Lower Liquidity Zone (Communiqué)

26-09-2025 18:12

Communiqué
of the Warsaw Stock Exchange
of 26 September 2025
(WSE Main Market)

The Warsaw Stock Exchange announces that in accordance with Par. 4 of the Resolution No. 1068/2019 of the Warsaw Stock Exchange Management Board of 10 October 2019 on the Liquidity Support Programme and Lower Liquidity Zone (as amended), the liquidity of the WSE listed companies has been reviewed.

Following verification, shares of 38 issuers have been classified to the Lower Liquidity Zone.

As of 26 September 2025, 106 issuers participate in the Liquidity Support Programme.

The list of issuers whose shares have been classified to the Lower Liquidity Zone are enclosed as an annex to the Communiqué hereof.

The Warsaw Stock Exchange announces that pursuant to Par. 3, IV Division of the Detailed Exchange Trading Rules, the change of trading system arising from the review of companies’ shares liquidity carried out on 26 September 2025, will come into force as of trading session on 1 October 2025.

Annex
to the Communiqué of the Warsaw Stock Exchange of 26 September 2025

List of issuers whose shares have been classified to the Lower Liquidity Zone

 

ISIN

Name

Abbreviated name

1

PLNFI0800016

08OCTAVA     

08N 

2

PLAMPLI00019

AMPLI        

APL 

3

PLBRSTR00014

BRASTER      

BRA 

4

PLCPTLP00015

CAPITAL      

CPA 

5

PLKAREN00014

CCENERGY     

CCE 

6

PLINTKS00013

CFI          

CFI 

7

EE3100126368

CITYSERV     

CTS 

8

PLCRWTR00022

CZTOREBKA    

CZT 

9

PLEFEKT00018

EFEKT        

EFK 

10

PLEKEP000019

EKOEXPORT    

EEX 

11

PLENAP000010

ENAP         

ENP 

12

PLFSTFC00012

FASTFIN      

FFI 

13

PLWRKSR00019

GIGROUP      

GIG 

14

PLDUDA000016

GOBARTO      

GOB 

15

PLLSTIA00018

INDYGO       

IDG 

16

LT0000128621

INTERAOLT    

IRL 

17

PLIZBLK00010

IZOBLOK      

IZB 

18

CY0102492119

KDMSHIPNG    

KDM 

19

PLADDRG00015

MANYDEV      

MAN 

20

PLMGRON00016

MEGARON      

MEG 

21

PLORZBL00013

ORZBIALY     

OBL 

22

PLPBG0000029

PBG          

PBG 

23

PLBEFSN00010

PBSFINANSE   

PBF  

24

PLPRMMD00012

PRIMAMODA    

PMA 

25

PLQNTUM00018

QUANTUM      

QNT 

26

PLREDAN00019

REDAN        

RDN 

27

PLPRNTC00017

REGNON       

REG 

28

SE0001856519

REINHOLD     

RHD 

29

LU0564351582

SADOVAYA     

SGR 

30

PLADVPL00029

SATIS         

STS 

31

JE00BNNMKT29

SERINUS      

SEN 

32

PLNFI0400015

SOHODEV      

SHD 

33

PLHRDEX00021

STARHEDGE    

SHG 

34

PLTBULL00024

TBULL        

TBL 

35

PLTWRNV00013

TOWERINVT    

TOW 

36

PLASMOT00030

TRITON       

TRI 

37

PLVTLGD00010

VISTAL       

VTL 

38

PLPRESC00018

YOLO         

YOL