Dear Sirs and Madams, IRGiT S.A.(“IRGiT”) hereby reports that it is amending the Detailed Clearing and Settlement Rules of the Exchange Clearing House (“Detailed Clearing and Settlement Rules”), consisting in changing the Invoice Issuance Schedule constituting Appendix 2 to the Detailed Clearing and Settlement Rules (“Schedule”).
The amendments concern the determination of the Invoice Date when, according to the general rules of the Schedule, for a particular day in the Delivery Period the Invoice Date would fall in the following calendar month. In such a case the Invoice Date for this day of the Delivery Period will be the last day of the calendar month, even if it falls on a public holiday or consecutive public holidays.
The changes will come into effect as of 29 August 2025.
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