THE INFORMATION CONTAINED HEREIN IS NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION IN OR INTO AUSTRALIA, CANADA, ITALY, DENMARK, JAPAN, THE UNITED STATES, OR TO ANY NATIONAL OF SUCH JURISDICTIONS NBPE Announces February Monthly NAV Estimate 27 March 2026 NB Private Equity Partners (NBPE), the $1.2bn0F1, FTSE 250, listed private equity investment company managed by Neuberger Berman, today announces its 28 February 2026 monthly NAV estimate. NAV Highlights (28 February 2026) NAV per share was $27.41 (£20.39), a USD total return of (0.8%) in the month Approximately 75% of valuation information based on 31 December 2025 private company valuations or quoted holdings On a constant currency basis, Q4 2025 private valuations are up 0.7%2 Additional private company valuation information expected in the coming weeks and will be incorporated into future monthly NAV updates ~333k shares repurchased (cost of ~$6.7 million) in February 2026 at a weighted average discount of 27% resulting in ~$0.06 NAV per share accretion in the month $260 million of available liquidity at 28 February 2026 As of 28 February 2026 YTD 1 Year 3 years 5 years 10 years NAV TR (USD)* Annualised 0.3% 4.4% 8.1% 2.6% 45.9% 7.8% 169.9% 10.4% MSCI World TR (USD)* Annualised 3.0% 21.8% 77.7% 21.1% 84.1% 13.0% 266.0% 13.9% Share price TR (GBP)* Annualised (9.7%) (4.4%) (2.0%) (0.7%) 50.4% 8.5% 199.1% 11.6% FTSE All-Share TR (GBP)* Annualised 9.7% 27.3% 51.6% 14.9% 88.7% 13.5% 151.0% 9.6% * All NBPE performance figures assume re-investment of dividends on the ex-dividend date and reflect cumulative returns over the relevant time periods shown.