-
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 |
|---|---|---|---|---|---|---|---|---|---|---|
| PTHRZDOM0008 | HRZDOM | HORIZON SPIRIT/2025 - EUR 673.000 DIRECT, UNCONDITIONAL AND UNSECURED BONDS DUE 2026 - TO BE FUNGIBLE W/ PTHRZBOM0000 | Obrigação | HORIZON SPIRIT, UNIPESSOAL LDA | 1.00 | EUR | 0.000000000000 | 673,000.00000 | FAMT | |
| PTOAS0AM0008 | OAS AM | HORIZON VIEW - NAVEGACAO E TRANSITOS, S.A. | Acção | HORIZON VIEW - NAVEGAÇÃO E TRÂNSITOS, S.A. | 1.00 | EUR | 250,000.00000 | UNIT | ||
| PTHZSAOM0000 | HZSAOM | HORIZONTE SUBTIL/2022 - ATE 30.000.000 EUR -OBRIG. JUNIORES SUBORDINADAS NAO GARANTIDAS - 2032 | Obrigação | HORIZONTE SUBTIL S.A. | 1.00 | EUR | 0.000000000000 | 18,872,146.00000 | FAMT | |
| PTERDBOM0009 | ERDBOM | HORTUS PORTAE/2021-EUR 87.000.000 SECURED BONDS WITH ATTACHED WARRANTS DUE 31.12.2029 | Obrigação | HORTUS PORTAE, S.A. | 101,401.31 | EUR | 1.014013061728 | 27,100,000.00000 | FAMT | |
| PTERDCOM0008 | ERDCOM | HORTUS PORTAE/2024 - EUR 7.500.000 UNSECURED BONDS DUE 31.12.2029 | Obrigação | HORTUS PORTAE, S.A. | 108,080.87 | EUR | 1.080808709333 | 2,300,000.00000 | FAMT | |
| PTERDDOM0007 | ERDDOM | HORTUS PORTAE/2025 - EUR 5.789.111,12 - R2(B) BONDS - 31 DEC.2029 OR 2030 | Obrigação | HORTUS PORTAE, S.A. | 111,329.06 | EUR | 1.000000000000 | 5,789,111.12000 | FAMT | |
| PTERDEOM0006 | ERDEOM | HORTUS PORTAE/2025 - EUR 65.622.828,03 - R2(A) SEC. BONDS EXCHANGEABLE FOR SHARES - 31 DEC.2029 OR 2030 | Obrigação | HORTUS PORTAE, S.A. | 109,553.97 | EUR | 1.000000000000 | 65,622,828.03000 | FAMT | |
| PTSGD0AM0008 | SGD AM | HOSPITAL CUF DESCOBERTAS, SA | Acção | HOSPITAL CUF DESCOBERTAS, S.A. | 5.00 | EUR | 1,570,000.00000 | UNIT | ||
| PTSGD2VM0001 | SGD2VM | HOSPITAL CUF DESCOBERTAS,SA-ACOES PREF. S/VOTO | Acção | HOSPITAL CUF DESCOBERTAS, S.A. | 5.00 | EUR | 1,114.00000 | UNIT | ||
| PTOISGIM0004 | OISGIM | HOSPITALITY EXPANSION FUND, FCR FECHADO - CATEGORIA A | Unidade de Participação | ABOVE CAPITAL - SCR, S.A. | 50,000.00 | EUR | 20.00000 | UNIT | ||
| PTOISHIM0003 | OISHIM | HOSPITALITY EXPANSION FUND, FCR FECHADO - CATEGORIA B | Unidade de Participação | ABOVE CAPITAL - SCR, S.A. | 50,000.00 | EUR | 46.00000 | UNIT | ||
| PTECRQIM0001 | ECRQIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS A | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 134,490,274.00000 | UNIT | ||
| PTECRRIM0000 | ECRRIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS B | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 3,949,667.00000 | UNIT | ||
