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Canadian covered bond program — Bank of Nova Scotia

Covered bonds that are available from the Bank of Nova Scotia.

Issuer Name Bank of Nova Scotia
Program Name Global Registered Covered Bond Program
Guarantor Entity’s Name [and the name of its general partner(s) or trustees(s)] Guarantor Entity — Scotiabank Covered Bond Guarantor Limited Partnership
Managing General Partner — Scotiabank Covered Bond GP Inc.
Liquidation General Partner — 8429057 Canada Inc.
Counterparty(s) to the Covered Bond Collateral Hedge Bank of Nova Scotia
Eligible Loan Servicer(s) Bank of Nova Scotia
Cash Manager Bank of Nova Scotia
Cover Pool Monitor KPMG LLP
Custodian Computershare Trust Company of Canada
Bond Trustee Computershare Trust Company of Canada
Paying Agent The Bank of Nova Scotia, Citibank N.A., London Branch, Citibank Europe PLC , The Bank of New York Mellon and UBS AG
Portfolio Manager None
Account Bank/Guaranteed Deposit Account Provider Bank of Nova Scotia
Standby Account Bank/Standby Guaranteed Deposit Account Provider Canadian Imperial Bank of Commerce
Minimum Asset Percentage 80.0
Maximum Asset Percentage 95.0
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Bond issuance parameters

