Communiqués

  • 19-01-2026

    DEVELIA (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of DVL0726OZ8 series bearer bonds issued by DEVELIA S.A. (DVL0726) marked with the code “PLO112300051”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 19-01-2026

    RONSON DEVELOPMENT SE (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of X series bearer bonds issued by RONSON DEVELOPMENT SE (RON0726) marked with the code “PLRNSER00227”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 19-01-2026

    VICTORIA DOM (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of P2023A series bearer bonds issued by VICTORIA DOM S.A. (VID1226) marked with the code “PLVCTDM00181”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 19-01-2026

    INDOS (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of K8 series bearer bonds issued by INDOS S.A. (INS0127) marked with the code “PLO183400061”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 16-01-2026

    PRAGMAGO (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of V series bearer bonds issued by PRAGMAGO S.A. (PRF0326) marked with the code “PLGFPRE00339”, the trading in these bonds in the Alternative Trading System on Catalyst was closed.

  • 12-01-2026

    GMINA PRAŻMÓW (Communiqué)

    last trading date for A25 series (PAZ1134) bearer bonds issued by GMINA PRAŻMÓW, with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 27 November 2034, marked with the code “PLO382800137”, is planned as at 21 November 2034

  • 12-01-2026

    PEKAO BANK HIPOTECZNY (Communiqué)

    last trading date for HLZ-IV-03 series (PEOH130) bearer mortgage covered issued by PEKAO BANK HIPOTECZNY SA, with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 22 January 2030, marked with the code “PLL100600070”, is planned as at 15 January 2030

  • 12-01-2026

    NZ0331 (Communiqué)

    last trading date of bonds issued by the STATE TREASURY (NZ0331) with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 25 March 2031, marked with the code “PL0000118774”, is planned for 19 March 2031

  • 08-01-2026

    WZ0126 (Communiqué)

    19 January 2026 will be the last trading session for treasury bonds (WZ0126)

  • 08-01-2026

    MIASTO CHEŁM (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of bearer bonds issued by MIASTO CHEŁM series T1, S, W1, X1, Y1 the bonds have been delisted on Catalyst

  • 08-01-2026

    GMINA MIASTO ELBLĄG (Communiqué)

    9 January 2026 will be the last trading date for ELB H12 100126 series (ELG0126) bearer bonds issued by GMINA MIASTO ELBLĄG

  • 07-01-2026

    EUR0126 (Communiqué)

    14 January 2026 will be the last trading session for treasury bonds (EUR0126)

  • 05-01-2026

    ATAL (Communiqué)

    last trading date for BE series (ATL0628) bearer bonds issued by ATAL S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 19 June 2028, marked with the code “PLATAL000269”, is planned as at 9 June 2028.

  • 31-12-2025

    INVEST TDJ ESTATE (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of B series bearer bonds issued by INVEST TDJ ESTATE Sp. z o .o. (TDJ1226) marked with the code “PLO362300025”, the trading in these bonds in the Alternative Trading System on Catalyst was closed.

  • 30-12-2025

    INTERBUD – LUBLIN S.A. (Communiqué

    The Warsaw Stock Exchange hereby notes that the last trading date for B series (INT1228) bearer bonds issued by INTERBUD – LUBLIN S.A., with a nominal value of PLN 100 (one hundres zloty) each and the redemption date of 29 December 2028, marked with the code “PLINTBD00071”, is planned as at 21 December 2028.

  • 23-12-2025

    POWSZECHNA KASA OSZCZĘDNOŚCI BANK POLSKI S.A. (Communiqué)

    the last trading date for 7 series (PKO1132) bearer bonds issued by POWSZECHNA KASA OSZCZĘDNOŚCI BANK POLSKI S.A., with a nominal value of 100.000 EUR (one hundred thousand zloty) each and the redemption date of 20 November 2032, marked with the code “XS3227335422”, is planned as at 18 November 2032.

  • 19-12-2025

    BANK GOSPODARSTWA KRAJOWEGO (Communiqué)

    The Warsaw Stock Exchange hereby notes that the last trading date for FWA0931 series (FWA0931) bearer bonds issued by BANK GOSPODARSTWA KRAJOWEGO, with a nominal value of 1.000 PLN (one thousand zloty) each and the redemption date of 15 September 2031, marked with the code “PL0000500492”, is planned as at 8 September 2031.

  • 16-12-2025

    GMINA MIASTA SANOKA (Communiqué)

    following an amendment of the Terms of Issuer of series C19 bonds issued by the company GMINA MIASTA SANOKA, marked with the code “PL0033200037”, the redemption date of the bonds has changed from 25 November 2032 to 29 December 2025

  • 16-12-2025

    GMINA MIASTA SANOKA (Communiqué)

    following an amendment of the Terms of Issuer of series B19 bonds issued by the company GMINA MIASTA SANOKA, marked with the code “PL0033200011”, the redemption date of the bonds has changed from 25 November 2031 to 29 December 2025

  • 16-12-2025

    GMINA MIASTA SANOKA (Communiqué)

    following an amendment of the Terms of Issuer of series A19 bonds issued by the company GMINA MIASTA SANOKA, marked with the code “PL0033200029”, the redemption date of the bonds has changed from 25 November 2036 to 29 December 2025

  • 12-12-2025

    OLIVIA FIN (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of O series bearer bonds issued by OLIVIA FIN Sp. z o .o. S.K.A. (OBC0226) marked with the code “PLO283100124”, the trading in these bonds in the Alternative Trading System on Catalyst was closed.

  • 12-12-2025

    BANK POLSKA KASA OPIEKI (Communiqué)

    ast trading date for 5 series (PEO0236) bearer bonds issued by BANK POLSKA KASA OPIEKI S.A., with a nominal value of EUR 100.000 (one hundred thousand euro) each and the redemption date of 27 February 2036, marked with the code “XS3238272572”, is planned as at 25 February 2036

  • 09-12-2025

    SANTANDER BANK POLSKA (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of 2/2023 series bearer bonds issued by SANTANDER BANK POLSKA S.A. (SPL1126) marked with the code “PLBZ0000033”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 09-12-2025

    INVEST KOMFORT FINANCE (Communiqué)

    last trading date for B series (INV0928) bearer bonds issued by INVEST KOMFORT FINANCE sp. z o.o., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 25 September 2028, marked with the code “PLO251500016”, is planned as at 18 September 2028

  • 08-12-2025

    CAVATINA HOLDING (Communiqué)

    due to the change of the date of establishing the right to redeem bearer bonds series P2022C (CA11225) bonds issued by the company CAVATINA HOLDING S.A., marked with the code “PLO215800023”, the last day of trading of the bonds has changed from 17 December 2025 to 16 December 2025