Financials
Financial overview
Rights issue 2025
Documents
FNCA Sweden AB is the Certified Adviser for Studentbostäder i Norden AB.
FNCA Sweden AB
PO Box 5807
102 48 Stockholm, Sverige
Telephone: 08-528 00 399
E-mail: info@fnca.se
www.fnca.se
Below are reports and documents for the former company Prime Living AB for the time before the merger with Studentbostäder i Norden AB, in December 2020.
Please observe that these documents only can be found in Swedish.
Please observe that these documents only can be found in Swedish.
Studentbostäder i Norden have issued bonds on Nasdaq Stockholm. Below are related bond prospectuses, terms and documents.
Please observe that some of these documents only can be found in Swedish.
Sustainable framework
Studenthjem i Norden AB (publ) has established a sustainability framework in connection with the issuance of the senior unsecured sustainable bond in which SEK 600 million is utilized by a framework amounting to SEK 1,000 million.
Below are the related documents and the publication:
Bond loans 2025
Bond loans 2021
ISIN: SE0015960802
Certificate of PIK interest capitalisation
Press Release - 11 October 2023
Amended and Restated Terms & Conditions
Notification of written procedure
Press Release - April 27, 2021
Second opinion - updated 27 April 2021, 09:00
Terms and Conditions - May 4, 2021
Oxie bond
ISIN: SE0009155286
Studentbostäder i Norden AB (publ) has issued bonds on Nasdaq Stockholm, the “Oxie bond”.
Below are current related bond prospectuses, terms and documents:
Please observe that some of these documents only can be found in Swedish.
Notification of early redemption
New terms and conditions for the Oxie Bond - December 6, 2020
Proposal to Nasdaq for a trading halt in the Oxie Bond - November 27, 2020
Bond Loan Conversion Record Date Information - November 25, 2020
Outcome of second written procedure - 29 September 2020
Notice of second written procedure - 10 September 2020
Outcome of written procedure - 9 September 2020
Notice of written procedure - 21 August 2020
Information to holders of bonds - October 29, 2019
Notice to Bondholders - October 24, 2019
Notice of second written procedure - 10 September 2019
Outcome of the written procedure - September 9, 2019