CORRECTION: correct issuer name is Vetted Assets AB (publ)
With effect from August 26, 2026, the subscription rights in Vetted Assets AB (publ) will be traded on First North Growth Market. Trading will continue up until and including September 04, 2026.
| Instrument: | Subscription rights |
| Short name: | VETT TR |
| Clearing: | Bilateral settlement at Euroclear Sweden |
| ISIN code: | SE0030262770 |
| Order book ID: | 536750 |
| Market Segment: | First North STO |
| Tick Size: | MiFID II tick size table |
With effect from August 26, 2026, the paid subscription shares in Vetted Assets AB (publ) will be traded on First North Growth Market. Trading will continue until and including September 30, 2026.
| Instrument: | Paid subscription shares |
| Short name: | VETT BTA |
| Clearing: | Bilateral settlement at Euroclear Sweden |
| ISIN code: | SE0030262788 |
| Order book ID: | 536751 |
| Market Segment: | First North STO |
| Tick Size: | MiFID II tick size table |
For further information concerning this exchange notice please contact Issuer Surveillance, telephone +46 8 405 70 50, or iss@nasdaq.com
Nasdaq Stockholm AB