With effect from November 28, 2014, the subscription rights in CDON Group AB will be quoted on the list for Equity rights. Quotation will continue up until and including December 10, 2014.
Instrument: | Subscription rights |
Short name: | CDON TR |
Round lot: | 1 |
Clearing | Bilateral settlement at Euroclear Sweden |
ISIN code: | SE0006504395 |
Orderbook ID: | 104063 |
Market Segment / no: | OMX STO Eq.rights,Subs.Opt, Int. shares/1 |
Tick Size / no: | Other Equities / 227 |
MIC Code: | XSTO |
With effect from November 28, 2014, the paid subscription shares will be quoted on the list for Equity rights. Quotation will continue until December 30, 2014.
Instrument: | Paid subscription shares |
Short name: | CDON BTA |
Round lot: | 1 |
Clearing | Bilateral settlement at Euroclear Sweden |
ISIN code: | SE0006504387 |
Orderbook ID: | 104064 |
Market Segment / no: | OMX STO Eq.rights,Subs.Opt, Int. shares/1 |
Tick Size / no: | Other Equities / 227 |
MIC Code: | XSTO |
For further information concerning this exchange notice please contact Eva Norling or Niklas Ramstedt, telephone +46 8 405 60 00, or iss@nasdaqomx.com