Fee Calculator for Czech Securities
I am:
Please select
Owner of securities
Issuer
I am interested in:
Please select
Determination of the amount of fees for keeping securities on asset account
I keep securities on my asset account, in the volume of
Listed securities, at market value of:
CZK
Unlisted securities, at nominal value of:
CZK
Bonds, at nominal value of:
CZK
I am interested in:
Please select
Determination of the fee for the entry (execution) of a new issue + crediting to owners’ accounts
Determination of the fee for keeping issue records according to the Issue Records Agreement
Determination of the fee for change in the form of securities (bearer, holder)
Determine the fee of change in the type, from certificates to dematerialised securities
I am interested in issuing:
Please select
Shares/Participation Certificates
Bonds
Type of issue (securities):
Please select
Shares
Bonds
Type of issue (securities):
Please select
Shares
Bonds
I am interested in a change in the type of securities to dematerialised:
Please select
Shares/Participation Certificates
Bonds
Number of accounts, to which the issue is credited:
Method of crediting:
Please select
Electronic DFP
Electronic DVP
Written DVP
Written DFP
Issue volume (nominal value):
CZK
Number of months to maturity (number of months between the date of issue and the date of repayment):
Number of accounts, to which the issue is credited:
Method of crediting:
Please select
Electronic DFP
Electronic DVP
Written DVP
Written DFP
Issue volume (nominal value):
CZK
Number of accounts to which the issue is credited:
Number of accounts, to which the issue is credited:
Method of crediting:
Please select
Electronic DFP
Electronic DVP
Written DVP
Written DFP
Issue volume (nominal value):
CZK
Number of months to maturity (number of months between the date of issue and the date of repayment):
Number of accounts, to which the issue is credited:
Method of crediting:
Please select
Electronic DFP
Electronic DVP
Written DVP
Written DFP