The BVB's technical specifications with regard to the application in the MiFID II context of the BVB's Rulebook provisions related to orders, tick sizes, mechanisms related to the price variation Annex no. 1 - Tick sizes (liquidity bands) Annex no. 2 - Tick size, the maximum number of tick sizes through a Market order can pass and price protection applicable to a Market order
Technical specifications regarding the requirements applicable to Market Makers according to the changes of the BVB's Rules - market operator (MiFID 2 Market Makers), effective from January 3rd, 2018, in line with Delegated Regulation 2017/578/UE Annex 1 - List of the shares traded within the BVB's regulated market and which are considered to have a liquid market, according to the information available on the ESMA's website Annex 2 - Notification with regard to the commitment of a BVB Participant to act as MiFID 2 Market Maker for the financial instruments traded within BVB and which are considered to have a liquid market, according to the information available on the ESMA's website
BVB's Technical specifications with regard to the applications of the pre-trade transparency waivers from January 3rd, 2018, based on the changes of the BVB's Rulebook - market operator and their approval by Romanian Financial Supervisory Authority
Minimum values for deals and minimum value for hidden orders, applicable starting with August 6, 2018 to the financial instruments traded on the regulated market and ATS administrated by BVB
Update for the application of the pre-trade transparency waiver with regard to the cross orders for OMV Petrom S.A. shares at Bucharest Stock Exchange from January 14, 2019
Other documents, by financial instrument Shares Pilot program for Market Makers on shares Pilot Program designated for Market Makers registered for shares from June 1, 2018 Quoting Parameters for Classical Market Maker (CMM) and Super Market Maker (SMM) from May 8, 2018 BVB’s Procedure regarding the application of the trading fees for the Market Makers registered for shares, depending on the fulfillment of the conditions set from July 6, 2015 BVB Procedure with regard to the publication of the monthly performance of Market Makers / Liquidity Providers on the regulated spot market Basic features of trading activity Details regarding financial instruments for which extension of price variation limit may be applied Municipal bonds Specific Parameters regarding Market Maker’s activity for trading Bucharest Municipality Bonds Procedure regarding the fees for Market Makers registered for Bonds. Government Bonds Details regarding the Treasury Bonds market 2. Specific parameters for Market Makers on the Treasury Bonds market Fund units, ETFs Technical details regarding the trading units in UCITS (ETF) Specific Parameters regarding Market Maker’s activity for trading fund units in UCITS (ETF) Specific Parameters regarding Market Maker’s activity for trading fund units in Closed Investment Fund BET-FI INDEX INVEST Procedure regarding the fees for Market Makers registered for Fund units. Certificates Technical details regarding the trading of Structured Products at BVB Provisions regarding suspension from / resuming trading of structured products (certificates) having as underlying financial instruments admitted for the first time on the BVB regulated market Technical Specifications regarding the trading of Bonus Certificates issued by Erste Bank and listed on the Bucharest Stock Exchange Tehnical specifications regarding trading on BVB of the protected capital certificates issued by SSIF Broker Specific parameters for the Liquidity Provider Erste Group Bank AG for individual issues of Structured Products issued by Erste Group Bank AG, starting with December 22, 2017 Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for individual issues of Structured Products issued by Raiffeisen Centrobank AG Specific parameters for the Liquidity Provider SSIF BRK Financial Group for individual issues of Structured Products issued by SSIF BRK Financial Group Specific parameters for protected capital certificates issued by SSIF Broker Warrants Technical specifications Warrants Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for individual issues of Structured Products issued by Raiffeisen Centrobank AG Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issues of Structured Products RCBRD17R1, RCEL17R1, RCSX5E17R1, RCSX5E17R2, RCFP17R1, RCROTX17R1, RCSNG17R1, RCSNP17R1, RCTLV17R1 issued by Raiffeisen Centrobank AG starting with 5/18/2017 Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issues of Structured Products RCSNP17L1 and RCFP17X1 issued by Raiffeisen Centrobank AG starting with 10/20/2017 Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issue of Structured Product RCEL17L1 issued by Raiffeisen Centrobank AG starting with 11/20/2017
BVB’s Procedure regarding the application of the trading fees for the Market Makers registered for shares, depending on the fulfillment of the conditions set from July 6, 2015
BVB Procedure with regard to the publication of the monthly performance of Market Makers / Liquidity Providers on the regulated spot market
Specific Parameters regarding Market Maker’s activity for trading fund units in Closed Investment Fund BET-FI INDEX INVEST
Provisions regarding suspension from / resuming trading of structured products (certificates) having as underlying financial instruments admitted for the first time on the BVB regulated market
Technical Specifications regarding the trading of Bonus Certificates issued by Erste Bank and listed on the Bucharest Stock Exchange
Tehnical specifications regarding trading on BVB of the protected capital certificates issued by SSIF Broker
Specific parameters for the Liquidity Provider Erste Group Bank AG for individual issues of Structured Products issued by Erste Group Bank AG, starting with December 22, 2017
Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for individual issues of Structured Products issued by Raiffeisen Centrobank AG
Specific parameters for the Liquidity Provider SSIF BRK Financial Group for individual issues of Structured Products issued by SSIF BRK Financial Group
Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for individual issues of Structured Products issued by Raiffeisen Centrobank AG
Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issues of Structured Products RCBRD17R1, RCEL17R1, RCSX5E17R1, RCSX5E17R2, RCFP17R1, RCROTX17R1, RCSNG17R1, RCSNP17R1, RCTLV17R1 issued by Raiffeisen Centrobank AG starting with 5/18/2017
Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issues of Structured Products RCSNP17L1 and RCFP17X1 issued by Raiffeisen Centrobank AG starting with 10/20/2017
Specific parameters for the Liquidity Provider Raiffeisen Centrobank AG for the individual issue of Structured Product RCEL17L1 issued by Raiffeisen Centrobank AG starting with 11/20/2017
Market data transparency information in accordance with the Article 11 of Commission Delegated Regulation (EU) 2017/567 supplementing Regulation (EU) No 600/2014
Corporate Governance Code The new BVB Corporate Governance Code entered into force on January 4, 2016