Registration Date September 28, 2015
Date of Issue September 28, 2015
Series Designation CBL10
Issue Currency EUR
Nominal Amount 188,000,000
ISIN XS1297734722
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 28, 2035
Extended Maturity Date (if Soft Bullet) September 26, 2036
Coupon Rate (%) 1.637
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) UKLA
Other Material Characteristics as Applicable N/A
Registration Date November 19, 2018
Date of Issue November 19, 2018
Series Designation CBL23
Issue Currency CHF
Nominal Amount 830,000,000
ISIN CH0441186514
Hard Bullet/Soft Bullet Soft
Maturity Date November 19, 2025
Extended Maturity Date (if Soft Bullet) November 19, 2026
Coupon Rate (%) 0.200
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) Swiss Exchange
Other Material Characteristics as Applicable N/A
Registration Date January 14, 2020
Date of Issue January 14, 2020
Series Designation CBL25
Issue Currency EUR
Nominal Amount 1,500,000,000
ISIN XS2101325111
Hard Bullet/Soft Bullet Soft
Maturity Date January 14, 2027
Extended Maturity Date (if Soft Bullet) January 14, 2028
Coupon Rate (%) 0.01
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) UKLA
Other Material Characteristics as Applicable N/A
Registration Date April 3, 2020
Date of Issue April 3, 2020
Series Designation CBL27
Issue Currency CHF
Nominal Amount 180,000,000
ISIN CH0528881193
Hard Bullet/Soft Bullet Soft
Maturity Date April 3, 2028
Extended Maturity Date (if Soft Bullet) April 3, 2029
Coupon Rate (%) 0.2975
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) Swiss Exchange
Other Material Characteristics as Applicable N/A
Registration Date June 22, 2021
Date of Issue June 22, 2021
Series Designation CBL33
Issue Currency GBP
Nominal Amount 1,300,000,000
ISIN XS2356227343
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 22, 2026
Extended Maturity Date (if Soft Bullet) June 22, 2027
Coupon Rate (%) Compounded Daily SONIA + 1.00
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date September 14, 2021
Date of Issue September 14, 2021
Series Designation CBL35
Issue Currency EUR
Nominal Amount 1,500,000,000
ISIN XS2386592138
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 14, 2029
Extended Maturity Date (if Soft Bullet) September 14, 2030
Coupon Rate (%) 0.01
Interest Payment Date(s)/Frequency Annual
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date October 15, 2021
Date of Issue October 15, 2021
Series Designation CBL36
Issue Currency EUR
Nominal Amount 275,000,000
ISIN XS2394144609
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 15, 2041
Extended Maturity Date (if Soft Bullet) October 15, 2042
Coupon Rate (%) 0.623
Interest Payment Date(s)/Frequency Annual
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date October 13, 2021
Date of Issue October 13, 2021
Series Designation CBL37
Issue Currency USD
Nominal Amount 3,500,000,000
ISIN Reg S: USC0574BAA64
Rule 144A: US06418BAA61
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 13, 2026
Extended Maturity Date (if Soft Bullet) October 13, 2027
Coupon Rate (%) 1.188
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date December 15, 2021
Date of Issue December 15, 2021
Series Designation CBL38
Issue Currency EUR
Nominal Amount 1,750,000,000
ISIN XS2421186268
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date December 15, 2027
Extended Maturity Date (if Soft Bullet) December 15, 2028
Coupon Rate (%) 0.01
Interest Payment Date(s)/Frequency Annual
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date January 26, 2022
Date of Issue January 26, 2022
Series Designation CBL39
Issue Currency GBP
Nominal Amount 1,300,000,000
ISIN XS2435611590
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date January 26, 2026
Extended Maturity Date (if Soft Bullet) January 26, 2027
Coupon Rate (%) Compounded Daily SONIA + 1.00
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date January 26, 2022
Date of Issue January 26, 2022
Series Designation CBL40
Issue Currency EUR
Nominal Amount 1,250,000,000
ISIN XS2435614693
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 26, 2030
Extended Maturity Date (if Soft Bullet) March 26, 2031
Coupon Rate (%) 0.375
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date March 9, 2022
Date of Issue March 9, 2022
Series Designation CBL41
Issue Currency USD
Nominal Amount 2,250,000,000
ISIN Reg S: USC0574BAB48
Rule 144A: US06418BAB45
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 9, 2027
Extended Maturity Date (if Soft Bullet) March 9, 2028
Coupon Rate (%) 2.170
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date March 16, 2022
Date of Issue March 16, 2022
Series Designation CBL42
Issue Currency EUR
Nominal Amount 2,200,000,000
ISIN XS2457002538
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 16, 2026
Extended Maturity Date (if Soft Bullet) March 16, 2027
Coupon Rate (%) 0.45
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date April 1, 2022
Date of Issue April 1, 2022
Series Designation CBL43
Issue Currency CHF
Nominal Amount 250,000,000
ISIN CH1167887251
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 1, 2027
Extended Maturity Date (if Soft Bullet) April 1, 2028
Coupon Rate (%) 0.278
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date March 24, 2022
Date of Issue March 24, 2022
Series Designation CBL44
Issue Currency EUR
Nominal Amount 150,000,000
ISIN XS2458335044
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 24, 2037
Extended Maturity Date (if Soft Bullet) March 24, 2038
Coupon Rate (%) 1.18
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date April 25, 2022
Date of Issue April 25, 2022
Series Designation CBL46
Issue Currency CHF
Nominal Amount 100,000,000
ISIN CH1177791873
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 25, 2029
Extended Maturity Date (if Soft Bullet) April 25, 2030
Coupon Rate (%) 0.7325
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) Swiss Exchange
Other Material Characteristics as Applicable N/A
Registration Date April 26, 2022
Date of Issue April 26, 2022
