-
Listing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
Trading
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
Clearing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
CSD
European CSD modelBuilding the CSD of Choice in EuropeLer maisEuronext Securities is shaping the future of European capital markets by enhancing integration, connectivity, and innovation.
-
Technology
Euronext Technology SolutionsHigh-Frequency Trading Solution (HFTS)Ler maisThe new generation of high-frequency risk trading platforms, offering the highest performance with ultra-low latency and minimal jitter, all at a low total cost of ownership.
-
Data
-
Indices
Access the white paperNext generation of indicesLer maisThis white paper marks the second edition of Euronext’s Index Outlook series, a recurring publication designed to give investors deeper insight into our index innovation agenda and the structural forces shaping global markets.
- Regulamento
-
About Euronext
Euronext strategic planInnovate for Growth 2027Ler maisShaping capital markets for future generations
-
Listing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
Trading
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
Clearing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
-
CSD
European CSD modelBuilding the CSD of Choice in EuropeLer maisEuronext Securities is shaping the future of European capital markets by enhancing integration, connectivity, and innovation.
-
Technology
Euronext Technology SolutionsHigh-Frequency Trading Solution (HFTS)Ler maisThe new generation of high-frequency risk trading platforms, offering the highest performance with ultra-low latency and minimal jitter, all at a low total cost of ownership.
-
Data
-
Indices
Access the white paperNext generation of indicesLer maisThis white paper marks the second edition of Euronext’s Index Outlook series, a recurring publication designed to give investors deeper insight into our index innovation agenda and the structural forces shaping global markets.
- Regulamento
-
About Euronext
Euronext strategic planInnovate for Growth 2027Ler maisShaping capital markets for future generations
Ativos sob gestão
Dados actualizados em
| Código ISIN | Código CVM | Emissão | Tipo | Data Integração | Entidade Emitente | Valor Nominal | Moeda | Pool Factor | Quantidade inscrita | Tipo quantidade |
|---|---|---|---|---|---|---|---|---|---|---|
| PTTDV0AM0005 | TDV AM | VILA RIO ALMA E SAL - SIC IMOBILIARIA FECHADA, S.A. - CATEGORIA A | Acção | VILA RIO ALMA E SAL - SIC IMOBILIÁRIA FECHADA, S.A. | 1.00 | EUR | 52,864,664.00000 | UNIT | ||
| PTTDV1AM0004 | TDV1AM | VILA RIO ALMA E SAL - SIC IMOBILIARIA FECHADA, S.A. - CATEGORIA B | Acção | VILA RIO ALMA E SAL - SIC IMOBILIÁRIA FECHADA, S.A. | 1.00 | EUR | 10,135,336.00000 | UNIT | ||
| PTMNSTIM0004 | MNSTIM | VILLANOVA - FUNDO DE CAPITAL DE RISCO - CATEGORIA A | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 6,346.00000 | UNIT | ||
| PTLYNJIM0009 | LYNJIM | VILLANOVA - FUNDO DE CAPITAL DE RISCO - CATEGORIA B | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 5,588.17420 | UNIT | ||
| PTMNSGIM0025 | MNSGIM | VILLANOVA II - FCR FECHADO - CATEGORIA A | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 4,439.89740 | UNIT | ||
| PTLYNNIM0003 | LYNNIM | VILLANOVA II - FCR FECHADO - CATEGORIA B | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 2,965.00000 | UNIT | ||
