000 SENIOR UNSECURED FLOATING RATE GREEN BONDS 2021/2024 To: The Bondholders and the Agent (as defined in the Terms and Conditions) Date: 1 November 2023

We refer to the senior unsecured floating rate green bonds with ISIN SE0015949631 (the "Bonds") issued by Nivika Fastigheter AB (publ) (the "Issuer"), and to the terms and conditions of the up to SEK 800,000,000 senior unsecured floating rate green bonds, originally dated 28 April 2021 and as amended on 2 May 2023 (the "Terms and Conditions").

Notice is hereby given pursuant to clause 10.3(a) (Voluntary total redemption (call option)) of the Terms and Conditions, that the Issuer is exercising its option to redeem in full all outstanding Bonds on 16 November 2023 (the "Redemption Date"), at a redemption price of 100.50 per cent. of the Nominal Amount (as defined in the Terms and Conditions), together with accrued but unpaid interest (the "Redemption Price").

The record date on which any holder must hold any Bond to be entitled to the Redemption Price is 9 November 2023 (the "Record Date"). In connection with the redemption, the Bonds will be delisted from Nasdaq Stockholm.

Nivika Fastigheter AB (publ)

Pressmeddelande_notice of total redemption_21-24 Bond_2023-11-01