2015-01-29 13:44:49

ING BANK N.V. (Resolution No. 106/2015)

Resolution No. 106/2015
of the Warsaw Stock Exchange Management Board
dated 28 January 2015


concerning the introduction to exchange trading in the WSE Main List of structured certificates issued by ING BANK N.V.

§ 1


Pursuant to § 38.1 and § 38.3 of the WSE Rules, and Division V § 1.1 and § 2.1 of the Detailed Exchange Trading Rules in UTP system, the WSE Management Board resolves:
1) to introduce as of 29 January 2015 by way of an ordinary procedure to exchange trading in the parallel market structured certificates issued by ING BANK N.V. in 20 series of certificates referred to in the Exhibit to this Resolution, in a number no higher than number of certificates of a given series indicated in this Exhibit in the column "Issue Volume", registered by the National Depository for Securities under the code as indicated in the Exhibit to this Resolution;
2) to list the structured certificates issued by ING BANK N.V., mentioned in point 1) above, in the market maker system under the abbreviated name as indicated in the Exhibit to this Resolution;
3) to list the structured certificates issued by ING BANK N.V., mentioned in point 1) above, in leveraged structured instruments segment, (Segment A instruments).

§ 2


This Resolution shall come into force on the date of adoption.


Exhibit to Resolution No. 106/2015 of the Warsaw Stock Exchange Management Board
dated 28 January 2015


No ISIN Product Underlying (UL) unique abbrev. name Product Issue Volume (units)
1. PLINGNV07484 DAX INDEX INTLDAX07484 25 000
2. PLINGNV07492 DAX INDEX INTSDAX07492 25 000
3. PLINGNV07500 EURO STOXX 50 (PRICE) INDEX INTLESX07500 25 000
4. PLINGNV07518 EURO STOXX 50 (PRICE) INDEX INTSESX07518 25 000
5. PLINGNV07526 POWSZECHNY ZAKŁAD UBEZPIECZEŃ S.A. INTLPZU07526 40 000
6. PLINGNV07534 POWSZECHNA KASA OSZCZĘDNOŚCI BANK POLSKI S.A. INTLPKO07534 80 000
7. PLINGNV07542 POWSZECHNA KASA OSZCZĘDNOŚCI BANK POLSKI S.A. INTSPKO07542 80 000
8. PLINGNV07559 BANK POLSKA KASA OPIEKI S.A. INTLPEO07559 10 000
9. PLINGNV07567 POLSKI KONCERN NAFTOWY ORLEN S.A. INTSPKN07567 40 000
10. PLINGNV07575 DEUTSCHE BANK AG INTLDBK07575 10 000
11. PLINGNV07583 BAYERISCHE MOTOREN WERKE AG INTLBMW07583 30 000
12. PLINGNV07591 BAYERISCHE MOTOREN WERKE AG INTLBMW07591 30 000
13. PLINGNV07609 BAYERISCHE MOTOREN WERKE AG INTSBMW07609 30 000
14. PLINGNV07617 EUR/CHF INTLEUC07617 15 000
15. PLINGNV07625 EUR/CHF INTSEUC07625 15 000
16. PLINGNV07633 EUR/USD INTLEUD07633 15 000
17. PLINGNV07641 EUR/USD INTLEUD07641 15 000
18. PLINGNV07658 EUR/USD INTSEUD07658 15 000
19. PLINGNV07666 USD/PLN INTLUSD07666 15 000
20. PLINGNV07674 USD/PLN INTSUSD07674 15 000

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