| PTVIF0AM0003 | VIF AM | VIOLAS FERREIRA - SIC IMOBILIARIA FECHADA, S.A. | Acção | VIOLAS FERREIRA - SIC IMOBILIÁRIA FECHADA, S.A. | 5.00 | EUR | 700,000.00000 | UNIT | ||
| PTVS1EOM0001 | VS1EOM | VIOLAS SGPS/2024-2032 - TX.FIXA - SERIE A | Obrigação | VIOLAS - SOCIEDADE GESTORA DE PARTICIPAÇÕES SOCIAIS, S.A. | 85,400.00 | EUR | 0.854000000000 | 120,000,000.00000 | FAMT | |
| PTVS1FOM0000 | VS1FOM | VIOLAS SGPS/2024-2032 - TX.VARIAVEL - SERIE B | Obrigação | VIOLAS - SOCIEDADE GESTORA DE PARTICIPAÇÕES SOCIAIS, S.A. | 85,400.00 | EUR | 0.854000000000 | 120,000,000.00000 | FAMT | |
| PTBLWBIM0003 | BLWBIM | VIRIATUS FUND, FCR FECHADO | Unidade de Participação | BLUECROW - SOCIEDADE DE CAPITAL DE RISCO, S.A. | 50,000.00 | EUR | 300.00000 | UNIT | ||
| PTVNY0AM0004 | VNY AM | VISIONARY STORY - SIC IMOBILIARIA FECHADA, S.A. | Acção | VISIONARY STORY - SIC IMOBILIÁRIA FECHADA, S.A. | 1.73 | EUR | 144,125.00000 | UNIT | ||
| PTVAL0AM0008 | VAL AM | VIVEIROS ALIANCA-EMPR PRODUTORA DE PLANTAS | Acção | VIVEIROS ALIANÇA-EMPRESA PRODUTORA DE PLANTAS, S.A. | 10.00 | EUR | 350,000.00000 | UNIT | ||
| PTTODAHM0005 | TODAHM | VTLS OIAVM - SUBFUNDO GLOBAL TRENDS - FIAMA - CATEGORIA A | Unidade de Participação | TODAY FOR TOMORROW - SGOIC, S.A. | 1.00 | EUR | 201,674.43930 | UNIT | ||
| PTTODBHM0004 | TODBHM | VTLS OIAVM - SUBFUNDO GLOBAL TRENDS - FIAMA - CATEGORIA I | Unidade de Participação | TODAY FOR TOMORROW - SGOIC, S.A. | 1.00 | EUR | 20,729,199.21320 | UNIT | ||
| PTTODCHM0003 | TODCHM | VTLS OIAVM - SUBFUNDO GLOBAL TRENDS - FIAMA - CATEGORIA Z | Unidade de Participação | TODAY FOR TOMORROW - SGOIC, S.A. | 1.00 | EUR | 0.00000 | UNIT | ||
| PTMNSHIM0016 | MNSHIM | WAGMI VENTURES - FUNDO DE CAPITAL DE RISCO - CATEGORIA A | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 2,700.00000 | UNIT | ||
| PTLYNKIM0006 | LYNKIM | WAGMI VENTURES - FUNDO DE CAPITAL DE RISCO - CATEGORIA B | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 50.00000 | UNIT | ||
| PTLYNLIM0005 | LYNLIM | WAGMI VENTURES - FUNDO DE CAPITAL DE RISCO - CATEGORIA C | Unidade de Participação | LYNX ASSET MANAGERS - SGOIC, S.A. | 1,000.00 | EUR | 700.00000 | UNIT | ||
| PTAWOAOM0004 | AWOAOM | WAREWONDER PROPCO I/2024 - EUR 54.900.000 FLOATING RATE UNSECURED NOTES DUE 2029 | Obrigação | WAREWONDER PROPCO I, UNIPESSOAL, LDA | 100,000.00 | EUR | 0.000000000000 | 54,900,000.00000 | FAMT | |
| PTAWNAOM0005 | AWNAOM | WAREWONDER PROPCO II/2024 - EUR 16.800.000 FLOATING RATE UNSECURED BONDS DUE 2029 | Obrigação | WAREWONDER PROPCO II, LDA | 100,000.00 | EUR | 0.000000000000 | 16,800,000.00000 | FAMT | |
| PTMR4DOM0000 | MR4DOM | WAREWONDER PROPCO III/2024 - EUR 19.400.000 FLOATING RATE UNSECURED BONDS DUE 2029 | Obrigação | WAREWONDER PROPCO III, LDA | 100,000.00 | EUR | 0.000000000000 | 19,400,000.00000 | FAMT | |
| PTAWDAOM0007 | AWDAOM | WAREWONDER PROPCO IV/2024 - EUR 17.700.000 FLOATING RATE UNSECURED BONDS DUE 2029 | Obrigação | WAREWONDER PROPCO IV, UNIPESSOAL, LDA | 100,000.00 | EUR | 0.000000000000 | 17,700,000.00000 | FAMT | |
| PTWTGAOM0003 | WTGAOM | WTG ENERGIAS/2022 - UP TO EUR 14.500.000 BONDS DUE 31 DECEMBER 2034 | Obrigação | WTG ENERGIAS, S.A. | 12,411.35 | EUR | 0.124113475178 | 14,100,000.00000 | FAMT | |
| PTYRS0AM0001 | YRS AM | YD YNVISIBLE, SA | Acção | YD YNVISIBLE, S.A. | 0.01 | EUR | 26,172,815.00000 | UNIT | ||
| PTONPBIM0005 | ONPBIM | ZIMBRU - FUNDO DE INVESTIMENTO IMOBILIARIO FECHADO | Unidade de Participação | ONON PARTNERS - SCR, S.A. | 100.00 | EUR | 20,000.00000 | UNIT |