Introduction of the Amended and Restated Fee Schedule for NSD's Bank Services

22 January 2020
Print version

Ref. 47-20/332 dated 21 January 2020

Attn.: NSD's clients

Please be advised that in accordance with the resolution passed by NSD's Supervisory Board on 18 December 2019 to approve the amended and restated Fee Schedule for NSD's Bank Services (the "Fee Schedule"), the amended and restated Fee Schedule will take effect on 1 February 2020.

For the purpose of applying a harmonized approach to the charging of fees for maintaining account balances in a foreign currency within the Moscow Exchange Group, the amended and restated Fee Schedule changes the method of charging a monthly fee for maintaining clients' bank accounts in a foreign currency (paragraph 2.2 of the Fee Schedule).

The Fee Schedule is available in the 'Fee Schedule' section.


In case of any question related to this communication, you may contact your account managers by telephone (+7 495 956-27-90 or +7 495 956-27-91).

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