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Samples of the different type of notices here

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Notices

Notice numberIssuedEffectiveEvent TypeSymbol
PAR_20181214_10958_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20181214_10957_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20181214_10956_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20181214_10955_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20181214_10954_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  DAX 10900TS 0319T
PAR_20181214_10953_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  SOGEN 31TS 0319T
PAR_20181214_10952_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  CAC40 4900TS OPENT
PAR_20181214_10951_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  CAC40 4900TS OPENT
PAR_20181214_10950_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  TESLA 420P 0619T
PAR_20181214_10949_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - New Listingexpand  GOLD 1240TS OPENT
AMS_20181214_07662_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - Adjustmentexpand  Multiple
PAR_20181214_10948_EUR14 Dec 201827 Dec 2018expand  CE - ETF - Dividendexpand  Multiple
PAR_20181214_10947_EUR14 Dec 201818 Dec 2018expand  CE - ETF - Change of Characteristicsexpand  Multiple
AMS_20181214_07663_EUR14 Dec 201817 Dec 2018expand  CE - Diverse Announcementexpand  Multiple
PAR_20181214_10946_EUR14 Dec 201827 Dec 2018expand  CE - Structured Products - New Listingexpand  ESTX STN1228L
PAR_20181214_10945_EUR14 Dec 201827 Dec 2018expand  CE - Structured Products - New Listingexpand  ISXE5 STN1226L
PAR_20181214_10944_EUR14 Dec 201817 Dec 2018expand  CE - Structured Products - Adjustmentexpand  Multiple
PAR_20181214_10943_EUR14 Dec 201817 Dec 2018expand  CE - Bonds - Change of characteristicsexpand  CCCM V 29MAR19
PAR_20181214_10942_EUR14 Dec 201817 Dec 2018expand  CE - Bonds - New listingexpand  CIC V 17JUN19
BRX_20181214_01443_EUR14 Dec 201817 Dec 2018expand  CE - Bonds - Change of characteristicsexpand  LISMEFRN15APR2051
AMS_20181214_07661_EUR14 Dec 201817 Dec 2018expand  CE - Bonds - Change of characteristicsexpand  HYPENA2 2.46%NOV97
PAR_20181214_10941_EUR14 Dec 201814 Dec 2018expand  CE - Structured Products - Delistingexpand  Multiple
AMS_20181214_07660_EUR14 Dec 201817 Dec 2018expand  CE - Bonds - Change of characteristicsexpand  GRL1 A3 FRNNOV42
PAR_20181214_10940_EUR14 Dec 201814 Dec 2018expand  CE - Structured Products - Delistingexpand  Multiple
PAR_20181214_10939_EUR14 Dec 201802 Jan 2019expand  CE - Bonds - Change of characteristicsexpand  NEXANS2,5%JAN19