The unit issue in Attana AB (“The Company”) is now registered with the Swedish Companies Registration Office and the last day of trading in paid subscribed units has been set for December 17, 2024.
The first day of trading for the Company’s warrants series 2 (TO2) and warrants series 3 (TO3) has been set for December 23, 2024.
Information regarding the affected instruments:
Listing name: Attana BTU
Exchange symbol: ATANA BTU
ISIN-code: SE0023114459
CFI-code: MCMUXR
FISN-code: ATTANA/UT 4 AK + 4 TO
Last day of trading: 2024-12-17
Instrument-ID: G141
Tick size table/liquidity band: A
Number of issued instruments: 430 612 043
Market-ID: NSME
Segment-ID: NSSE
Listing name: Attana TO2
Exchange symbol: ATANA TO2
ISIN-code: SE0023114400
CFI-code: RSSXXR
FISN-code: ATTANA/OPT RTS 20250613
First day of trading: 2024-12-23
Last day of trading: 2025-06-11
Tick size table/liquidity band: A
Number of issued instruments: 474 297 462
Instrument-ID: GEQ8
Market-ID: NSME
Segment-ID: NSSE
Listing name: Attana TO3
Exchange symbol: ATANA TO3
ISIN-code: SE0023114418
CFI-code: RSSXXR
FISN-code: ATTANA/OPT RTS 20251212
First day of trading: 2024-12-23
Last day of trading: 2025-12-10
Tick size table/liquidity band: A
Number of issued instruments: 474 297 462
Instrument-ID: GEQ9
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