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Regulation S / Rule 144A

  • COMPANIES SUBJECT TO REGULATION S

    I. LIST OF SHARES SUBJECT TO RESTRICTIONS UNDER CATEGORY 3 OF REGULATION S

    The list of shares subject to restrictions under Category 3 of Regulation S under the U.S. Securities Act of 1933 is published in the “Prices” tab of the Warsaw Stock Exchange website.

    Companies subject to the Regulation S:  SILVAIR-REGS /18.

    II. DETAILED INFORMATION ABOUT THE TYPE AND EXTENT OF RESTRICTIONS APPLICABLE UNDER U.S. SECURITIES LAWS TO THE SHARES INCLUDED IN THE LIST REFERRED TO IN SECTION I ABOVE

    Detailed information about the type and extent of restrictions on trading in particular shares under Category 3 of Regulation S is disclosed to the public by the issuer of the shares and published on the Warsaw Stock Exchange website under the tab containing information on the prices of the shares.

    III. LEGEND APPLICABLE TO TRADING IN SHARES SUBJECT TO U.S. SECURITIES LAWS RESTRICTIONS – CATEGORY 3 OF REGULATION S

    The legend applicable to trading in shares subject to U.S. securities laws restrictions under Category 3 of Regulation S is contained in Part A of Exhibit 14 to the Detailed Exchange Trading Rules in UTP System, published on the website of the Warsaw Stock Exchange in the “Regulations” tab.

    IV. CUSTOMER STATEMENT – CATEGORY 3 OF REGULATION S

    The statement received from the Customer in connection with participation in trading in shares subject to U.S. securities laws restrictions under Category 3 of Regulation S is contained in Part A of Exhibit 15 to the Detailed Exchange Trading Rules in UTP System published on the website of the Warsaw Stock Exchange in the “Regulations” tab.

    EXHIBIT 15 TO THE DETAILED EXCHANGE TRADING RULES IN UTP SYSTEM
    STATEMENTS OF THE EXCHANGE MEMBER CONCERNING PARTICIPATION IN TRADING IN SHARES SUBJECT TO US SECURITIES LAWS RESTRICTIONS

    PART A - CATEGORY 3 OF REGULATION S (EXCERPT)

    “For securities identified in Regulation S as Regulation S Category 3 securities (identifier “REGS”) the shares we are acquiring (the “Shares”) have not been and will not be registered under the U.S. Securities Act of 1933, as amended (the “Securities Act”) and may not be offered or sold within the United States or to, or for the account or benefit of, U.S. persons (“U.S. Persons”) as defined in Regulation S (“Regulation S”) under the Securities Act except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act.

    I hereby certify, on my own behalf and on behalf of each person for which I acquire any Shares, that:
    a) I am, and any such person is, neither the issuer nor an affiliate of the issuer of the Shares, and
    b) I am not, and any such person is not, a U.S. Person, and I am not, and any such person is not, acquiring Shares for the account or benefit of a U.S. Person.

    I hereby acknowledge and agree, on my own behalf and on behalf of each person for which I acquire any Shares, that:a) (i) Unless the Shares are offered or sold pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act (a) the issuer of the Shares (the "Issuer") will not be required to accept for registration of transfer any Shares that are being transferred to a U.S. Person and (b) the Issuer may require any person who is required under this certification to be a non-U.S. Person, but is not, to transfer the Shares immediately in a manner consistent with the restrictions applicable to Category 3 securities under Regulation S under the Securities Act, and (ii) the Issuer’s bylaws, articles, charter or comparable document may contain additional provisions that further limit my, or any such person’s rights relating to these Shares.
    b) If I, or any such person, offer, resell, pledge or otherwise transfer the Shares, such shares will be offered, resold, pledged or otherwise transferred only (i) to the Issuer, (ii) to a transferee that agrees to also comply with the restrictions set forth in this certification (either in electronic form or in a form otherwise acceptable to the Issuer) and who is also a non-U.S. Person in an offshore transaction in accordance with Regulation S under the Securities Act, or (iii) pursuant to registration, or an available exemption from registration, under the Securities Act.
    c) I, and any such person, will not engage in hedging transactions with regard to the Shares unless in compliance with the Securities Act.
    d) The Issuer and its affiliates and others may rely on the acknowledgments, representations and warranties contained in this certification as a basis for establishing the exemption of the sale of the Shares under the Securities Act and under the securities laws of all applicable states, and for other purposes.
    e) By completing the purchase my certifications and agreements contained herein may be relied on by the Issuer or any interested party in any administrative or legal proceeding or official inquiry with respect to the matters covered hereby.
    f) If I am a broker dealer, my customer has been advised of and understands the contents of this certification and has authorized me to make the acknowledgements, representations, warranties and covenants contained herein on its behalf.

    Furthermore, I declare that I have read and understood the information contained in Part A of Exhibit 14 to the Detailed Exchange Trading Rules and the information referred to in § 3a and § 14a of Division 1 of the Detailed Exchange Trading Rules.”

  • COMPANIES SUBJECT TO REGULATION S/RULE 144A

    I. LIST OF SHARES SUBJECT TO RESTRICTIONS UNDER CATEGORY 3 OF REGULATION S AND RULE 144A

    The list of shares subject to restrictions under Category 3 of Regulation S and Rule 144A under the U.S. Securities Act of 1933 is published under the “Prices” tab of the Warsaw Stock Exchange website.

    Companies subject to the  Regulation S and Rule 144A:  HUUUGE-S144A /19.

