Securities Note ISIN NO Securities Note. 5.90% Schibsted ASA Senior Unsecured Open Bond Issue 2012/2019 NO

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1 Schibsted ASA, Securities Note ISIN NO Securities Note 5.90% Schibsted ASA Senior Unsecured Open Bond Issue 2012/2019 NO Arangers: 12 March 2012 Prepared according to Commission Regulation (EC) No 809/ Annex XIII

2 Schibsted ASA, Securities Note ISIN NO Important notice The Securities Note has been prepared in connection with listing of the securities at Oslo Børs. Finanstilsynet (The Financial Supervisory, Authority of Norway) has controlled and approved the Securities Note pursuant to Section 7-7 of the Norwegian Securities Trading Act. New information that is significant for the Borrower or its subsidiaries may be disclosed after the Securities Note has been made public, but prior to the expiry of the subscription period. Such information will be published as a supplement to the Securities Note pursuant to Section 7-15 of the Norwegian Securities Trading Act. On no account must the publication or the disclosure of the Securities Note give the impression that the information herein is complete or correct on a given date after the date on the Securities Note, or that the business activities of the Borrower or its subsidiaries may not have been changed. Only the Borrower and the Arrangers are entitled to procure information about conditions described in the Securities Note. Information procured by any other person is of no relevance in relation to the Securities Note and cannot be relied on. Unless otherwise stated, the Securities Note is subject to Norwegian law. In the event of any dispute regarding the Securities Note, Norwegian law will apply. In certain jurisdictions, the distribution of the Securities Note may be limited by law, for example in the United States of America or in the United Kingdom. Verification and approval of the Securities Note by Finanstilsynet implies that the Securities Note may be used in any EEA country. No other measures have been taken to obtain authorisation to distribute the Securities Note in any jurisdiction where such action is required. Persons that receive the Securities Note are ordered by the Borrower and the Arrangers to obtain information on and comply with such restrictions. This Securities Note is not an offer to sell or a request to buy bonds. The content of the Securities Note does not constitute legal, financial or tax advice and bond owners should seek legal, financial and/or tax advice. Contact the Borrower or the Arrangers to receive copies of the Securities Note. This Securities Note should be read together with the Registration Document dated 23 March 2011 and Supplement to Registration Document dated 12 March The documents together constitute a prospectus. 2 av 12

3 Schibsted ASA, Securities Note ISIN NO Table of contents 1. Risk factors Person responsible Information concerning the securities Definitions Additional information Appendix: Bond Agreement av 12

4 Schibsted ASA, Securities Note ISIN NO Risk factors The Issuer believes that the factors described below represent the principal market risks inherent in investing in the Loan. Prospective investors should also read the detailed information set out in the Registration Document 23 March 2011 and Supplement to the Registration Document dated 12 March 2012 and reach their own views prior to making any investment decision. Risks related to the market generally All investments in interest bearing securities have risk associated with such investment. The risk is related to the general volatility in the market for such securities, varying liquidity in a single bond issue as well as company specific risk factors. There are three main risk factors that sums up the investors total risk exposure when investing in interest bearing securities: liquidity risk, interest rate risk and market risk (both in general and issuer specific). The price of a single bond issue will fluctuate in accordance with the interest rate and credit markets in general, the market view of the credit risk of that particular bond issue, and the liquidity of this bond issue in the market. In spite of an underlying positive development in the Issuers business activities, the price of a bond may fall independent of this fact. The Bonds has been established at a fixed rate, and consequently the coupon doesn t vary with changes in interest rate levels. Investment in bond loans bearing interest at a fixed rate involves the risk that subsequent changes in market interest rates may adversely affect the value of the Loan. No market-maker agreement is entered into in relation to this bond issue, and the liquidity of bonds will at all times depend on the market participants view of the credit quality of the Issuer as well as established and available credit lines. Factors which are material for the purpose of assessing the market risks associated with the Bonds The Bonds may not be a suitable investment for all investors. Each potential investor in the Bonds must determine the suitability of that investment in light of its own circumstances. In particular, each potential investor should: (i) have sufficient knowledge and experience to make a meaningful evaluation of the Bonds, the merits and risks of investing in the Bonds and the information contained or incorporated by reference in this Securities Note and/or Registration Document or any applicable supplement; (ii) have access to, and knowledge of, appropriate analytical tools to evaluate, in the context of its particular financial situation, an investment in the Bonds and the impact the Bonds will have on its overall investment portfolio; (iii) have sufficient financial resources and liquidity to bear all of the risks of an investment in the Bonds, including where the currency for principal or interest payments is different from the potential investor s currency; (iv) understand thoroughly the terms of the Bonds and be familiar with the behaviour of the financial markets; and (v) be able to evaluate (either alone or with the help of a financial adviser) possible scenarios for economic, interest rate and other factors that may affect its investment and its ability to bear the applicable risks. 4 av 12

