Correction of 104/14: Listing of Convertible loan in Midway Holding AB on NASDAQ OMX Stockholm (107/14)


The correction refers to the convertible of series B, MIDW KV 3B

 

With effect from June 25, 2014 the Convertible loan No 3 in Midway Holding AB will be listed on the list for Convertible loans.

 

Midway Holding AB’s convertible loan has a nominal value of maximum SEK 98 031 140. The loan has an annual interest rate of 6% from June 1, 2014. Interest maturity date is June 30 annually, the first time June 30, 2015 and last time on the maturity date. The maturity date of the loan is June 30, 2019. Last trading day will be June 26, 2019.

Short name: MIDW KV 3A
ISIN code: SE0005933900
Board lot: SEK 20
Order book-ID: 101637
Convertible rate: SEK 20
Conversion period: July 1, 2014 – May 31, 2019

 

Short name: MIDW KV 3B
ISIN code: SE0005933934
Board lot: SEK 20
Order book-ID: 101638
Convertible rate: SEK 20
Conversion period: July 1, 2014 – May 31, 2019

 

MIC: XSTO

Tick size table Name/ID: Convertibles/6

Market Segment Name/ID: OMX STO Convertibles/3

For further information concerning this exchange notice please contact Andreas Jensen or Eva Norling, telephone + 46 8 405 60 00

 

NASDAQ OMX Stockholm AB