If you would like to learn more about future focusIR related events and roundtables, please submit your details here

Less Ads, More Data, More Tools Register for FREE

Pin to quick picksBPKD.L Regulatory News (BPKD)

  • There is currently no data for BPKD

Inf. on transactions on Bank's finan. instruments

27 May 2014 18:15

RNS Number : 1686I
Bank Pekao SA
27 May 2014
 



Report 10/2014: Information on transactions on Bank's financial instruments conducted by entity related to obliged persons

UNOFFICIAL TRANSLATION

Management Board of Bank Polska Kasa Opieki S.A. ("Bank") hereby publishes the enclosed information on transactions on Bank's financial instruments, sent by the obliged persons. Management Board of the Bank simultaneously underlines that owing to the fact that two members of Bank's Management Board are members of the Supervisory Board of the entity acting as a market maker in the shares of the Bank, who conducted reported transactions, notifications describe the same transactions twice.

 

Information sent to Polish Financial Supervision Authority (PFSA)

on the basis of art. 160 of the Act on Trading in Financial Instruments of 29th July 2005

 

(1)

 

 

No

INFORMATION

CELLS FOR COMPLETION

 

1.

NAME AND SURNAME OF OBLIGED PERSON

 

 

-

2.

INDICATION OF LEGAL TIES BETWEEN

OBLIGED PERSON AND ISSUER

 

 

 

Member of Management Board of Bank Pekao S.A.

3.

NAME AND SURNAME (FIRM) OF THE ENTITY CONDUCTING TRANSACTION

OF ACQUISITION/ DISPOSAL

 

 

Entity acting as a market maker in the shares of the Bank, in which related person is a supervisory board member

 

4.

INDICATION OF FINANCIAL INSTRUMENT AND ISSUER

 

 

Shares of Bank Pekao S.A.

5.

 

DATE AND PLACE OF

PREPARING INFORMATION

 

 

 

20.05.2014, Warsaw

6.

TRANSACTION DESCRIPTION

 

 

 

TRANSACTION DATE

 

 

2014-05-13

2014-05-14

2014-05-15

2014-05-16

2014-05-19

 

 

2014-05-13

2014-05-14

2014-05-15

2014-05-16

2014-05-19

PURCHASE / SALE

 

 

Purchase

Purchase

Purchase

Purchase

Purchase

 

 

Sale

Sale

Sale

Sale

Sale

 

VOLUME

 

 

 

8 738

10 105

8 843

6 683

5 782

 

 

8 100

11 973

16 419

946

10 815

 

PRICE PLN

(average)

 

 

183,5408

182,9329

182,8235

179,9697

179,7006

 

 

183,5197

182,9415

182,7389

180,3512

179,7409

7.

TRANSACTION PLACE

 

Warsaw Stock Exchange

 

8.

TRANSACTION TYPE

 

Ordinary transactions on regulated market

 

9.

OTHER COMMENTS

 

-

 

10.

SIGNATURE OF OBLIGED PERSON

 

-

 

11.

CONSENT ON PUBLIHSING DETAIL PERSONAL INFORMATION

 

NO

 

 

 

 

 

Information sent to Polish Financial Supervision Authority (PFSA)

on the basis of art. 160 of the Act on Trading in Financial Instruments of 29th July 2005

 

(2)

 

 

No

INFORMATION

CELLS FOR COMPLETION

 

1.

NAME AND SURNAME OF OBLIGED PERSON

 

 

-

2.

INDICATION OF LEGAL TIES BETWEEN

OBLIGED PERSON AND ISSUER

 

 

 

Member of Management Board of Bank Pekao S.A.

3.

NAME AND SURNAME (FIRM) OF THE ENTITY CONDUCTING TRANSACTION

OF ACQUISITION/ DISPOSAL

 

 

Entity acting as a market maker in the shares of the Bank, in which related person is a supervisory board member

 

4.

INDICATION OF FINANCIAL INSTRUMENT AND ISSUER

 

 

Shares of Bank Pekao S.A.

5.

 

DATE AND PLACE OF

PREPARING INFORMATION

 

 

 

20.05.2014, Warsaw

6.

TRANSACTION DESCRIPTION

 

 

 

TRANSACTION DATE

 

 

2014-05-13

2014-05-14

2014-05-15

2014-05-16

2014-05-19

 

 

2014-05-13

2014-05-14

2014-05-15

2014-05-16

2014-05-19

PURCHASE / SALE

 

 

Purchase

Purchase

Purchase

Purchase

Purchase

 

 

Sale

Sale

Sale

Sale

Sale

 

VOLUME

 

 

 

8 738

10 105

8 843

6 683

5 782

 

 

8 100

11 973

16 419

946

10 815

 

PRICE PLN

(average)

 

 

183,5408

182,9329

182,8235

179,9697

179,7006

 

 

183,5197

182,9415

182,7389

180,3512

179,7409

7.

