Covered Bond Programme

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1 Bonds ISIN Currency Initial Principal Balance (Own Currency) Initial Principal Balance (EUR) Rate of Interest Final Maturity Series 01 XS GBP , , % Series 02 EUR , , % Series 03 XS EUR , , % Series 04 EUR , , % Series 05 EUR , , % Series 06 EUR , , % Series 07 CH CHF , , % Series 08 CH CHF , , % Series 09 XS EUR , ,00 3M EUR + 23bp Series 10 CHF , , % Series 11 CHF , , % Series 12 CHF , , % Series 13 EUR , , % Series 14 EUR , , % Series 15 EUR , , % Series 16 EUR , , % Series 17 EUR , , % Series 18 EUR , , % Series 19 EUR , , % Series 20 EUR , , % Series 21 EUR , , % Series 22 XS EUR , , % Series 23 EUR , , % Series 24 EUR , , % Series 25 EUR , , % Series 26 EUR , , % Series 27 EUR , , % Series 28 XS EUR , , % Series 29 XS EUR , , % Series 30 EUR , , % Series 31 EUR , , % Series 32 EUR , , % Series 33 EUR , , % Series 34 EUR , , % Series 35 EUR , , % Series 36 EUR , , % Series 37 XS EUR , , % Series 38 EUR , , %

2 Series 39 EUR , , % Series 40 EUR , , % Series 41 XS EUR , , % Series 42 EUR , , % Series 43 EUR , , % Series 44 EUR , , % Series 45 EUR , , % Series 46 EUR , , % Series 47 EUR , , % Series 48 EUR , , % Series 49 EUR , , % Series 50 EUR , , % Series 51 EUR , , % Series 52 EUR , , % Series 53 EUR , ,00 3M EUR + 64bp Series 54 EUR , , % Series 55 EUR , , % Series 56 EUR , , % Series 57 EUR , , % Series 58 EUR , , % Series 59 EUR , , % Series 60 EUR , , % Series 61 EUR , , % Series 62 EUR , , % Series 63 EUR , , % Series 64 EUR , , % Series 65 EUR , , % Series 66 EUR , , % Series 67 EUR , , % Series 68 EUR , , % Series 69 EUR , , % , ,72 Page 2 / 17

3 Summary All amounts in EURO Covered Bond Programme Current Reporting Date Portfolio Cut off Date Original Principal Balance ,32 Principal Balance ,73 Value of Savings Deposits ,16 Notional Amount ,57 Number of Number of Principal Balance (borrower) ,22 Principal Balance (parts) ,47 : 4,5 Minimum 0,6 Maximum 10,6 Loan to Market Value (LTMV) 63,83 Seasoning (years): 6,32 Original Maturity (years): 29,72 Remaining Tenor (years): 23,40 Remaining Interest Period (years): 6,41 Ratings Overview Rating Agency Fitch Ratings Standard & Poor's Moody's Rating AAA AAA Aaa Page 3 / 17

4 Asset Coverage Test All amounts in EURO A ,62 B 0,00 C ,21 D 0,00 E 0,00 X ,73 Y ,00 Z 0,00 : ,10 Asset Cover Ratio 111,07 % Parameters Cap LTV Cut-off indexed valuation% 80,00 % Asset Percentage 77,00 % Calculation rate life mortgage 5,00 % Calculation rate unit linked mortgage 8,00 % % relevant insurers 50,00 % % set-off 10,00 % Index Increases 90,00 % Index Decreases 100,00 % Exchange Rate Currency Exchange Rate Euro / Swiss Franc 1,616 Reserve Fund Euro ,21 Page 4 / 17

