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16.7.2024. Change percentage ownership ZIF HERBOS FOND d.d. Tuzla, a securities owner who previously owned 5% - 10% of votes representing shares of PRETIS d.d. Vogošća, has reduced the percentage of his ownership to less than 5% of votes representing shares.
16.8.2012. Registration securities in RVP system This is to inform you that, on August, 16, 2012 the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • entered new securities into the Registry registration system, municipal bonds issued by Community Cazin:


  • Symbol OPCZKA , ISIN number: BAOPCZKA0007, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.01.2013, annual interest rate 6%


    Symbol OPCZKB , ISIN number: BAOPCZKB0006, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.07.2013, annual interest rate 6%


    Symbol OPCZKC , ISIN number: BAOPCZKC0005, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.01.2014, annual interest rate 6%


    Symbol OPCZKD , ISIN number: BAOPCZKD0004, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.07.2014, annual interest rate 6%


    Symbol OPCZKE , ISIN number: BAOPCZKE0003, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.01.2015, annual interest rate 6%


    Symbol OPCZKF , ISIN number: BAOPCZKF0002, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.07.2015, annual interest rate 6%


    Symbol OPCZKG , ISIN number: BAOPCZKG0001, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.01.2016, annual interest rate 6%


    Symbol OPCZKH , ISIN number: BAOPCZKH0000, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.07.2016, annual interest rate 6%


    Symbol OPCZKI , ISIN number: BAOPCZKI0009, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.01.2017, annual interest rate 6%


    Symbol OPCZKJ , ISIN number: BAOPCZKJ0008, issuer Community Cazin , quantity 1.000, nominal bond value 100,00 BAM, issue date 19.07.2012, maturity date 19.07.2017, annual interest rate 6%
    16.8.2016. Registration securities in RVP system This is to inform you that, on August 16, 2016, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • entered new securities into the Registry registration system:

  • Symbol CNTOG, ISIN number: BACNTOG00008, issuer CENTRAL OSIGURANJE d.d. ,quantity 20.000, nominal share value 100,00 BAM.
    16.8.2018. Removal securities from RVP system This is to inform you that, on August 16, 2018, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • removed securities:


  • Symbol FBIHT63, ISIN number: BAFBIHT63004, issuer FEDERACIJA BOSNE I HERCEGOVINE-FEDERALNO MINISTARSTVO FINANCIJA, quantity 2.000, nominal value 10.000,00 BAM.
    16.9.2010. Removal securities from RVP system This is to inform you that, on september 16, 2010, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • removed securities:

  • Symbol FISVE1009 , ISIN number: BAFISVE10093, issuer FIS d.o.o. Vitez ,quantity 6.005, nominal commercial paper value 100,00 BAM.
    16.9.2011. Primary Issue Registration of the issuer "KOMPAS MEĐUGORJE d.d." We hereby inform you that the Registry of Securities in the Federation of Bosnia and Herzegovina, pursuant to the request of the issuer KOMPAS MEĐUGORJE d.d. Međugorje, Čitluk, and the resolution by the Securities Commission, on 15.09.2011 g. registered the said issuer and the ordinary share issuance. The number of shares issued is 115.305, the nominal share value is 30,00 BAM , and the share symbol is KPSMR. The total value of the registered share issuance is je 3.459.150,00 BAM.
    16.9.2015. Registration treasury papers in RVP system This is to inform you that, on September 16, 2015, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • entered new securities:

  • Symbol FBIHT34, ISIN number: BAFBIHT34005, issuer FEDERACIJA BOSNE I HERCEGOVINE-FEDERALNO MINISTARSTVO FINANCIJA ,quantity 2.000, nominal treasury paper value 10.000,00 BAM, maturity September 14, 2016.
    17.1.2014. Suspension securities from RVP system This is to inform you that, on January 17, 2014, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • suspension securities:

  • Symbol ATMHR , ISIN number: BAATMHR00005, issuer AUTOMEHANIKA DD ORAŠJE ,quantity 7.200, nominal share value 100,00 BAM.

    17.10.2012. Registration (Removal) securities in (from) RVP system This is to inform you that, on October 17, 2012, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • removed securities:


  • Symbol OGTSR, ISIN number: BAOGTSR00005, issuer OGREVTRANS D.D. SARAJEVO ,quantity 23.342, nominal share value 100,00 BAM.

  • entered new securities into the Registry registration system:


  • Symbol OGTSR ISIN number: BAOGTSR00005 , issuer OGREVTRANS D.D. SARAJEVO , quantity 23.342, nominal share value 10,00 BAM.

    17.10.2018. Registration treasury papers in RVP system This is to inform you that, on October 17, 2018, the Registry of Securities in the Federation of Bosnia and Herzegovina, performed the following:
  • entered new securities:

  • Symbol FBIHT66, ISIN number: BAFBIHT66007, issuer FEDERACIJA BOSNE I HERCEGOVINE-FEDERALNO MINISTARSTVO FINANCIJA ,quantity 2.000, nominal treasury paper value 10.000,00 BAM, Issue date October 17, 2018, Maturity date July 17, 2019.
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