Amendments to the Fee Schedule for NSD's Cash Transfer and Related Services

20 June 2017
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Ref. No. 47-20/4058 dated 20 June 2017

Attn.: NSD's clients

Please be advised that, in accordance with NSD's Supervisory Board's resolution dated 24 May 2017 to amend the Fee Schedule for NSD’s Cash Transfer and Related Services (the "Fee Schedule"), and in accordance with Order No. 101 dated 20 June 2017, the amended and restated Fee Schedule has been approved and will take effect on 1 July 2017.

The amended and restated Fee Schedule has updated the method of calculation of fees payable for the keeping of cash funds in foreign currencies in clients' bank accounts with NSD. In particular, NSD will use the method of application of effective fee rates to each currency (paragraph 1.1.5 of the Fee Schedule). For the convenience of clients, information on the fee rates will be posted on NSD's official web site ("Fees" section) and updated on a monthly basis.

In addition, for the purpose of making the relevant wordings more clear, editorial amendments have been made to paragraphs 1.5.1 and 1.5.5.

The Fee Schedule is available on NSD's official web site at, in the following section: "Fees/Fee Schedule" .

In case of any question related to this communication, you may contact your account managers at: +7 495 956-27-90, +7 495 956-27-91, or NSD's regional representatives.

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