5 1. Product Type Product Type Covered Bond Programme Annuity ,82 1,03 % ,58 % 5,18 % Consumer Credit Mortgage ,73 0,35 % ,22 % 3,17 % Credit Mortgage ,93 4,44 % ,09 % 1,88 % Hybrid ,14 1,52 % ,54 % 4,75 % Interest Only ,12 72,01 % ,24 % 4,50 % Interest Only (Meerwaarde) ,35 0,55 % 518 0,18 % 5,37 % Investment ,51 8,26 % ,22 % 4,56 % Life ,38 2,71 % ,72 % 4,95 % Life (Standard and Unit Linked) ,79 4,48 % ,89 % 4,54 % Life (Unit Linked) ,92 0,08 % 162 0,06 % 4,89 % Linear ,72 0,17 % ,44 % 4,77 % Savings ,16 4,41 % ,83 % 5,84 % 2. Loan Loan Part (%) average: 4,47 0,00% - 2.5% ,65 11,31 % ,43 % 1,64 % 2.5% % ,55 0,38 % 973 0,34 % 2,82 % 3% % ,01 3,18 % ,06 % 3,24 % 3.5% % ,21 9,08 % ,51 % 3,85 % 4% % ,13 19,89 % ,28 % 4,31 % 4.5% % ,79 23,89 % ,05 % 4,79 % 5% % ,95 16,48 % ,57 % 5,27 % 5.5% % ,44 9,77 % ,27 % 5,76 % 6% % ,57 4,06 % ,02 % 6,26 % 6.5% % ,26 1,51 % ,55 % 6,74 % 7% % ,62 0,35 % ,69 % 7,24 % 7.5% - more ,40 0,12 % 676 0,23 % 7,85 % Page 5 / 17

6 3. Origination Year Year Covered Bond Programme ,78 0,00 % 11 0,00 % 4,39 % ,84 0,00 % 21 0,01 % 5,18 % ,27 0,01 % 41 0,01 % 5,20 % ,78 0,01 % 71 0,02 % 5,31 % ,27 0,01 % 75 0,03 % 4,80 % ,18 0,01 % 151 0,05 % 4,78 % ,54 0,02 % 267 0,09 % 4,80 % ,17 0,02 % 289 0,10 % 5,18 % ,03 0,04 % 416 0,14 % 5,22 % ,70 0,03 % 261 0,09 % 5,25 % ,18 0,03 % 310 0,11 % 5,20 % ,45 0,05 % 423 0,15 % 5,25 % ,26 0,07 % 528 0,18 % 5,18 % ,92 0,09 % 622 0,22 % 5,30 % ,61 0,14 % 950 0,33 % 5,30 % ,81 0,19 % ,46 % 5,44 % ,65 0,19 % ,45 % 5,47 % ,85 0,30 % ,69 % 5,57 % ,88 0,49 % ,06 % 5,29 % ,12 0,89 % ,72 % 5,24 % ,94 0,93 % ,72 % 5,29 % ,36 1,78 % ,99 % 5,13 % ,48 2,62 % ,93 % 5,17 % ,40 3,58 % ,76 % 5,20 % ,70 5,06 % ,96 % 4,96 % ,53 3,68 % ,11 % 4,37 % ,77 3,34 % ,58 % 4,69 % ,75 3,58 % ,67 % 4,61 % ,11 6,19 % ,96 % 4,42 % ,43 9,05 % ,84 % 4,15 % ,48 15,26 % ,91 % 3,82 % ,64 15,44 % ,68 % 4,19 % ,19 11,25 % ,89 % 4,70 % ,16 8,91 % ,94 % 4,99 % ,90 4,93 % ,34 % 4,19 % ,44 1,82 % ,81 % 4,45 % Page 6 / 17

