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FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Australia Adbri Ltd Industrials 9 670 543 0,07% 0,07% Ltd Financials 48 023 721 0,02% 0,02% ALS Ltd Industrials 8 612 894 0,03% 0,03% Ltd Technology 8 533 516 0,03% 0,03% Alumina Ltd Basic Materials 11 051 885 0,03% 0,03% PLC Industrials 47 344 056 0,03% 0,03% AMP Ltd Financials 10 425 510 0,03% 0,03% Ltd Oil & Gas 13 392 791 0,03% 0,03% Ltd Health Care 8 960 483 0,03% 0,03% APA Group Oil & Gas 22 230 915 0,03% 0,03% Appen Ltd Technology 5 529 042 0,03% 0,03% Ltd Consumer Services 39 254 006 0,03% 0,03% ASX Ltd Financials 22 895 990 0,02% 0,02% Ltd Industrials 9 932 179 0,02% 0,02% Holdings Ltd Industrials 12 425 701 0,03% 0,03% AusNet Services Utilities 4 013 363 0,01% 0,01% & New Zealand Banking Group Ltd Financials 121 667 827 0,03% 0,03% Bank of Ltd Financials 7 376 137 0,03% 0,03% Bendigo & Bank Ltd Financials 7 356 993 0,02% 0,02% BHP Group Ltd Basic Materials 9 018 987 0,00% 0,00% BlueScope Steel Ltd Basic Materials 16 444 595 0,03% 0,03% Ltd Industrials 18 694 410 0,05% 0,05% Brambles Ltd Industrials 31 913 547 0,03% 0,03% .com Ltd Consumer Services 6 062 683 0,02% 0,02% Challenger Ltd Financials 5 677 138 0,02% 0,02% Charter Hall Group Financials 10 262 893 0,02% 0,02% CIMIC Group Ltd Industrials 3 615 609 0,01% 0,01% Waste Management Ltd Industrials 7 395 059 0,02% 0,02% Coca-Cola Amatil Ltd Consumer Goods 12 308 394 0,02% 0,02% Cochlear Ltd Health Care 26 263 713 0,03% 0,03% Ltd Consumer Services 43 299 117 0,03% 0,03% of Australia Financials 262 622 156 0,03% 0,03% Ltd Financials 13 630 059 0,03% 0,03% Ltd Consumer Services 5 817 374 0,01% 0,01% CSL Ltd Health Care 237 466 745 0,03% 0,03% CSR Ltd Industrials 14 574 134 0,09% 0,09% Deterra Royalties Ltd Basic Materials 3 185 422 0,02% 0,02% Financials 16 696 154 0,02% 0,02% Domain Holdings Australia Ltd Consumer Services 2 256 947 0,01% 0,01% Domino's Pizza Enterprises Ltd Consumer Services 9 376 491 0,02% 0,02% Downer EDI Ltd Industrials 14 325 110 0,06% 0,06% Travel Group Ltd Consumer Services 5 209 313 0,02% 0,02% Ltd Basic Materials 69 021 792 0,01% 0,01% Financials 60 910 997 0,03% 0,03% GPT Group/The Financials 15 821 208 0,03% 0,03% Holdings Ltd Consumer Services 6 227 569 0,02% 0,02% Healius Ltd Health Care 420 469 0,00% 0,00% IDP Education Ltd Consumer Services 4 354 034 0,01% 0,01% Ltd Basic Materials 4 825 780 0,03% 0,03% Ltd Basic Materials 5 772 903 0,02% 0,02% Insurance Australia Group Ltd Financials 22 578 598 0,03% 0,03% IOOF Holdings Ltd Financials 4 602 348 0,03% 0,03% JB Hi-Fi Ltd Consumer Services 9 253 824 0,03% 0,03% Corp Ltd Industrials 18 796 203 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 1 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Macquarie Group Ltd Financials 88 226 956 0,03% 0,03% Magellan Financial Group Ltd Financials 13 390 667 0,02% 0,02% Pvt Ltd Financials 13 284 002 0,02% 0,02% Ltd Consumer Services 7 000 481 0,03% 0,03% Mineral Resources Ltd Basic Materials 16 204 158 0,03% 0,03% Group Financials 19 696 894 0,03% 0,03% Ltd Financials 146 347 750 0,03% 0,03% Ltd Basic Materials 44 810 215 0,03% 0,03% NEXTDC Ltd Technology 10 536 036 0,03% 0,03% Northern Star Resources Ltd Basic Materials 21 254 442 0,03% 0,03% Ltd/Australia Basic Materials 2 747 829 0,03% 0,03% Ltd Basic Materials 11 810 328 0,03% 0,03% Ltd Utilities 14 315 580 0,03% 0,03% Orora Ltd Industrials 3 133 254 0,02% 0,02% OZ Minerals Ltd Basic Materials 11 333 470 0,03% 0,03% Perpetual Ltd Financials 3 669 403 0,03% 0,03% Platinum Asset Management Ltd Financials 2 647 227 0,02% 0,02% Airways Ltd Consumer Services 10 846 407 0,02% 0,02% QBE Insurance Group Ltd Financials 23 237 543 0,03% 0,03% Ltd Industrials 6 243 288 0,02% 0,02% Ltd Health Care 20 549 254 0,02% 0,02% REA Group Ltd Financials 16 936 727 0,01% 0,01% Ltd Basic Materials 36 931 929 0,01% 0,01% Financials 30 378 475 0,03% 0,03% SEEK Ltd Industrials 19 494 867 0,03% 0,03% Ltd Industrials 5 820 431 0,01% 0,01% Ltd Consumer Services 0 0,00% 0,00% Shopping Centres Australasia Property Group Financials 5 125 260 0,03% 0,03% Sims Ltd Industrials 4 210 099 0,02% 0,02% Ltd Health Care 28 801 038 0,03% 0,03% Ltd Basic Materials 25 540 091 0,03% 0,03% Star Entertainment Grp Ltd/The Consumer Services 5 086 911 0,02% 0,02% Financials 19 859 554 0,03% 0,03% Ltd Financials 23 840 579 0,03% 0,03% Airport Industrials 18 902 440 0,02% 0,02% Ltd Consumer Services 12 562 547 0,02% 0,02% Corp Ltd Telecommunications 26 052 730 0,01% 0,01% TPG Telecom Ltd Telecommunications 5 002 002 0,01% 0,01% Group Industrials 68 140 014 0,03% 0,03% Ltd Consumer Goods 11 408 910 0,03% 0,03% Tuas Ltd Telecommunications 291 474 0,01% 0,01% Financials 9 689 858 0,02% 0,02% Ltd Telecommunications 3 285 785 0,02% 0,02% Ltd Consumer Services 106 341 157 0,03% 0,03% Banking Corp Financials 135 858 257 0,03% 0,03% WiseTech Global Ltd Technology 4 713 311 0,01% 0,01% Woolworths Group Ltd Consumer Services 96 069 668 0,03% 0,03% Ltd Industrials 7 173 878 0,02% 0,02% Ltd Technology 33 870 971 0,02% 0,02% Austria ANDRITZ AG Industrials 7 837 866 0,02% 0,02% Erste Group Bank AG Financials 21 319 692 0,02% 0,02% OMV AG Oil & Gas 10 707 583 0,01% 0,01% Raiffeisen Bank International AG Financials 7 874 802 0,01% 0,01% Telekom Austria AG Telecommunications 2 505 432 0,01% 0,01%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 2 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Verbund AG Utilities 16 317 955 0,01% 0,01% Vienna Insurance Group AG Wiener Versicherung Gruppe Financials 3 081 326 0,01% 0,01% voestalpine AG Basic Materials 11 872 976 0,02% 0,02% Belgium Ackermans & van Haaren NV Financials 8 164 222 0,02% 0,02% Ageas SA/NV Financials 24 551 511 0,03% 0,03% Anheuser-Busch InBev SA/NV Consumer Goods 141 881 597 0,01% 0,01% Argenx SE Health Care 33 568 392 0,03% 0,03% Elia Group SA/NV Utilities 12 283 444 0,02% 0,02% Etablissements Franz Colruyt NV Consumer Services 5 057 903 0,01% 0,01% Groupe Bruxelles Lambert SA Financials 141 772 561 0,10% 0,10% KBC Group NV Financials 47 001 193 0,02% 0,02% Proximus SADP Telecommunications 8 636 311 0,02% 0,02% Sofina SA Financials 12 718 785 0,01% 0,01% Solvay SA Basic Materials 20 066 848 0,02% 0,02% Telenet Group Holding NV Consumer Services 4 923 361 0,01% 0,01% UCB SA Health Care 29 461 105 0,02% 0,02% Umicore SA Industrials 4 558 896 0,00% 0,00% Canada Agnico Eagle Mines Ltd Basic Materials 42 357 765 0,03% 0,03% Alimentation Couche-Tard Inc Consumer Services 69 569 628 0,01% 0,02% Bank of Montreal Financials 119 077 520 0,03% 0,03% Bank of Nova Scotia/The Financials 159 932 688 0,03% 0,03% Bausch Health Cos Inc Health Care 17 783 290 0,03% 0,03% BCE Inc Telecommunications 31 555 221 0,01% 0,01% Brookfield Asset Management Inc Financials 140 956 770 0,03% 0,03% Canadian Imperial Bank of Commerce Financials 93 059 946 0,03% 0,03% Canadian National Railway Co Industrials 191 365 978 0,03% 0,03% Canadian Pacific Railway Ltd Industrials 115 118 320 0,03% 0,03% Canadian Tire Corp Ltd Consumer Services 18 223 263 0,00% 0,03% Canadian Utilities Ltd Utilities 8 534 406 0,00% 0,01% CGI Inc Technology 45 688 449 0,01% 0,03% Constellation Software Inc/Canada Technology 60 652 366 0,03% 0,03% Dollarama Inc Consumer Services 28 754 410 0,03% 0,03% Enbridge Inc Oil & Gas 158 618 052 0,03% 0,03% Fairfax Financial Holdings Ltd Financials 22 585 011 0,02% 0,03% Fortis Inc/Canada Utilities 46 168 132 0,03% 0,03% Franco-Nevada Corp Basic Materials 57 212 268 0,03% 0,03% George Weston Ltd Consumer Services 13 161 866 0,01% 0,01% Great-West Lifeco Inc Financials 15 728 379 0,01% 0,01% Hydro One Ltd Utilities 17 341 973 0,02% 0,02% IGM Financial Inc Financials 6 620 776 0,01% 0,01% Intact Financial Corp Financials 41 311 845 0,03% 0,03% Loblaw Cos Ltd Consumer Services 20 011 264 0,01% 0,01% Magna International Inc Consumer Goods 47 708 718 0,03% 0,03% Manulife Financial Corp Financials 84 416 126 0,03% 0,03% Metro Inc/CN Consumer Services 27 450 673 0,03% 0,03% National Bank of Canada Financials 46 196 421 0,03% 0,03% Nutrien Ltd Basic Materials 67 032 003 0,03% 0,03% Pembina Pipeline Corp Oil & Gas 31 797 216 0,03% 0,03% Power Corp of Canada Financials 30 640 668 0,02% 0,02% Restaurant Brands International Inc Consumer Services 43 508 028 0,02% 0,02% Rogers Communications Inc Telecommunications 39 857 701 0,00% 0,02% Royal Bank of Canada Financials 286 447 957 0,03% 0,03% Saputo Inc Consumer Goods 16 003 560 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 3 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Shaw Communications Inc Telecommunications 19 677 347 0,00% 0,03% Shopify Inc Technology 299 712 395 0,01% 0,03% Sun Life Financial Inc Financials 63 696 833 0,03% 0,03% TC Energy Corp Oil & Gas 93 507 462 0,03% 0,03% Teck Resources Ltd Basic Materials 21 957 112 0,01% 0,03% TELUS Corp Telecommunications 20 616 585 0,01% 0,01% Thomson Reuters Corp Consumer Services 33 622 332 0,01% 0,01% Topicus.com Inc Technology 328 428 0,00% 0,00% Toronto-Dominion Bank/The Financials 250 033 830 0,03% 0,03% Waste Connections Inc Industrials 66 164 404 0,03% 0,03% Wheaton Precious Metals Corp Basic Materials 48 245 176 0,03% 0,03% Denmark Ambu A/S Health Care 17 227 174 0,01% 0,02% AP Moller - Maersk A/S Industrials 53 057 865 0,02% 0,01% Carlsberg AS Consumer Goods 37 362 244 0,01% 0,02% Chr Hansen Holding A/S Health Care 25 128 210 0,02% 0,02% Coloplast A/S Health Care 50 162 444 0,01% 0,02% Danske Bank A/S Financials 25 450 936 0,02% 0,02% Demant A/S Health Care 11 325 542 0,01% 0,01% DSV PANALPINA A/S Industrials 82 451 005 0,02% 0,02% Genmab A/S Health Care 58 790 809 0,03% 0,03% GN Store Nord AS Health Care 23 701 490 0,02% 0,02% H Lundbeck A/S Health Care 6 838 267 0,01% 0,01% ISS A/S Industrials 8 158 579 0,03% 0,03% Novo Nordisk A/S Health Care 268 866 806 0,01% 0,02% Novozymes A/S Health Care 27 697 728 0,01% 0,02% Orsted AS Utilities 115 860 684 0,02% 0,02% Pandora A/S Consumer Goods 24 522 726 0,03% 0,03% ROCKWOOL International A/S Industrials 4 466 059 0,00% 0,01% Tryg A/S Financials 11 240 325 0,01% 0,01% Vestas Wind Systems A/S Oil & Gas 120 269 087 0,03% 0,03% Finland Elisa Oyj Telecommunications 17 965 103 0,02% 0,02% Fortum Oyj Utilities 23 692 868 0,01% 0,01% Huhtamaki Oyj Industrials 12 110 014 0,03% 0,03% Kesko Oyj Consumer Services 18 150 255 0,01% 0,02% Kojamo Oyj Financials 8 774 817 0,02% 0,02% Kone Oyj Industrials 78 693 850 0,01% 0,02% Metso Outotec Oyj Industrials 12 615 785 0,02% 0,02% Neles Oyj Industrials 4 066 849 0,02% 0,02% Neste Oyj Oil & Gas 73 461 848 0,02% 0,02% Nokia Oyj Technology 52 893 081 0,03% 0,03% Nokian Renkaat Oyj Consumer Goods 13 152 739 0,03% 0,03% Nordea Bank Abp Financials 67 781 944 0,02% 0,02% Orion Oyj Health Care 11 538 555 0,00% 0,02% Sampo Oyj Financials 51 757 664 0,03% 0,03% Stora Enso Oyj Basic Materials 29 092 136 0,01% 0,02% UPM-Kymmene Oyj Basic Materials 48 389 564 0,03% 0,03% Wartsila OYJ Abp Industrials 12 702 971 0,03% 0,03% France SA Consumer Services 16 281 216 0,02% 0,02% Aeroports de Paris Industrials 10 711 530 0,01% 0,01% Air Liquide SA Basic Materials 185 785 376 0,00% 0,03% ALD SA Consumer Services 3 484 217 0,01% 0,01% Alstom SA Industrials 35 323 523 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 4 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Amundi SA Financials 8 710 346 0,01% 0,01% SA Basic Materials 19 015 106 0,03% 0,03% Atos SE Technology 22 495 137 0,03% 0,03% AXA SA Financials 113 274 093 0,02% 0,02% BioMerieux Health Care 14 109 392 0,01% 0,01% BNP Paribas SA Financials 140 872 152 0,02% 0,02% Bollore SA Industrials 12 206 327 0,01% 0,01% Bouygues SA Industrials 19 600 273 0,01% 0,01% SA Industrials 16 840 106 0,02% 0,02% Capgemini SE Technology 57 873 705 0,03% 0,03% Carrefour SA Consumer Services 22 733 955 0,02% 0,02% Casino Guichard Perrachon SA Consumer Services 5 079 351 0,02% 0,02% Christian Dior SE Consumer Goods 115 644 820 0,01% 0,01% Cie de Saint-Gobain Industrials 53 015 757 0,03% 0,03% Cie Generale des Etablissements Michelin SCA Consumer Goods 53 075 014 0,03% 0,03% Cie Plastic Omnium SA Consumer Goods 