Translation. Region: Russian Federal
Source: Moscow Exchange – Moscow Exchange –
An important disclaimer is at the bottom of this article.
In accordance with the Rules for conducting trading on the stock market, deposit market and credit market of the Public Joint Stock Company “Moscow Exchange MICEX-RTS” and in connection with the partial redemption of shares, when submitting applications for concluding transactions with the following securities:
| Item No. | Issuer (Management Company) | Name, type, kind of security | Isin | Security code |
| 1 | JSC VIM Investments | Investment units of the Closed-end mutual investment combined fund “Pre-IPO Fund 1” | RU000A10000 | RU000A10000 |
13.08.2025, the settlement codes that provide for the execution of transactions no later than 13.08.2025 are acceptable. (the last trading day in the T 1 order book is 12.08.2025) 14.08.2025, the acceptable settlement codes are T0 and Z0. From 15.08.2025 to 31.08.2025, there are no acceptable settlement codes. From 01.09.2025, all settlement codes permitted for this type of securities are available.
The specified restrictions apply on the days on which the Main Trading Session is held. On the days on which the Additional Weekend Trading Session is held, the restrictions of the day on which the Main Trading Session of the Trading Day of which this Additional Weekend Trading Session is a part apply, see Trading calendar — Moscow Exchange | Markets.
Contact information for media 7 (495) 363-3232Pr@moex.kom
Please note: This information is raw content obtained directly from the source of the information. It is an accurate report of what the source claims and does not necessarily reflect the position of MIL-OSI or its clients.
