Dividend per year
The Annual General Meeting resolved on an automatic share redemption procedure, including a share split 2:1, in accordance with proposal by the Board of Directors. The procedure means a distribution to the shareholders of SEK 3 per existing share. The Annual General Meeting authorized the Board of Directors to set the record date for the share split, which is estimated to occur 28 May 2024. Payment of the redemption amount is estimated to take place by 20 June 2024, through Euroclear. ISIN code for the redemption share is SE0021921335 and the new ISIN code for the original share is SE0021921327 and will be active from 27 May 2024.
Market cap
1.48B
SEK
September 13, 2024 14:00
Share price
58.98
SEK
September 16, 2024 17:46
Days until report
Share capital development
Year, transaction
Change in share capital, SEK
Share capital in total, SEK
Quota value, SEK
Change in no- of shares
Total no. of shares
2004 20-for-1 split
-
4,574,300
5.00
869,117
914,860
2004 New share issue
225,000
6,824,300
5.00
450,000
1,364,860
2004 Non-cash issue
330,880
7,155,180
5.00
66,176
1,431,036
2006 4-for-1 split
-
7,155,180
1.25
4,293,108
5,724,144
2006 Redemption of warrants
19,750
7,174,930
1.25
15,800
5,739,944
2006 Redemption of warrants
77,375
7,252,305
1.25
61,900
5,801,844
2007 New share issue
348,190
7,600,495
1.25
278,552
6,080,396
2007 4-for-1 split
-
7,600,495
0.31
18,241,188
24,321,584
2007 Redemption of warrants
132,000
7,732,495
0.31
422,400
24,743,984
2007 Redemption of warrants
91,563
7,824,058
0.31
293,000
25,036,984
2008 Redemption of warrants
1,438
7,825,495
0.31
4,600
25,041,584
2008 Redemption of warrants
5,500
7,830,995
0.31
17,600
25,059,184
2009 Redemption of warrants
27,875
7,858,870
0.31
89,200
25,148,384
Updated 2016-09-30