Market Notice 23/22 – Information regarding the rights issue from Rhovac AB

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Update regarding instrument information on the unit rights and paid subscribed units

The last day of trading in the company’s shares RHOVAC including the right to receive unit rights is March 9, 2022. The first day excluding the right to obtain the rights is March 10, 2022.

One (1) share entitles the owner to one (1) unit right. Sixty-one (61) unit rights entitle the owner to subscribe for one (1) new unit, at the price of SEK 80. One unit consist of two (2) convertible bonds. The price for one convertible bond is SEK 40.

The subscription period lasts from March 17, 2022 to March 31, 2022.

Information about the unit right: 

Shortname: RHOVAC UR
ISIN-code: SE0017615610
Orderbook-ID: 9HQ5
CFI: RSIXXR

FISN: RHOVAC/SUBS RTS NL PD
First day of trading: March 17, 2022
Last day of trading: March 28, 2022
Market Segment: SPSE
MIC Code: XSAT
Tick table/liquidity band #: A (Other instruments)

Information about the paid subscribed unit:  

Shortname: RHOVAC BTU
ISIN-code: SE0017615628
Orderbook-ID: 9HQ4
CFI: MCMUXR
FISN: RHOVAC/UT 2 KV
Trading period: March 17, 2022 until the registration of the issue at Bolagsverket.
Market Segment: SPSE
MIC Code:  XSAT
Tick table/liquidity band #: A (Other instruments)

Please note that orders resting in the order book will not be cancelled in conjunction with this rights issue.

Stockholm March 9, 2022

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backoffice@spotlightstockmarket.com

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