6 147 668 0,01% 0,01% CNP Assurances Financials 7 711 945 0,01% 0,01% Covivio Financials 10 068 348 0,01% 0,01% Credit Agricole SA Financials 34 972 518 0,01% 0,01% Danone SA Consumer Goods 96 186 941 0,02% 0,02% Dassault Aviation SA Industrials 5 046 165 0,01% 0,01% Dassault Systemes SE Technology 65 028 181 0,01% 0,01% Industrials 32 534 862 0,03% 0,03% SA Industrials 18 131 179 0,02% 0,02% Electricite de France SA Utilities 20 958 044 0,00% 0,01% Engie SA Utilities 62 378 523 0,01% 0,02% EssilorLuxottica SA Health Care 113 034 299 0,00% 0,02% Eurazeo SE Financials 7 167 705 0,02% 0,02% SE Health Care 24 539 028 0,02% 0,02% NV Financials 17 662 335 0,03% 0,03% Faurecia SE Consumer Goods 11 906 547 0,02% 0,02% SA Financials 19 611 215 0,02% 0,02% SE Industrials 20 289 904 0,02% 0,02% Hermes International Consumer Goods 80 407 182 0,01% 0,01% ICADE Financials 7 125 760 0,01% 0,01% Iliad SA Telecommunications 9 741 915 0,01% 0,01% Imerys SA Basic Materials 6 260 104 0,02% 0,02% Ipsen SA Health Care 6 088 891 0,01% 0,01% JCDecaux SA Consumer Services 5 191 059 0,01% 0,01% Kering SA Consumer Services 131 114 004 0,02% 0,02% Klepierre SA Financials 10 305 403 0,02% 0,02% La Francaise des Jeux SAEM Consumer Services 7 558 301 0,00% 0,01% Legrand SA Industrials 58 289 713 0,03% 0,03% L'Oreal SA Consumer Goods 222 803 472 0,01% 0,01% LVMH Moet Hennessy Louis Vuitton SE Consumer Goods 265 441 127 0,01% 0,01% Natixis SA Financials 7 003 024 0,01% 0,01% Orange SA Telecommunications 55 995 384 0,02% 0,02% Orpea SA Health Care 15 761 283 0,02% 0,02% Pernod Ricard SA Consumer Goods 72 564 941 0,02% 0,02% Peugeot SA Consumer Goods 45 393 121 0,02% 0,02% Publicis Groupe SA Consumer Services 28 231 575 0,03% 0,03% Remy Cointreau SA Consumer Goods 13 162 799 0,02% 0,02% Renault SA Consumer Goods 18 205 077 0,02% 0,02% Rexel SA Industrials 12 754 848 0,03% 0,03% Rubis SCA Oil & Gas 11 854 756 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 5 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Sanofi Health Care 258 021 906 0,02% 0,02% Sartorius Stedim Biotech Health Care 20 945 441 0,01% 0,01% Schneider Electric SE Industrials 187 281 706 0,03% 0,03% SCOR SE Financials 9 647 828 0,02% 0,02% SEB SA Consumer Goods 11 745 925 0,01% 0,01% Societe BIC SA Consumer Goods 177 369 0,00% 0,00% Societe Generale SA Financials 39 578 573 0,03% 0,03% SA Consumer Services 18 034 403 0,00% 0,02% STMicroelectronics NV Technology 55 249 852 0,02% 0,02% Suez SA Utilities 17 253 365 0,02% 0,02% TechnipFMC PLC Oil & Gas 11 348 214 0,03% 0,03% Teleperformance Industrials 47 202 125 0,00% 0,03% Thales SA Industrials 20 422 879 0,01% 0,01% TOTAL SE Oil & Gas 250 365 117 0,03% 0,03% Entertainment SA Consumer Goods 21 159 395 0,02% 0,02% SA Consumer Goods 23 922 765 0,03% 0,03% Veolia Environnement SA Utilities 29 260 396 0,02% 0,02% Vinci SA Industrials 114 422 105 0,02% 0,02% Vivendi SA Consumer Services 60 908 907 0,02% 0,02% Wendel SE Financials 9 462 890 0,02% 0,02% Worldline SA/France Industrials 56 020 856 0,02% 0,02% 1&1 Drillisch AG Telecommunications 2 729 498 0,01% 0,01% adidas AG Consumer Goods 140 345 164 0,02% 0,02% Allianz SE Financials 249 271 508 0,03% 0,03% Aroundtown SA Financials 23 253 383 0,02% 0,02% BASF SE Basic Materials 177 333 576 0,03% 0,03% Bayer AG Health Care 141 598 822 0,03% 0,03% Bayerische Motoren Werke AG Consumer Goods 78 151 793 0,00% 0,02% AG Technology 14 547 626 0,02% 0,02% Beiersdorf AG Consumer Goods 26 815 368 0,01% 0,01% AG Basic Materials 29 267 785 0,03% 0,03% AG Health Care 13 888 510 0,01% 0,01% AG Financials 21 856 184 0,03% 0,03% Continental AG Consumer Goods 36 748 497 0,01% 0,01% Covestro AG Basic Materials 25 779 269 0,03% 0,03% CTS Eventim AG & Co KGaA Consumer Services 5 093 136 0,01% 0,01% Daimler AG Consumer Goods 138 973 488 0,02% 0,02% Delivery Hero SE Consumer Services 54 359 470 0,02% 0,02% Deutsche Bank AG Financials 55 039 297 0,03% 0,03% Deutsche Boerse AG Financials 76 228 514 0,03% 0,03% Deutsche Lufthansa AG Consumer Services 11 883 225 0,02% 0,02% Deutsche Post AG Industrials 118 992 714 0,02% 0,02% AG Telecommunications 145 700 792 0,02% 0,02% Deutsche Wohnen SE Financials 45 360 809 0,03% 0,03% DWS Group GmbH & Co KGaA Financials 4 402 837 0,01% 0,01% E.ON SE Utilities 59 079 570 0,02% 0,02% AG Basic Materials 11 420 888 0,01% 0,01% Fielmann AG Consumer Services 4 686 341 0,01% 0,01% AG Frankfurt Airport Services Worldwide Industrials 6 968 357 0,01% 0,01% Fresenius Medical Care AG & Co KGaA Health Care 40 486 388 0,02% 0,02% Fresenius SE & Co KGaA Health Care 45 667 326 0,02% 0,02% SE Basic Materials 17 322 820 0,03% 0,03% GEA Group AG Industrials 7 253 701 0,01% 0,01% AG Financials 4 001 701 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 6 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Hannover Rueck SE Financials 22 017 765 0,01% 0,01% HeidelbergCement AG Industrials 25 297 626 0,02% 0,02% GmbH & Co KGaA Consumer Goods 7 734 121 0,01% 0,01% HelloFresh SE Consumer Services 29 988 324 0,03% 0,03% Henkel AG & Co KGaA Consumer Goods 71 109 221 0,01% 0,02% AG Industrials 2 947 605 0,01% 0,01% AG Technology 122 134 444 0,03% 0,03% Kabel Deutschland Holding AG Consumer Services 12 431 943 0,01% 0,01% KION Group AG Industrials 14 187 048 0,01% 0,01% Knorr-Bremse AG Industrials 20 951 588 0,01% 0,01% AG Basic Materials 16 778 691 0,03% 0,03% LEG Immobilien AG Financials 26 279 459 0,03% 0,03% MAN SE Industrials 4 328 579 0,01% 0,01% Merck KGaA Health Care 54 379 153 0,03% 0,01% METRO AG Consumer Services 5 717 893 0,02% 0,02% MTU Aero Engines AG Industrials 33 837 631 0,03% 0,03% Muenchener Rueckversicherungs-Gesellschaft AG in Muenche Financials 101 590 045 0,03% 0,03% SE Technology 11 684 973 0,02% 0,02% Licht AG Industrials 15 080 488 0,03% 0,03% Porsche Automobil Holding SE Consumer Goods 27 505 607 0,00% 0,02% ProSiebenSat.1 Media SE Consumer Services 6 929 340 0,02% 0,02% SE Consumer Goods 22 243 330 0,02% 0,02% NV Health Care 28 106 699 0,03% 0,03% Rational AG Industrials 6 342 076 0,01% 0,01% AG Industrials 12 091 348 0,03% 0,03% RTL Group SA Consumer Services 4 932 916 0,01% 0,01% SAP SE Technology 361 336 491 0,03% 0,03% Sartorius AG Health Care 37 082 508 0,00% 0,01% Scout24 AG Technology 22 163 969 0,03% 0,03% Siemens AG Industrials 270 164 275 0,03% 0,03% Siemens Energy AG Oil & Gas 31 941 767 0,01% 0,01% AG Health Care 27 770 437 0,01% 0,01% Suedzucker AG Consumer Goods 3 302 712 0,01% 0,01% AG Basic Materials 41 627 525 0,03% 0,03% Talanx AG Financials 5 740 034 0,01% 0,01% TeamViewer AG Technology 17 845 784 0,02% 0,02% Telefonica Deutschland Holding AG Telecommunications 5 739 923 0,01% 0,01% AG Industrials 13 463 726 0,03% 0,03% SE Utilities 2 245 140 0,00% 0,00% AG Technology 11 509 547 0,02% 0,02% Varta AG Industrials 6 611 067 0,01% 0,01% Volkswagen AG Consumer Goods 100 440 809 0,00% 0,01% Vonovia SE Financials 101 367 195 0,03% 0,03% Wacker Chemie AG Basic Materials 6 735 446 0,01% 0,01% Wirecard AG Industrials 74 986 0,02% 0,02% SE Consumer Services 42 748 061 0,02% 0,02% Ireland AIB Group PLC Financials 4 897 213 0,01% 0,01% Glanbia PLC Consumer Goods 6 110 458 0,02% 0,02% Kerry Group PLC Consumer Goods 56 375 834 0,03% 0,03% Kingspan Group PLC Industrials 24 514 053 0,02% 0,02% Italy A2A SpA Utilities 6 428 988 0,02% 0,02% Amplifon SpA Health Care 7 445 138 0,01% 0,01% Assicurazioni Generali SpA Financials 52 018 778 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 7 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Atlantia SpA Industrials 21 134 506 0,02% 0,02% Banca Mediolanum SpA Financials 7 143 920 0,01% 0,01% Banco BPM SpA Financials 17 0,00% 0,00% Buzzi Unicem SpA Industrials 7 059 764 0,02% 0,02% CNH Industrial NV Industrials 28 520 258 0,01% 0,01% Davide Campari-Milano NV Consumer Goods 10 190 519 0,01% 0,01% DiaSorin SpA Health Care 11 058 863 0,01% 0,01% Enel SpA Utilities 192 621 169 0,02% 0,02% Eni SpA Oil & Gas 62 332 109 0,02% 0,02% EXOR NV Financials 31 078 611 0,02% 0,02% Ferrari NV Consumer Goods 62 288 871 0,01% 0,01% Fiat Chrysler Automobiles NV Consumer Goods 57 716 524 0,02% 0,02% FinecoBank Banca Fineco SpA Financials 22 991 815 0,03% 0,03% Hera SpA Utilities 7 638 210 0,02% 0,02% Infrastrutture Wireless Italiane SpA Telecommunications 7 180 317 0,01% 0,01% Intesa Sanpaolo SpA Financials 89 014 159 0,02% 0,02% Italgas SpA Utilities 7 979 232 0,02% 0,02% Leonardo SpA Industrials 7 020 559 0,02% 0,02% Mediobanca Banca di Credito Finanziario SpA Financials 17 445 555 0,02% 0,02% Moncler SpA Consumer Goods 25 349 305 0,02% 0,02% Nexi SpA Industrials 21 565 275 0,02% 0,02% Pirelli & C SpA Consumer Goods 4 426 982 0,01% 0,01% Poste Italiane SpA Financials 8 163 331 0,01% 0,01% Prysmian SpA Industrials 22 604 995 0,03% 0,03% Recordati Industria Chimica e Farmaceutica SpA Health Care 9 758 226 0,01% 0,01% Snam SpA Oil & Gas 28 209 365 0,02% 0,02% Telecom Italia SpA/Milano Telecommunications 19 779 158 0,02% 0,02% Tenaris SA Oil & Gas 11 060 806 0,01% 0,01% Terna Rete Elettrica Nazionale SpA Utilities 23 868 790 0,02% 0,02% UniCredit SpA Financials 49 109 864 0,03% 0,03% UnipolSai Assicurazioni SpA Financials 4 783 767 0,01% 0,01% Japan 77 Bank Ltd/The Financials 2 301 966 0,03% 0,03% Acom Co Ltd Financials 3 946 391 0,01% 0,01% Activia Properties Inc Financials 4 694 997 0,02% 0,02% Advance Residence Investment Corp Financials 5 903 259 0,02% 0,02% Advantest Corp Technology 39 801 355 0,03% 0,03% Aeon Co Ltd Consumer Services 56 133 874 0,02% 0,02% AEON Financial Service Co Ltd Financials 4 386 981 0,02% 0,02% Aeon Mall Co Ltd Financials 2 850 975 0,01% 0,01% AGC Inc Industrials 15 603 923 0,02% 0,02% Aica Kogyo Co Ltd Industrials 3 104 221 0,02% 0,02% Aiful Corp Financials 183 037 0,00% 0,00% Ain Holdings Inc Consumer Services 3 993 602 0,02% 0,02% Air Water Inc Basic Materials 8 699 592 0,02% 0,02% Aisin Seiki Co Ltd Consumer Goods 10 259 357 0,01% 0,01% Ajinomoto Co Inc Consumer Goods 29 029 694 0,03% 0,03% Alfresa Holdings Corp Health Care 7 736 569 0,02% 0,02% Alps Alpine Co Ltd Industrials 5 788 503 0,02% 0,02% Amada Co Ltd Industrials 8 305 879 0,02% 0,02% Amano Corp Industrials 3 908 539 0,02% 0,02% ANA Holdings Inc Consumer Services 8 454 027 0,01% 0,01% Anritsu Corp Technology 7 475 122 0,03% 0,03% Aozora Bank Ltd Financials 5 817 297 0,03% 0,03% Ariake Japan Co Ltd Consumer Goods 3 138 794 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 8 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

