| PAR_20181107_09510_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09509_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06834_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:ING BANK N.V. Action(s): 0053 Structured Products AIW issued - Effective 08/11/2018 |
|
|
| AMS_20181107_06833_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09508_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09507_EUR | 07 Nov 2018 | 09 Nov 2018 | CE - Shares - Capital decrease | BOIRON | |
Issuer:BOIRON Action(s): Shares - Decrease of the number of shares - Effective 09/11/2018 |
|
|
| AMS_20181107_06832_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:GOLDMAN SACHS & CO WERTP.GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09506_EUR | 07 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Delisting | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0063 Delisting Structured products - Effective 07/11/2018 |
|
|
| AMS_20181107_06831_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06830_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09505_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:CITIGROUP GLOBAL MARKETS EUROPE AG Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06829_EUR | 07 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Delisting | Multiple | |
Issuer:COMMERZBANK AG Action(s): 0063 Delisting Structured products - Effective 07/11/2018 |
|
|
| PAR_20181107_09504_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - Adjustment | Multiple | |
Issuer:COMMERZBANK AG Action(s): 0040 Change of structured product characteristics - Effective 08/11/2018 |
|
|
| BRX_20181107_01285_EUR | 07 Nov 2018 | 09 Nov 2018 | CE - Shares - Capital increase | SAINT GOBAIN | |
Issuer:SAINT-GOBAIN (COMPAGNIE DE) Action(s): Shares - Increase number of shares - Effective 09/11/2018 |
|
|
| AMS_20181107_06828_EUR | 07 Nov 2018 | 09 Nov 2018 | CE - Shares - Capital increase | SAINT GOBAIN | |
Issuer:SAINT-GOBAIN (COMPAGNIE DE) Action(s): Shares - Increase number of shares - Effective 09/11/2018 |
|
|
| AMS_20181107_06827_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Shares - Capital increase | Multiple | |
Issuer:NN PARAPLUFONDS 1 N.V., NN Paraplufonds 2 N.V. Action(s): Shares - Increase number of shares - Effective 08/11/2018 |
|
|
| PAR_20181107_09503_EUR | 07 Nov 2018 | 09 Nov 2018 | CE - Shares - Capital increase | SAINT GOBAIN | |
Issuer:SAINT-GOBAIN (COMPAGNIE DE) Action(s): Shares - Increase number of shares - Effective 09/11/2018 |
|
|
| AMS_20181107_06826_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | PLATI 826TL OPENB | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06825_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:CITIGROUP GLOBAL MARKETS EUROPE AG Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| PAR_20181107_09502_EUR | 07 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Delisting | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0063 Delisting Structured products - Effective 07/11/2018 |
|
|
| AMS_20181107_06824_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06823_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06822_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06821_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|
| AMS_20181107_06820_EUR | 07 Nov 2018 | 08 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 08/11/2018 |
|
|