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Announcement on the termination of the automatic revolving (renewal)

Announcement on the termination
of the automatic revolving

 
Česká spořitelna, a.s. announces the termination of automatic revolving for Golden Deposit issues listed below. The appropriate deposit principal and premium will be paid out to clients in accordance with the agreement on the following dates.


Issue KVĚTEN/14

will be disbursed to clients in compliance with the contract on 31.5.2017.

Issue DUBEN/14

will be disbursed to clients in compliance with the contract on 28.4.2017.

Issue BŘEZEN/14

will be disbursed to clients in compliance with the contract on 31.3.2017.

Issue ÚNOR/14

will be disbursed to clients in compliance with the contract on 28.2.2017.

Issue LEDEN/14

will be disbursed to clients in compliance with the contract on 31.1.2017.

Issue PROSINEC/13

will be disbursed to clients in compliance with the contract on 30.12.2016.

Issue LISTOPAD/13

will be disbursed to clients in compliance with the contract on 30.11.2016.

Issue ŘÍJEN/13

will be disbursed to clients in compliance with the contract on 31.10.2016.

Issue ZÁŘÍ/13

will be disbursed to clients in compliance with the contract on 30.9.2016.

Issue SRPEN/13

will be disbursed to clients in compliance with the contract on 31.8.2016.

Issue ČERVENEC/13

will be disbursed to clients in compliance with the contract on 29.7.2016.

Issue JISTOTA KVĚTEN/14

will be disbursed to clients in compliance with the contract on 31.5.2016.

Issue JISTOTA DUBEN/14

will be disbursed to clients in compliance with the contract on 29.4.2016.

Issue JISTOTA BŘEZEN/14

will be disbursed to clients in compliance with the contract on 31.3.2016.

Issue JISTOTA ÚNOR/14

will be disbursed to clients in compliance with the contract on 29.2.2016.

Issue JISTOTA LISTOPAD/13

will be disbursed to clients in compliance with the contract on 30/11/2015.

Issue JISTOTA ŘÍJEN/13

will be disbursed to clients in compliance with the contract on 30/10/2015.

Issue JISTOTA ZÁŘÍ/13

will be disbursed to clients in compliance with the contract on 30/09/2015.

Issue JISTOTA SRPEN/13

will be disbursed to clients in compliance with the contract on 31/08/2015.

Issue JISTOTA ČERVENEC/13

will be disbursed to clients in compliance with the contract on 31/07/2015.

Issue JISTOTA ČERVEN/13

will be disbursed to clients in compliance with the contract on 30/06/2015.

Issue JISTOTA KVĚTEN/13

will be disbursed to clients in compliance with the contract on 29/05/2015.

Issue JISTOTA DUBEN/13

will be disbursed to clients in compliance with the contract on 30/04/2015.

Issue JISTOTA BŘEZEN/13

will be disbursed to clients in compliance with the contract on 31/03/2015.

Issue JISTOTA ÚNOR/13

will be disbursed to clients in compliance with the contract on 27/02/2015.

Issue JISTOTA LEDEN/13

will be disbursed to clients in compliance with the contract on 30/01/2015.

Issue JISTOTA PROSINEC/12

will be disbursed to clients in compliance with the contract on 31/12/2014.

Issue JISTOTA LISTOPAD/12

will be disbursed to clients in compliance with the contract on 28/11/2014.

Issue LISTOPAD/11

will be disbursed to clients in compliance with the contract on 28/11/2014.

Issue JISTOTA ŘÍJEN/12

will be disbursed to clients in compliance with the contract on 31/10/2014.

Issue ŘÍJEN/11

will be disbursed to clients in compliance with the contract on 31/10/2014.

Issue JISTOTA ZÁŘÍ/12

will be disbursed to clients in compliance with the contract on 30/09/2014.

Issue ZÁŘÍ/11

will be disbursed to clients in compliance with the contract on 30/09/2014.

Issue JISTOTA SRPEN/12

will be disbursed to clients in compliance with the contract on 29/08/2014.

Issue SRPEN/11

will be disbursed to clients in compliance with the contract on 29/08/2014.

Issue JISTOTA ČERVENEC/12

will be disbursed to clients in compliance with the contract on 31/07/2014.

Issue ČERVENEC/11

will be disbursed to clients in compliance with the contract on 31/07/2014.

Issue JISTOTA ČERVEN/12

will be disbursed to clients in compliance with the contract on 30/06/2014.

Issue ČERVEN/11

will be disbursed to clients in compliance with the contract on 30/06/2014.

Issue JISTOTA LEDEN/12

will be disbursed to clients in compliance with the contract on 31/01/2014.

Issue JISTOTA PROSINEC/11

will be disbursed to clients in compliance with the contract on 30/12/2013.




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