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Bond 2024
Senior secured bond loan within a framework of USD 200 million
Issue date: 4 April 2024
Final redemption date: 4 April 2027
Amount issued: USD 60 million
Security: Shares in holding companies, material intragroup loans and guarantees
Issuer: ADDvise Group AB (publ)
Interest: SOFR + 4.25%
Amount outstanding: USD 60 million
ISIN: NO0013180786
Listing: Nasdaq Stockholm Bond Market
Redeemed June 11, 2025
ADDvise Group Terms and Conditions Bond 20242027
ADDvise Group AB (publ) – Prospectus
Conditional Notice of Early Redemption (USD bonds)
Bond 2023
Senior secured bond loan within a framework of SEK 2,000 million
Issue date: 26 May 2023
Final redemption date: 26 May 2026
Amount issued: SEK 1,450 million
Security: Shares in holding companies, material intragroup loans and guarantees
Issuer: ADDvise Group AB (publ)
Interest: Stibor (3 months) + 5.50%
Amount outstanding: SEK 1,046 million
ISIN: SE0020180271
Listing: Nasdaq Stockholm Bond Market
Redeemed June 11, 2025
ADDvise Group Terms and Conditions Bond 20232026
ADDvise Group AB (publ) – Prospectus
ADDvise Group AB (publ) – Prospectus (January 9 2024)
Conditional Notice of Early Redemption (SEK bonds)
Bond 2021
Senior secured bond loan within a framework of MSEK 650
Issue date: 21 May 2021
Final redemption date: 21 May 2024
Issue amount and currency: MSEK 650
Security: Shares in subsidiaries
Issuer: ADDvise Group AB (publ)
Lender: Bondholders
Interest: 7.25 % + Stibor (3 months)
Debt structure: No amortisation
Outstanding: MSEK 650
Purpose: Repay outstanding loans and finance acquisitions
ISIN: SE0015222088
Listing: Nasdaq Stockholm Bond Market
Redeemed June 9, 2023
Conditional Notice of Early Redemption
ADDvise AB (publ) – Prospekt avseende Efterföljande Obligationer
ADDvise Group AB (publ) – Second A&R Terms and Conditions
ADDvise Group AB – Notice of Written Procedure
Prospectus (9 July 2021) ADDvise Group
Guarantee and Adherence Agreement
Terms and Conditions ADDvise Group AB
Bond 2017
Senior secured bond loan within a framework of MSEK 240
Issue date: 10 October 2017
Final redemption date: 10 October 2022
Issue amount and currency: MSEK 140
Security: Shares in subsidiaries
Issuer: ADDvise Group AB (publ)
Lender: Bondholders
Interest: 7.25 % fixed
Debt structure: No amortisation
Outstanding: MSEK 140
Purpose: Repay outstanding loans and finance acquisitions
ISIN: SE0010298166
Listing: Nasdaq Stockholm Bond Market
Redeemed June 18, 2021