7 4. Legal Maturity Year Year ,77 0,00 % 27 0,01 % 4,69 % ,21 0,02 % 261 0,09 % 4,47 % ,84 0,07 % 949 0,33 % 4,69 % ,82 0,10 % ,44 % 5,19 % ,30 0,18 % ,63 % 5,13 % ,03 0,21 % ,62 % 5,19 % ,74 0,23 % ,63 % 5,23 % ,72 0,37 % ,86 % 5,09 % ,02 0,44 % ,93 % 5,24 % ,75 0,58 % ,10 % 5,26 % ,10 0,67 % ,22 % 5,23 % ,21 0,60 % ,12 % 5,25 % ,42 0,56 % ,98 % 5,26 % ,21 0,67 % ,12 % 5,36 % ,76 0,87 % ,40 % 5,25 % ,14 1,24 % ,92 % 5,15 % ,19 1,19 % ,80 % 5,10 % ,96 1,86 % ,66 % 5,00 % ,47 2,51 % ,35 % 5,03 % ,30 3,24 % ,95 % 5,07 % ,05 4,48 % ,95 % 4,83 % ,09 3,93 % ,14 % 4,30 % ,16 4,57 % ,38 % 4,54 % ,66 3,96 % ,70 % 4,57 % ,21 5,96 % ,35 % 4,41 % ,79 8,30 % ,60 % 4,15 % ,15 13,62 % ,57 % 3,82 % ,60 13,96 % ,73 % 4,19 % ,48 10,26 % ,55 % 4,71 % ,71 8,09 % ,97 % 5,01 % ,44 4,52 % ,94 % 4,19 % ,66 1,63 % ,62 % 4,38 % ,89 0,05 % 174 0,06 % 4,45 % ,11 0,03 % 87 0,03 % 4,20 % ,43 0,01 % 29 0,01 % 3,08 % ,29 0,01 % 24 0,01 % 3,08 % ,62 0,01 % 19 0,01 % 3,71 % ,26 0,01 % 18 0,01 % 4,18 % ,94 0,00 % 5 0,00 % 4,22 % Until further notice (Credit mortgages) ,09 0,99 % ,23 % 3,17 % Page 7 / 17

8 5. Seasoning In Years average: 6,32 less ,48 0,56 % ,70 % 4,46 % ,32 2,77 % ,42 % 4,40 % ,13 2,47 % ,24 % 3,87 % ,53 3,31 % ,62 % 5,11 % ,29 4,66 % ,63 % 4,88 % ,72 4,32 % ,39 % 4,94 % ,93 11,67 % ,37 % 4,59 % ,24 18,20 % ,09 % 4,00 % ,05 12,80 % ,15 % 3,92 % ,30 8,05 % ,80 % 4,26 % ,92 5,07 % ,99 % 4,43 % ,09 3,64 % ,73 % 4,65 % ,07 3,44 % ,78 % 4,63 % more ,50 19,05 % ,10 % 5,03 % Page 8 / 17

9 6. Remaining Tenor In Years average: 23,40 less ,37 0,06 % 926 0,32 % 4,58 % ,49 0,08 % ,36 % 5,07 % ,43 0,15 % ,57 % 5,14 % ,54 0,20 % ,62 % 5,16 % ,22 0,25 % ,68 % 5,25 % ,43 0,29 % ,72 % 5,07 % ,61 0,44 % ,95 % 5,17 % ,59 0,51 % ,01 % 5,28 % ,40 0,71 % ,29 % 5,24 % ,71 0,58 % ,07 % 5,24 % ,48 0,56 % ,99 % 5,29 % ,36 0,64 % ,06 % 5,32 % ,56 0,87 % ,41 % 5,30 % ,95 1,07 % ,68 % 5,12 % ,71 1,15 % ,76 % 5,17 % ,52 1,61 % ,34 % 5,03 % ,42 2,55 % ,47 % 5,00 % ,65 2,61 % ,28 % 5,04 % ,84 4,16 % ,74 % 4,94 % ,23 4,02 % ,32 % 4,48 % ,27 4,83 % ,83 % 4,49 % ,51 3,87 % ,57 % 4,57 % ,14 4,73 % ,38 % 4,43 % ,77 7,56 % ,84 % 4,27 % ,90 12,46 % ,99 % 3,92 % ,26 15,08 % ,67 % 4,00 % ,74 10,74 % ,06 % 4,56 % ,47 8,56 % ,31 % 4,93 % ,91 5,63 % ,59 % 4,61 % ,48 2,87 % ,63 % 4,38 % 30 - more ,93 1,16 % ,48 % 3,30 % Matured ,71 0,01 % 60 0,02 % 4,68 % Page 9 / 17

