Telia Company AB (publ) (the "Issuer") announces the final results of its invitations to holders of its outstanding EUR 650,000,000 3.875%. Notes due 1 October 2025 (XS0545428285) (the "2025 Notes") and EUR 500,000,000 3.00%. Notes due 7 September 2027 (XS0826189028) (the "2027 Notes") (together, the "Securities" and each series of Securities, a "Series") to tender their Securities for cash pursuant to the Tender Offers.

The aggregate principal amount of each Series of Securities that the Issuer will accept pursuant to the Tender Offers, the Scaling Factor, if applicable (in respect of the 2025 Notes and 2027 Notes), and in respect of the 2025 Notes and the 2027 Notes, the relevant Fixed Spread Note Purchase Yield and the relevant Benchmark Rate and the relevant Tender Price are as follows. EUR 650,000,000, 3.875%. Notes due 1 October 2025: Issuer: Telia Company AB (publ) (formerly TeliaSoner a AB (publ)); ISIN: XS0545428285; Aggregate Principal Amount outstanding prior to the launch of the Tender Offers:EUR 650,000,000; Aggregate principal amount the Issuer will accept: EUR 220,032,000; Scaling Factor: None; Fixed Purchase Spread: -20 bps; Fixed Spread Note Purchase Yield: 3.162 %; Benchmark Rate: 3.362%; and Tender Price: 101.049%.

EUR 500,000,000 3.00%. Notes due 7 September 2027: Issuer: Telia Company AB (publ) (formerly TeliaSoner a AB (publ)); ISIN: XS0826189028; Aggregate Principal Amount outstanding prior to the launch of the Tender Offers:EUR 500,000,000; Aggregate principal amount the Issuer will accept: EUR 129,917,000; Scaling Factor: None; Fixed Purchase Spread: +5 bps; Fixed Spread Note Purchase Yield: 2.851 %; Benchmark Rate: 2.801%; and Tender Price: 100.477%.