Communiqués

  • 26-11-2025

    WOJEWÓDZTWO OPOLSKIE (Communiqué)

    4 December 2025 will be the last trading date for A16 series (WOP1225) bearer bonds issued by WOJEWÓDZTWO OPOLSKIE

  • 26-11-2025

    DADELO (Communiqué)

    last trading date for A series (DAD1028) bearer bonds issued by DADELO S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 23 October 2028, marked with the code “PLO332200016”, is planned as at 12 October 2028

  • 17-11-2025

    BEST (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of R1 series bearer bonds issued by BEST S.A. (KRI0228) marked with the code “PLKRINK00329”, the trading in these bonds in the Alternative Trading System on Catalyst was closed.

  • 17-11-2025

    MILLENNIUM BANK HIPOTECZNY (Communiqué)

    last trading date for 1 series (MBH1130) bearer bonds issued by MILLENNIUM BANK HIPOTECZNY S.A., with a nominal value of PLN 500.000 (five hundred thousand zloty) each and the redemption date of 4 November 2030, marked with the code “PLL381300010”, is planned as at 25 October 2030

  • 07-11-2025

    MIASTO SIEDLCE (Communiqué)

    13 November 2025 will be the last trading date for A12 series (SIE1125) bearer bonds issued by MIASTO SIEDLCE

  • 07-11-2025

    GMINA BARCIN (Communiqué)

    13 November 2025 will be the last trading date for A13 series (BAR1125) bearer bonds issued by GMINA BARCIN

  • 07-11-2025

    GMINA GOŁDAP (Communiqué)

    13 November 2025 will be the last trading date for A13 series (GLD1125) bearer bonds issued by GMINA GOŁDAP

  • 07-11-2025

    ING BANK HIPOTECZNY (Communiqué)

    last trading date for 3 series (IBH0929) bearer bonds issued by ING BANK HIPOTECZNY S.A., with a nominal value of PLN 500.000 each and the redemption date of 30 September 2029, marked with the code “XS3187646032”, is planned as at 27 September 2029

  • 29-10-2025

    ART.LOCUM (Communiqué)

    last trading date for C series (ARL0429) bearer bonds issued by ART.LOCUM S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 24 April 2029, marked with the code “PLRTLCM00026”, is planned as at 17 April 2029

  • 24-10-2025

    PKO BANK HIPOTECZNY (Communiqué)

    last trading date for 1N series (PHP1128) bearer bonds issued by PKO BANK HIPOTECZNY S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 27 November 2028, marked with the code “PLPKOHP00215”, is planned as at 15 November 2028

  • 24-10-2025

    ATAL (Communiqué)

    last trading date for BD series (ATL1028) bearer bonds issued by ATAL S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 13 October 2028, marked with the code “PLATAL000251”, is planned as at 4 October 2028

  • 16-10-2025

    PS0131 (Communiqué)

    last trading date of bonds issued by the STATE TREASURY (PS0131) with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 25 January 2031, marked with the code “PL0000118519”, is planned for 21 January 2031.

  • 16-10-2025

    INFINITY (Communiqué)

    last trading date for N series (INF1027) bearer bonds issued by INFINITY S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 13 October 2027, marked with the code “PLINFIN00025”, is planned as at 6 October 2027.

  • 16-10-2025

    WAN (Communiqué)

    ast trading date for G series (WAN1028) bearer bonds issued by „WAN” S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 10 October 2028, marked with the code “PLWAN0000015”, is planned as at 4 October 2028.

  • 09-10-2025

    BEST (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of O1 series bearer bonds issued by BEST S.A. (KRI1027) marked with the code “PLKRINK00303”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 07-10-2025

    ROBYG (Communiqué)

    last trading date for PH series (RO10529) bearer bonds issued by ROBYG S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 7 May 2029, marked with the code “PLROBYG00297”, is planned as at 23 April 2029

  • 03-10-2025

    VICTORIA DOM (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of Y1/Y2 series bearer bonds issued by VICTORIA DOM S.A. (VID0926) marked with the code “PLVCTDM00173”, the trading in these bonds in the Alternative Trading System on Catalyst was closed

  • 02-10-2025

    VICTORIA DOM (Communiqué)

    The Warsaw Stock Exchange hereby notes that the last trading date for P2024D2 series (VI10629) bearer bonds issued by VICTORIA DOM S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 17 June 2029, marked with the code “PLVCTDM00264”, is planned as at 11 June 2029.

  • 23-09-2025

    ARCHE (Communiqué)

    as of 29 September 2025 bearer mortgage bonds issued by ARCHE S.A. series M1 (AC10628) with the code „PLO224300072” and series M (ACH0628) with the code „PLARCHE00070” will be listed under the abbreviated name (ACH0628) and marked with the code „PLARCHE00070”

  • 23-09-2025

    VICTORIA DOM (Communiqué)

    last trading date for P2024D series (VID0629) bearer bonds issued by VICTORIA DOM S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 17 June 2029, marked with the code “PLVCTDM00256”, is planned as at 11 June 2029

  • 23-09-2025

    7R (Communiqué)

    last trading date for C series (SIR0928) bearer bonds issued by 7R S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 15 September 2028, marked with the code “PL7RSA000027”, is planned as at 8 September 2028

  • 22-09-2025

    PCC EXOL (Communiqué)

    Warsaw Stock Exchange announces that following the early redemption of C2 series bearer bonds (PCX0925) issued by PCC EXOL S.A. marked with the code “PLPCCEX00077”, the bonds have been delisted on Catalyst.

  • 25-08-2025

    ARCHE (Communiqué)

    last trading date for M1 series (AC10628) bearer bonds issued by ARCHE S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 18 June 2028, marked with the code “PLO224300072”, is planned as at 9 June 2028

  • 22-08-2025

    PCC ROKITA (Communiqué)

    Warsaw Stock Exchange hereby notes that in accordance with an early redemption of bearer bonds issued by PCC ROKITA S.A. series HA, HB and HC the bonds have been delisted on Catalyst

  • 19-08-2025

    MCI CAPITAL ASI (Communiqué)

    last trading date for W1 series (MCI0728) bearer bonds issued by MCI CAPITAL ALTERNATYWNA SPÓŁKA INWESTYCYJNA S.A., with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 31 July 2028, marked with the code “PLMCIMG00293”, is planned as at 25 July 2028.