    II. DETAILED INFORMATION ABOUT THE TYPE AND EXTENT OF RESTRICTIONS APPLICABLE UNDER U.S. SECURITIES LAWS TO THE SHARES INCLUDED IN THE LIST REFERRED TO IN SECTION II ABOVE

    Detailed information about the type and extent of restrictions on trading in particular shares under Category 3 of Regulation S and Rule 144A is disclosed to the public by the issuer of the shares and published on the Warsaw Stock Exchange website under the tab containing information on the prices of the shares.

    III. LEGEND APPLICABLE TO TRADING IN SHARES SUBJECT TO U.S. SECURITIES LAWS RESTRICTIONS – CATEGORY 3 OF REGULATION S/RULE 144A

    The legend applicable to trading in shares subject to U.S. securities laws restrictions under Category 3 of Regulation S and Rules 144A is contained in Part B of Exhibit 14 to the Detailed Exchange Trading Rules in UTP System, published on the website of the Warsaw Stock Exchange in the “Regulations” tab.

    IV. CUSTOMER STATEMENT – CATEGORY 3 OF REGULATION S/RULE 144A

    The statement received from the Customer in connection with participation in trading in shares subject to U.S. securities laws restrictions under Category 3 of Regulation S and Rule 144A is contained in Part B of Exhibit 15 to the Detailed Exchange Trading Rules in UTP System published on the website of the Warsaw Stock Exchange in the “Regulations” tab.

    EXHIBIT 15 TO THE DETAILED EXCHANGE TRADING RULES IN UTP SYSTEM
    STATEMENTS OF THE EXCHANGE MEMBER CONCERNING PARTICIPATION IN TRADING IN SHARES SUBJECT TO U.S. SECURITIES LAWS RESTRICTIONS

    PART B – CATEGORY 3 OF REGULATION S/RULE 144A (EXCERPT)

    For securities identified as Category 3 of Regulation S/Rule 144A securities (identifier “S144”) the shares we are acquiring (the “Shares”) have not been and will not be registered under the U.S. Securities Act of 1933, as amended (the “Securities Act”) and may not be offered or sold within the United States or to, or for the account or benefit of, U.S. persons (“U.S. Persons”) as defined in Regulation S (“Regulation S”) under the Securities Act except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act.

    I hereby certify, on my own behalf and on behalf of each person for which I acquire any Shares, that:
    a) I am, and any such person is, neither the issuer nor an affiliate of the issuer of the Shares, and
    b) Either: (i) I am, and/or any such person is, a qualified institutional buyer (“QIB”) as defined in Rule 144A under the Securities Act; and/or
    (ii) I am not, and/or any such person is not, a U.S. Person, and I am not, and/or any such person is not, acquiring Shares for the account or benefit of a U.S. Person.

    I hereby acknowledge and agree, on my own behalf and on behalf of each person for which I acquire any Shares, that:
    a) (i) Unless the Shares are offered or sold pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act (a) the issuer of the Shares (the “Issuer”) will not be required to accept for registration of transfer any Shares that are being transferred to a U.S. Person and (b) the Issuer may require any person who is required under this certification to be a non-U.S. Person, but is not, to transfer the Shares immediately in a manner consistent with the restrictions applicable to securities subject to Category 3 of Regulation S and Rule 144A under the Securities Act, and (ii) the Issuer’s bylaws, articles, charter or comparable document may contain additional provisions that further limit my, or any such person’s rights relating to these Shares.
    b) If I, or any such person, offer, resell, pledge or otherwise transfer the Shares, such Shares will be offered, resold, pledged or otherwise transferred only (i) to the Issuer, (ii) to a transferee that agrees to also comply with the restrictions set forth in this certification (either in electronic form or in a form otherwise acceptable to the Issuer) and who is also
    (a) a non-U.S. Person in an offshore transaction in accordance with Regulation S under the Securities Act, or
    (b) a QIB or (iii) pursuant to registration, or an available exemption from registration, under the Securities Act.
    c) I, and any such person, will not engage in hedging transactions with regard to the Shares unless in compliance with the Securities Act.
    d) The Issuer and its affiliates and others may rely on the acknowledgments, representations and warranties contained in this certification as a basis for establishing the exemption of the sale of the Shares under the Securities Act and under the securities laws of all applicable states, and for other purposes.
    e) By completing the purchase my certifications and agreements contained herein may be relied on by the Issuer or any interested party in any administrative or legal proceeding or official inquiry with respect to the matters covered hereby.
    f) If I am a broker dealer, my customer has been advised of and understands the contents of this certification and has authorized me to make the acknowledgements, representations, warranties and covenants contained herein on its behalf.

    Furthermore, I declare that I have read and understood the information contained in Part B of Exhibit 14 to the Detailed Exchange Trading Rules and the information referred to in § 3a and § 14a of Division 1 of the Detailed Exchange Trading Rules.”

  • DISCLAIMER

    The content of this tab is for information only and is not an offer of financial instruments or an advertisement or promotion of any financial instrument or any company.

    Please note that the Customer statements  constitute an excerpt (unchanged) from Exhibit 15 to the Detailed Exchange Trading Rules in UTP System, available on the website of the Warsaw Stock Exchange at the following address https://www.gpw.pl/regulations. IPOPEMA Securities S.A. cannot guarantee the accuracy of the information contained in these statements.

    IPOPEMA Securities S.A. disclaims any responsibility for materials provided on external websites.

    Investing in the securities involves high risks, including risks specific to equity market instruments and risks related to the business of the issuer and its operating environment. Before making an investment decision, each investor should carefully read the available information on a given issuer and, if necessary, consult advisors.

    The content of this tab may not be distributed directly or indirectly in the United States of America, Australia, Japan or Canada, or provided to citizens or residents of a country where its distribution may be restricted by applicable laws. Failure to comply with such restrictions may constitute a violation of the securities laws of that jurisdiction.


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