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Avanza Bank Holding — Investor Relations & Filings

Ticker · AZA ISIN · SE0012454072 LEI · 549300MBWR5H8SIJLE03 ST Financial and insurance activities
Filings indexed 705 across all filing types
Latest filing 2011-06-03 Regulatory Filings
Country SE Sweden
Listing ST AZA

About Avanza Bank Holding

https://investors.avanza.se/en/about/ab…

Avanza Bank Holding is a digital financial platform specializing in savings, investments, and pensions. The company provides a comprehensive suite of products including stock and fund trading, savings accounts, mortgage loans, and occupational pension solutions. Its services cater to private individuals, professional investors, and corporate clients. Avanza emphasizes a low-cost model, offering products such as fee-free funds, low brokerage fees on a wide range of domestic and international securities, and competitive mortgage rates. The platform is recognized for its user-friendly digital interface and a strong focus on providing value to its customers.

Recent filings

Filing Released Lang Actions
Maj: Sommarportföljen innehåller storbolag
Regulatory Filings Classification · 99% confidence The document text is a short news-style release or market commentary focusing on retail investor trading activity (Aktiehandel privatpersoner) during May 2011, quoting an economist from Avanza Bank. It details trading volumes, sector preferences (favoring large-cap stocks over oil/small-cap stocks), and compares current activity to previous periods. This content is characteristic of an Earnings Release (ER) if it were summarizing official company results, but here it is a market commentary based on internal trading data. Since it is not a formal regulatory filing (like 10-K, IR, or DEF 14A), nor a transcript (CT), nor a presentation (IP), nor a specific announcement like dividend (DIV) or management change (MANG), it best fits the category of a general market update or news release. Given the options, 'Earnings Release' (ER) is often used broadly for period-end financial highlights, but this is more of a retail trading summary. However, if we consider the context of financial reporting, this type of summary often accompanies or precedes formal earnings. Since it is a summary of activity for a specific period (May), and not a formal comprehensive report, it is closest to an Earnings Release (ER) which provides key highlights, or potentially a Regulatory Filing (RNS) if it were a mandatory disclosure. Given the nature of the content (market commentary based on internal data), and the lack of a specific category for 'Retail Trading Commentary', the most appropriate fit among the provided options that deals with period-specific financial activity summaries is 'ER' (Earnings Release), although it is a weak fit. Re-evaluating the definitions, this is not a formal financial report, but a press release about trading behavior. It does not fit any specific category well. Therefore, the fallback category 'RNS' (Regulatory Filings / General Announcements) is the most appropriate classification for this type of non-standard, informational press release.
2011-06-03 Swedish
Antal aktier i Avanza Bank
Share Issue/Capital Change Classification · 99% confidence The document is a short press release dated May 31, 2011, announcing a change in the total number of shares outstanding (28,538,073) due to a new share issue resulting from the exercise of warrants, as decided at the Annual General Meeting on April 15, 2008. This directly relates to a change in the company's capital structure (share count). This fits the definition of 'Share Issue/Capital Change' (SHA) better than a general regulatory filing (RNS) or a dividend notice (DIV). It is not an announcement of a report (RPA), as it contains substantive information about the share count change itself.
2011-05-31 Swedish
Information avseende kursras i Diamyd Medical
Legal Proceedings Report Classification · 99% confidence The document is a press release dated May 12, 2011, concerning a sharp stock price drop in Diamyd Medical and the resulting potential credit losses for Avanza Bank. It discusses the bank's preliminary assessment of credit losses (under 9 MSEK) relative to its total lending and its historical performance regarding credit losses. This content relates to the financial health, risk exposure, and operational impact of a specific event on the bank, but it is not a formal periodic financial report (like 10-K or IR), an earnings release (ER), or a management discussion (MDA). Since it is a specific, non-standard announcement regarding a financial risk event (credit losses due to a stock crash) that doesn't fit the other specific categories (like DIRS, DIV, CAP, etc.), it best fits the general 'Regulatory Filings' category as a miscellaneous regulatory/material event disclosure, or potentially a highly specific 'LTR' if the event triggered regulatory scrutiny, but 'RNS' (Regulatory Filings/Miscellaneous) is the most appropriate fallback for this type of specific, non-periodic operational/risk disclosure.
2011-05-12 Swedish
April: Spararna småköper trots börsoro
Regulatory Filings Classification · 99% confidence The document is a short press release or market commentary focusing on retail investor trading activity ('privathandeln') during April 2011, citing statistics from Avanza Bank. It discusses trading volumes, margin lending, and investor sentiment relative to market events (inflation, Middle East revolutions, Japan crisis). It is not a formal regulatory filing like a 10-K, nor is it a comprehensive quarterly report (IR). It is an analysis/commentary piece based on recent trading data. Since it is a commentary piece based on recent market activity and investor behavior, and does not fit the specific definitions for ER (Earnings Release, which focuses on company financials), CT (Call Transcript), or DIRS (Insider Trading), the most appropriate general category for this type of market insight/commentary, especially when provided by a financial institution like Avanza, is often classified as a general Regulatory Filing (RNS) if it were mandatory, but given the context of market commentary and analysis, it strongly resembles an Investor Presentation (IP) or a general market update. However, looking closely at the definitions, it is a summary of market activity and investor behavior, not a formal company report. It is most closely aligned with a general market update or commentary. Since it is not a formal company report (10-K, IR) or a specific announcement (DIV, CAP), and it is not a transcript (CT), it falls best under the general 'Regulatory Filings' (RNS) as a miscellaneous market announcement, or potentially an Investor Presentation (IP) if it were structured as a slide deck, which it is not. Given the nature of the content (market commentary based on recent data), RNS serves as the best fallback for non-standard, yet informative, market releases.
2011-05-04 Swedish
April: Sverige- och Koreafonder lockade
Earnings Release Classification · 99% confidence The document text is a short announcement or summary dated April 29, 2011, detailing trends in Swedish private investor fund trading (fondhandel) for the month of April, featuring commentary from an economist at Avanza Bank. It highlights which funds were popular (Sweden, Korea) and which were sold (real interest rate funds). This content is characteristic of a periodic market commentary or a brief update on investor behavior, rather than a comprehensive annual report (10-K), an official earnings release (ER), or a formal regulatory filing. Given the nature of the content—a summary of investor activity and market sentiment—it most closely aligns with a general informational update. Since there is no specific category for 'Market Commentary' or 'Investor Sentiment Update', and it is not a formal financial statement, the most appropriate fallback category is 'Regulatory Filings' (RNS) as a general announcement, although 'Fund Information / Factsheet' (FS) is also plausible if this were a standardized factsheet. However, the content is more dynamic and news-like than a static factsheet. Given the options, RNS serves as the best general regulatory/informational announcement category for non-standard reports. Q2 2011
2011-04-29 Swedish
Beslut på Avanza Banks årsstämma
AGM Information Classification · 98% confidence The document is titled "Kommuniké från årsstämma 2011-04-14" (Communication from the Annual General Meeting 2011-04-14) and summarizes the key decisions made during the Annual General Meeting (AGM) of Avanza Bank Holding AB. The decisions cover dividend approval, election of the board of directors, auditor appointment, and approval of incentive programs and share repurchase authorizations. Since the document explicitly details the outcomes and decisions made at the AGM, it fits the definition of AGM Information (AGM-R). It is not a general earnings release (ER), a full annual report (10-K), or just a notice of dividend (DIV), but a comprehensive summary of the meeting's resolutions.
2011-04-14 Swedish

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