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TBSP.Index®
2025-07-15
Opening value:
Value: 2145.74
Change: +0.70 (+0.03%)
Closing value:
Value: 2144.94
Change: -0.10 (-0.00%)
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News

2015-02-09 Introduction to trading in the Alternative Trading System organized by BondSpot S.A. (Catalyst) bearer bonds issued by GETIN NOBLE BANK S.A.

Please be informed that series GNB14018 of bearer bonds issued by GETIN NOBLE BANK S.A. had been introduced in the Alternative Trading System organized by BondSpot S.A.

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2015-02-09 TBS Poland - changes in the list of treasury bonds subject to fixing.

Please be informed that the list of fixing bonds will be changed as of February 16, 2015.

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2015-02-09 TBS Poland - changes in the list of benchmark securities

Please be informed that the list of benchmark bonds will be changed as of February 16, 2015.

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2015-02-03 Introduction to trading in the Alternative Trading System organized by BondSpot S.A. (Catalyst) bearer bonds issued by INTEGER.PL S.A.

Please be informed that series INT1217 and INT1219 of bearer bonds issued by INTEGER.PL S.A. had been introduced in the Alternative Trading System organized by BondSpot S.A.

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2015-01-27 The first day of trading of bonds issued by VANTAGE DEVELOPMENT S.A. in the Alternative Trading System was determined.

Please be informed that as of 28 January 2015 series F of bearer bonds issued by VANTAGE DEVELOPMENT S.A. will be traded in the Alternative Trading System organized by BondSpot S.A.

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2015-01-27 Withdrawal from trading bonds issued by Robyg S.A. in the Alternative Trading System organized by BondSpot S.A.

Please be informed that due to redemption on 14 January 2015 bonds issued by Robyg S.A. series H marked PLROBYG00107 were withdrawn from trading in the Alternative Trading System organized by BondSpot S.A.

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2015-01-27 Withdrawal from trading bonds issued by Robyg S.A. in the Alternative Trading System organized by BondSpot S.A.

Please be informed that due to redemption on 15 January 2015 bonds issued by Robyg S.A. series G marked PLROBYG00115 were withdrawn from trading in the Alternative Trading System organized by BondSpot S.A.

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2015-01-25 Communiqué on publication of the TBSP.Index value on January 23, 2015

Please be informed that due to the Fixing Rates were not set at the first Fixing Session for TS representing more than 25% of current capitalization of the Index portfolio , the Management Board of BondSpot S.A. decided not to publish the TBSP.Index opening value on January 23, 2015.

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2015-01-23 Introduction to trading on the regulated market on Catalyst organized by BondSpot S.A. a new Treasury bonds series OK0717.

Please be informed that as of 27 January 2015 a new series OK0717 of Treasury bonds will be traded on the Regulated Market organized by BondSpot S.A.

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2015-01-23 Introduction to trading of T- bonds OK0117 on Treasury BondSpot Poland Market.

We are pleased to announce that new series of Treasury bonds OK0717 will be traded on Treasury BondSpot Poland Market as of 27 January 2015. T-bonds are indicated by the National Depository for Securities code PL0000108510.

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