| PAR_20181106_09457_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06798_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:VONTOBEL FINANC.PRODUCTS GMBH Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06797_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:GOLDMAN SACHS & CO WERTP.GMBH Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09456_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Bonds - New listing | LCL Z 04NOV19 | |
Issuer:CREDIT LYONNAIS Action(s): 0073 Listing Delisting MM instruments - Effective 07/11/2018 |
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| PAR_20181106_09455_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09454_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06796_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | DJIND24680BL OPENB | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06795_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Adjustment | Multiple | |
Issuer:ING BANK N.V. Action(s): 0040 Change of structured product characteristics - Effective 07/11/2018 |
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| PAR_20181106_09453_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:CITIGROUP GLOBAL MARKETS EUROPE AG Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06794_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | ESTX STN1121B | |
Issuer:BNP PARIBAS Action(s): 0083 Listing of structured notes - Effective 07/11/2018 |
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| PAR_20181106_09452_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06793_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09451_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Adjustment | Multiple | |
Issuer:ING BANK N.V. Action(s): 0040 Change of structured product characteristics - Effective 07/11/2018 |
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| AMS_20181106_06792_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - Strike Update | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0096 Strike Updates - Effective 07/11/2018 |
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| PAR_20181106_09450_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Bonds - New listing | Multiple | |
Issuer:ATOS SE Action(s): Bonds - Listing of bonds - Effective 07/11/2018 |
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| AMS_20181106_06791_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06790_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| AMS_20181106_06789_EUR | 06 Nov 2018 | 06 Nov 2018 | CE - Shares - Dividend - Announcement | NBZ | |
Issuer:NED BELEG MAATS ZEESCHEPEN NV Action(s): Shares - Cash distribution - Effective 06/11/2018 |
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| PAR_20181106_09449_EUR | 06 Nov 2018 | 06 Nov 2018 | CE - Structured Products - Delisting | Multiple | |
Issuer:BNP PARIBAS ARBITRAGE ISSUANCE BV Action(s): 0063 Delisting Structured products - Effective 06/11/2018 |
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| PAR_20181106_09448_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:EXANE FINANCE Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09447_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09446_EUR | 06 Nov 2018 | 08 Nov 2018 | CE - Shares - Capital increase | GECI INTL | |
Issuer:GECI INTERNATIONAL Action(s): Shares - Increase number of shares - Effective 08/11/2018 |
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| PAR_20181106_09445_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09444_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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| PAR_20181106_09443_EUR | 06 Nov 2018 | 07 Nov 2018 | CE - Structured Products - New Listing | Multiple | |
Issuer:UNICREDIT BANK AG. Action(s): 0038 Listing of structured products - Effective 07/11/2018 |
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