10 7. Loan Part Interest Reset Dates Year ,86 0,00 % 11 0,00 % 4,83 % ,28 1,66 % ,70 % 4,63 % ,82 9,21 % ,08 % 4,50 % ,40 6,44 % ,41 % 4,73 % ,11 6,52 % ,72 % 5,08 % ,20 6,69 % ,31 % 5,16 % ,61 9,54 % ,11 % 4,50 % ,98 9,09 % ,96 % 4,58 % ,91 6,42 % ,11 % 5,04 % ,36 7,65 % ,80 % 5,33 % ,74 4,22 % ,55 % 5,66 % ,90 2,28 % ,46 % 5,11 % ,08 2,55 % ,98 % 4,64 % ,66 0,91 % ,98 % 5,21 % ,33 0,50 % ,52 % 5,50 % ,84 0,21 % 714 0,25 % 5,68 % ,97 0,88 % ,82 % 4,75 % ,58 4,58 % ,28 % 4,62 % ,51 5,54 % ,76 % 4,81 % ,04 1,18 % ,80 % 5,27 % ,13 0,12 % 290 0,10 % 5,72 % ,55 0,01 % 54 0,02 % 6,09 % ,00 % 0 0,00 % ,00 % 0 0,00 % ,00 % 0 0,00 % ,09 0,99 % ,23 % 3,17 % Floating ,63 12,80 % ,06 % 1,88 % Page 10 / 17

11 8. Geography Province Drenthe ,99 2,65 % ,87 % 4,43 % Flevoland ,94 2,95 % ,78 % 4,52 % Friesland ,72 2,69 % ,14 % 4,44 % Gelderland ,66 12,56 % ,04 % 4,43 % Groningen ,09 2,85 % ,69 % 4,58 % Limburg ,20 3,80 % ,32 % 4,53 % Noord-Brabant ,28 13,60 % ,32 % 4,42 % Noord-Holland ,45 20,29 % ,80 % 4,44 % Overijssel ,80 6,33 % ,67 % 4,43 % Utrecht ,83 9,37 % ,59 % 4,49 % Zeeland ,86 1,67 % ,00 % 4,54 % Zuid-Holland ,75 21,24 % ,79 % 4,54 % Page 11 / 17

12 9. Loan to Market Value (AVM) In % average: 63,83 % less % ,39 19,77 % ,33 % 4,66 % 40.01% % ,39 10,86 % ,84 % 4,52 % 50.01% % ,22 13,15 % ,70 % 4,42 % 60.01% % ,88 13,46 % ,15 % 4,37 % 70.01% % ,81 12,85 % ,48 % 4,35 % 80.01% % ,89 6,21 % ,78 % 4,38 % 85.01% % ,33 5,94 % ,42 % 4,43 % 90.01% % ,48 5,46 % ,99 % 4,45 % 95.01% % ,73 4,85 % ,56 % 4,48 % % % ,72 3,88 % ,98 % 4,49 % % % ,73 3,57 % ,77 % 4,50 % % % 0,00 0,00 % 0 0,00 % 0,00 % % % 0,00 0,00 % 0 0,00 % 0,00 % % % 0,00 0,00 % 0 0,00 % 0,00 % more % 0,00 0,00 % 0 0,00 % 0,00 % 10. Confidence level (AVM) Level average: 59,38 Unknown 0,00 0,00 % 0 0,00 % 0,00 % less ,88 3,92 % ,19 % 4,31 % ,28 6,22 % ,63 % 4,32 % ,95 8,46 % ,36 % 4,39 % ,69 20,52 % ,89 % 4,40 % ,41 38,78 % ,38 % 4,49 % ,36 22,10 % ,55 % 4,62 % Page 12 / 17

13 11. Notional Amount Notional Amount less , ,97 0,54 % ,35 % 4,89 % , , ,31 2,69 % ,39 % 4,94 % , , ,15 4,94 % ,69 % 4,88 % , , ,29 7,18 % ,18 % 4,72 % , , ,01 8,07 % ,70 % 4,64 % , , ,27 9,43 % ,23 % 4,53 % , , ,29 9,04 % ,33 % 4,50 % , , ,15 9,16 % ,29 % 4,44 % , , ,37 7,27 % ,13 % 4,43 % , , ,96 6,80 % ,28 % 4,39 % , , ,15 5,60 % ,19 % 4,36 % , , ,85 5,12 % ,66 % 4,33 % , , ,61 3,65 % ,75 % 4,36 % , , ,00 3,38 % ,50 % 4,25 % , , ,36 2,52 % ,04 % 4,33 % , , ,46 2,40 % ,92 % 4,25 % , , ,74 1,71 % ,62 % 4,36 % , , ,81 1,55 % 870 0,53 % 4,25 % , , ,09 1,12 % 597 0,36 % 4,30 % , , ,30 1,23 % 618 0,38 % 4,24 % , , ,28 2,68 % ,73 % 4,23 % , , ,70 1,49 % 564 0,34 % 4,17 % , , ,67 0,95 % 313 0,19 % 4,15 % , , ,53 0,54 % 156 0,10 % 4,23 % , , ,29 0,32 % 83 0,05 % 4,11 % , , ,20 0,41 % 91 0,06 % 4,23 % , , ,76 0,23 % 40 0,02 % 4,30 % ,00 - more 12. Property Description Description Flat / Apartment ,62 11,38 % ,16 % 4,54 % House ,95 88,61 % ,84 % 4,46 % Page 13 / 17

