Search PDMR transactions

Notifier
Name of person with notification obligation
Nonac Förvaltning AB
Reason for notification
Closely associated
Yes
Person discharging managerial responsibilities
Fredrik Svedberg
Position
Member of the Board of Directors
Initial notification
Yes
Amendment
No
Details of amendment
Details of the Issuer/emission allowance market participant/auction platform/auctioneer/auction monitor
Name of issuer
Generic Sweden AB (publ)
Issuer´s LEI code
549300H604DJMM15MR31
Details of transaction
Type of financial instrument Financial instrument ISIN code Nature of transaction Linked to the exercise of a share option programme Volume Unit Price per unit Currency code Transaction date Place of the transaction
Share Generic Sweden AB SE0001790791 Disposal 3,000 Quantity 110.19 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 1,000 Quantity 109.39 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 500 Quantity 110.00 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 3,000 Quantity 109.30 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 2,500 Quantity 108.19 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 2,000 Quantity 108.14 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 2,677 Quantity 107.19 SEK 18/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 2,000 Quantity 106.12 SEK 19/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 4,000 Quantity 104.20 SEK 19/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 3,323 Quantity 98.09 SEK 22/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 3,000 Quantity 98.00 SEK 22/11/2021 FIRST NORTH SWEDEN
Share Generic Sweden AB SE0001790791 Disposal 2,581 Quantity 98.02 SEK 22/11/2021 FIRST NORTH SWEDEN
Aggregation
Financial instrument ISIN code Nature of transaction Transaction date Place of the transaction Volume Weighted average price
Generic Sweden AB SE0001790791 Disposal 18/11/2021 FIRST NORTH SWEDEN 14,677 (Quantity) 108.77990257 SEK
Generic Sweden AB SE0001790791 Disposal 19/11/2021 FIRST NORTH SWEDEN 6,000 (Quantity) 104.84 SEK
Generic Sweden AB SE0001790791 Disposal 22/11/2021 FIRST NORTH SWEDEN 8,904 (Quantity) 98.03938567 SEK
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