5 Schibsted ASA, Securities Note ISIN NO Person responsible Schibsted ASA having taken all reasonable care to ensure that such is the case, the information contained in the prospectus is, to the best of our knowledge, in accordance with the facts and contains no omission likely to affect its import. 12 March 2012 Schibsted ASA 5 av 12

6 Schibsted ASA, Securities Note ISIN NO Information concerning the securities ISIN code: NO The Loan/ The Bonds/The Issue: Borrower/Issuer: Security Type: 5.90% Schibsted ASA Senior Unsecured Open Bond Issue 2012/2019 Schibsted ASA Bond issue with fixed rate. Maximum Amount: NOK Outstanding Amount: NOK Denomination Each Bond: NOK each and among themselves pari passu ranking. Securities Form: The Bonds are electronically registered in book-entry form with the Securities Depository. Disbursement//Issue Date: 1 March Interest Accrual Date: Interest Bearing To: Disbursement/Issue Date. Maturity Date. Maturity Date: 1 March Interest Rate: Interest Payment Date: 5,90 per cent per annum 1 March each year and the Maturity Date Day Count Fraction - Coupon: 30/360 The day count fraction in respect of the calculation of the payable interest amount shall be 30/360, which means that the number of days in the calculation period in respect of which payment is being made divided by 360 (the number of days to be calculated on the basis of a year of 360 days with twelve 30-days months (unless (i) the last day of the calculation period is the 31st day of a month but the first day of the calculation period is a day other than the 30th or 31st day of a month, in which case the month that includes that last day shall not be considered to be shortened to a 30-day month, or (ii) the last day of the calculation period is the last day of the month of February, in which case the month of February shall not be considered to be lengthened to a 30-day month)). Business Day Convention: Issue Price: Yield: No Adjustment. Means that no adjustment will be made, notwithstanding the period end date occurs on a day that is not a Business Day, and if such date is not a Business Day, payments of interest will be made on the first following day that is a Business Day (No Adjustments of Business Day). 100 % (par value). 5,90% effective annual rate to maturity at a price of 6 av 12

7 Schibsted ASA, Securities Note ISIN NO Business Day: Maturity: Any day on which Norwegian commercial banks are open for general business, and when Norwegian banks can settle foreign currency transactions, being any day on which the Norwegian Central Bank s Settlement System is open. The Bonds shall mature in full on the Maturity Date, and shall be repaid at par (100%) by the Issuer. Change of control: Redemption: Status of the Bonds and security: See Bond Agreement section Matured interest and matured principal will be credited each Bondholder directly from the Securities Registry. Claims for interest and principal shall be limited in time pursuant the Norwegian Act relating to the Limitation Period Claims of May no 18, p.t. 3 years for interest rates and 10 years for principal. The Bonds shall be senior debt of the Issuer. The Bonds shall rank at least pari passu with all other obligations of the Issuer (save for such claims which are preferred by bankruptcy, insolvency, liquidation or other similar laws of general application) and shall rank ahead of subordinated debt. The Bonds are unsecured. Negative Pledge: The Issuer shall not, and shall procure that no member of the Group shall, without the prior written consent of the Loan Trustee (on behalf of the Bondholders) create or incur, or allow to exist over any of its present or future assets or revenues, any mortgage, pledge, lien or any other encumbrance other than Permitted Encumbrance defined as follows: (a) Any encumbrance existing on the date hereof provided that the principal amount secured is not increased; (b) Any encumbrance arising solely by operation of law and not arising as a result of any default or omission on the part of the Issuer or any member of the Group and securing obligations of not more than thirty (30) days maturity, unless being contested in good faith; (c) Any encumbrances in the ordinary course of business including cash pool schemes, and retention of title arrangements in the ordinary course of trading; (d) Any encumbrance existing over any company or asset acquired after the date hereof; provided that; i. Such encumbrance having been created or granted by the relevant company prior to (and not concurrently with) becoming a member of the Group; ii. There is no increase in the principal amount or change in the nature of, the indebtedness thereby secured 7 av 12

