Opening value: | |
---|---|
Value: | 2122.68 |
Change: | -2.71 (-0.13%) |
Closing value: | |
Value: | 2128.79 |
Change: | +3.40 (+0.16%) |
News
2019-07-30 Changes in Treasury BondSpot Poland Market Rules
Please be informed that Treasury BondSpot Poland Market Rules have been changed by the Management Board of BondSpot S.A.
2019-07-29 The first day of trading of bonds issued by GHELAMCO INVEST Sp. z o.o. on the Alternative Trading System was determined
Please be informed that as of 31 July 2019 series PM of bearer bonds issued by GHELAMCO INVEST Sp. z o.o. will be traded in the Alternative Trading System organized by BondSpot S.A.
2019-07-29 Change of the nominal value bonds issued by COMP S.A.
Please be informed that as of 30 July 2019 nominal value of one bond series CMP0720 issued by COMP S.A. according to which transactions will be concluded in the Alternative Trading System organized by BondSpot S.A., will be reduced to 400,00 PLN.
2019-07-22 Treasury BondSpot Poland - changes in the list of fixing bonds as of July 25, 2019
Please be informed that the list of benchmark bonds will be changed as of July 25, 2019.
2019-07-22 Introduction to trading in the Alternative Trading System organized by BondSpot S.A. (Catalyst) bearer bonds issued by GHELAMCO INVEST Sp. z o.o.
Please be informed that series PM of bearer bonds issued by GHELAMCO INVEST Sp. z o.o. had been introduced in the Alternative Trading System organized by BondSpot S.A.
2019-07-22 Treasury BondSpot Poland - changes in the list of fixing bonds as of July 25, 2019
With reference to the information regarding changes in the list of fixing bonds sent on July 12, 2019 and July 19, 2019, we inform that the ISIN code for WZ0525 bond was incorrect.
2019-07-19 Treasury BondSpot Poland - changes in the list of fixing bonds as of July 25, 2019
Please be informed that the list of fixing bonds will be changed as of July 25, 2019.
2019-07-18 Introduction to trading of T- bonds OC0521 on Treasury BondSpot Poland Market.
Please be informed that as of 25 July 2019 government bonds PL0000111902 (OC0521) will be traded under securities code number PL00001111274 (OK0521).
2019-07-18 Introduction to trading on the regulated market on Catalyst organized by BondSpot S.A. a new Treasury bonds series OC0521.
Please be informed that OC0521 bonds will be introduced to trading on the Regulated Market organized by BondSpot S.A. as of 25 July 2019. Please note that these bonds will be listed under symbol OK0521 (PL00001111274), after their assimilation on 25 July 2019.
2019-07-15 The first day of trading of bonds issued by VANTAGE DEVELOPMENT S.A. on the Alternative Trading System was determined
Please be informed that as of 17 July 2019 series T of bearer bonds issued by VANTAGE DEVELOPMENT S.A. will be traded in the Alternative Trading System organized by BondSpot S.A.