ALERT LIST (Communiqué)

28-12-2017 11:11

Communiqué
of the Warsaw Stock Exchange
of 27 December 2017

 

Pursuant to the Resolution No 1387/2013 of the Warsaw Stock Exchange Management Board of 2 December 2013 (as amended) on the separation of the regulated market segment ALERT LIST and the rules and procedure of classification in the segment, the Warsaw Stock Exchange has reviewed and classified stock issuers’ shares in the ALERT LIST segment.

Shares of 28 issuers have been classified to the ALERT LIST segment.

The list of issuers classified to the ALERT LIST segment with the indication of number of subsequent classification, is enclosed as an annex to this Communiqué.

The Warsaw Stock Exchange hereby informs the market participants that pursuant to Par. 3, Division IV of the Detailed Exchange Trading Rules in UTP System, the change of trading system arising from the quarterly review and classification to the ALERT LIST segment, shall come into force as of trading session on 3 January 2018.

Communiqué with the annex, as well as the full text of the Resolution on the ALERT LIST mentioned in the  Communiqué hereof, shall be available on the Warsaw Stock Exchange website.  

Annex to the Communiqué of the Warsaw Stock Exchange of 27 December 2017

 

List of issuers whose sharers have been classified to the Alert List

No.

ISIN code

Name

Ticker

The average price (PLN)

No of qualification*

           

1

PLNFI0600010

06MAGNA

06N

0,30

3

2

PLKRCHM00015

ALMA

ALM

0,44

1

3

PLAMPLI00019

AMPLI

APL

0,22

14

4

PLBDPWR00014

BUDOPOL

BDL

0,06

16

5

PLBRSTM00015

CALATRAVA

CTC

0,23

3

6

PLKAREN00014

CCENERGY

CCE

0,06

16

7

PLTHP0000011

FMG

FMG

0,24

7

8

PLCASPL00019

FON

FON

0,23

2

9

PLFOTA000014

FOTA

FOT

0,15

2

10

PLVENTS00019

HAWE

HWE

0,30

6

11

PLHPRON00017

HYPERION

HYP

0,28

1

12

PLCNTZP00010

IDEON

IDE

0,01

16

13

PLBDVR000018

IFSA

IFR

0,49

1

14

PLLSTIA00018

INDYGO

IDG

0,37

2

15

PLIQPRT00017

IQP

IQP

0,23

2

16

PLHGNKA00028

KERDOS

KRS

0,02

9

17

PLPPWK000014

LARK

LRK

0,26

2

18

PLSZPTL00010

MNI

MNI

0,05

5

19

GB00B42CTW68

NEWWORLDR

NWR

0,02

14

20

PLPBG0000029

PBG

PBG

0,23

1

21

PLPRNTC00017

REGNON

REG

0,31

5

22

SE0001856519

REINHOLD

RHD

0,29

9

23

LU0564351582

SADOVAYA

SGR

0,30

11

24

PLSKTAN00010

SKOTAN

SKT

0,45

2

25

PLHRDEX00021

STARHEDGE

SHG

0,48

1

26

PLWILBO00019

WILBO

WLB

0,24

3

27

PLZSTAL00012

ZASTAL

ZST

0,17

5

28

PLZBMZC00019

ZREMB

ZRE

0,25

3

* number of subsequent qualification

 

 

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