14 13. Occupancy Status Occupancy Status Owner Occupied ,57 100,00 % ,00 % 4,47 % 14. Mortgage Payment Frequency Payment Frequency Monthly ,57 100,00 % ,00 % 4,47 % 15. Interest Payment Type Interest Payment Type Euribor 12M ,11 0,00 % 2 0,00 % 2,52 % Euribor 1M ,34 4,46 % ,69 % 1,52 % Euribor 3M ,59 0,14 % 350 0,12 % 1,74 % Euribor 6M ,14 0,23 % 672 0,23 % 1,94 % Fixed ,94 87,20 % ,94 % 4,85 % Floating ,45 7,97 % ,01 % 2,09 % Page 14 / 17

15 16. Debt to Income Ratio Ratio average: 4,03 Unknown ,89 0,34 % ,17 % 4,90 % less ,68 1,67 % ,72 % 4,78 % ,61 9,47 % ,53 % 4,71 % ,52 17,62 % ,76 % 4,59 % ,39 22,21 % ,97 % 4,48 % ,67 21,87 % ,56 % 4,41 % ,77 15,95 % ,62 % 4,39 % ,77 7,07 % ,84 % 4,28 % ,44 1,96 % ,91 % 4,16 % ,84 0,63 % 463 0,28 % 4,09 % ,06 0,29 % 226 0,14 % 4,26 % 10 - more ,93 0,91 % 836 0,51 % 4,58 % 17. Payment to Income Ratio Ratio average: 0, ,05 3,33 % ,33 % 2,65 % ,23 12,77 % ,93 % 3,64 % ,62 19,47 % ,78 % 4,43 % ,14 23,30 % ,96 % 4,62 % ,00 20,06 % ,99 % 4,75 % ,34 13,29 % ,73 % 4,86 % ,76 4,86 % ,69 % 5,04 % ,90 1,20 % 974 0,59 % 5,03 % ,29 0,39 % 366 0,22 % 4,97 % ,29 0,20 % 203 0,12 % 4,78 % ,70 0,14 % 140 0,09 % 4,90 % ,45 0,08 % 91 0,06 % 4,94 % ,25 0,12 % 119 0,07 % 5,37 % ,57 0,10 % 95 0,06 % 5,33 % more ,68 0,36 % 351 0,21 % 5,15 % Unknown ,30 0,35 % ,18 % 4,90 % Page 15 / 17

16 18. Source of Income Not Employed by ING ,57 100,00 % ,00 % 4,47 % 19. Guaranteed Loanpart Guarantee Indication No Guarantee ,57 100,00 % ,00 % 4,47 % 20. Valuation Type Description Full ,82 19,00 % ,66 % 4,63 % WOZ ,75 81,00 % ,34 % 4,44 % 21. In construction Building Deposits: 0,00 No Building Deposit ,57 100,00 % ,00 % 4,47 % Page 16 / 17

17 22. Delinquencies Nr Monthly payments in arrears Principal in arrears Interest in arrears Investment in arrears amount in arrears Norional Amount % Not. Amt ,61 328,59 43,16 389, ,61 99,08 % 98,79 % , , , , ,39 0,65 % 0,86 % , , , , ,67 0,14 % 0,17 % , , , , ,03 0,06 % 0,08 % , , , , ,83 0,02 % 0,03 % , ,23 0, , ,69 0,02 % 0,02 % , ,90 590, , ,17 0,01 % 0,01 % more , , , , ,18 0,02 % 0,03 % , , , , , % 100 % Page 17 / 17

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