Lördag 18 Oktober | 13:22:35 Europe / Stockholm

Prenumeration

Kalender

Est. tid*
2026-05-05 N/A Årsstämma
2026-05-04 13:30 Kvartalsrapport 2026-Q1
2026-03-30 N/A X-dag kvartalsutdelning NYF 0.7
2026-02-09 18:00 Bokslutskommuniké 2025
2025-12-29 N/A X-dag kvartalsutdelning NYF 0.7
2025-10-22 13:30 Kvartalsrapport 2025-Q3
2025-09-29 - X-dag kvartalsutdelning NYF 0.7
2025-07-10 - Kvartalsrapport 2025-Q2
2025-05-07 - X-dag kvartalsutdelning NYF 0.7
2025-05-06 - Årsstämma
2025-05-05 - Kvartalsrapport 2025-Q1
2025-02-20 - Bokslutskommuniké 2024
2024-10-23 - Kvartalsrapport 2024-Q3
2024-07-10 - Kvartalsrapport 2024-Q2
2024-04-24 - X-dag ordinarie utdelning NYF 0.00 SEK
2024-04-23 - Årsstämma
2024-04-22 - Kvartalsrapport 2024-Q1
2024-02-21 - Bokslutskommuniké 2023
2023-12-28 - X-dag kvartalsutdelning NYF 1
2023-10-26 - Kvartalsrapport 2023-Q3
2023-09-28 - X-dag kvartalsutdelning NYF 1
2023-07-11 - Kvartalsrapport 2023-Q2
2023-06-29 - X-dag kvartalsutdelning NYF 1
2023-04-26 - X-dag kvartalsutdelning NYF 1
2023-04-25 - Årsstämma
2023-04-25 - Kvartalsrapport 2023-Q1
2023-02-16 - Bokslutskommuniké 2022
2022-12-29 - X-dag kvartalsutdelning NYF 0.95
2022-11-15 - Extra Bolagsstämma 2022
2022-10-20 - Kvartalsrapport 2022-Q3
2022-09-29 - X-dag kvartalsutdelning NYF 0.95
2022-07-12 - Kvartalsrapport 2022-Q2
2022-06-29 - X-dag kvartalsutdelning NYF 0.95
2022-04-20 - X-dag kvartalsutdelning NYF 0.95
2022-04-19 - Årsstämma
2022-04-19 - Kvartalsrapport 2022-Q1
2022-02-17 - Bokslutskommuniké 2021
2021-12-29 - X-dag kvartalsutdelning NYF 0.75
2021-10-21 - Kvartalsrapport 2021-Q3
2021-09-29 - X-dag kvartalsutdelning NYF 0.75
2021-07-13 - Kvartalsrapport 2021-Q2
2021-06-29 - X-dag kvartalsutdelning NYF 0.75
2021-04-22 - X-dag bonusutdelning NYF 1
2021-04-22 - X-dag kvartalsutdelning NYF 0.75
2021-04-21 - Årsstämma
2021-04-21 - Kvartalsrapport 2021-Q1
2021-02-15 - Bokslutskommuniké 2020
2020-10-22 - Kvartalsrapport 2020-Q3
2020-07-13 - Kvartalsrapport 2020-Q2
2020-04-24 - X-dag ordinarie utdelning NYF 0.00 SEK
2020-04-23 - Årsstämma
2020-04-23 - Kvartalsrapport 2020-Q1
2020-02-13 - Bokslutskommuniké 2019
2019-10-23 - Kvartalsrapport 2019-Q3
2019-07-15 - Kvartalsrapport 2019-Q2
2019-05-10 - X-dag ordinarie utdelning NYF 0.00 SEK
2019-05-09 - Årsstämma
2019-05-09 - Kvartalsrapport 2019-Q1
2019-02-12 - Bokslutskommuniké 2018

Beskrivning

LandSverige
ListaLarge Cap Stockholm
SektorFastigheter
IndustriFörvaltning
Nyfosa är ett fastighetsbolag som investerar i fastigheter i olika geografiska områden och kategorier. Bolaget har sin inriktning mot transaktioner och förvaltning av kommersiella fastigheter, bland annat kontor, logistik/lager, industri och handel. Störst verksamhet återfinns i tillväxtkommuner på den nordiska marknaden. Nyfosa har sitt huvudkontor i Nacka, Stockholm.
2025-09-23 07:30:00

NOT FOR DISTRIBUTION IN OR TO THE UNITED STATES, CANADA, AUSTRALIA OR JAPAN OR TO ANY U.S. PERSON (AS DEFINED IN REGULATION S OF THE UNITED STATES SECURITIES ACT OF 1933, AS AMENDED) OR IN ANY OTHER JURISDICTION WHERE IT IS UNLAWFUL TO PUBLISH OR DISTRIBUTE THIS PRESS RELEASE

Nyfosa AB (the “Company”) today announces that the Company will redeem in full its outstanding outstanding senior bonds 2023/2026 with ISIN SE0020052967 (the “Senior Bonds”), and its subordinated perpetual floating rate capital securities issued in November 2021 with ISIN SE0017084486 (the “Hybrid Bonds” and together with the Senior Bonds, the “Outstanding Bonds”), in accordance with the respective terms and conditions of the Outstanding Bonds (the “Early Redemption”).

The Senior Bonds will be redeemed on 17 October 2025 (the “Senior Redemption Date”) at a price equal to 100.00 percent of the nominal amount plus accrued but unpaid interest from, but excluding, the preceding interest payment date (15 October 2025) to, and including, the Senior Redemption Date, which will be paid to each person who, at the close of business on 10 October 2025, is registered as a holder of the Senior Bonds in the debt register maintained by Euroclear Sweden. The Hybrid Bonds will be redeemed on 18 November 2025 (the “Hybrid Redemption Date”) at a price equal to 100.00 percent of the nominal amount plus accrued but unpaid interest to, and including, the Hybrid Redemption Date, which will be paid to each person who, at the close of business on 11 November 2025, is registered as a holder of the Hybrid Bonds in the debt register maintained by Euroclear Sweden.

In connection with the Early Redemption, the Outstanding Bonds will be delisted from Nasdaq Stockholm. Notices of Early Redemption for the Senior Bonds and the Hybrid Bonds, respectively, will be sent to directly registered holders of the Outstanding Bonds in accordance with the respective debt register. The notices of Early Redemption will also be available on the Company’s website.