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Current
reports

June

27/2026

01.06.2026 (10:27)

Decision on the first trading day for series AF2 bonds

May

26/2026

29.05.2026 (17:12)

Early redemption of all T1 series bonds at the issuer’s request

25/2026

29.05.2026 (17:04)

Early redemption of all Z3 series bonds at the issuer’s request

24/2026

29.05.2026 (10:22)

Convening of the Ordinary General Meeting of BEST S.A.

23/2026

28.05.2026 (15:20)

Final allotment of series AF2 bonds

22/2026

27.05.2026 (09:47)

Adoption of a resolution on increasing the share capital within the authorised capital

21/2026

26.05.2026 (13:57)

Admission of series AF2 bonds to exchange trading

20/2026

25.05.2026 (12:13)

Conditional registration of AF1 bonds with the National Depository for Securities

19/2026

21.05.2026 (13:30)

Summary of the issue of series AF2 bonds

18/2026

04.05.2026 (12:16)

Issue of bonds by way of a public offering

April

17/2026

15.04.2026 (18:01)

Allocation of Series D3 subscription warrants for 2024 to persons eligible under the incentive programme

16/2026

15.04.2026 (17:47)

Information on the total nominal value of claim portfolios acquired by entities from BEST S.A. Capital Group, the acquisition cost of the new claim portfolios and the value of repayments under the claim portfolios held in the first quarter of 2026.

15/2026

02.04.2026 (09:08)

Information on transactions on the Issuer’s bonds disclosed under Article 19 MAR

March

14/2026

27.03.2026 (13:25)

Information on transactions on the Issuer’s bonds disclosed under Article 19 MAR

13/2026

26.03.2026 (12:48)

Decision on the first trading day for series AF1 bonds

12/2026

25.03.2026 (16:45)

Early redemption of all Z5 series bonds at the issuer’s request

11/2026

25.03.2026 (16:41)

Early redemption of all Z4 series bonds at the issuer’s request

10/2026

24.03.2026 (16:57)

Final allocation of Series AF1 bonds

9/2026

20.03.2026 (08:56)

Termination of the agreement with the audit firm for the assurance of sustainability reporting

8/2026

20.03.2026 (08:55)

Conditional registration of AF1 bonds with the National Depository for Securities

7/2026

20.03.2026 (08:54)

Admission of AF1 bonds to trading on the regulated market

6/2026

18.03.2026 (17:25)

Summary of the issue of series AF1 bonds

5/2026

02.03.2026 (14:34)

Issue of bonds by way of a public offering

February

4/2026

20.02.2026 (10:34)

Information on shareholder notification under Article 69 of the Offering Act

3/2026

20.02.2026 (10:32)

Information on transactions on the Issuer’s shares received under Article 19 MAR

January

2/2026

28.01.2026 (09:04)

Information on dates for submitting periodic reports in 2026

1/2026

15.01.2026 (12:13)

Information on the total nominal value of claim portfolios acquired by entities from BEST S.A. Capital Group, the acquisition cost of the new claim portfolios and the value of repayments under the claim portfolios held in four quarters of 2025 and in the fourth quarter of 2025.