As One Corp Health Care 5 087 776 0,02% 0,02% Asahi Group Holdings Ltd Consumer Goods 43 549 040 0,02% 0,02% Asahi Intecc Co Ltd Health Care 14 885 361 0,02% 0,02% Asahi Kasei Corp Basic Materials 33 782 235 0,03% 0,03% Asics Corp Consumer Goods 8 041 452 0,03% 0,03% ASKUL Corp Industrials 1 851 796 0,01% 0,01% Astellas Pharma Inc Health Care 70 403 322 0,03% 0,03% Azbil Corp Industrials 14 779 844 0,02% 0,02% Bandai Namco Holdings Inc Consumer Goods 41 176 935 0,03% 0,03% Bank of Kyoto Ltd/The Financials 9 827 004 0,03% 0,03% Benefit One Inc Industrials 4 552 774 0,01% 0,01% Benesse Holdings Inc Consumer Services 3 327 516 0,02% 0,02% Bic Camera Inc Consumer Services 3 977 394 0,02% 0,02% Bridgestone Corp Consumer Goods 46 387 284 0,02% 0,02% Brother Industries Ltd Technology 10 595 285 0,02% 0,02% Calbee Inc Consumer Goods 6 241 362 0,02% 0,02% Canon Inc Technology 45 046 611 0,02% 0,02% Canon Marketing Japan Inc Technology 2 516 503 0,01% 0,01% Capcom Co Ltd Technology 14 390 575 0,02% 0,02% Casio Computer Co Ltd Consumer Goods 8 113 569 0,02% 0,02% Central Japan Railway Co Consumer Services 58 048 634 0,02% 0,02% Chiba Bank Ltd/The Financials 7 899 238 0,02% 0,02% Chubu Electric Power Co Inc Utilities 18 062 932 0,02% 0,02% Chugai Pharmaceutical Co Ltd Health Care 84 271 498 0,01% 0,01% Chugoku Bank Ltd/The Financials 3 902 306 0,03% 0,03% Coca-Cola Bottlers Japan Holdings Inc Consumer Goods 5 319 531 0,02% 0,02% COMSYS Holdings Corp Industrials 8 692 254 0,02% 0,02% Concordia Financial Group Ltd Financials 9 023 413 0,02% 0,02% Cosmo Energy Holdings Co Ltd Oil & Gas 2 782 180 0,02% 0,02% Cosmos Pharmaceutical Corp Consumer Services 5 947 961 0,01% 0,01% Credit Saison Co Ltd Financials 4 642 563 0,03% 0,03% CyberAgent Inc Consumer Services 15 771 198 0,02% 0,02% Dai Nippon Printing Co Ltd Consumer Services 10 876 254 0,02% 0,02% Daicel Corp Basic Materials 4 246 710 0,02% 0,02% Daido Steel Co Ltd Basic Materials 2 606 155 0,02% 0,02% Daifuku Co Ltd Industrials 28 968 390 0,02% 0,02% Dai-ichi Life Holdings Inc Financials 38 999 023 0,03% 0,03% Daiichi Sankyo Co Ltd Health Care 159 667 071 0,03% 0,03% Daiichikosho Co Ltd Consumer Goods 3 961 580 0,02% 0,02% Daikin Industries Ltd Industrials 140 946 033 0,03% 0,03% Daito Trust Construction Co Ltd Financials 14 647 168 0,03% 0,03% Daiwa House Industry Co Ltd Consumer Goods 46 454 521 0,03% 0,03% Daiwa House REIT Investment Corp Financials 7 195 540 0,02% 0,02% Daiwa Office Investment Corp Financials 1 088 018 0,00% 0,00% Daiwa Securities Group Inc Financials 19 520 852 0,03% 0,03% DeNA Co Ltd Consumer Services 5 627 453 0,03% 0,03% Denka Co Ltd Basic Materials 8 667 185 0,03% 0,03% Denso Corp Consumer Goods 69 198 219 0,02% 0,02% Dentsu Group Inc Consumer Services 14 270 194 0,02% 0,02% DIC Corp Basic Materials 5 009 939 0,02% 0,02% Disco Corp Industrials 22 688 132 0,02% 0,02% DMG Mori Co Ltd Industrials 3 786 343 0,02% 0,02% Dowa Holdings Co Ltd Basic Materials 2 261 083 0,01% 0,01% East Japan Railway Co Consumer Services 54 619 419 0,03% 0,03% Ebara Corp Industrials 6 889 750 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 9 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Eisai Co Ltd Health Care 45 985 651 0,03% 0,03% Elecom Co Ltd Technology 3 003 446 0,01% 0,01% ENEOS Holdings Inc Oil & Gas 26 231 854 0,03% 0,03% Ezaki Glico Co Ltd Consumer Goods 6 063 547 0,02% 0,02% Fancl Corp Consumer Goods 6 620 605 0,01% 0,01% FANUC Corp Industrials 119 311 141 0,03% 0,03% Fast Retailing Co Ltd Consumer Services 114 435 470 0,01% 0,01% FP Corp Industrials 4 134 189 0,01% 0,01% Fuji Electric Co Ltd Industrials 11 337 315 0,02% 0,02% Fuji Media Holdings Inc Consumer Services 1 021 680 0,00% 0,00% Fuji Oil Holdings Inc Consumer Goods 3 106 198 0,01% 0,01% Fuji Seal International Inc Industrials 1 950 070 0,02% 0,02% FUJIFILM Holdings Corp Technology 45 976 790 0,02% 0,02% Fujikura Ltd Industrials 161 504 0,00% 0,00% Fujitsu General Ltd Consumer Goods 2 503 283 0,01% 0,01% Fujitsu Ltd Technology 63 932 158 0,02% 0,02% Fukuoka Financial Group Inc Financials 8 971 656 0,03% 0,03% Fukuyama Transporting Co Ltd Industrials 2 666 397 0,01% 0,01% Furukawa Electric Co Ltd Industrials 4 321 139 0,03% 0,03% Fuyo General Lease Co Ltd Financials 3 039 381 0,02% 0,02% Glory Ltd Industrials 1 570 424 0,01% 0,01% GLP J-Reit Financials 7 551 135 0,01% 0,01% GMO internet Inc Technology 4 036 129 0,01% 0,01% GMO Payment Gateway Inc Industrials 11 119 208 0,01% 0,01% Goldwin Inc Consumer Goods 5 929 801 0,02% 0,02% GS Yuasa Corp Industrials 3 416 620 0,02% 0,02% GungHo Online Entertainment Inc Consumer Goods 2 660 446 0,01% 0,01% Gunma Bank Ltd/The Financials 2 307 488 0,02% 0,02% H.U. Group Holdings Inc Health Care 3 387 964 0,03% 0,03% Hachijuni Bank Ltd/The Financials 3 598 339 0,02% 0,02% Hakuhodo DY Holdings Inc Consumer Services 7 816 033 0,02% 0,02% Hamamatsu Photonics KK Industrials 17 773 024 0,02% 0,02% Hankyu Hanshin Holdings Inc Consumer Services 18 219 247 0,03% 0,03% Haseko Corp Industrials 7 948 315 0,03% 0,03% Heiwa Corp Consumer Services 1 747 802 0,01% 0,01% Hikari Tsushin Inc Telecommunications 13 033 865 0,01% 0,01% Hino Motors Ltd Industrials 7 384 177 0,02% 0,02% Hirogin Holdings Inc Financials 4 467 052 0,03% 0,03% Hirose Electric Co Ltd Industrials 11 458 543 0,02% 0,02% Hisamitsu Pharmaceutical Co Inc Health Care 8 991 726 0,02% 0,02% Hitachi Capital Corp Financials 1 301 425 0,01% 0,01% Hitachi Construction Machinery Co Ltd Industrials 6 563 873 0,01% 0,01% Hitachi Ltd Industrials 91 579 422 0,03% 0,03% Hitachi Metals Ltd Basic Materials 7 288 728 0,01% 0,01% Hitachi Transport System Ltd Industrials 2 367 687 0,01% 0,01% Hokuhoku Financial Group Inc Financials 3 085 102 0,03% 0,03% Honda Motor Co Ltd Consumer Goods 116 471 297 0,03% 0,03% Horiba Ltd Industrials 6 572 495 0,03% 0,03% Hoshizaki Corp Industrials 12 094 123 0,02% 0,02% House Foods Group Inc Consumer Goods 7 354 278 0,02% 0,02% Hoya Corp Health Care 122 304 468 0,03% 0,03% Hulic Co Ltd Financials 9 790 419 0,02% 0,02% Ibiden Co Ltd Industrials 12 737 690 0,02% 0,02% Ichigo Inc Financials 1 438 613 0,01% 0,01% Idemitsu Kosan Co Ltd Oil & Gas 12 220 471 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 10 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

IHI Corp Industrials 6 077 726 0,02% 0,02% Iida Group Holdings Co Ltd Consumer Goods 6 963 896 0,01% 0,01% Industrial & Infrastructure Fund Investment Corp Financials 4 297 020 0,01% 0,01% Isetan Mitsukoshi Holdings Ltd Consumer Services 5 039 615 0,03% 0,03% Isuzu Motors Ltd Industrials 11 438 089 0,02% 0,02% Ito En Ltd Consumer Goods 8 447 759 0,02% 0,02% ITOCHU Corp Industrials 94 228 404 0,02% 0,02% Itochu Techno-Solutions Corp Technology 8 801 034 0,01% 0,01% Itoham Yonekyu Holdings Inc Consumer Goods 3 847 543 0,02% 0,02% Iyo Bank Ltd/The Financials 4 406 125 0,03% 0,03% Izumi Co Ltd Consumer Services 3 479 594 0,02% 0,02% J Front Retailing Co Ltd Consumer Services 4 025 872 0,02% 0,02% Japan Airlines Co Ltd Consumer Services 8 556 839 0,01% 0,01% Japan Airport Terminal Co Ltd Industrials 6 938 519 0,02% 0,02% Japan Aviation Electronics Industry Ltd Industrials 1 191 592 0,01% 0,01% Japan Exchange Group Inc Financials 30 757 744 0,03% 0,03% Japan Logistics Fund Inc Financials 3 535 238 0,02% 0,02% Japan Post Bank Co Ltd Financials 8 044 637 0,00% 0,00% Japan Post Holdings Co Ltd Financials 25 071 136 0,01% 0,01% Japan Post Insurance Co Ltd Financials 9 580 428 0,01% 0,01% Japan Prime Realty Investment Corp Financials 3 686 998 0,01% 0,01% Japan Real Estate Investment Corp Financials 5 931 043 0,01% 0,01% Japan Retail Fund Investment Corp Financials 5 756 233 0,01% 0,01% Japan Steel Works Ltd/The Industrials 408 011 0,00% 0,00% JCR Pharmaceuticals Co Ltd Health Care 3 180 396 0,01% 0,01% JFE Holdings Inc Basic Materials 12 318 429 0,02% 0,02% JGC Holdings Corp Industrials 4 900 912 0,02% 0,02% JSR Corp Basic Materials 12 687 363 0,02% 0,02% JTEKT Corp Consumer Goods 5 469 494 0,02% 0,02% Justsystems Corp Technology 5 351 373 0,01% 0,01% Kagome Co Ltd Consumer Goods 6 474 589 0,02% 0,02% Kajima Corp Industrials 13 922 022 0,02% 0,02% Kakaku.com Inc Consumer Services 9 165 961 0,02% 0,02% Kaken Pharmaceutical Co Ltd Health Care 3 536 025 0,02% 0,02% Kamigumi Co Ltd Industrials 4 169 319 0,02% 0,02% Kandenko Co Ltd Industrials 3 207 169 0,02% 0,02% Kaneka Corp Basic Materials 4 370 824 0,02% 0,02% Kansai Electric Power Co Inc/The Utilities 14 315 880 0,02% 0,02% Kansai Mirai Financial Group Inc Financials 2 863 587 0,02% 0,02% Kansai Paint Co Ltd Basic Materials 14 461 639 0,02% 0,02% Kao Corp Consumer Goods 91 868 003 0,03% 0,03% Kawasaki Heavy Industries Ltd Industrials 8 143 433 0,03% 0,03% Kawasaki Kisen Kaisha Ltd Industrials 858 036 0,01% 0,01% KDDI Corp Telecommunications 118 245 042 0,02% 0,02% Keihan Holdings Co Ltd Consumer Services 11 391 238 0,02% 0,02% Keikyu Corp Consumer Services 11 160 236 0,03% 0,03% Keio Corp Consumer Services 21 840 704 0,03% 0,03% Keisei Electric Railway Co Ltd Consumer Services 38 033 312 0,08% 0,08% Kenedix Office Investment Corp Financials 1 161 000 0,00% 0,00% Kewpie Corp Consumer Goods 6 110 141 0,02% 0,02% Keyence Corp Industrials 242 743 577 0,02% 0,02% Kikkoman Corp Consumer Goods 27 704 655 0,02% 0,02% Kinden Corp Industrials 4 056 249 0,01% 0,01% Kintetsu Group Holdings Co Ltd Consumer Services 16 689 980 0,02% 0,02% Kirin Holdings Co Ltd Consumer Goods 44 298 545 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 11 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Kissei Pharmaceutical Co Ltd Health Care 1 317 128 0,01% 0,01% Kobayashi Pharmaceutical Co Ltd Health Care 18 404 811 0,02% 0,02% Kobe Bussan Co Ltd Consumer Services 4 008 431 0,01% 0,01% Kobe Steel Ltd Basic Materials 3 787 995 0,02% 0,02% Koei Tecmo Holdings Co Ltd Technology 8 757 299 0,01% 0,01% Koito Manufacturing Co Ltd Consumer Goods 16 174 671 0,02% 0,02% Kokuyo Co Ltd Industrials 3 151 149 0,02% 0,02% Komatsu Ltd Industrials 62 569 155 0,03% 0,03% Konami Holdings Corp Consumer Goods 12 120 827 0,02% 0,02% Konica Minolta Inc Technology 4 113 863 0,03% 0,03% Kose Corp Consumer Goods 11 096 887 0,01% 0,01% K's Holdings Corp Consumer Services 5 096 852 0,02% 0,02% Kubota Corp Industrials 58 412 465 0,03% 0,03% Kuraray Co Ltd Basic Materials 7 958 007 0,02% 0,02% Kurita Water Industries Ltd Industrials 10 225 486 0,03% 0,03% Kusuri no Aoki Holdings Co Ltd Consumer Services 3 988 567 0,02% 0,02% Kyocera Corp Industrials 45 800 687 0,02% 0,02% Kyoritsu Maintenance Co Ltd Consumer Services 2 205 233 0,02% 0,02% Kyowa Exeo Corp Industrials 5 743 219 0,02% 0,02% Kyowa Kirin Co Ltd Health Care 18 092 924 0,01% 0,01% Kyudenko Corp Industrials 2 374 905 0,01% 0,01% Kyushu Electric Power Co Inc Utilities 7 209 547 0,02% 0,02% Kyushu Financial Group Inc Financials 4 009 570 0,02% 0,02% Kyushu Railway Co Consumer Services 7 085 228 0,02% 0,02% LaSalle Logiport REIT Financials 3 587 817 0,02% 0,02% Lasertec Corp Technology 22 093 804 0,02% 0,02% Lawson Inc Consumer Services 3 274 638 0,01% 0,01% Lintec Corp Basic Materials 2 399 170 0,02% 0,02% Lion Corp Consumer Goods 14 393 563 0,02% 0,02% Lixil Corp Industrials 16 070 018 0,03% 0,03% M3 Inc Health Care 97 612 720 0,02% 0,02% Mabuchi Motor Co Ltd Industrials 2 534 791 0,01% 0,01% Maeda Corp Industrials 2 913 375 0,02% 0,02% Maeda Road Construction Co Ltd Industrials 1 190 770 0,01% 0,01% Makita Corp Consumer Goods 29 441 592 0,02% 0,02% Mani Inc Health Care 2 934 078 0,01% 0,01% Marubeni Corp Industrials 25 357 842 0,03% 0,03% Marui Group Co Ltd Consumer Services 8 806 060 0,03% 0,03% Maruichi Steel Tube Ltd Basic Materials 1 724 188 0,01% 0,01% Matsui Securities Co Ltd Financials 745 609 0,00% 0,00% Matsumotokiyoshi Holdings Co Ltd Consumer Services 7 990 988 0,02% 0,02% Mazda Motor Corp Consumer Goods 9 712 548 0,03% 0,03% Mebuki Financial Group Inc Financials 4 765 033 0,02% 0,02% Medipal Holdings Corp Health Care 6 669 691 0,02% 0,02% Megmilk Snow Brand Co Ltd Consumer Goods 3 851 174 0,03% 0,03% MEIJI Holdings Co Ltd Consumer Goods 23 766 346 0,03% 0,03% MINEBEA MITSUMI Inc Industrials 19 774 012 0,03% 0,03% MISUMI Group Inc Industrials 21 410 817 0,03% 0,03% Mitsubishi Chemical Holdings Corp Basic Materials 15 308 416 0,02% 0,02% Mitsubishi Corp Industrials 71 252 856 0,02% 0,02% Mitsubishi Electric Corp Industrials 74 973 700 0,03% 0,03% Mitsubishi Estate Co Ltd Financials 44 732 841 0,02% 0,02% Mitsubishi Gas Chemical Co Inc Basic Materials 15 523 680 0,04% 0,04% Mitsubishi Heavy Industries Ltd Industrials 21 650 971 0,02% 0,02% Mitsubishi Logistics Corp Industrials 4 834 907 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 12 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Mitsubishi Materials Corp Industrials 7 463 803 0,03% 0,03% Mitsubishi Motors Corp Consumer Goods 3 896 004 0,01% 0,01% Mitsubishi Shokuhin Co Ltd Consumer Services 1 068 035 0,01% 0,01% Mitsubishi UFJ Financial Group Inc Financials 139 645 995 0,03% 0,03% Mitsubishi UFJ Lease & Finance Co Ltd Financials 4 055 333 0,01% 0,01% Mitsui & Co Ltd Industrials 73 587 109 0,03% 0,03% Mitsui Chemicals Inc Basic Materials 12 442 585 0,02% 0,02% Mitsui Fudosan Co Ltd Financials 47 364 408 0,03% 0,03% Mitsui Mining & Smelting Co Ltd Basic Materials 3 845 086 0,02% 0,02% Mitsui OSK Lines Ltd Industrials 8 290 228 0,03% 0,03% Miura Co Ltd Industrials 12 917 577 0,02% 0,02% Mizuho Financial Group Inc Financials 72 454 954 0,03% 0,03% Mochida Pharmaceutical Co Ltd Health Care 1 464 727 0,01% 0,01% MonotaRO Co Ltd Consumer Services 14 193 204 0,01% 0,01% Mori Hills REIT Investment Corp Financials 944 058 0,00% 0,00% Morinaga & Co Ltd/Japan Consumer Goods 3 539 390 0,02% 0,02% Morinaga Milk Industry Co Ltd Consumer Goods 4 808 871 0,02% 0,02% MS&AD Insurance Group Holdings Inc Financials 