The Euro Medium Term Note programme of Telenor was established in 1996, and is currently the main source for medium and longer dated funding. The EMTN programme is updated annually and constitutes a standardised master agreement for issuance of bonds including private placements and public benchmark bonds.

Issuer:

Telenor ASA

Description:

An uncommitted international programme for the purpose of medium and long term borrowing

Programme Size:

EUR 10,000,000,000

Arranger:

Citigroup

Dealers:

Barclays, Citigroup, Danske Bank, HSBC, ING Commercial Banking, Mizuho Securities, Nordea, SEB, SMBC Nikko, Standard Chartered Bank

Issuing and Paying Agent:

Citibank

Loan documents

ISIN

Rate %

Maturity

PDF

XS0933241456

2.50%

22 May 2025

Final Terms DIP-54 XS0933241456 – 2.50% 22MAY2025

XS2001737324

0.75%

31 May 2026

Final Terms DIP-61 XS2001737324 0.75 31 May 2026

XS2056396919

0.25%

25 September 2027

Final Terms DIP-65 XS2056396919 25 Sept 2027

XS2911004658

FRN

01 October 2027

Final Terms – DIP73 SEK1350FRN Oct2027

XS2117452156

0.25%

14 February 2028

Final Terms DIP-67 XS2117452156 14 Feb 2028

NO0012935313

FRN

13 June 2028

Final Terms DIP69 NOK 1.75bn

XS2001737910

1.125%

31 May 2029

Final Terms DIP-62 XS001737910 1.125 31 May 2029

XS2911013303

2.758%

01 October 2029

Final Terms – DIP74 SEK1750FIX  Oct2029

XS2911006430

FRN

01 October 2029

Final Terms – DIP75 SEK750FRN  Oct2029

NO0012935339

4.61%

13 June 2030

Final Terms DIP70 NOK 2bn

XS2696803696

4.00 %

03 October 2030

Final Terms - 2030 Notes DIP71

XS2056399855

0.625%

25 September 2031

Final Terms DIP-66 XS2056399855 25 Sept 2031

XS2001738991

1.75%

31 May 2034

Final Terms DIP-63 XS2001738991 1.75 31 May 2034

XS2117454871

0.875%

14 February 2035

Final Terms DIP-68 XS2117454871 14 Febr 2035

XS2696803852

4.25 %

03 October 2035

Final Terms - 2035 Notes DIP72