Euronext is pleased to exclusively offer to private investors the option to access the Euronext Cash Market Notices online at a discounted price of €4.99 (VAT included) per notice. Private investors should be advised that some notice types are available free of charge.

Samples of the different type of notices here

Non-private investors that wish to subscribe to the Euronext Cash Market Notices are invited to contact our Licensing Department at databyeuronext@euronext.com.

Notices

Notice numberIssuedEffectiveEvent TypeSymbol
PAR_20190517_05343_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05342_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05341_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05340_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05339_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05338_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05337_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05336_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05335_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05334_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05333_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05332_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05331_EUR17 May 201920 May 2019expand  CE - Bonds Delistingexpand  CIC V 03SEP19
PAR_20190517_05330_EUR17 May 201920 May 2019expand  CE - Bonds - New listingexpand  CIC V 20NOV19
PAR_20190517_05329_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05328_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05327_EUR17 May 201920 May 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190517_05326_EUR17 May 201920 May 2019expand  CE - Bonds - New listingexpand  BFCM V 20NOV19
PAR_20190517_05325_EUR17 May 201920 May 2019expand  CE - Bonds Delistingexpand  BFCM V 02OCT19
PAR_20190517_05324_EUR17 May 201920 May 2019expand  CE - Bonds - Change of characteristicsexpand  BFCM V 02DEC19
PAR_20190517_05323_EUR17 May 201920 May 2019expand  CE - Bonds - New listingexpand  BFCM V 16MAR20
AMS_20190517_02932_EUR17 May 201920 May 2019expand  CE - Structured Products - Adjustmentexpand  Multiple
LIS_20190517_00454_ACC17 May 201917 May 2019expand  CE - Structured Products - Delistingexpand  Multiple
PAR_20190517_05322_EUR17 May 201920 May 2019expand  CE - Shares - Optional dividendexpand  EDENRED
PAR_20190517_05321_EUR17 May 201917 May 2019expand  CE - Structured Products - Delistingexpand  Multiple