#24-109 Correction of NGM Market Notice 24-108 Unit issue in Eurobattery Minerals AB

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Correction is regarding the ISIN for the unit right, correct ISIN is SE0023113964.

With the support of the authorization from the extraordinary general meeting on October 16, 2024, the board of Eurobattery Minerals AB (“the Company”) has decided on a unit issue with preferential rights for the Company’s existing shareholders.

The last day of trading in the Company’s shares including the right to receive unit rights is October 24, 2024. The first day of trading in the Company’s shares excluding the right to receive unit rights is October 25, 2024. The record date is October 28, 2024.

The shareholders of the Company will receive one (1) unit right for each share held per the record date. Three (3) unit rights are required to subscribe to one (1) new unit. One (1) unit consists of seven (7) shares and four (4) subscription options of series TO 6. The subscription price is 0,70 SEK per unit corresponding to 0,10 SEK per share.

Subscription of units will take place from and including October 30, 2024, to and including November 13, 2024. Trading in unit rights will take place on NGM from and including October 30, 2024, to and including November 8, 2024. Trading in paid subscribed units will take place on NGM from and including October 30, 2024 until the unit issue is registered with the Swedish Companies Registration Office.

If the unit issue results in an adjustment factor, orders in the Company’s order book will be deleted after the end of the trading day on October 24, 2024.

Information regarding the affected instruments:

Listing name: Eurobattery Minerals UR
Exchange symbol: BAT UR
ISIN-code: SE0023113964
CFI-code: RSIXXR
FISN-code: EUROBATTER/SUBS RTS NL PD
First day of trading: 2024-10-30
Last day of trading: 2024-11-08
Instrument-ID: FYA8
Tick size table/liquidity band: A
Number of issued instruments: 152 293 044
Market-ID: NSME
Segment-ID: NSSE

Listing name: Eurobattery Minerals BTU
Exchange symbol: BAT BTU
ISIN-code: SE0023113972
CFI-code: MCMUXR
FISN-code: EUROBATTER/UT 7 AK + 4 TO
First day of trading: 2024-10-30
Last day of trading: Will be announced later in a separate Market Notice
Instrument-ID: FYA9
Tick size table/liquidity band: A
Number of issued instruments: 50 764 348
Market-ID: NSME
Segment-ID: NSSE

 

For more information about this Market Notice, please contact us by e-mail, marketsurveillance@ngm.se or telephone, +46 8 566 390 55.

 

NGM Market Notice Pressroom

https://news.cision.com/ngm-market-notice