20 Oct 2009 10:30
UNOFFICIAL TRANSLATION
Report 116/2009: Information on sale of financial instruments of Bank
Management Board of Bank Polska Kasa Opieki S.A. ("Bank") hereby publishes the enclosed information on transaction on Bank's financial instruments, sent by the obliged person.
Legal grounds: Section 160 subsection 4 of the Act on Trading in Financial Instruments of 29 July 2005
Information send to Polish Financial Supervision Authority (PFSA)
on the basis of art. 160 of the Act on Trading in Financial Instruments
(1)
No | INFORMATION | CELLS FOR COMPLETION | |||
1. | NAME AND SURNAME OF OBLIGED PERSON | - | |||
2. | INDICATION OF LEGAL TIES BETWEEN OBLIGED PERSON AND ISSUER | Commercial Proxy | |||
3. | NAME AND SURNAME (FIRM) OF THE ENTITY CONDUCTING TRANSACTION OF ACQUISITION/ DISPOSAL | Transaction conducted by obliged person | |||
4. | INDICATION OF FINANCIAL INSTRUMENT AND ISSUER | Ordinary Bearer Shares of Bank Pekao S.A. | |||
5. | DATE AND PLACE OF PREPARING INFORMATION | 12/10/.2009, Warsaw | |||
6. | TRANSACTION DESCRIPTION | TRANSACTION DATE 09/10/2009 | PURCHASE / SALE SALE | VOLUME 250 | PRICE PLN 156,10 |
7. | TRANSACTION PLACE | WSE | |||
8. | TRANSACTION TYPE | Ordinary transaction on regulated market | |||
9. | OTHER COMMENTS | Shares taken-up within the framework of the Motivation Program. | |||
10. | SIGNATURE OF OBLIGED PERSON | - | |||
11. | CONSENT ON PUBLISHING DETAIL PERSONAL INFORMATION | NO |