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Storebrand ASA — Investor Relations & Filings

Ticker · STB ISIN · NO0003053605 LEI · 5967007LIEEXZX7NA051 OL Financial and insurance activities
Filings indexed 4,922 across all filing types
Latest filing 2025-05-23 Capital/Financing Update
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
New Covered Bond Issue by Storebrand Boligkreditt AS
Capital/Financing Update Classification · 99% confidence The document announces the successful issuance of a new SEK FRN covered bond by Storebrand Boligkreditt AS, detailing the maturity date, coupon rate, ISIN, issue amount (SEK 1.5 bn), and the joint bookrunners. This activity directly relates to the company raising capital or changing its financing structure through the issuance of debt instruments (covered bonds). This aligns best with the 'Capital/Financing Update' category.
2025-05-23 English
Rentefastsettelse
Interest Rate Update/Notice Classification · 98% 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 period. It mentions the rate is set according to the Bond Agreement and sent for registration. This directly corresponds to the definition of an Interest Rate Update/Notice (IRAT), which covers updates on interest rate changes affecting financial instruments.
2025-05-23 Norwegian
Rentefastsettelse
Interest Rate Update/Notice Classification · 98% 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 (27.05.2025 - 27.08.2025). This directly relates to updates on interest rates affecting financial instruments. The document is very short (378 characters) and concludes by stating 'Se vedlagt dokument for utfyllende informasjon' (See attached document for further information), which suggests it is an announcement about the rate setting rather than the full detailed notice. However, given the specific nature of setting an interest rate for a bond, the most precise category is 'Interest Rate Update/Notice' (IRAT), as it is more specific than the general 'Regulatory Filings' (RNS) or 'Report Publication Announcement' (RPA).
2025-05-23 Norwegian
Storebrand Boligkreditt AS - Tilbakekjøp av obligasjoner
Transaction in Own Shares Classification · 98% confidence The document text explicitly states that 'Storebrand Boligkreditt AS har kjøpt tilbake 2 740 MNOK av obligasjonslån' (Storebrand Boligkreditt AS has bought back 2,740 MNOK of bond loans). This action directly corresponds to the company repurchasing its own debt instruments (bonds). According to the definitions, the category for reporting the company buying back or selling its own shares/instruments is 'Transaction in Own Shares' (POS), which is used here to cover the repurchase of bonds/debt instruments as it is the closest fit for treasury activity involving the company's own securities/liabilities.
2025-05-21 Norwegian
Storebrand Boligkreditt AS - BUYBACK OF BOND
Transaction in Own Shares Classification · 95% confidence The document explicitly states 'BUYBACK OF BOND' and details the amount of a specific bond (NO0010894199) that the company, Storebrand Boligkreditt AS, has repurchased and the resulting reduction in the outstanding amount. This action falls directly under the definition of the company dealing in its own financial instruments, specifically debt instruments, which aligns best with the 'Transaction in Own Shares' category, although the definition focuses on shares, this is the closest fit for a debt repurchase announcement among the provided codes. Given the options, 'POS' (Transaction in Own Shares/Repurchase) is the most appropriate classification for a bond buyback announcement, as it represents a change in the company's outstanding capital structure via repurchase activity.
2025-05-21 English
Rentefastsettelse
Interest Rate Update/Notice Classification · 99% confidence The document is titled "Rentefastsettelse" (Interest Rate Determination) and explicitly details the setting of a new bond interest rate ('Ny Obligasjonsrente') for a specific ISIN and loan name, including the new rate (5.37%) and the effective interest period. This directly corresponds to the definition of an Interest Rate Update/Notice. The short length (1078 chars) and the nature of the announcement confirm it is a specific regulatory notification rather than a comprehensive report.
2025-05-19 Norwegian

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