Membership General Terms and Conditions

Here you can find the general terms and conditions regulating the relationship between MTS and the market participants to be read in conjunction with the Request for Services and all the relevant schedules.
Markets managed by MTS SpA
MTS S.p.A Terms and Conditions (i.e. BondVision Europe MTF, MTS Italy Cash and Repo, MTS Depo, MTS Cash Domestic Markets and EBM)MTS S.p.A. Membership and Trading Fees

 BondVision Europe MTF (Cash & Repo Segments) - Dealer & Quote Provider - Fee schedule effective 01 January 2024

 BondVision Europe MTF (Cash & Repo Segments) - End User & Quote Requester - Fee schedule effective 01 January 2024

 MTS Italy (Cash Segment) - Fee schedule effective 01 January 2024

 MTS Italy (Cash Segment) - Fee schedule effective 01 July 2024

 MTS Italy (Repo and Depo Segment) - Fee schedule effective 01 January 2024

 MTS Italy (Repo and Depo Segment) - Fee schedule effective 01 July 2024

 EBM - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Cyprus Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Czech Republic Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Hungary Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Israel Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Slovakia Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Slovenia Segment) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Market (MTS Spain Segment) - Brokers - Fee schedule effective 01 January 2024

 MTS Cash Domestic Markets (MTS Austria, MTS EU, MTS France, MTS Germany, MTS Greece, MTS Ireland, MTS Netherlands, MTS Portugal, MTS Spain) - Fee schedule effective 01 January 2024

 MTS Cash Domestic Markets (MTS Austria, MTS EU, MTS France, MTS Germany, MTS Greece, MTS Ireland, MTS Netherlands, MTS Portugal, MTS Spain) - Fee schedule effective 01 July 2024