Ref. No. 47-20/2165 dated 23 March 2018
Attn.: NSD's clients
Please be advised that, in accordance with NSD's Supervisory Board's resolution dated 6 March 2018 and with Order No. 53 dated 23 March 2018, the amended and restated Fee Schedule for NSD’s Services Provided in Accordance with Information Services Agreements (Appendix 2 to the Information Services Agreement) has been approved (the “Fee Schedule”).
The amended and restated Fee Schedule will take effect on 1 May 2018 and will introduce amendments related to the fees for providing information on financial instruments’ fair values – NSD’s Valuation Center (paragraphs 2, 3.2 of the Fee Schedule).
The Fee Schedule is available on NSD's official website in the following section: “Fees / Fee Schedule”.
Should you have any questions related to this communication, you may contact your account managers at: +7 495 956-27-90, +7 495 956-27-91.