#26-55 Unit issue in ECOMB AB

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The board of ECOMB 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 July 14, 2026. The first day of trading in the Company’s shares excluding the right to receive unit rights is July 15, 2026. The record date is July 16, 2026.

 

The shareholders of the Company will receive one (1) unit rights for each share held per the record date. Two (2) unit rights are required to subscribe to one (1) unit which contains four (4) new shares and one (1) subscription option of series TO 5. The subscription price is 1,64 SEK per unit which corresponds to 0,41 SEK per share.

 

Subscription of shares will take place from and including July 20, 2026 to and including August 3, 2026. Trading in unit rights will take place on NGM from and including July 20, 2026 to and including July 29, 2026. Trading in paid subscribed units will take place on NGM from and including July 20, 2026 to and including August 20, 2026.

 

If the unit issue results in an adjustment factor for the share, orders in the instrument’s order book will be deleted after the end of the trading day on July 14, 2026.

 

Information regarding the affected instruments:

 

Listing name: ECOMB UR

Exchange symbol: ECOMB UR

ISIN-code: SE0029605641

CFI-code: RSIXXR

FISN-code: ECOMB/SUBS RTS NL TD
First day of trading: 2026-07-20

Last day of trading: 2026-07-29
Instrument-ID: NJMD

Tick size table/liquidity band: A

Number of issued instruments: 9 787 578
Market-ID: NSME

Segment-ID: NSSE

 

Listing name: ECOMB BTU

Exchange symbol: ECOMB BTU

ISIN-code: SE0029605658

CFI-code: MCMUXR

FISN-code: ECOMB/UT 4 AK + 1 TO

First day of trading: 2026-07-20

Last day of trading: 2026-08-20

Instrument-ID: NJMB

Tick size table/liquidity band: A

Number of issued instruments: 4 893 789
Market-ID: NSME

Segment-ID: NSSE

 

Listing name: ECOMB TO 5

Exchange symbol: ECOMB TO 5
ISIN-code: SE0029605625

CFI-code: RSSXXR

FISN-code: ECOMB/OPT RTS 20270930

First day of trading: 2026-08-26

Last day of trading: 2027-09-28

Instrument-ID: NJMC

Tick size table/liquidity band: A

Number of issued instruments: 4 893 789
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

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