8 Schibsted ASA, Securities Note ISIN NO iii. There is no transfer of the benefit of such encumbrance to any other person other than a person who takes a corresponding transfer of the indebtedness secured thereby; and iv. Subject that any encumbrances according to (1) or (3) shall be released not later than 12 months after such company has become a member of the Group; (e) Any encumbrance entered into in connection with ordinary treasury activities in connection with entering into hedging arrangements or in respect of exchange requirements. (f) Encumbrance which secures recourse Project Debt; (g) Any encumbrances created or granted by any of the Group s printing plants in connection with financial indebtedness incurred in the form of loans or finance lease relating to the printing activity at the time of signing; and (h) Any encumbrance not covered by paragraphs (a), (b), (c), (d), (e), (f) and (g) above, provided that the aggregate amount of indebtedness secured by all encumbrances under this paragraph (h) does not, at any time, exceed NOK 200,000,000. (i) Any encumbrance consented to in writing by the Loan Trustee (or by simple majority at the bondholders meeting). Covenants: See Bond Agreement section 13. Purpose: Approvals: Listing: Bond Agreement: The net proceeds of the Bonds shall be employed for the general financing of the Issuer. The Bonds are issued in accordance with the Borrower s Board approval The prospectus will be sent Finanstilsynet for control and approval. An application for listing will be sent Oslo Børs as soon as possible after the Prospectus has been approved by Finanstilsynet. The Bond Agreement has been entered into between the Borrower and the Trustee. The Bond Agreement regulates the Bondholder s rights and obligations in relations with the issue. The Trustee enters into this agreement on behalf of the Bondholders and is granted authority to act on behalf of the Bondholders to the extent provided for in the Bond Agreement. When bonds are subscribed / purchased, the Bondholder has accepted the Bond Agreement and is bound by the terms of the Bond Agreement. Information regarding bondholders meeting and the 8 av 12

9 Schibsted ASA, Securities Note ISIN NO Bondholder s right to vote are described in the Bond Agreement clause 16. Information regarding the role of the Trustee, see Bond Agreement clause 17. The Bond Agreement is attached to this Securities Note. Documentation: Registration Document, Supplement to Registration Document, Securities Note and Bond Agreement. Availability of the Documentation: and Norsk Tillitsmann ASA Trustee: Arrangers: Norsk Tillitsmann ASA, P.O. Box 1470 Vika, 0116 Oslo, Norway. Danske Markets, Stortingsgaten 6, NO-0107 Oslo, Norway SEB Merchant Banking, Filipstad Brygge 1, P.O. Box 1843 Vika, NO-0123 Oslo, Norway Paying Agent: Securities Depository: Market-Making: Legislation under which the Securities have been created: Fees and Expenses: DnB Bank ASA, Verdipapirservice, 0021 Oslo, Norway. Verdipapirregisteret ( VPS ), Postboks 4, 0051 OSLO There is no market-making agreement entered into in connection with the Loan. Norwegian law. The Borrower shall pay any stamp duty and other public fees in connection with the loan. Any public fees or taxes on sales of Bonds in the secondary market shall be paid by the Bondholders, unless otherwise decided by law or regulation. The Borrower is responsible for withholding any withholding tax imposed by Norwegian law. Fees: Listing fee 2012 NOK ,- Securities Note NOK ,- Supplement to Registration Document NOK 6 000,- 9 av 12

10 Schibsted ASA, Securities Note ISIN NO Definitions Encumbrance: Group: Project Dept: means any encumbrance, mortgage, pledge, lien, charge (whether fixed or floating), assignment by way of security, finance lease, sale and repurchase or sale and leaseback arrangement, sale of receivables on a recourse basis or security interest or any other agreement or arrangement having the effect of conferring security means the Issuer and the Subsidiaries, and a Group Company means the Issuer or any of the Subsidiaries means, at any time, any indebtedness of any subsidiary incurred under any loan guarantee obligation entered into in respect of any loan, credit or similar financial facility granted to it in connection with the financing of any assets to be acquired by such subsidiary after the date of this Agreement and where the terms pursuant to which such financial facility has been granted to stipulate the payment of the indebtedness of such Subsidiary arising there under (including, without limitation, any indebtedness arising as a result of a breach thereof) is to be made from the revenues arising out of the assets acquired with recourse to such revenues and/or assets, but without any recourse whatsoever to any other assets or revenues of such subsidiary or any other member of the Group. Subsidiary: means an entity over which another entity or person has a determining influence due to (i) direct and indirect ownership of shares or other ownership interests, and/or (ii) agreement, understanding or other arrangement. An entity shall always be considered to be the subsidiary of another entity or person if such entity or person has such number of shares or ownership interests so as to represent the majority of the votes in the entity, or has the right to vote in or vote out a majority of the directors in the entity. 10 av 12

11 Schibsted ASA, Securities Note ISIN NO Additional information The involved persons in Schibsted ASA have no interest, nor conflicting interests that is material to the Issue. Schibsted ASA has mandated Danske Markets and SEB Merchant Banking as Arrangers for the issuance of the Loan. The Arrangers have acted as advisor to Schibsted ASA in relation to the pricing of the Loan. 11 av 12

12 Schibsted ASA, Securities Note ISIN NO Appendix: Bond Agreement 12 av 12

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