36 589 913 0,02% 0,02% Murata Manufacturing Co Ltd Industrials 125 645 409 0,02% 0,02% Nabtesco Corp Industrials 10 712 087 0,02% 0,02% Nagase & Co Ltd Basic Materials 3 847 124 0,02% 0,02% Nagoya Railroad Co Ltd Consumer Services 11 516 585 0,03% 0,03% Nankai Electric Railway Co Ltd Consumer Services 7 388 364 0,03% 0,03% NEC Corp Technology 34 341 005 0,03% 0,03% NEC Networks & System Integration Corp Technology 3 047 652 0,01% 0,01% NET One Systems Co Ltd Technology 7 726 698 0,03% 0,03% Nexon Co Ltd Consumer Goods 30 422 672 0,01% 0,01% NGK Insulators Ltd Industrials 10 183 001 0,02% 0,02% NGK Spark Plug Co Ltd Consumer Goods 7 888 227 0,03% 0,03% NH Foods Ltd Consumer Goods 10 601 355 0,03% 0,03% NHK Spring Co Ltd Consumer Goods 1 591 136 0,01% 0,01% Nichirei Corp Consumer Goods 7 299 319 0,02% 0,02% Nidec Corp Industrials 142 203 655 0,02% 0,02% Nifco Inc/Japan Consumer Goods 8 117 782 0,02% 0,02% Nihon Kohden Corp Health Care 5 695 709 0,02% 0,02% Nihon M&A Center Inc Financials 20 885 533 0,02% 0,02% Nihon Unisys Ltd Technology 6 365 587 0,02% 0,02% Nikon Corp Consumer Goods 4 950 879 0,02% 0,02% Nintendo Co Ltd Consumer Goods 166 499 567 0,02% 0,02% Nippo Corp Industrials 4 193 489 0,01% 0,01% Nippon Accommodations Fund Inc Financials 3 366 893 0,01% 0,01% Nippon Building Fund Inc Financials 10 166 203 0,01% 0,01% Nippon Electric Glass Co Ltd Industrials 4 471 367 0,02% 0,02% Nippon Express Co Ltd Industrials 11 732 962 0,02% 0,02% Nippon Kayaku Co Ltd Basic Materials 3 733 832 0,03% 0,03% Nippon Paint Holdings Co Ltd Basic Materials 35 392 079 0,01% 0,01% Nippon Paper Industries Co Ltd Basic Materials 2 638 596 0,02% 0,02% Nippon Prologis REIT Inc Financials 8 251 220 0,01% 0,01% Nippon Sanso Holdings Corp Basic Materials 8 405 335 0,01% 0,01% Nippon Shinyaku Co Ltd Health Care 9 881 090 0,03% 0,03% Nippon Shokubai Co Ltd Basic Materials 1 533 848 0,01% 0,01% Nippon Steel Corp Basic Materials 28 338 179 0,03% 0,03% Nippon Telegraph & Telephone Corp Telecommunications 71 078 843 0,01% 0,01% Nippon Television Holdings Inc Consumer Services 773 658 0,00% 0,00% Nippon Yusen KK Industrials 10 106 320 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 13 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Nipro Corp Health Care 3 845 788 0,02% 0,02% Nishi-Nippon Railroad Co Ltd Consumer Services 5 504 872 0,03% 0,03% Nissan Chemical Corp Basic Materials 18 160 838 0,02% 0,02% Nissan Motor Co Ltd Consumer Goods 26 077 936 0,01% 0,01% Nissan Shatai Co Ltd Consumer Goods 1 149 990 0,01% 0,01% Nisshin Seifun Group Inc Consumer Goods 9 063 304 0,02% 0,02% Nisshinbo Holdings Inc Industrials 2 737 701 0,02% 0,02% Nissin Foods Holdings Co Ltd Consumer Goods 12 920 668 0,02% 0,02% Nitori Holdings Co Ltd Consumer Services 38 384 489 0,02% 0,02% Nitto Denko Corp Basic Materials 30 117 361 0,02% 0,02% Noevir Holdings Co Ltd Consumer Goods 1 932 817 0,01% 0,01% NOF Corp Basic Materials 8 370 719 0,02% 0,02% NOK Corp Consumer Goods 2 722 246 0,02% 0,02% Nomura Holdings Inc Financials 35 308 617 0,02% 0,02% Nomura Real Estate Holdings Inc Financials 5 783 520 0,02% 0,02% Nomura Real Estate Master Fund Inc Financials 8 947 614 0,02% 0,02% Nomura Research Institute Ltd Technology 27 113 024 0,01% 0,01% NS Solutions Corp Technology 2 949 600 0,01% 0,01% NSK Ltd Basic Materials 9 975 965 0,02% 0,02% NTN Corp Industrials 360 407 0,00% 0,00% NTT Data Corp Technology 17 602 008 0,01% 0,01% Obayashi Corp Industrials 17 878 850 0,03% 0,03% OBIC Business Consultants Co Ltd Technology 532 151 0,00% 0,00% Obic Co Ltd Technology 32 663 034 0,02% 0,02% Odakyu Electric Railway Co Ltd Consumer Services 23 492 218 0,02% 0,02% Oji Holdings Corp Basic Materials 11 192 866 0,02% 0,02% OKUMA Corp Industrials 3 998 799 0,02% 0,02% Olympus Corp Health Care 53 968 676 0,02% 0,02% Omron Corp Industrials 40 667 096 0,03% 0,03% Ono Pharmaceutical Co Ltd Health Care 31 421 286 0,02% 0,02% Open House Co Ltd Financials 5 908 816 0,01% 0,01% Oracle Corp Japan Technology 11 711 575 0,01% 0,01% Orient Corp Financials 1 543 471 0,01% 0,01% Oriental Land Co Ltd/Japan Consumer Services 54 711 040 0,01% 0,01% ORIX Corp Financials 46 668 604 0,03% 0,03% Orix JREIT Inc Financials 5 231 540 0,01% 0,01% Osaka Gas Co Ltd Utilities 16 933 362 0,02% 0,02% OSG Corp Industrials 3 890 319 0,02% 0,02% Otsuka Corp Technology 10 621 065 0,01% 0,01% Otsuka Holdings Co Ltd Health Care 42 927 408 0,02% 0,02% PALTAC Corp Consumer Goods 4 185 201 0,01% 0,01% Pan Pacific International Holdings Corp Consumer Services 32 820 634 0,03% 0,03% Panasonic Corp Consumer Goods 62 309 848 0,03% 0,03% Park24 Co Ltd Industrials 5 213 226 0,02% 0,02% Penta-Ocean Construction Co Ltd Industrials 7 344 792 0,03% 0,03% PeptiDream Inc Health Care 10 685 904 0,02% 0,02% Persol Holdings Co Ltd Industrials 6 944 846 0,02% 0,02% Pigeon Corp Consumer Goods 9 633 093 0,02% 0,02% Pilot Corp Consumer Goods 816 545 0,01% 0,01% Pola Orbis Holdings Inc Consumer Goods 3 676 912 0,01% 0,01% Rakuten Inc Consumer Services 16 180 031 0,01% 0,01% Recruit Holdings Co Ltd Industrials 138 785 596 0,02% 0,02% Relo Group Inc Financials 5 410 065 0,02% 0,02% Renesas Electronics Corp Technology 19 998 737 0,01% 0,01% Rengo Co Ltd Industrials 4 671 597 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 14 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Resona Holdings Inc Financials 15 065 710 0,02% 0,02% Resorttrust Inc Consumer Services 2 151 361 0,02% 0,02% Ricoh Co Ltd Technology 11 131 836 0,03% 0,03% Rinnai Corp Consumer Goods 10 332 227 0,02% 0,02% Rohm Co Ltd Technology 18 507 691 0,02% 0,02% Rohto Pharmaceutical Co Ltd Health Care 5 725 633 0,02% 0,02% Ryohin Keikaku Co Ltd Consumer Services 12 074 798 0,02% 0,02% Sankyo Co Ltd Consumer Services 4 557 997 0,03% 0,03% Sankyu Inc Industrials 5 135 158 0,02% 0,02% Sanrio Co Ltd Consumer Goods 198 783 0,00% 0,00% Santen Pharmaceutical Co Ltd Health Care 14 060 263 0,03% 0,03% Sanwa Holdings Corp Industrials 7 824 877 0,03% 0,03% Sapporo Holdings Ltd Consumer Goods 3 021 195 0,02% 0,02% Sawai Pharmaceutical Co Ltd Health Care 4 307 971 0,03% 0,03% SBI Holdings Inc/Japan Financials 16 441 470 0,03% 0,03% SCREEN Holdings Co Ltd Technology 6 554 669 0,02% 0,02% SCSK Corp Technology 6 774 540 0,01% 0,01% Secom Co Ltd Industrials 42 362 722 0,02% 0,02% Sega Sammy Holdings Inc Consumer Goods 7 598 688 0,02% 0,02% Seibu Electric & Machinery Co Ltd Industrials 580 038 0,04% 0,04% Seibu Holdings Inc Industrials 4 326 182 0,02% 0,02% Seiko Epson Corp Technology 9 828 622 0,02% 0,02% Seino Holdings Co Ltd Industrials 4 983 295 0,02% 0,02% Sekisui Chemical Co Ltd Consumer Goods 15 179 952 0,02% 0,02% Sekisui House Ltd Consumer Goods 27 669 791 0,02% 0,02% Sekisui House Reit Inc Financials 3 420 799 0,01% 0,01% Seven & i Holdings Co Ltd Consumer Services 64 736 698 0,02% 0,02% Seven Bank Ltd Financials 3 266 966 0,02% 0,02% SG Holdings Co Ltd Industrials 27 050 608 0,02% 0,02% Sharp Corp/Japan Industrials 4 461 684 0,01% 0,01% Shiga Bank Ltd/The Financials 1 189 683 0,01% 0,01% Shimadzu Corp Industrials 25 494 756 0,03% 0,03% Shimamura Co Ltd Consumer Services 3 438 462 0,01% 0,01% Shimano Inc Consumer Goods 40 613 755 0,02% 0,02% Shimizu Corp Industrials 8 931 021 0,02% 0,02% Shin-Etsu Chemical Co Ltd Basic Materials 171 154 759 0,03% 0,03% Shinsei Bank Ltd Financials 5 489 340 0,02% 0,02% Shionogi & Co Ltd Health Care 36 684 137 0,03% 0,03% Ship Healthcare Holdings Inc Health Care 5 474 108 0,02% 0,02% Shiseido Co Ltd Consumer Goods 65 289 638 0,03% 0,03% Shizuoka Bank Ltd/The Financials 7 957 237 0,02% 0,02% SHO-BOND Holdings Co Ltd Industrials 5 567 322 0,02% 0,02% Shochiku Co Ltd Consumer Services 3 986 872 0,02% 0,02% Showa Denko KK Basic Materials 5 807 425 0,02% 0,02% SKY Perfect JSAT Holdings Inc Consumer Services 935 230 0,01% 0,01% Skylark Holdings Co Ltd Consumer Services 7 151 583 0,03% 0,03% SMC Corp Industrials 83 515 118 0,02% 0,02% SMS Co Ltd Industrials 6 353 172 0,02% 0,02% SoftBank Corp Telecommunications 90 670 742 0,02% 0,02% SoftBank Group Corp Telecommunications 277 827 803 0,02% 0,02% Sohgo Security Services Co Ltd Industrials 7 986 013 0,02% 0,02% Sojitz Corp Industrials 7 305 475 0,03% 0,03% Sompo Holdings Inc Financials 32 613 778 0,03% 0,03% Sony Corp Consumer Goods 303 892 596 0,03% 0,03% Sotetsu Holdings Inc Consumer Services 4 523 886 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 15 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Square Enix Holdings Co Ltd Consumer Goods 11 464 520 0,02% 0,02% Stanley Electric Co Ltd Consumer Goods 11 276 268 0,02% 0,02% Subaru Corp Consumer Goods 27 995 479 0,02% 0,02% Sugi Holdings Co Ltd Consumer Services 6 122 608 0,02% 0,02% SUMCO Corp Technology 12 668 655 0,02% 0,02% Sumitomo Bakelite Co Ltd Basic Materials 2 686 954 0,02% 0,02% Sumitomo Chemical Co Ltd Basic Materials 13 964 018 0,02% 0,02% Sumitomo Corp Industrials 35 358 259 0,02% 0,02% Sumitomo Dainippon Pharma Co Ltd Health Care 9 352 894 0,02% 0,02% Sumitomo Electric Industries Ltd Consumer Goods 24 268 077 0,03% 0,03% Sumitomo Forestry Co Ltd Consumer Goods 6 846 092 0,02% 0,02% Sumitomo Heavy Industries Ltd Industrials 6 972 972 0,03% 0,03% Sumitomo Metal Mining Co Ltd Basic Materials 25 589 965 0,02% 0,02% Sumitomo Mitsui Financial Group Inc Financials 101 398 232 0,03% 0,03% Sumitomo Mitsui Trust Holdings Inc Financials 27 115 687 0,03% 0,03% Sumitomo Osaka Cement Co Ltd Industrials 2 935 096 0,03% 0,03% Sumitomo Realty & Development Co Ltd Financials 28 719 152 0,02% 0,02% Sumitomo Rubber Industries Ltd Consumer Goods 3 111 481 0,02% 0,02% Sundrug Co Ltd Consumer Services 5 705 812 0,01% 0,01% Suntory Beverage & Food Ltd Consumer Goods 11 128 960 0,01% 0,01% Sushiro Global Holdings Ltd Consumer Services 8 582 268 0,02% 0,02% Suzuken Co Ltd/Aichi Japan Health Care 6 546 518 0,02% 0,02% Suzuki Motor Corp Consumer Goods 52 537 983 0,03% 0,03% Sysmex Corp Health Care 54 347 371 0,03% 0,03% T&D Holdings Inc Financials 15 719 911 0,02% 0,02% Tadano Ltd Industrials 161 093 0,00% 0,00% Taiheiyo Cement Corp Industrials 7 769 345 0,03% 0,03% Taisei Corp Industrials 16 131 450 0,02% 0,02% Taisho Pharmaceutical Holdings Co Ltd Health Care 7 024 010 0,01% 0,01% Taiyo Yuden Co Ltd Industrials 14 096 120 0,03% 0,03% Takara Bio Inc Health Care 2 089 561 0,01% 0,01% Takara Holdings Inc Consumer Goods 5 309 462 0,02% 0,02% Takashimaya Co Ltd Consumer Services 7 388 192 0,06% 0,06% Takeda Pharmaceutical Co Ltd Health Care 142 284 180 0,03% 0,03% TBS Holdings Inc Consumer Services 811 442 0,00% 0,00% TDK Corp Industrials 44 113 778 0,03% 0,03% TechnoPro Holdings Inc Technology 5 431 230 0,02% 0,02% Teijin Ltd Basic Materials 8 484 396 0,03% 0,03% Terumo Corp Health Care 66 388 992 0,02% 0,02% THK Co Ltd Industrials 7 299 799 0,02% 0,02% TIS Inc Technology 11 833 480 0,03% 0,03% Tobu Railway Co Ltd Consumer Services 13 834 536 0,03% 0,03% Toda Corp Industrials 3 696 733 0,02% 0,02% Toho Co Ltd/Tokyo Consumer Services 11 672 429 0,02% 0,02% Toho Gas Co Ltd Utilities 12 857 309 0,02% 0,02% Tohoku Electric Power Co Inc Utilities 9 151 543 0,03% 0,03% Tokai Carbon Co Ltd Basic Materials 4 678 241 0,02% 0,02% Tokai Rika Co Ltd Consumer Goods 2 040 415 0,01% 0,01% Tokio Marine Holdings Inc Financials 81 083 276 0,03% 0,03% Tokuyama Corp Basic Materials 3 731 846 0,03% 0,03% Tokyo Century Corp Financials 12 888 740 0,02% 0,02% Tokyo Electric Power Co Holdings Inc Utilities 11 283 032 0,03% 0,03% Tokyo Electron Ltd Technology 138 501 425 0,03% 0,03% Tokyo Gas Co Ltd Utilities 21 042 550 0,02% 0,02% Tokyo Ohka Kogyo Co Ltd Technology 7 121 590 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 16 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Tokyo Tatemono Co Ltd Financials 5 901 452 0,02% 0,02% Tokyu Corp Consumer Services 14 830 325 0,02% 0,02% Tokyu Fudosan Holdings Corp Financials 9 402 451 0,03% 0,03% Topcon Corp Industrials 308 307 0,00% 0,00% Toppan Printing Co Ltd Industrials 9 991 933 0,02% 0,02% Toray Industries Inc Basic Materials 24 286 425 0,03% 0,03% Toshiba Corp Industrials 30 442 715 0,03% 0,03% Toshiba TEC Corp Industrials 2 069 689 0,01% 0,01% Tosoh