(PAP) Communique of the Warsaw Stock Exchange of 15 July 2018 (CATALYST)
In connection with the Resolution No. /2019 of the Warsaw Stock Exchange of 15 July 2019, the Warsaw Stock Exchange hereby notes that the last trading date of floating interest rate treasury bonds issued by the STATE TREASURY (WZ1129) with a nominal value of PLN 1.000 (one thousand zloty) each and the redemption date of 25 November 2029, marked with the code "PL0000111928", is planned for 19 November 2029.