Changes in number of shares and share capital
| Measure |
Par value / Accounting equivalent value (EUR) |
Subscription price (EUR) |
Number of shares before |
Number of shares after |
Change in share capital (EUR) |
New share capital (EUR) |
Registered 1) |
| Foundation |
1,68 |
1,68 |
0 |
20.000 |
33.638 |
33.638 |
11.05.98 |
| New issue |
1,68 |
67,82 |
20.000 |
25.500 |
9.250 |
42.888 |
06.05.99 |
| New issue |
1,68 |
84,10 |
25.500 |
27.100 |
2.691 |
45.579 |
08.10.99 |
| Split 1:10 |
0,17 |
- |
27.100 |
271.000 |
- |
45.579 |
12.06.00 |
Share subscription with option rights |
0,17 |
0,17 |
271.000 |
320.600 |
8.342 |
53.921 |
15.08.00 |
Merger compensation |
0,17 |
0,17 |
320.600 |
686.755 |
61.583 |
115.504 |
21.02.01 |
| New issue |
0,17 |
100,00 |
686.755 |
761.755 |
12.614 |
128.118 |
29.05.01 |
Share subscription with option rights |
0,17 |
0,17 |
761.755 |
762.375 |
104 |
128.222 |
29.05.01 |
| New issue |
0,17 |
101,00 |
762.375 |
801.978 |
6.661 |
134.883 |
10.01.02 |
| Bonus issue |
0,18 |
- |
801.978 |
807.978 |
9.473 |
144.356 |
03.06.02 |
| Split 1:9 |
0,02 |
- |
801.978 |
7.217.802 |
- |
144.356 |
03.06.02 |
Share subscription with option rights |
0,02 |
0,02 |
7.217.802 |
7.648.722 |
8.618 |
152.974 |
03.06.02 |
Conversion of interest debt |
0,02 |
5,60 |
7.648.722 |
7.704.072 |
1.107 |
154.082 |
08.10.02 |
New issue, Institutional Offering |
0,02 |
5,60 |
7.704.072 |
10.401.922 |
53.957 |
208.038 |
08.10.02 |
| Consolidation of Biotie |
0,02 |
2,38 |
10.401.922 |
17.033.722 |
132.636 |
340.675 |
31.10.02 |
| Consolidation of Carbion |
0,02 |
2,38 |
17.033.722 |
17.459.559 |
8.517 |
349.191 |
31.10.02 |
Share subscription with option rights |
0,02 |
0,02 |
17.459.559 |
17.474.559 |
300 |
349.491 |
30.04.03 |
| New issue |
0,02 |
0,40 |
17.474.559 |
43.686.397 |
524.237 |
873.728 |
26.06.03 |
Share subscription with option rights |
0,02 |
0,02 |
43.686.397 |
43.850.497 |
3.282 |
877.010 |
06.02.04 |
Share subscription with option rights |
0,02 |
0,35 |
43.850.497 |
43.889.233 |
775 |
877.785 |
08.09.04 |
Share subscription with option rights |
0,02 |
0,02 |
43.889.233 |
43.907.436 |
364 |
878.149 |
29.12.04 |
Share subscription with option rights |
0,02 |
0,02 |
43.907.436 |
43.909.296 |
37 |
878.186 |
23.02.05 |
| New issue |
0,02 |
0,75 |
43.909.296 |
51.279.416 |
147.402 |
1.025.588 |
17.06.05 |
| New issue |
0,02 |
0,75 |
51.279.416 |
52.675.221 |
27.916 |
1.053.504 |
28.06.05 |
New issue, Institutional Offering |
|
0,51 |
52.675.221 |
78.165.418 |
13.000.000 |
14.053.505 |
01.12.06 |
| New issue |
|
0,51 |
78.165.418 |
89.530.660 |
5.796.273 |
19.849.778 |
27.12.06 |
Pursuant to the convertible capital loan the share subscription |
|
1,87 |
89.530.660 |
89.800.660 |
*) |
19.849.778 |
02.04.07 |
Subscription of shares on the basis of option rights |
|
0,60 |
89.800.660 |
90.031.860 |
*) |
19.849.778 |
30.04.07 |
Pursuant to the convertible capital loan the share subscription |
|
1,78 |
90.031.860 |
90.211.860 |
*) |
19.849.778 |
11.05.07 |
| New issue |
|
0,4517 |
90.211.860 |
144.320.560 |
24.440.899.79 |
44.290.678,10 |
17.11.08 |
| New issue |
|
0,50 |
144.320.560 |
158.752.560 |
7.216.000 |
51.506.678,10 |
14.12.09 |
Direct issue of treasure shares |
|
0,44 |
158.752.560 |
158.752.560 |
50.000 |
51.556.678,10 |
12.10.10 |
| Share issue to the company itself without consideration |
|
|
158.752.560 |
176.003.931 |
- |
51.556.678,10 |
26.10.10 |
Direct issue of treasure shares |
|
0,37 |
176.003.931 |
176.003.931 |
500.000 |
52.056.678,10 |
3.12.2010 |
Direct issue of treasure shares |
|
0,33 |
176.003.931 |
176.003.931 |
500.00 |
52.556.678,10 |
12.1.2011 |
Direct issue of new shares |
|
0,535 |
176.003.931 |
337.452.302 |
86.374.878,49 |
138.931.556,59 |
3.2.2011 |
| Share issue to the company itself without consideration |
|
|
337.452.302 |
352.365.457 |
- |
138.931.556,59 |
3.2.2011 |
Direct issue of treasury shares |
|
0,54 |
352.364.457 |
352.364.457 |
7.963.425,36 |
146.894.981,95 |
18.3.2011 |
1) Date refers to date of registration in the Trade Register maintained by the National Board of Patents and Registration *) The exercise price paid will be recorded in Reserve for invested unrestricted equity |