Skip to main content

Bond News

Title

Date

Notice of written procedure for bonds issued by Mathesa Investments AB (publ)

23 Jan 2024

CPHI Holding A/S – Information from the Issuer

15 Jan 2024

Resultat i skriftligt förfarande för kapitalandelslån för Estea Omsorgsfastigheter AB (publ) ISIN: SE0013513801

15 Jan 2024

Notice of Event of Default for Bonds issued by HL18 Property Portfolio AB (publ) with ISIN: SE0017082779

12 Jan 2024

CPHI Holding A/S – Information from the Issuer

09 Jan 2024

Kallelse till skriftligt förfarande för obligationer emitterade av TryggHem Projekt 1 AB (publ)

05 Jan 2024

Information regarding delayed interest payment for bonds issued by CPHI-Holding A/S (SEK ISIN SE0017885882, EUR ISIN SE0017885890)

22 Dec 2023

Koggbron Projekt AB (publ) – Notice of amortization

22 Dec 2023

Notice to bondholders ( EUR BOND – ISIN: SE0011451871 and SEK BOND – ISIN: SE0011451608 )

20 Dec 2023

Resultat i skriftligt förfarande – TryggHem Projekt 1 AB (publ) (SEK-ISIN SE0008294169, NOK-ISIN NO0010764277) – December 2023

18 Dec 2023

Notice of outcome in the written procedure for bonds issued by Gefion Group Holdco ApS (EUR BONDS: SE0018767899 and SEK BONDS: SE0018767881)

18 Dec 2023

Kallelse till skriftligt förfarande för kapitalandelslån för Estea Omsorgsfastigheter AB (publ) ISIN: SE0013513801

13 Dec 2023

Notice of outcome in the written procedure for bonds issued by Oskar Real Copenhagen ApS

13 Dec 2023

Svensk Hypotekspension Fond 4 AB (publ) – Notice of early redemption

12 Dec 2023

Notice of outcome in the written procedure for Notes issued by Moment Group AB (publ) (ISIN SE0010985978)

12 Dec 2023

Notice of non-payment of interest – Mathesa Investments AB (publ) (ISIN: SE0016049043 and SE0016074058)

11 Dec 2023

Viaplay Group AB (publ) – Kallelse till fordringhavarmöten

06 Dec 2023

Columbidae Properties Holding AB (publ) – Notice of conversion

04 Dec 2023

Kallelse till skriftligt förfarande för obligationer emitterade av TryggHem Projekt 1 AB (publ)

28 Nov 2023

Notice of written procedure for bonds issued by Oskar Real Copenhagen ApS (EUR BONDS: SE0017232010 and SEK BONDS: SE0017232002)

24 Nov 2023

Oskar Real Copenhagen ApS – Investor Presentation (Written Procedure November 2023)

24 Nov 2023

Notice of written procedure for bonds issued by Gefion Group Holdco ApS (EUR BONDS: SE0018767899 and SEK BONDS: SE0018767881)

22 Nov 2023

Gefion Group Holdco ApS – Investor Presentation (Written Procedure November 2023)

22 Nov 2023

Notice of written procedure – Moment Group AB (ISIN: SE0010985978)

16 Nov 2023

Resultat i skriftligt förfarande – Svensk Whiskyfinansiering AB (publ) (ISIN: SE0015483052)

14 Nov 2023

Notice from the Trustee: Trinitas Fastigheter AB (publ)

07 Nov 2023

Notice of Amendment of the Terms and Conditions for the Bonds with ISIN SE0017769391 (SEK) and ISIN SE0017769409 (EUR) issued by Patriam Invest AB (publ)

02 Nov 2023

Notice of several Events of Default for Bonds issued by Valerum AB (publ) with ISIN: SE0015192190

02 Nov 2023

Resultat i skriftligt förfarande – TryggHem Projekt 1 AB (publ) (SEK-ISIN SE0008294169, NOK-ISIN NO0010764277)

30 Oct 2023

1 2 3 34