Series Designation CBL47
Issue Currency EUR
Nominal Amount 118,000,000
ISIN XS2471434675
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date April 26, 2037
Extended Maturity Date (if Soft Bullet) April 26, 2038
Coupon Rate (%) 1.806
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date June 3, 2022
Date of Issue June 3, 2022
Series Designation CBL48
Issue Currency USD
Nominal Amount 1,500,000,000
ISIN Reg S: USC0574BAC21
Rule 144A: US06418BAG32
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date June 3, 2025
Extended Maturity Date (if Soft Bullet) June 3, 2026
Coupon Rate (%) 3.186
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date October 27, 2022
Date of Issue October 27, 2022
Series Designation CBL49
Issue Currency AUD
Nominal Amount 1,000,000,000
ISIN AU3FN0072757
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date October 27, 2025
Extended Maturity Date (if Soft Bullet) October 27, 2026
Coupon Rate (%) 3m BBSW + 0.9
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date January 18, 2023
Date of Issue January 18, 2023
Series Designation CBL51
Issue Currency EUR
Nominal Amount 2,250,000,000
ISIN XS2576390459
Hard Bullet/Soft Bullet Soft
Maturity Date January 18, 2028
Extended Maturity Date (if Soft Bullet) January 18, 2029
Coupon Rate (%) 3.25
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date February 7, 2023
Date of Issue February 7, 2023
Series Designation CBL52
Issue Currency USD
Nominal Amount 3,500,000,000
ISIN USC0574BAD04
Hard Bullet/Soft Bullet Soft
Maturity Date February 7, 2028
Extended Maturity Date (if Soft Bullet) February 7, 2029
Coupon Rate (%) SOFR + 0.9
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date February 14, 2023
Date of Issue February 14, 2023
Series Designation CBL53
Issue Currency NOK
Nominal Amount 1,000,000,000
ISIN XS2587356416
Hard Bullet/Soft Bullet Soft
Maturity Date February 14, 2031
Extended Maturity Date (if Soft Bullet) February 14, 2032
Coupon Rate (%) 3.565
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date March 9, 2023
Date of Issue March 9, 2023
Series Designation CBL54
Issue Currency GBP
Nominal Amount 1,250,000,000
ISIN XS2596369657
Hard Bullet/Soft Bullet Soft
Maturity Date March 9, 2027
Extended Maturity Date (if Soft Bullet) March 9, 2028
Coupon Rate (%) SONIA + 0.62
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date May 4, 2023
Date of Issue May 4, 2023
Series Designation CBL55
Issue Currency CHF
Nominal Amount 360,000,000
ISIN CH1261608918
Hard Bullet/Soft Bullet Soft
Maturity Date May 4, 2026
Extended Maturity Date (if Soft Bullet) May 4, 2027
Coupon Rate (%) 2.0425
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) SIX Swiss Exchange
Other Material Characteristics as Applicable N/A
Registration Date May 4, 2023
Date of Issue May 4, 2023
Series Designation CBL56
Issue Currency CHF
Nominal Amount 225,000,000
ISIN CH1261608926
Hard Bullet/Soft Bullet Soft
Maturity Date May 3, 2030
Extended Maturity Date (if Soft Bullet) May 3, 2031
Coupon Rate (%) 2.1425
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) SIX Swiss Exchange
Other Material Characteristics as Applicable N/A
Registration Date May 4, 2023
Date of Issue May 4, 2023
Series Designation CBL57
Issue Currency USD
Nominal Amount 300,000,000
ISIN XS2618906072
Hard Bullet/Soft Bullet Soft
Maturity Date May 4, 2028
Extended Maturity Date (if Soft Bullet) May 4, 2029
Coupon Rate (%) SOFR + 0.78
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable N/A
Registration Date June 5, 2023
Date of Issue June 5, 2023
Series Designation CBL58
Issue Currency USD
Nominal Amount 250,000,000
ISIN XS2631873424
Hard Bullet/Soft Bullet Soft
Maturity Date January 8, 2026
Extended Maturity Date (if Soft Bullet) January 8, 2027
Coupon Rate (%) SOFR + 0.68
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) NA
Other Material Characteristics as Applicable N/A
Registration Date June 30, 2023
Date of Issue June 30, 2023
Series Designation CBL59
Issue Currency NOK
Nominal Amount 2,000,000,000
ISIN XS2644396470
Hard Bullet/Soft Bullet Soft
Maturity Date June 30, 2031
Extended Maturity Date (if Soft Bullet) June 30, 2032
Coupon Rate (%) 4.335
Interest Payment Date(s)/Frequency Annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable N/A
Registration Date July 26, 2023
Date of Issue July 26, 2023
Series Designation CBL60
Issue Currency USD
Nominal Amount 3,500,000,000
ISIN USC0574BAF51
Hard Bullet/Soft Bullet Soft
Maturity Date July 26, 2028
Extended Maturity Date (if Soft Bullet) July 26, 2029
Coupon Rate (%) SOFR + 0.83
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date September 8, 2023
Date of Issue September 8, 2023
Series Designation CBL61
Issue Currency CAD
Nominal Amount 900,000,000
ISIN CA064164AQ91
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date September 8, 2026
Extended Maturity Date (if Soft Bullet) September 8, 2027
Coupon Rate (%) Daily Compounded CORRA + 0.60
Interest Payment Date(s)/Frequency Quarterly
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date March 20, 2024
Date of Issue March 20, 2024
Series Designation CBL62
Issue Currency CAD
Nominal Amount 400,000,000
ISIN CA06418MBU77
Hard Bullet/Soft Bullet Soft Bullet
Maturity Date March 20, 2034
Extended Maturity Date (if Soft Bullet) March 20, 2035
Coupon Rate (%) 4.246
Interest Payment Date(s)/Frequency Semi-annual
Listing Authority (if applicable) N/A
Other Material Characteristics as Applicable N/A
Registration Date March 20, 2025
Date of Issue March 20, 2025
Series Designation CBL63
Issue Currency USD
Nominal Amount 1,750,000,000
ISIN USC0574BAG35
Hard Bullet/Soft Bullet Soft
Maturity Date March 20, 2028
Extended Maturity Date (if Soft Bullet) March 20, 2029
Coupon Rate (%) 4.299
Interest Payment Date(s)/Frequency Semi-annually
Listing Authority (if applicable) London Stock Exchange
Other Material Characteristics as Applicable NA

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Date Published: May 7, 2025

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