Corp Basic Materials 9 241 084 0,02% 0,02% TOTO Ltd Industrials 18 220 677 0,02% 0,02% Toyo Seikan Group Holdings Ltd Industrials 3 999 544 0,02% 0,02% Toyo Suisan Kaisha Ltd Consumer Goods 11 165 194 0,02% 0,02% Toyo Tire Corp Consumer Goods 3 861 945 0,02% 0,02% Toyobo Co Ltd Consumer Goods 3 226 554 0,03% 0,03% Toyoda Gosei Co Ltd Consumer Goods 5 116 442 0,02% 0,02% Toyota Boshoku Corp Consumer Goods 2 414 170 0,01% 0,01% Toyota Industries Corp Consumer Goods 31 147 389 0,01% 0,01% Toyota Motor Corp Consumer Goods 464 789 523 0,02% 0,02% Toyota Tsusho Corp Industrials 21 866 741 0,02% 0,02% Trend Micro Inc/Japan Technology 15 912 298 0,02% 0,02% TS Tech Co Ltd Consumer Goods 5 052 749 0,03% 0,03% Tsumura & Co Health Care 4 804 538 0,02% 0,02% Tsuruha Holdings Inc Consumer Services 11 892 686 0,02% 0,02% TV Asahi Holdings Corp Consumer Services 1 052 366 0,01% 0,01% Ube Industries Ltd Basic Materials 4 462 120 0,03% 0,03% Ulvac Inc Industrials 4 796 293 0,03% 0,03% Unicharm Corp Consumer Goods 44 489 159 0,02% 0,02% United Urban Investment Corp Financials 5 185 023 0,02% 0,02% Ushio Inc Industrials 3 477 701 0,02% 0,02% USS Co Ltd Consumer Services 10 228 653 0,02% 0,02% Wacoal Holdings Corp Consumer Goods 3 360 035 0,03% 0,03% Welcia Holdings Co Ltd Consumer Services 8 863 939 0,01% 0,01% West Japan Railway Co Consumer Services 23 459 306 0,03% 0,03% Yakult Honsha Co Ltd Consumer Goods 13 284 413 0,02% 0,02% Yamada Holdings Co Ltd Consumer Services 9 938 369 0,02% 0,02% Yamaguchi Financial Group Inc Financials 2 518 540 0,02% 0,02% Yamaha Corp Consumer Goods 21 188 095 0,02% 0,02% Yamaha Motor Co Ltd Consumer Goods 13 764 319 0,02% 0,02% Yamato Holdings Co Ltd Industrials 23 107 950 0,03% 0,03% Yamato Kogyo Co Ltd Basic Materials 3 472 710 0,02% 0,02% Yamazaki Baking Co Ltd Consumer Goods 3 188 205 0,01% 0,01% Yaoko Co Ltd Consumer Services 3 597 209 0,02% 0,02% Yaskawa Electric Corp Industrials 31 056 736 0,03% 0,03% Yokogawa Electric Corp Industrials 12 243 683 0,03% 0,03% Yokohama Rubber Co Ltd/The Consumer Goods 3 780 238 0,02% 0,02% Z Holdings Corp Technology 43 094 092 0,02% 0,02% Zenkoku Hosho Co Ltd Financials 6 189 853 0,02% 0,02% Zensho Holdings Co Ltd Consumer Services 6 095 115 0,02% 0,02% Zeon Corp Basic Materials 7 874 211 0,03% 0,03% ZOZO Inc Consumer Services 5 519 889 0,01% 0,01% Netherlands Aalberts NV Industrials 11 594 216 0,03% 0,03% Adyen NV Industrials 151 930 587 0,03% 0,03% Aegon NV Financials 19 011 245 0,02% 0,02% Akzo Nobel NV Basic Materials 52 137 138 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 17 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Altice Europe NV Telecommunications 5 157 453 0,00% 0,01% ArcelorMittal SA Basic Materials 37 879 454 0,02% 0,02% ASM International NV Technology 25 376 027 0,03% 0,03% ASML Holding NV Technology 474 545 248 0,03% 0,03% ASR Nederland NV Financials 14 677 049 0,03% 0,03% Galapagos NV Health Care 11 771 448 0,02% 0,02% GrandVision NV Health Care 3 533 157 0,01% 0,01% Heineken Holding NV Consumer Goods 55 865 302 0,02% 0,02% Heineken NV Consumer Goods 31 691 167 0,01% 0,01% IMCD NV Basic Materials 18 899 143 0,03% 0,03% ING Groep NV Financials 92 733 633 0,03% 0,03% JDE Peet's NV Consumer Goods 8 131 155 0,00% 0,00% Koninklijke Ahold Delhaize NV Consumer Services 76 372 063 0,03% 0,03% Koninklijke DSM NV Basic Materials 72 305 342 0,03% 0,03% Koninklijke KPN NV Telecommunications 24 568 601 0,02% 0,02% Koninklijke Philips NV Health Care 119 296 363 0,03% 0,03% Koninklijke Vopak NV Industrials 6 426 214 0,01% 0,01% NN Group NV Financials 38 523 878 0,03% 0,03% Prosus NV Technology 114 849 047 0,01% 0,01% Randstad NV Industrials 18 079 174 0,02% 0,02% Signify NV Consumer Goods 13 134 973 0,03% 0,03% Unibail-Rodamco-Westfield Financials 26 068 381 0,03% 0,03% Wolters Kluwer NV Consumer Services 53 170 035 0,03% 0,03% Portugal Banco Comercial Portugues SA Financials 366 126 0,00% 0,00% EDP - Energias de Portugal SA Utilities 44 855 491 0,02% 0,02% EDP Renovaveis SA Utilities 10 451 221 0,01% 0,01% Galp Energia SGPS SA Oil & Gas 13 049 953 0,02% 0,02% Jeronimo Martins SGPS SA Consumer Services 8 610 376 0,01% 0,01% Spain Acciona SA Industrials 8 034 577 0,01% 0,01% ACS Actividades de Construccion y Servicios SA Industrials 14 682 469 0,02% 0,02% Aena SME SA Industrials 28 667 472 0,01% 0,01% Amadeus IT Group SA Technology 77 710 356 0,03% 0,03% Banco Bilbao Vizcaya Argentaria SA Financials 80 245 960 0,03% 0,03% Banco de Sabadell SA Financials 0 0,00% 0,00% Banco Santander SA Financials 130 211 857 0,03% 0,03% Bankia SA Financials 5 461 548 0,01% 0,01% Bankinter SA Financials 9 168 710 0,02% 0,02% CaixaBank SA Financials 21 516 292 0,02% 0,02% Cellnex Telecom SA Telecommunications 50 630 543 0,02% 0,02% Corp Financiera Alba SA Financials 2 287 470 0,01% 0,01% Enagas SA Oil & Gas 13 357 935 0,03% 0,03% Endesa SA Utilities 19 665 720 0,01% 0,01% Ferrovial SA Industrials 32 784 931 0,02% 0,02% Grifols SA Health Care 24 018 616 0,00% 0,02% Iberdrola SA Utilities 207 652 297 0,03% 0,03% Industria de Diseno Textil SA Consumer Services 80 784 507 0,01% 0,01% Inmobiliaria Colonial Socimi SA Financials 7 804 021 0,02% 0,02% Mapfre SA Financials 5 961 506 0,01% 0,01% Mediaset Espana Comunicacion SA Consumer Services 2 316 179 0,02% 0,02% Merlin Properties Socimi SA Financials 9 384 505 0,02% 0,02% Naturgy Energy Group SA Utilities 14 919 078 0,01% 0,01% Pescanova SA Consumer Goods 44 633 0,04% 0,04% Red Electrica Corp SA Utilities 20 394 162 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 18 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Repsol SA Oil & Gas 33 836 261 0,03% 0,03% Siemens Gamesa Renewable Energy SA Oil & Gas 22 967 645 0,01% 0,01% Telefonica SA Telecommunications 48 453 094 0,03% 0,03% Zardoya Otis SA Industrials 3 802 910 0,01% 0,01% Sweden Alfa Laval AB Industrials 19 192 733 0,02% 0,02% Assa Abloy AB Industrials 55 141 415 0,02% 0,02% Atlas Copco AB Industrials 115 273 506 0,01% 0,02% Boliden AB Basic Materials 21 815 703 0,03% 0,03% Castellum AB Financials 17 921 771 0,03% 0,03% Electrolux AB Consumer Goods 14 326 043 0,02% 0,02% Electrolux Professional AB Industrials 768 632 0,00% 0,01% Elekta AB Health Care 12 563 335 0,02% 0,03% Epiroc AB Industrials 41 527 170 0,01% 0,02% EQT AB Financials 9 101 764 0,00% 0,00% Essity AB Consumer Goods 42 948 539 0,01% 0,02% Evolution Gaming Group AB Consumer Services 39 015 411 0,02% 0,02% Fastighets AB Balder Financials 11 035 146 0,01% 0,01% Hennes & Mauritz AB Consumer Services 43 605 215 0,01% 0,01% Hexagon AB Technology 55 438 164 0,01% 0,02% Holmen AB Basic Materials 11 659 561 0,00% 0,02% Hufvudstaden AB Financials 830 809 0,00% 0,00% Husqvarna AB Consumer Goods 8 730 800 0,04% 0,01% ICA Gruppen AB Consumer Services 7 065 295 0,01% 0,01% Industrivarden AB Financials 54 285 820 0,06% 0,04% International Corp/Sweden Oil & Gas 509 119 0,02% 0,02% Investment AB Latour Financials 7 749 481 0,00% 0,01% Investor AB Financials 123 207 368 0,01% 0,03% Kinnevik AB Financials 31 765 759 0,01% 0,03% L E Lundbergforetagen AB Financials 9 473 532 0,00% 0,01% Lifco AB Industrials 9 529 450 0,01% 0,01% Lundin Energy AB Oil & Gas 13 806 966 0,02% 0,02% Modern Times Group MTG AB Consumer Services 11 319 0,00% 0,00% Nibe Industrier AB Industrials 25 170 164 0,01% 0,02% Saab AB Industrials 6 262 707 0,02% 0,02% Sandvik AB Industrials 58 167 859 0,02% 0,02% Securitas AB Industrials 12 759 309 0,02% 0,03% Sinch AB Technology 16 646 768 0,02% 0,02% Skandinaviska Enskilda Banken AB Financials 34 331 955 0,02% 0,02% Skanska AB Industrials 22 093 684 0,02% 0,02% SKF AB Industrials 22 448 054 0,02% 0,02% Svenska Cellulosa AB SCA Basic Materials 26 523 389 0,02% 0,03% Svenska Handelsbanken AB Financials 33 708 020 0,02% 0,02% Sweco AB Industrials 10 957 361 0,01% 0,02% Swedbank AB Financials 41 189 803 0,02% 0,02% Swedish Orphan Biovitrum AB Health Care 5 385 312 0,01% 0,01% Tele2 AB Telecommunications 16 447 069 0,02% 0,02% Telefonaktiebolaget LM Ericsson Technology 86 474 257 0,01% 0,03% Telia Co AB Telecommunications 26 074 194 0,02% 0,02% Trelleborg AB Industrials 10 198 935 0,01% 0,02% Volvo AB Industrials 88 658 496 0,02% 0,02% Switzerland ABB Ltd Industrials 119 648 893 0,02% 0,02% Adecco Group AG Industrials 22 949 631 0,02% 0,02% Alcon Inc Health Care 74 610 579 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 19 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Aryzta AG Consumer Goods 487 218 0,01% 0,01% Baloise Holding AG Financials 21 139 506 0,03% 0,03% Banque Cantonale Vaudoise Financials 7 466 765 0,01% 0,01% Barry Callebaut AG Consumer Goods 18 891 677 0,02% 0,02% Chocoladefabriken Lindt & Spruengli AG Consumer Goods 50 152 230 0,03% 0,02% Cie Financiere Richemont SA Consumer Goods 110 037 633 0,01% 0,01% Clariant AG Basic Materials 12 315 380 0,02% 0,02% Credit Suisse Group AG Financials 72 741 180 0,03% 0,03% DKSH Holding AG Industrials 6 564 002 0,02% 0,02% Dufry AG Consumer Services 72 134 0,00% 0,00% EMS-Chemie Holding AG Basic Materials 15 681 597 0,01% 0,01% Flughafen Zurich AG Industrials 10 074 367 0,02% 0,02% Geberit AG Industrials 54 130 788 0,03% 0,03% Georg Fischer AG Industrials 11 781 868 0,03% 0,03% Givaudan SA Basic Materials 94 765 906 0,03% 0,03% Helvetia Holding AG Financials 3 828 579 0,01% 0,01% Julius Baer Group Ltd Financials 30 411 790 0,03% 0,03% Kuehne + Nagel International AG Industrials 26 933 686 0,01% 0,01% LafargeHolcim Ltd Industrials 47 861 009 0,02% 0,02% Logitech International SA Technology 35 320 338 0,02% 0,02% Lonza Group AG Health Care 116 474 302 0,03% 0,03% Nestle SA Consumer Goods 802 614 325 0,03% 0,03% Novartis AG Health Care 499 175 983 0,02% 0,02% OC Oerlikon Corp AG Industrials 6 732 193 0,02% 0,02% Partners Group Holding AG Financials 64 349 210 0,02% 0,02% PSP Swiss Property AG Financials 17 158 036 0,03% 0,03% Roche Holding AG Health Care 620 598 921 0,02% 0,02% Schindler Holding AG Industrials 40 466 062 0,01% 0,02% SGS SA Industrials 16 396 288 0,01% 0,01% SIG Combibloc Group AG Industrials 19 880 548 0,03% 0,03% Sika AG Industrials 92 324 697 0,03% 0,03% Sonova Holding AG Health Care 35 366 051 0,02% 0,02% Straumann Holding AG Health Care 27 425 630 0,02% 0,02% Sulzer AG Industrials 4 585 489 0,01% 0,01% Swatch Group AG/The Consumer Goods 23 352 924 0,02% 0,02% Swiss Life Holding AG Financials 36 330 083 0,03% 0,03% Swiss Prime Site AG Financials 17 144 038 0,03% 0,03% Swiss Re AG Financials 64 204 025 0,03% 0,03% Swisscom AG Telecommunications 33 554 505 0,01% 0,01% Temenos AG Technology 18 563 969 0,02% 0,02% UBS Group AG Financials 116 349 957 0,02% 0,02% VAT Group AG Industrials 13 362 421 0,02% 0,02% Vifor Pharma AG Health Care 20 114 555 0,02% 0,02% Zurich Insurance Group AG Financials 153 160 023 0,03% 0,03% United Kingdom 3i Group PLC Financials 35 611 196 0,03% 0,03% Admiral Group PLC Financials 20 128 459 0,02% 0,02% Aggreko PLC Industrials 202 285 0,00% 0,00% Antofagasta PLC Basic Materials 14 533 867 0,01% 0,01% Ashmore Group PLC Financials 7 738 248 0,02% 0,02% Ashtead Group PLC Industrials 50 038 973 0,03% 0,03% Associated British Foods PLC Consumer Goods 23 794 849 0,01% 0,01% AstraZeneca PLC Health Care 325 693 761 0,03% 0,03% Auto Trader Group PLC Consumer Services 19 511 417 0,03% 0,03% Avast PLC Technology 11 634 594 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 20 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

