December 2015

Change of ISIN for Vitec Software Group AB (206/15)

Referring to a press release published on December 17, 2015 from Vitec Software Group AB, the company will carry out a split in relations 5:1. The share will be traded under new ISIN code with effect from December 22, 2015. Short name: VIT B Terms: Split 5:1 Current ISIN: SE0000514630 Last day of trading with [...]

Unibet Group Share Split and ISIN Code Change

To increase the liquidity and better facilitate trading in Unibet Group’s (STO:UNIBSDB) SDRs the Malta-based company's Board of Directors of Unibet Group plc proposed a split in the issued shares of 8:1 by splitting the 28,764,630 shares of a nominal value of GBP 0.005 each in the capital of the company into 230,117,040 shares of a nominal value [...]

Vitec Software Announces Share Split-New ISIN Code

The Extraordinary General Meeting of Vitec Software Group AB (publ) held on December 9, 2015 resolved in a share split 5-for-1, meaning that each share is divided into five shares of the same class. The first trading day after the split will be on Tuesday December 22 2015. The last trading day for trading in [...]

Japan Mobile Game Co Ganapati PLC Reverse Share Split; ISIN Update

Ganapati Plc , the Japanese software developer specializing in mobile technology applications for the online casino industry announces corporate resolution to reverse split ordinary shares and change of ISIN and Sedol securities identification codes. Decrease par value 1 pence per share the Company has decreased its par value to 1 pence. The subdivision of each [...]

Banco do Brasil S.A. Announces Final Tender Results-ISIN Update

(PRNewswire) 10-December--Banco do Brasil S.A., acting through its Grand Cayman branch, a bank organized as a sociedade de economia mista and accordingly a sociedade anônima incorporated under the laws of the Federative Republic of Brazil (the "Bank"), hereby announces the final tender results of its offers to purchase for cash up to U.S.$600,000,000 aggregate principal [...]

Clean-Tech Firm Europlasma Raises EUR 5mil via Private Placement

BORDEAUX, France, Dec 11, 2015 (PR Newswire Europe via COMTEX) -- BORDEAUX, France, December 11, 2015 /PRNewswire/ -- Europlasma (ALEUP, ISIN FR0000044810), a French company that builds, designs and operates plasma solutions for renewable energy generation and hazardous waste recovery, today announces that it has successfully completed a private placement in the form of bonds [...]

German Equipment Maker AIXTRON Re-Negotiates China Deal

German equipment maker AIXTRON SE [ (FSE: AIXA, ISIN DE000A0WMPJ6; NASDAQ: AIXG, ISIN US0096061041] and China-based San'an Optoelectronics have been forced to re-negotiate a large purchase order and AIXTRON will face a substantial reduction reduction in expected order volume. The companies announced the existing partnership will be continued with new conditions AIXTRON continues AIX R6 [...]

CGG Holding Announces Results of Tender Offer To Exchange Notes

ISIN.com update courtesy of GlobeNewsWire-PARIS, Dec. 7, 2015 (GLOBE NEWSWIRE) -- CGG Holding (U.S.) Inc. ("CGG US"- NYSE:CGG), an indirect subsidiary of CGG S.A. (CGG S.A. together with its subsidiaries, "CGG"), announced today the Early Tender Time results in relation to its offer to exchange (i) any and all of CGG S.A.'s outstanding 7.75% Senior [...]

ISIN Update-Mondelez Announces Pricing For Tender Offer

DEERFIELD, Ill., Nov. 25, 2015 (GLOBE NEWSWIRE) -- Mondelēz International, Inc. (formerly known as Kraft Foods Inc.) (NASDAQ:MDLZ) announces today pricing and the results for its previously announced tender offer (the “Offer”) for its outstanding £350,000,000 7.25 per cent. Notes due July 2018 (ISIN: XS0377058614) (the "Notes"). The Offer was made on the terms and [...]

ISIN Update-Hapag-Lloyd Calls 125mil in US-Dollar Bonds

ISIN.com update: In effort into optimize its capital structure and reduce interest costs, fleet shipping concern Hapag-Lloyd announced the call (repayment) of US$ 125 million in principal amount of its US dollar denominated bond due 2017 (Reg. S bonds: ISIN USD33048AA36 / Rule 144A bonds: ISIN US41135QAA22) for partial redemption approximately two years prior to [...]

Load More Posts