TRANSACTION PLACE

 

Warsaw Stock Exchange

 

8.

TRANSACTION TYPE

 

Ordinary transactions on regulated market

 

9.

OTHER COMMENTS

 

-

 

10.

SIGNATURE OF OBLIGED PERSON

 

-

 

11.

CONSENT ON PUBLIHSING DETAIL PERSONAL INFORMATION

 

NO

 

 

 

 

 

 

 

 

 

 

 

 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
MSCQKODDOBKDQPB
Date   Source Headline
8th Jun 20095:21 pmRNSInformation on purchase/sale of financial instr.
8th Jun 20095:21 pmRNSInformation on purchase/sale of financial instr.
13th May 20093:15 pmRNS1st Quarter Results 2009
13th May 20092:59 pmRNSInformation on purchase/sale of finan. instruments
13th May 20092:40 pmRNSShareholders who held at least 5% during AGM
7th May 200912:41 pmRNSResolutions adopted by the GM
7th May 200912:36 pmRNSAppointment of Supervisory Board Members of Bank
5th May 20097:00 amRNSChange of the report no. 23/09
28th Apr 20093:58 pmRNSBanks securities transaction
22nd Apr 20097:00 amRNSDraft of the resolutions of the General Meeting
21st Apr 20096:13 pmRNSRemoving the Vice President of theManagement Board
21st Apr 20096:06 pmRNSBanks securities transaction
21st Apr 20096:03 pmRNSEqualizing of Bank's ratings to the country level
21st Apr 20095:57 pmRNSConvening the GM of Bank - May 5, 2009
21st Apr 20095:54 pmRNSBanks securities transaction
21st Apr 20095:51 pmRNSBanks securities transaction
21st Apr 20095:48 pmRNSBanks securities transaction
21st Apr 20095:43 pmRNSRejected the appeal
21st Apr 20095:36 pmRNSBanks securities transaction
21st Apr 20095:31 pmRNSList of information notes for public announcement
19th Mar 20094:34 pmRNSEqualizing of Bank's ratings to the country level
19th Mar 20094:33 pmRNSBanks securities transactions
13th Mar 20097:00 amRNSAnnual Report and Accounts
13th Mar 20097:00 amRNSConsolidated Annual Report and Accounts
13th Mar 20097:00 amRNSDividend Declaration
10th Mar 20094:50 pmRNSBank's securities transaction
25th Feb 20092:47 pmRNSBanks securities transactions
25th Feb 20092:45 pmRNSBank's securities transaction
20th Feb 200912:29 pmRNSFinal Results - IVQ 08
4th Feb 200911:29 amRNSIncreasing the share capital of Xelion. Doradcy Fi
4th Feb 200911:23 amRNSRedemption of pre-emptive bonds issued by Bank
4th Feb 200911:17 amRNSDates of Financial Statements Release
13th Jan 20094:17 pmRNSBank's securities transaction
8th Jan 20095:11 pmRNSInformation on purchase/sale of Shares of Bank Pe
8th Jan 20095:07 pmRNSPurchase of pre-emptive bonds issued by Bank
23rd Dec 20084:18 pmRNSRedemption of bonds
23rd Dec 20084:10 pmRNSPlaintiff to the court
19th Dec 20085:52 pmRNSBanks securities transaction
19th Dec 20085:50 pmRNSDismissal of the claim
19th Dec 20085:49 pmRNSBanks securities transaction
12th Dec 20084:17 pmRNSagreement between MST and UniCredit
12th Dec 20084:13 pmRNSChanges in the composition of the Management Board
12th Dec 20084:08 pmRNSPlaintiff to the court
12th Dec 20084:04 pmRNSBank's ratings affirmed by Standard & Poor's
12th Dec 20084:03 pmRNSDismissal of the appeal
12th Dec 20084:01 pmRNSBanks securities transaction
26th Nov 20085:05 pmRNSBanks securities transaction
25th Nov 20086:00 pmRNSDismissing complaint
25th Nov 20085:59 pmRNSDismissal of the plaint
25th Nov 20085:54 pmRNSSale of stakes of Centrum Uslug Ksiegowych Ltd.

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.