AVEVA Group PLC Technology 9 204 345 0,01% 0,01% Aviva PLC Financials 43 852 304 0,03% 0,03% B&M European Value Retail SA Consumer Services 16 099 095 0,03% 0,03% Barclays PLC Financials 85 214 374 0,03% 0,03% Barratt Developments PLC Consumer Goods 24 313 798 0,03% 0,03% Bellway PLC Consumer Goods 12 230 848 0,03% 0,03% Berkeley Group Holdings PLC Consumer Goods 14 634 034 0,02% 0,02% BHP Group PLC Basic Materials 366 341 799 0,08% 0,08% BP PLC Oil & Gas 170 737 492 0,03% 0,03% British Land Co PLC/The Financials 18 518 642 0,03% 0,03% BT Group PLC Telecommunications 37 909 952 0,02% 0,02% Bunzl PLC Industrials 29 480 926 0,03% 0,03% Burberry Group PLC Consumer Goods 24 107 240 0,03% 0,03% Carnival PLC Consumer Services 22 149 705 0,09% 0,09% Centrica PLC Utilities 9 876 980 0,03% 0,03% Coca-Cola HBC AG Consumer Goods 12 007 750 0,01% 0,01% Compass Group PLC Consumer Services 81 766 143 0,03% 0,03% ConvaTec Group PLC Health Care 8 253 788 0,02% 0,02% CRH PLC Industrials 80 306 159 0,03% 0,03% Croda International PLC Basic Materials 28 685 230 0,03% 0,03% Daily Mail & General Trust PLC Consumer Services 163 576 0,00% 0,00% DCC PLC Industrials 17 439 451 0,03% 0,03% Diageo PLC Consumer Goods 224 882 262 0,03% 0,03% Direct Line Insurance Group PLC Financials 12 164 185 0,02% 0,02% DS Smith PLC Industrials 16 325 986 0,03% 0,03% easyJet PLC Consumer Services 6 962 980 0,02% 0,02% Entain PLC Consumer Services 23 170 101 0,03% 0,03% Euromoney Institutional Investor PLC Industrials 86 955 0,00% 0,00% Evraz PLC Basic Materials 10 530 916 0,01% 0,01% Experian PLC Industrials 84 642 248 0,03% 0,03% Ferguson PLC Industrials 65 969 765 0,03% 0,03% Flutter Entertainment PLC Consumer Services 63 067 795 0,04% 0,04% Fresnillo PLC Basic Materials 8 543 302 0,01% 0,01% GlaxoSmithKline PLC Health Care 225 604 831 0,03% 0,03% Halma PLC Industrials 30 349 005 0,03% 0,03% Hargreaves Lansdown PLC Financials 17 683 672 0,02% 0,02% Hikma Pharmaceuticals PLC Health Care 12 811 229 0,02% 0,02% Hiscox Ltd Financials 11 870 972 0,03% 0,03% HomeServe PLC Consumer Services 9 625 755 0,02% 0,02% Howden Joinery Group PLC Consumer Services 14 710 449 0,03% 0,03% HSBC Holdings PLC Financials 263 895 310 0,03% 0,03% IMI PLC Industrials 12 439 101 0,03% 0,03% Informa PLC Consumer Services 29 641 163 0,03% 0,03% InterContinental Hotels Group PLC Consumer Services 29 566 288 0,03% 0,03% Intermediate Capital Group PLC Financials 16 840 499 0,03% 0,03% International Consolidated Airlines Group SA Consumer Services 7 209 967 0,01% 0,01% Intertek Group PLC Industrials 32 102 835 0,03% 0,03% Intu Properties PLC Financials 6 010 0,04% 0,04% Investec PLC Financials 919 699 0,01% 0,01% ITV PLC Consumer Services 13 433 434 0,03% 0,03% J Sainsbury PLC Consumer Services 12 193 826 0,02% 0,02% JD Sports Fashion PLC Consumer Services 14 554 322 0,01% 0,01% John Wood Group PLC Oil & Gas 306 484 0,00% 0,00% Johnson Matthey PLC Basic Materials 16 441 752 0,03% 0,03% Just Eat Takeaway.com NV Consumer Services 32 710 040 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 21 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

KAZ Minerals PLC Basic Materials 6 113 849 0,02% 0,02% Kingfisher PLC Consumer Services 16 207 677 0,02% 0,02% Land Securities Group PLC Financials 19 664 513 0,03% 0,03% Legal & General Group PLC Financials 51 233 159 0,03% 0,03% Lloyds Banking Group PLC Financials 86 534 319 0,03% 0,03% London Stock Exchange Group PLC Financials 96 441 865 0,03% 0,03% M&G PLC Financials 18 238 777 0,03% 0,03% Mapeley Ltd Financials 9 0,03% 0,03% Meggitt PLC Industrials 13 200 489 0,03% 0,03% Melrose Industries PLC Industrials 29 704 461 0,03% 0,03% Mondi PLC Industrials 25 393 434 0,03% 0,03% National Grid PLC Utilities 94 342 012 0,03% 0,03% Natwest Group PLC Financials 24 972 015 0,01% 0,01% Next PLC Consumer Services 27 483 937 0,02% 0,02% NMC Health PLC Health Care 42 228 0,01% 0,01% Ocado Group PLC Consumer Services 38 482 189 0,02% 0,02% Pearson PLC Consumer Services 18 141 770 0,03% 0,03% Pennon Group PLC Utilities 14 298 482 0,03% 0,03% Persimmon PLC Consumer Goods 30 995 012 0,03% 0,03% Phoenix Group Holdings PLC Financials 10 393 385 0,01% 0,01% Polymetal International PLC Basic Materials 20 131 953 0,02% 0,02% Prudential PLC Financials 117 870 199 0,03% 0,03% Quilter PLC Financials 9 688 882 0,03% 0,03% Reckitt Benckiser Group PLC Consumer Goods 139 686 981 0,03% 0,03% RELX PLC Consumer Services 111 396 167 0,03% 0,03% Renishaw PLC Industrials 8 646 474 0,02% 0,02% Rentokil Initial PLC Industrials 30 820 777 0,03% 0,03% Rightmove PLC Financials 16 886 837 0,03% 0,03% Rio Tinto PLC Basic Materials 251 470 756 0,03% 0,03% Rolls-Royce Holdings PLC Industrials 27 501 908 0,03% 0,03% Royal Dutch Shell PLC Oil & Gas 338 613 350 0,03% 0,03% RSA Insurance Group PLC Financials 24 188 476 0,03% 0,03% Sage Group PLC/The Technology 19 039 268 0,03% 0,03% Schroders PLC Financials 13 544 842 0,00% 0,02% Segro PLC Financials 42 560 940 0,03% 0,03% Severn Trent PLC Utilities 19 016 545 0,03% 0,03% Smith & Nephew PLC Health Care 46 371 333 0,03% 0,03% Smiths Group PLC Industrials 20 788 183 0,03% 0,03% Smurfit Kappa Group PLC Industrials 28 815 208 0,03% 0,03% Spirax-Sarco Engineering PLC Industrials 28 564 463 0,03% 0,03% SSE PLC Utilities 52 292 272 0,03% 0,03% St James's Place PLC Financials 18 366 008 0,03% 0,03% Standard Chartered PLC Financials 39 490 342 0,02% 0,02% Standard Life Aberdeen PLC Financials 18 105 887 0,03% 0,03% Tate & Lyle PLC Consumer Goods 12 607 035 0,03% 0,03% Taylor Wimpey PLC Consumer Goods 20 037 626 0,03% 0,03% Tesco PLC Consumer Services 74 325 338 0,03% 0,03% Travis Perkins PLC Industrials 11 859 354 0,03% 0,03% TUI AG Consumer Services 7 933 340 0,03% 0,03% Unilever PLC Consumer Goods 381 751 399 0,03% 0,03% United Utilities Group PLC Utilities 21 477 241 0,03% 0,03% Virgin Money UK PLC Financials 56 038 0,00% 0,00% Vodafone Group PLC Telecommunications 109 178 502 0,03% 0,03% Weir Group PLC/The Industrials 18 193 904 0,03% 0,03% Whitbread PLC Consumer Services 21 072 748 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 22 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Wm Morrison Supermarkets PLC Consumer Services 13 846 403 0,03% 0,03% WPP PLC Consumer Services 29 349 466 0,03% 0,03% United States 3M Co Industrials 228 406 918 0,03% 0,03% Abbott Health Care 464 282 321 0,03% 0,03% AbbVie Inc Health Care 464 336 638 0,03% 0,03% ABIOMED Inc Health Care 35 424 554 0,03% 0,03% Accenture PLC Industrials 409 577 617 0,03% 0,03% Activision Blizzard Inc Consumer Goods 175 488 801 0,03% 0,03% Adobe Inc Technology 592 552 062 0,03% 0,03% Advance Auto Parts Inc Consumer Services 25 790 486 0,03% 0,03% Advanced Micro Devices Inc Technology 266 083 941 0,03% 0,03% Aflac Inc Financials 75 893 741 0,03% 0,03% Agilent Technologies Inc Industrials 90 144 893 0,03% 0,03% AGNC Investment Corp Financials 21 172 016 0,03% 0,03% Air Products and Chemicals Inc Basic Materials 148 276 278 0,03% 0,03% Airbnb Inc Consumer Services 6 359 885 0,00% 0,00% Akamai Technologies Inc Technology 42 144 024 0,03% 0,03% Alaska Air Group Inc Consumer Services 20 925 0,00% 0,00% Albemarle Corp Basic Materials 43 967 077 0,03% 0,03% Alexandria Real Estate Equities Inc Financials 58 277 581 0,03% 0,03% Alexion Pharmaceuticals Inc Health Care 81 750 689 0,03% 0,03% Align Technology Inc Health Care 103 484 925 0,03% 0,03% Alleghany Corp Financials 20 494 149 0,03% 0,03% Allegion plc Industrials 26 394 694 0,03% 0,03% Alliance Data Systems Corp Industrials 169 398 0,00% 0,00% Allstate Corp/The Financials 79 275 729 0,03% 0,03% Ally Financial Inc Financials 32 821 807 0,03% 0,03% Alnylam Pharmaceuticals Inc Health Care 36 643 279 0,03% 0,03% Alphabet Inc Technology 2 550 662 587 0,02% 0,03% Altice USA Inc Consumer Services 27 312 124 0,00% 0,01% Amazon.com Inc Consumer Services 3 398 203 741 0,02% 0,02% Amdocs Ltd Technology 23 876 573 0,03% 0,03% American Airlines Group Inc Consumer Services 6 950 394 0,01% 0,01% American Express Co Financials 194 995 055 0,02% 0,02% American International Group Inc Financials 80 378 225 0,03% 0,03% American Tower Corp Financials 243 395 989 0,03% 0,03% American Water Works Co Inc Utilities 66 799 940 0,03% 0,03% Ameriprise Financial Inc Financials 56 289 496 0,03% 0,03% AmerisourceBergen Corp Consumer Services 35 118 687 0,02% 0,02% AMETEK Inc Industrials 65 524 278 0,03% 0,03% Amgen Inc Health Care 329 303 282 0,03% 0,03% Amphenol Corp Industrials 88 581 926 0,03% 0,03% Analog Devices Inc Technology 124 110 286 0,03% 0,03% Annaly Capital Management Inc Financials 28 970 719 0,03% 0,03% Inc Technology 76 646 808 0,03% 0,03% Anthem Inc Health Care 196 504 210 0,03% 0,03% Aon PLC Financials 119 256 054 0,03% 0,03% Apple Inc Technology 5 264 617 426 0,03% 0,03% Applied Materials Inc Technology 194 708 778 0,03% 0,03% Aptiv PLC Consumer Goods 86 100 450 0,03% 0,03% Aramark Consumer Services 21 448 421 0,03% 0,03% Arch Capital Group Ltd Financials 34 898 662 0,03% 0,03% Archer-Daniels-Midland Co Consumer Goods 68 686 078 0,03% 0,03% Arista Networks Inc Technology 42 007 273 0,02% 0,02%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 23 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Arrow Electronics Inc Industrials 18 281 056 0,03% 0,03% Arthur J Gallagher & Co Financials 55 189 559 0,03% 0,03% Assurant Inc Financials 20 839 606 0,03% 0,03% AT&T Inc Telecommunications 505 129 107 0,03% 0,03% Atlassian Corp PLC Technology 73 637 642 0,00% 0,01% Atmos Energy Corp Utilities 28 438 012 0,03% 0,03% Inc Technology 165 775 748 0,03% 0,03% Autoliv Inc Consumer Goods 19 679 197 0,03% 0,03% Automatic Data Processing Inc Industrials 186 620 278 0,03% 0,03% AutoZone Inc Consumer Services 68 063 744 0,03% 0,03% AvalonBay Communities Inc Financials 55 140 165 0,03% 0,03% Avangrid Inc Utilities 7 762 966 0,01% 0,01% Avery Dennison Corp Industrials 31 626 045 0,03% 0,03% Baker Hughes Co Oil & Gas 33 658 421 0,02% 0,02% Ball Corp Industrials 75 930 052 0,03% 0,03% Bank of America Corp Financials 577 887 822 0,03% 0,03% Bank of New York Mellon Corp/The Financials 84 347 066 0,03% 0,03% Baxter International Inc Health Care 100 587 321 0,03% 0,03% Becton Dickinson and Co Health Care 170 967 646 0,03% 0,03% Bed Bath & Beyond Inc Consumer Services 1 216 0,00% 0,00% Berkshire Hathaway Inc Financials 1 093 433 723 0,02% 0,03% Best Buy Co Inc Consumer Services 56 057 844 0,03% 0,03% Biogen Inc Health Care 89 718 825 0,03% 0,03% BioMarin Pharmaceutical Inc Health Care 40 181 171 0,03% 0,03% Bio-Rad Laboratories Inc Health Care 28 089 926 0,01% 0,02% BlackRock Inc Financials 262 469 557 0,03% 0,03% Booking Holdings Inc Consumer Services 223 726 596 0,03% 0,03% BorgWarner Inc Consumer Goods 23 170 931 0,03% 0,03% Boston Properties Inc Financials 35 904 880 0,03% 0,03% Boston Scientific Corp Health Care 127 383 288 0,03% 0,03% Bristol-Myers Squibb Co Health Care 346 759 035 0,03% 0,03% Broadcom Inc Technology 421 063 310 0,03% 0,03% Broadridge Financial Solutions Inc Financials 42 225 945 0,03% 0,03% Brown & Brown Inc Financials 27 282 431 0,02% 0,02% Brown-Forman Corp Consumer Goods 35 436 704 0,00% 0,01% Bunge Ltd Consumer Goods 21 710 674 0,03% 0,03% Burlington Stores Inc Consumer Services 41 506 870 0,03% 0,03% Cadence Design Systems Inc Technology 89 330 968 0,03% 0,03% Campbell Soup Co Consumer Goods 23 363 241 0,02% 0,02% Capital One Financial Corp Financials 110 118 441 0,03% 0,03% Capri Holdings Ltd Consumer Goods 405 991 0,00% 0,00% Cardinal Health Inc Health Care 38 522 850 0,03% 0,03% CarMax Inc Consumer Services 37 778 072 0,03% 0,03% Carnival Corp Consumer Services 585 655 0,00% 0,00% Carrier Global Corp Industrials 80 555 749 0,03% 0,03% Caterpillar Inc Industrials 242 776 301 0,03% 0,03% Cboe Global Markets Inc Financials 25 006 168 0,03% 0,03% CBRE Group Inc Financials 51 398 405 0,03% 0,03% CDW Corp/DE Technology 45 974 692 0,03% 0,03% Celanese Corp Basic Materials 37 879 754 0,03% 0,03% Centene Corp Health Care 84 882 265 0,03% 0,03% CenterPoint Energy Inc Utilities 26 811 584 0,03% 0,03% CenturyLink Inc Telecommunications 26 225 347 0,03% 0,03% Cerner Corp Technology 57 661 343 0,03% 0,03% CF Industries Holdings Inc Basic Materials 20 272 103 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 24 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

