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Notices

Notice numberIssuedEffectiveEvent TypeSymbol
AMS_20190117_00317_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
AMS_20190117_00316_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00592_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00591_EUR17 Jan 201922 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00590_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00589_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00588_EUR17 Jan 201922 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00587_EUR17 Jan 201918 Jan 2019expand  CE - Bonds - New listingexpand  BPCE2.125%16DEC22
PAR_20190117_00586_EUR17 Jan 201922 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00585_EUR17 Jan 201922 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00584_EUR17 Jan 201922 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00583_EUR17 Jan 201921 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00582_EUR17 Jan 201921 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00581_EUR17 Jan 201921 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00580_EUR17 Jan 201918 Jan 2019expand  CE - Bonds - New listingexpand  BFCM2.25%18DEC2023
PAR_20190117_00579_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00578_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00577_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00576_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
AMS_20190117_00315_EUR17 Jan 201918 Jan 2019expand  CE - Bonds - Change of characteristicsexpand  GRL1 A3 FRNNOV42
PAR_20190117_00575_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  EUUSD 1.14TS OPENT
PAR_20190117_00574_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  Multiple
PAR_20190117_00573_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  SOGEN 30TS 0319T
PAR_20190117_00572_EUR17 Jan 201918 Jan 2019expand  CE - Structured Products - New Listingexpand  SILVE 15.5TL OPENT
PAR_20190117_00571_EUR17 Jan 201917 Jan 2019expand  CE - Structured Products - Delistingexpand  Multiple