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Storebrand ASA — Investor Relations & Filings

Ticker · STB ISIN · NO0003053605 LEI · 5967007LIEEXZX7NA051 OL Financial and insurance activities
Filings indexed 4,918 across all filing types
Latest filing 2022-09-23 Remuneration Information
Country NO Norway
Listing OL STB

About Storebrand ASA

https://www.storebrand.no/

Storebrand ASA is a financial services group and a leading provider in the Nordic market for long-term savings and insurance. The company's core activities encompass life insurance, pension savings, asset management, and banking services. It offers a comprehensive range of products tailored for both private individuals and corporate clients. Through its asset management division, one of the largest in the region, Storebrand manages substantial assets for Nordic and international clients. The group also has operations in real estate management.

Recent filings

Filing Released Lang Actions
Storebrand ASA: Notice of transaction
Remuneration Information Classification · 99% confidence The document is titled 'Storebrand ASA: Notice of transaction' and explicitly details transactions involving shares awarded to primary insiders (PDMRs) as part of a remuneration program. It lists the number of shares awarded and the resulting new shareholdings for specific individuals. This directly corresponds to the definition of Director's Dealing (insider trades by executives/directors). The filing type code for this is DIRS.
2022-09-23 English
Storebrand ASA: Meldepliktig handel
Remuneration Information Classification · 99% confidence The document text explicitly details transactions involving shares by primary insiders (PDMRs) as part of an employee share program, including the number of shares awarded and the resulting new holdings. This directly corresponds to the definition of Director's Dealing (insider trades). The Norwegian phrase 'Meldepliktig handel' translates to 'Reportable trading' or 'Mandatory disclosure trading', confirming the nature of the filing. This fits the 'Director's Dealing' category (DIRS) better than 'Transaction in Own Shares' (POS), as the focus is on insider transactions rather than the company's own repurchase program, although the company does mention its own holding change as a consequence.
2022-09-23 Norwegian
Rentefastsettelse
Interest Rate Update/Notice Classification · 98% confidence The document is very short (920 characters) and announces a specific financial event: the setting of a new bond interest rate ('Rentefastsettelse'). It details the ISIN, the new rate (4.406%), and the interest period. This is a specific notice regarding debt instruments and interest rates, which directly aligns with the definition for 'Interest Rate Update/Notice' (IRAT). It is not a full report, a general earnings release, or a management change announcement.
2022-09-23 Norwegian
Rentefastsettelse
Interest Rate Update/Notice Classification · 99% confidence The document is titled "Rentefastsettelse" (Interest Rate Setting) and explicitly states that a new bond interest rate (Obligasjonsrente) has been set for a specific period (27.09.2022 - 27.12.2022) and provides the new rate (4.406). This directly relates to the setting or announcement of interest rates affecting financial instruments. This aligns perfectly with the definition for Interest Rate Update/Notice (IRAT). Although it mentions an attached document, the core content is the rate setting itself, making IRAT more specific than RPA or RNS.
2022-09-23 Norwegian
Rentefastsettelse
Interest Rate Update/Notice Classification · 99% confidence The document is titled "Rentefastsettelse" (Interest Rate Setting) and explicitly details the setting of a new bond interest rate ('Ny Obligasjonsrente') for a specific ISIN and loan name, including the new rate (3.86%) and the interest period. This directly corresponds to the definition of an Interest Rate Update/Notice. The short length (1028 chars) and the nature of the announcement confirm it is a direct notification rather than a comprehensive report.
2022-09-22 Norwegian
Rentefastsettelse
Interest Rate Update/Notice Classification · 99% confidence The document is titled "Rentefastsettelse" (Interest Rate Setting) and explicitly states that a new bond interest rate for a specific ISIN (NO0010894199) has been set for a defined period (26.09.2022 - 27.12.2022). It mentions the new rate (3.86) and concludes by stating, "Se vedlagt dokument for utfyllende informasjon" (See attached document for further information) and is published by Nordic Trustee. This content directly relates to an update on interest rates affecting financial instruments, matching the definition for Interest Rate Update/Notice (IRAT). Although it mentions an attached document, the core content is the rate setting itself, making IRAT more specific than a general RPA or RNS, especially given the highly specific nature of the content (bond interest rate setting).
2022-09-22 Norwegian

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