CH Robinson Worldwide Inc Industrials 30 796 572 0,03% 0,03% Charles Schwab Corp/The Financials 180 479 596 0,02% 0,02% Charter Communications Inc Consumer Services 226 379 405 0,02% 0,02% Check Point Software Technologies Ltd Technology 34 045 747 0,02% 0,02% Cheniere Energy Inc Oil & Gas 33 924 843 0,03% 0,03% Chevron Corp Oil & Gas 401 827 177 0,03% 0,03% Chewy Inc Consumer Services 3 534 929 0,00% 0,00% Chipotle Mexican Grill Inc Consumer Services 93 808 115 0,03% 0,03% Chubb Ltd Financials 171 219 718 0,03% 0,03% Church & Dwight Co Inc Consumer Goods 52 895 539 0,03% 0,03% Cigna Corp Health Care 178 882 570 0,03% 0,03% Cincinnati Financial Corp Financials 32 173 959 0,03% 0,03% Cintas Corp Industrials 71 202 949 0,02% 0,02% Cisco Systems Inc Technology 468 025 109 0,03% 0,03% Citigroup Inc Financials 316 212 027 0,03% 0,03% Citizens Financial Group Inc Financials 37 467 290 0,03% 0,03% Citrix Systems Inc Technology 40 275 635 0,03% 0,03% Clorox Co/The Consumer Goods 63 116 084 0,03% 0,03% CME Group Inc Financials 159 121 752 0,03% 0,03% CMS Energy Corp Utilities 42 855 830 0,03% 0,03% CNA Financial Corp Financials 2 574 518 0,00% 0,00% Coca-Cola Co/The Consumer Goods 523 422 381 0,03% 0,03% Coca-Cola European Partners PLC Consumer Goods 24 182 491 0,01% 0,01% Cognizant Technology Solutions Corp Technology 108 669 725 0,03% 0,03% Colgate-Palmolive Co Consumer Goods 177 460 096 0,03% 0,03% Comcast Corp Consumer Services 584 869 065 0,02% 0,03% Comerica Inc Financials 18 004 017 0,03% 0,03% Commerce Bancshares Inc/MO Financials 16 940 289 0,03% 0,03% Conagra Brands Inc Consumer Goods 43 451 776 0,03% 0,03% Consolidated Edison Inc Utilities 59 556 821 0,03% 0,03% Constellation Brands Inc Consumer Goods 95 567 732 0,01% 0,03% Cooper Cos Inc/The Health Care 44 558 066 0,03% 0,03% Copart Inc Consumer Services 63 630 546 0,02% 0,02% Corning Inc Industrials 66 390 627 0,03% 0,03% Corteva Inc Consumer Goods 71 432 006 0,03% 0,03% CoStar Group Inc Financials 87 880 959 0,03% 0,03% Costco Wholesale Corp Consumer Services 409 504 823 0,03% 0,03% Coupa Software Inc Technology 56 746 242 0,03% 0,03% Credicorp Ltd Financials 32 074 923 0,02% 0,02% Crown Castle International Corp Financials 162 913 891 0,03% 0,03% CSX Corp Industrials 170 198 081 0,03% 0,03% Cummins Inc Industrials 83 221 127 0,03% 0,03% CVS Health Corp Consumer Services 219 895 851 0,03% 0,03% Danaher Corp Health Care 343 671 236 0,03% 0,03% Darden Restaurants Inc Consumer Services 39 915 802 0,03% 0,03% Datadog Inc Technology 36 890 189 0,00% 0,01% DaVita Inc Health Care 19 180 712 0,02% 0,02% Deere & Co Industrials 208 539 632 0,03% 0,03% Dell Technologies Inc Technology 45 020 368 0,00% 0,01% Delta Air Lines Inc Consumer Services 17 730 214 0,01% 0,01% DENTSPLY SIRONA Inc Health Care 28 144 953 0,03% 0,03% DexCom Inc Health Care 83 686 965 0,03% 0,03% Digital Realty Trust Inc Financials 91 769 326 0,03% 0,03% Discover Financial Services Financials 65 737 359 0,03% 0,03% Discovery Inc Consumer Services 33 537 021 0,00% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 25 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

DISH Network Corp Consumer Services 19 555 879 0,00% 0,01% DocuSign Inc Technology 97 649 913 0,03% 0,03% Dollar General Corp Consumer Services 130 277 227 0,03% 0,03% Dollar Tree Inc Consumer Services 59 761 760 0,03% 0,03% Dominion Energy Inc Utilities 156 101 592 0,03% 0,03% Domino's Pizza Inc Consumer Services 35 911 258 0,03% 0,03% DoorDash Inc Consumer Services 6 331 091 0,00% 0,00% Dover Corp Industrials 45 493 784 0,03% 0,03% Dow Inc Basic Materials 101 354 318 0,03% 0,03% DR Horton Inc Consumer Goods 51 850 578 0,02% 0,02% Duke Realty Corp Financials 40 316 390 0,03% 0,03% DuPont de Nemours Inc Industrials 169 267 337 0,04% 0,04% Eastman Chemical Co Basic Materials 34 265 566 0,03% 0,03% Eaton Corp PLC Industrials 119 149 612 0,03% 0,03% eBay Inc Consumer Services 82 091 129 0,03% 0,03% Ecolab Inc Basic Materials 132 795 699 0,03% 0,03% Edison International Utilities 55 316 927 0,03% 0,03% Edwards Lifesciences Corp Health Care 139 427 546 0,03% 0,03% Elanco Animal Health Inc Health Care 36 722 075 0,03% 0,03% Electronic Arts Inc Consumer Goods 101 780 138 0,03% 0,03% Eli Lilly and Co Health Care 349 495 400 0,03% 0,03% Emerson Electric Co Industrials 117 743 508 0,03% 0,03% Entergy Corp Utilities 46 156 282 0,03% 0,03% EPAM Systems Inc Technology 47 449 325 0,03% 0,03% Equifax Inc Industrials 55 438 532 0,03% 0,03% Equinix Inc Financials 156 208 000 0,03% 0,03% Equitable Holdings Inc Financials 25 409 941 0,03% 0,03% Equity LifeStyle Properties Inc Financials 26 867 665 0,03% 0,03% Equity Residential Financials 53 215 850 0,03% 0,03% Essex Property Trust Inc Financials 37 807 645 0,03% 0,03% Estee Lauder Cos Inc/The Consumer Goods 145 197 255 0,00% 0,02% Etsy Inc Consumer Services 51 646 016 0,03% 0,03% Everest Re Group Ltd Financials 23 520 070 0,03% 0,03% Eversource Energy Utilities 72 418 420 0,03% 0,03% Exact Sciences Corp Health Care 48 952 718 0,03% 0,03% Exelon Corp Utilities 101 154 499 0,03% 0,03% Expedia Group Inc Consumer Services 44 042 714 0,02% 0,03% Expeditors International of Washington Inc Industrials 39 055 943 0,03% 0,03% Extra Space Storage Inc Financials 35 923 836 0,03% 0,03% Exxon Mobil Corp Oil & Gas 431 707 766 0,03% 0,03% F5 Networks Inc Technology 26 361 816 0,03% 0,03% Facebook Inc Technology 1 613 596 048 0,01% 0,02% FactSet Research Systems Inc Consumer Services 30 486 904 0,03% 0,03% Fair Isaac Corp Industrials 34 929 605 0,03% 0,03% Fastenal Co Basic Materials 68 759 111 0,03% 0,03% Federal Realty Investment Trust Financials 15 635 525 0,03% 0,03% FedEx Corp Industrials 154 561 666 0,03% 0,03% Fidelity National Financial Inc Financials 26 155 756 0,03% 0,03% Fidelity National Information Services Inc Industrials 215 167 386 0,03% 0,03% Fifth Third Bancorp Financials 49 078 245 0,03% 0,03% First Republic Bank/CA Financials 62 499 059 0,03% 0,03% Fiserv Inc Industrials 156 665 457 0,02% 0,02% FleetCor Technologies Inc Industrials 52 986 509 0,03% 0,03% Flex Ltd Industrials 21 969 638 0,03% 0,03% FMC Corp Basic Materials 37 801 317 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 26 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Foot Locker Inc Consumer Services 318 196 0,00% 0,00% Ford Motor Co Consumer Goods 84 107 203 0,02% 0,03% Fortinet Inc Technology 45 513 100 0,02% 0,02% Fortive Corp Industrials 51 852 034 0,03% 0,03% Fortune Brands Home & Security Inc Consumer Goods 28 414 852 0,03% 0,03% Fox Corp Consumer Services 35 779 422 0,06% 0,02% Franklin Resources Inc Financials 17 628 421 0,02% 0,02% Garmin Ltd Consumer Goods 44 915 082 0,02% 0,02% Gartner Inc Technology 34 085 483 0,03% 0,03% General Dynamics Corp Industrials 87 547 009 0,02% 0,02% General Electric Co Industrials 230 725 836 0,03% 0,03% General Mills Inc Consumer Goods 87 825 572 0,03% 0,03% General Motors Co Consumer Goods 119 038 683 0,02% 0,02% Gentex Corp Consumer Goods 20 324 160 0,03% 0,03% Genuine Parts Co Consumer Goods 32 499 039 0,03% 0,03% Gilead Sciences Inc Health Care 180 987 071 0,03% 0,03% Global Payments Inc Industrials 157 881 947 0,03% 0,03% Globe Life Inc Financials 24 484 780 0,03% 0,03% GoDaddy Inc Technology 34 283 435 0,03% 0,03% Goldman Sachs Group Inc/The Financials 215 168 413 0,03% 0,03% Halliburton Co Oil & Gas 41 522 743 0,03% 0,03% Hanesbrands Inc Consumer Goods 338 676 0,00% 0,00% Hartford Financial Services Group Inc/The Financials 43 962 377 0,03% 0,03% Hasbro Inc Consumer Goods 30 157 320 0,03% 0,03% HCA Healthcare Inc Health Care 108 968 503 0,02% 0,02% Healthpeak Properties Inc Financials 40 081 810 0,03% 0,03% HEICO Corp Industrials 36 200 250 0,01% 0,03% Henry Schein Inc Health Care 23 432 174 0,03% 0,03% Herbalife Nutrition Ltd Consumer Goods 10 548 750 0,02% 0,02% Hershey Co/The Consumer Goods 55 554 178 0,01% 0,02% Hess Corp Oil & Gas 35 670 231 0,03% 0,03% Hewlett Packard Enterprise Co Technology 37 585 728 0,03% 0,03% Hilton Worldwide Holdings Inc Consumer Services 71 764 313 0,03% 0,03% HollyFrontier Corp Oil & Gas 368 506 0,00% 0,00% Hologic Inc Health Care 44 714 733 0,03% 0,03% Home Depot Inc/The Consumer Services 701 518 861 0,03% 0,03% Hormel Foods Corp Consumer Goods 36 608 518 0,02% 0,02% Host Hotels & Resorts Inc Financials 25 411 636 0,03% 0,03% Inc Industrials 27 710 203 0,03% 0,03% HP Inc Technology 80 291 330 0,03% 0,03% Humana Inc Health Care 133 370 617 0,03% 0,03% Huntington Bancshares Inc/OH Financials 33 038 690 0,03% 0,03% IAC/InterActiveCorp Technology 34 687 311 0,02% 0,03% IDEX Corp Industrials 37 150 078 0,03% 0,03% IDEXX Laboratories Inc Health Care 103 435 702 0,03% 0,03% IHS Markit Ltd Financials 88 531 094 0,03% 0,03% Illinois Tool Works Inc Industrials 158 014 392 0,03% 0,03% Illumina Inc Health Care 133 531 059 0,03% 0,03% Incyte Corp Health Care 39 896 058 0,02% 0,02% Ingredion Inc Consumer Goods 12 893 449 0,03% 0,03% Insulet Corp Health Care 40 952 603 0,03% 0,03% Intel Corp Technology 503 550 626 0,03% 0,03% Intercontinental Exchange Inc Financials 153 302 682 0,03% 0,03% International Business Machines Corp Technology 275 449 944 0,03% 0,03% International Flavors & Fragrances Inc Basic Materials 1 867 0,00% 0,00%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 27 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

International Paper Co Basic Materials 46 464 324 0,03% 0,03% Interpublic Group of Cos Inc/The Consumer Services 22 477 508 0,03% 0,03% Intuit Inc Technology 235 782 104 0,03% 0,03% Intuitive Surgical Inc Health Care 232 788 590 0,03% 0,03% Invitation Homes Inc Financials 41 786 186 0,03% 0,03% IPG Photonics Corp Industrials 20 438 813 0,02% 0,02% IQVIA Holdings Inc Technology 83 786 446 0,03% 0,03% Iron Mountain Inc Financials 19 590 264 0,03% 0,03% J M Smucker Co/The Consumer Goods 31 394 239 0,03% 0,03% Jack Henry & Associates Inc Industrials 30 098 208 0,03% 0,03% Jazz Pharmaceuticals PLC Health Care 22 894 440 0,03% 0,03% JB Hunt Transport Services Inc Industrials 28 218 997 0,02% 0,02% Johnson & Johnson Health Care 1 022 637 373 0,03% 0,03% Johnson Controls International plc Industrials 83 197 641 0,03% 0,03% JPMorgan Chase & Co Financials 948 048 995 0,03% 0,03% Juniper Networks Inc Technology 17 097 230 0,03% 0,03% Kansas City Southern Industrials 48 479 114 0,03% 0,03% Kellogg Co Consumer Goods 37 255 682 0,02% 0,02% Keurig Dr Pepper Inc Consumer Goods 34 909 741 0,01% 0,01% KeyCorp Financials 40 076 253 0,03% 0,03% Keysight Technologies Inc Industrials 60 755 657 0,03% 0,03% Kimberly-Clark Corp Consumer Goods 113 570 628 0,03% 0,03% Kimco Realty Corp Financials 15 559 298 0,03% 0,03% Kinder Morgan Inc Oil & Gas 65 502 008 0,02% 0,02% KKR & Co Inc Financials 53 572 823 0,03% 0,02% KLA Corp Technology 94 793 706 0,03% 0,03% Kraft Co/The Consumer Goods 56 382 975 0,02% 0,02% Kroger Co/The Consumer Services 60 794 023 0,03% 0,03% L3Harris Technologies Inc Technology 100 185 800 0,03% 0,03% Corp of America Holdings Health Care 46 839 089 0,03% 0,03% Lam Research Corp Technology 169 368 222 0,03% 0,03% Lamb Weston Holdings Inc Consumer Goods 28 244 263 0,03% 0,03% Las Vegas Sands Corp Consumer Services 48 576 249 0,01% 0,01% Lear Corp Consumer Goods 23 223 570 0,03% 0,03% Leidos Holdings Inc Technology 35 650 273 0,03% 0,03% Lennar Corp Consumer Goods 53 408 819 0,07% 0,03% Levi Strauss & Co Consumer Goods 181 376 0,00% 0,00% Liberty Broadband Corp Consumer Services 66 564 444 0,07% 0,02% Liberty Global PLC Consumer Services 33 314 059 0,05% 0,03% Liberty Media Corp-Liberty SiriusXM Consumer Services 27 071 739 0,03% 0,02% Lincoln National Corp Financials 23 818 412 0,03% 0,03% Linde PLC Basic Materials 337 103 048 0,03% 0,03% Live Nation Entertainment Inc Consumer Services 29 576 760 0,02% 0,02% LKQ Corp Consumer Goods 25 519 440 0,03% 0,03% Loews Corp Financials 25 664 248 0,02% 0,02% Lowe's Cos Inc Consumer Services 299 644 953 0,03% 0,03% Lululemon Athletica Inc Consumer Goods 96 614 559 0,02% 0,02% Lyft Inc Consumer Services 29 108 044 0,01% 0,02% LyondellBasell Industries NV Basic Materials 58 812 822 0,02% 0,02% M&T Bank Corp Financials 40 075 868 0,03% 0,03% Marathon Petroleum Corp Oil & Gas 65 835 573 0,03% 0,03% Markel Corp Financials 35 007 827 0,03% 0,03% MarketAxess Holdings Inc Financials 51 723 502 0,03% 0,03% Marriott International Inc/MD Consumer Services 87 029 653 0,02% 0,02% Marsh & McLennan Cos Inc Financials 138 988 549 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 28 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Martin Marietta Materials Inc Industrials 41 546 683 0,03% 0,03% Marvell Technology Group Ltd Technology 77 499 