Issuer: HS Veitur hf., kt. 431208-0590, Brekkustíg 36, Reykjanesbæ Date of admission to trading: 20.11.2009 Symbol: HSVE 08 1 ISIN-code: IS0000018877 Orderbook ID: 71327 Bond type: Coupon bearing bond Market: OMX ICE CP Fixed Income Size limit: 6,000,000,000 ISK Amount admitted to trading at this time: 6,000,000,000 ISK Total amount previously admitted to trading: 0 Denomination: 5,000,000 ISK Issue date: 15. December 2008 First due date: 15. December 2018 Number of due dates: 1 Maturity date: 15. December 2018 Interest calculated from: 15. December 2008 First interest payment date: 15. December 2009 Number of interest payments: 10 Interest: 5.30% Indexed: Yes Name of index: Consumer Price Index Base index value: 322.3 points Dirty price / Clean price: Clean price Day count convention: 30/360 Call option: No Put option: No Convertible: No Market making: No Credit Rating (rating agency, date): No Securities depository: Icelandic Security Depository Issued electronically: Yes Coordinator - admission to trading: MP Bank hf., kt. 540599-2469, Skipholti 50d, 105 Reykjavik