895 0,03% 0,03% Masco Corp Industrials 35 489 908 0,03% 0,03% Masimo Corp Health Care 32 349 222 0,03% 0,03% Mastercard Inc Financials 776 210 291 0,03% 0,03% Match Group Inc Technology 81 737 426 0,02% 0,02% Maxim Integrated Products Inc Technology 57 795 337 0,03% 0,03% McCormick & Co Inc/MD Consumer Goods 57 966 122 0,00% 0,03% McDonald's Corp Consumer Services 392 730 353 0,03% 0,03% McKesson Corp Consumer Services 69 111 846 0,03% 0,03% Medtronic PLC Health Care 379 607 350 0,03% 0,03% MercadoLibre Inc Consumer Services 188 583 738 0,03% 0,03% Merck & Co Inc Health Care 508 064 803 0,03% 0,03% MetLife Inc Financials 88 718 575 0,02% 0,02% Mettler-Toledo International Inc Industrials 66 119 419 0,03% 0,03% MGM Resorts International Consumer Services 36 564 236 0,03% 0,03% Microchip Technology Inc Technology 82 309 647 0,03% 0,03% Micron Technology Inc Technology 206 757 539 0,03% 0,03% Microsoft Corp Technology 4 097 437 127 0,03% 0,03% Mid-America Apartment Communities Inc Financials 35 477 724 0,03% 0,03% Moderna Inc Health Care 74 450 059 0,02% 0,02% Mohawk Industries Inc Consumer Goods 20 176 603 0,02% 0,02% Molson Coors Beverage Co Consumer Goods 17 289 274 0,02% 0,02% Mondelez International Inc Consumer Goods 203 164 482 0,03% 0,03% Monster Beverage Corp Consumer Goods 84 216 821 0,02% 0,02% Moody's Corp Financials 112 852 229 0,02% 0,02% Morgan Stanley Financials 226 389 440 0,02% 0,02% Mosaic Co/The Basic Materials 845 963 0,00% 0,00% Motorola Solutions Inc Technology 71 126 353 0,03% 0,03% MSCI Inc Financials 89 435 356 0,03% 0,03% Nasdaq Inc Financials 37 454 927 0,02% 0,02% National Oilwell Varco Inc Oil & Gas 120 0,00% 0,00% NetApp Inc Technology 36 055 587 0,03% 0,03% Netflix Inc Consumer Services 565 860 851 0,03% 0,03% Newell Brands Inc Consumer Goods 20 054 527 0,03% 0,03% Newmont Corp Basic Materials 123 028 363 0,03% 0,03% News Corp Consumer Services 22 517 004 0,00% 0,02% NextEra Energy Inc Utilities 371 717 102 0,03% 0,03% Nielsen Holdings PLC Consumer Services 18 245 104 0,03% 0,03% NIKE Inc Consumer Goods 426 558 207 0,02% 0,02% NiSource Inc Utilities 20 846 490 0,03% 0,03% Norfolk Southern Corp Industrials 149 730 166 0,03% 0,03% Northern Trust Corp Financials 44 067 637 0,03% 0,03% NortonLifeLock Inc Technology 28 065 216 0,03% 0,03% Nucor Corp Basic Materials 39 409 825 0,03% 0,03% NVIDIA Corp Technology 759 528 607 0,03% 0,03% NVR Inc Consumer Goods 34 337 718 0,03% 0,03% NXP Semiconductors NV Technology 108 283 144 0,03% 0,03% Okta Inc Technology 72 301 241 0,02% 0,03% Old Dominion Freight Line Inc Industrials 46 874 955 0,02% 0,02% Omnicom Group Inc Consumer Services 31 590 359 0,03% 0,03% ONEOK Inc Oil & Gas 41 398 980 0,03% 0,03% Oracle Corp Technology 302 423 271 0,02% 0,02% O'Reilly Automotive Inc Consumer Services 81 469 386 0,03% 0,03% Otis Worldwide Corp Industrials 72 145 748 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 29 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

PACCAR Inc Industrials 71 988 019 0,03% 0,03% Packaging Corp of America Industrials 31 758 216 0,03% 0,03% Palo Alto Networks Inc Technology 81 843 038 0,03% 0,03% Park Hotels & Resorts Inc Financials 227 893 0,00% 0,00% Parker-Hannifin Corp Industrials 84 585 396 0,03% 0,03% Paychex Inc Industrials 73 596 484 0,03% 0,03% Paycom Software Inc Technology 50 999 983 0,02% 0,02% PayPal Holdings Inc Industrials 676 599 520 0,03% 0,03% Pentair PLC Industrials 21 525 855 0,03% 0,03% PepsiCo Inc Consumer Goods 506 969 233 0,03% 0,03% Perrigo Co PLC Health Care 14 176 517 0,03% 0,03% Perspecta Inc Technology 3 502 0,00% 0,00% Pfizer Inc Health Care 504 178 568 0,03% 0,03% Phillips 66 Oil & Gas 75 978 633 0,03% 0,03% Pinnacle West Capital Corp Utilities 22 115 731 0,03% 0,03% PNC Financial Services Group Inc/The Financials 155 418 426 0,03% 0,03% Polaris Inc Consumer Goods 13 516 699 0,03% 0,03% PPG Industries Inc Basic Materials 84 532 244 0,03% 0,03% PPL Corp Utilities 54 287 669 0,03% 0,03% Principal Financial Group Inc Financials 33 966 223 0,03% 0,03% Procter & Gamble Co/The Consumer Goods 834 486 253 0,03% 0,03% Progressive Corp/The Financials 138 440 336 0,03% 0,03% Prologis Inc Financials 181 136 820 0,03% 0,03% Prudential Financial Inc Financials 75 508 685 0,03% 0,03% PTC Inc Technology 30 466 826 0,03% 0,03% Public Service Enterprise Group Inc Utilities 72 449 329 0,03% 0,03% Public Storage Financials 85 735 831 0,02% 0,02% PulteGroup Inc Consumer Goods 28 321 775 0,03% 0,03% Qorvo Inc Technology 47 476 903 0,03% 0,03% QUALCOMM Inc Technology 422 295 580 0,03% 0,03% Quest Diagnostics Inc Health Care 39 992 757 0,03% 0,03% Raymond James Financial Inc Financials 26 951 563 0,02% 0,02% Raytheon Technologies Corp Industrials 250 731 723 0,03% 0,03% Realty Income Corp Financials 52 590 357 0,03% 0,03% Regency Centers Corp Financials 18 752 289 0,03% 0,03% Regeneron Pharmaceuticals Inc Health Care 115 561 727 0,02% 0,03% Regions Financial Corp Financials 38 078 793 0,03% 0,03% RenaissanceRe Holdings Ltd Financials 20 378 982 0,03% 0,03% Republic Services Inc Industrials 49 876 612 0,02% 0,02% ResMed Inc Health Care 71 208 325 0,03% 0,03% RingCentral Inc Technology 71 786 231 0,01% 0,02% Robert Half International Inc Industrials 17 725 591 0,03% 0,03% Rockwell Automation Inc Industrials 72 365 995 0,03% 0,03% Rollins Inc Consumer Services 21 656 862 0,01% 0,01% Roper Technologies Inc Technology 110 463 385 0,03% 0,03% Ross Stores Inc Consumer Services 105 550 975 0,03% 0,03% Royal Caribbean Cruises Ltd Consumer Services 35 395 247 0,02% 0,02% Royalty Pharma PLC Health Care 12 770 919 0,00% 0,00% S&P Global Inc Financials 191 233 131 0,03% 0,03% salesforce.com Inc Technology 479 813 176 0,03% 0,03% Santander Consumer USA Holdings Inc Financials 4 061 592 0,01% 0,01% Sarepta Therapeutics Inc Health Care 30 990 004 0,03% 0,03% SBA Communications Corp Financials 76 728 574 0,03% 0,03% Schlumberger NV Oil & Gas 74 590 056 0,03% 0,03% Seagate Technology PLC Technology 34 379 226 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 30 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Seagen Inc Health Care 54 179 874 0,02% 0,02% SEI Investments Co Financials 16 186 649 0,02% 0,02% Sempra Energy Utilities 91 698 116 0,03% 0,03% Sensata Technologies Holding PLC Industrials 19 872 132 0,03% 0,03% ServiceNow Inc Technology 261 864 184 0,03% 0,03% Sherwin-Williams Co/The Industrials 150 045 297 0,03% 0,03% Simon Property Group Inc Financials 67 743 801 0,03% 0,03% Sirius XM Holdings Inc Consumer Services 19 167 732 0,01% 0,01% Skyworks Solutions Inc Technology 63 536 476 0,03% 0,03% SL Green Realty Corp Financials 14 538 962 0,04% 0,04% Slack Technologies Inc Technology 48 880 078 0,01% 0,02% Snap-on Inc Industrials 22 632 898 0,03% 0,03% Snowflake Inc Technology 4 818 665 0,00% 0,00% Sotera Health Co Health Care 625 176 0,00% 0,00% Southern Co/The Utilities 159 743 700 0,03% 0,03% Southern Copper Corp Basic Materials 13 119 253 0,00% 0,00% Southwest Airlines Co Consumer Services 18 895 684 0,01% 0,01% Splunk Inc Technology 66 896 579 0,03% 0,03% Spotify Technology SA Consumer Services 101 457 232 0,02% 0,02% Square Inc Industrials 197 533 998 0,01% 0,02% SS&C Technologies Holdings Inc Technology 39 921 119 0,03% 0,03% Stanley Black & Decker Inc Industrials 68 592 119 0,03% 0,03% Starbucks Corp Consumer Services 307 964 120 0,03% 0,03% State Street Corp Financials 63 008 674 0,03% 0,03% Steel Dynamics Inc Basic Materials 15 583 811 0,02% 0,02% STERIS PLC Health Care 37 480 929 0,03% 0,03% Stryker Corp Health Care 207 523 577 0,03% 0,03% Sun Communities Inc Financials 39 142 838 0,03% 0,03% SVB Financial Group Financials 49 015 100 0,03% 0,03% Synchrony Financial Financials 49 751 788 0,03% 0,03% Synopsys Inc Technology 95 378 428 0,03% 0,03% Sysco Corp Consumer Services 88 602 090 0,03% 0,03% T Rowe Price Group Inc Financials 84 240 915 0,03% 0,03% Take-Two Interactive Software Inc Consumer Goods 57 443 184 0,03% 0,03% Tapestry Inc Consumer Goods 301 501 0,00% 0,00% Target Corp Consumer Services 217 259 070 0,03% 0,03% TE Connectivity Ltd Industrials 94 337 423 0,03% 0,03% Teladoc Health Inc Health Care 51 854 491 0,02% 0,02% Teledyne Technologies Inc Industrials 33 688 662 0,03% 0,03% Teleflex Inc Health Care 44 964 219 0,03% 0,03% Teradyne Inc Technology 48 760 434 0,03% 0,03% Tesla Inc Consumer Goods 1 299 228 428 0,02% 0,02% Texas Instruments Inc Technology 371 074 947 0,03% 0,03% Thermo Inc Health Care 453 936 386 0,03% 0,03% Tiffany & Co Consumer Goods 39 354 250 0,03% 0,03% TJX Cos Inc/The Consumer Services 201 506 555 0,03% 0,03% T-Mobile US Inc Telecommunications 184 121 858 0,01% 0,01% Tractor Supply Co Consumer Services 38 437 008 0,03% 0,03% Trade Desk Inc/The Consumer Services 81 625 367 0,01% 0,03% Trane Technologies PLC Industrials 85 284 548 0,03% 0,03% TransDigm Group Inc Industrials 80 389 792 0,03% 0,03% TransUnion Industrials 46 001 328 0,03% 0,03% Travelers Cos Inc/The Financials 87 332 969 0,03% 0,03% Trimble Inc Industrials 41 948 837 0,03% 0,03% Truist Financial Corp Financials 158 946 574 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 31 FOREIGN EXCHANGE RESERVES EQUITY INVESTMENTS AT 31 DEC. 2020 Sector value Market (NOK) Voting Ownership

Twilio Inc Technology 113 279 830 0,02% 0,03% Twitter Inc Technology 102 454 254 0,03% 0,03% Tyler Technologies Inc Technology 43 395 678 0,03% 0,03% Tyson Foods Inc Consumer Goods 43 568 073 0,01% 0,02% Uber Technologies Inc Consumer Services 171 645 153 0,02% 0,02% UDR Inc Financials 29 311 493 0,03% 0,03% Ulta Beauty Inc Consumer Services 38 030 392 0,03% 0,03% Under Armour Inc Consumer Goods 425 906 0,00% 0,00% Union Pacific Corp Industrials 348 142 740 0,03% 0,03% United Airlines Holdings Inc Consumer Services 8 389 615 0,01% 0,01% United Parcel Service Inc Industrials 292 500 211 0,01% 0,02% United Rentals Inc Industrials 41 322 359 0,03% 0,03% UnitedHealth Group Inc Health Care 814 411 365 0,03% 0,03% Unity Software Inc Technology 6 856 461 0,00% 0,00% Universal Health Services Inc Health Care 25 068 747 0,00% 0,03% US Bancorp Financials 155 664 034 0,03% 0,03% Vail Resorts Inc Consumer Services 27 213 901 0,03% 0,03% Valero Energy Corp Oil & Gas 57 541 689 0,03% 0,03% Varian Medical Systems Inc Health Care 39 041 516 0,03% 0,03% Veeva Systems Inc Technology 88 855 044 0,01% 0,03% Ventas Inc Financials 43 563 604 0,03% 0,03% VEREIT Inc Financials 19 964 061 0,03% 0,03% VeriSign Inc Technology 50 800 233 0,02% 0,02% Verisk Analytics Inc Industrials 78 917 240 0,03% 0,03% Verizon Communications Inc Telecommunications 599 582 793 0,03% 0,03% Vertex Pharmaceuticals Inc Health Care 151 068 750 0,03% 0,03% VF Corp Consumer Goods 67 812 699 0,02% 0,02% ViacomCBS Inc Consumer Services 49 722 189 0,00% 0,03% Viatris Inc Health Care 52 196 139 0,03% 0,03% Virtu Financial Inc Financials 9 701 0,00% 0,00% Visa Inc Financials 903 132 509 0,03% 0,02% Vistra Corp Utilities 23 425 024 0,03% 0,03% VMware Inc Technology 27 071 867 0,00% 0,01% Vontier Corp Industrials 8 909 942 0,02% 0,02% Vornado Realty Trust Financials 15 992 832 0,03% 0,03% Voya Financial Inc Financials 18 045 954 0,03% 0,03% Vulcan Materials Co Industrials 45 835 526 0,03% 0,03% W R Berkley Corp Financials 22 775 258 0,02% 0,02% Walgreens Boots Alliance Inc Consumer Services 71 141 568 0,02% 0,02% Walmart Inc Consumer Services 494 246 073 0,01% 0,01% Walt Disney Co/The Consumer Services 791 313 331 0,03% 0,03% Waste Management Inc Industrials 122 578 887 0,03% 0,03% Waters Corp Industrials 38 453 156 0,03% 0,03% Wayfair Inc Consumer Services 36 705 105 0,01% 0,02% Wells Fargo & Co Financials 278 794 105 0,03% 0,03% Welltower Inc Financials 58 033 377 0,03% 0,03% West Pharmaceutical Services Inc Health Care 51 126 186 0,03% 0,03% Western Digital Corp Technology 40 860 125 0,03% 0,03% Western Union Co/The Industrials 22 116 990 0,03% 0,03% Westinghouse Air Brake Technologies Corp Industrials 32 577 672 0,03% 0,03% Westlake Chemical Corp Basic Materials 8 574 596 0,01% 0,01% Westrock Co Industrials 25 924 386 0,03% 0,03% Weyerhaeuser Co Financials 61 592 048 0,03% 0,03%

FOREIGN EXCHANGE RESERVES HOLDINGS 2020 32