| PTECRSIM0009 | ECRSIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS C | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 100.00000 | UNIT | ||
| PTECRXIM0002 | ECRXIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS D | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 100.00000 | UNIT | ||
| PTECRYIM0001 | ECRYIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS E | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 200.00000 | UNIT | ||
| PTECRZIM0000 | ECRZIM | HOSPITALITY LIVING PORTUGAL, FCR - CLASS F | Unidade de Participação | ECS SOCIEDADE DE CAPITAL DE RISCO, S.A. | 1.00 | EUR | 58,499,885.00000 | UNIT | ||
| PTNFWSIM0008 | NFWSIM | HOTEL INVEST - FCR FECHADO - CATEGORIA A | Unidade de Participação | FUND BOX - SOCIEDADE GESTORA DE ORGANISMOS DE INVESTIMENTO COLECTIVO, S.A. | 1,000.00 | EUR | 100.00000 | UNIT | ||
| PTNFWTIM0007 | NFWTIM | HOTEL INVEST - FCR FECHADO - CATEGORIA B | Unidade de Participação | FUND BOX - SOCIEDADE GESTORA DE ORGANISMOS DE INVESTIMENTO COLECTIVO, S.A. | 1,000.00 | EUR | 600.00000 | UNIT | ||
| PTIUMDIM0005 | IUMDIM | HOTEL JORNAL PORTO, FCR - CATEGORIA A | Unidade de Participação | ATLANTIC PREMIUM CAPITAL PARTNERS - SCR, S.A. | 1,000.00 | EUR | 2,105.00000 | UNIT | ||
| PTIUMIIM0000 | IUMIIM | HOTEL JORNAL PORTO, FCR - CATEGORIA B | Unidade de Participação | ATLANTIC PREMIUM CAPITAL PARTNERS - SCR, S.A. | 1,000.00 | EUR | 3,260.00000 | UNIT | ||
| PTHLA0AM0015 | HLA AM | HOTELAGOS | Acção | HOTELAGOS, S.A. | 5.00 | EUR | 916,000.00000 | UNIT | ||
| PTHTL0AM0007 | HTL AM | HOTELAPA - INVESTIMENTO HOTELEIRO, SA | Acção | HOTELAPA - INVESTIMENTO HOTELEIRO, S.A. | 4.99 | EUR | 2,443,750.00000 | UNIT | ||
| PTHOVCOM0006 | HOVCOM | HOVIONE FARMACIENCIA/2018 - 2033 | Obrigação | HOVIONE FARMACIÊNCIA, S.A. | 360,000.00 | USD | 0.720000000000 | 50,000,000.00000 | FAMT | |
| PTHOVDOM0005 | HOVDOM | HOVIONE FARMACIENCIA/2024 - 2031 | Obrigação | HOVIONE FARMACIÊNCIA, S.A. | 100,000.00 | EUR | 1.000000000000 | 55,000,000.00000 | FAMT | |
| PTHOVEOM0004 | HOVEOM | HOVIONE FARMACIENCIA/2026 - 2032 | Obrigação | HOVIONE FARMACIÊNCIA, S.A. | 200,000.00 | USD | 0.000000000000 | 30,000,000.00000 | FAMT | |
| PTHOMAOM0009 | HOMAOM | HQM/2022 - EUR 37.000.000 FIXED RATE UNSUBORDINATED AND SECURED NOTES DUE 19 MAY 2042 | Obrigação | HOTEL QUINTA DA MARINHA, S.A. | 460.63 | EUR | 0.921250000000 | 37,000,000.00000 | FAMT | |
| PTHYYCOM0001 | HYYCOM | HYPERION ENERGY ELVAS/2026 - A3 NOTES - EUR 354.844 FLOAT. R. SEC. NOTES DUE 2031-TR.3 | Obrigação | HYPERION ENERGY ELVAS, UNIPESSOAL, LDA | 1.00 | EUR | 1.000000000000 | 354,844.00000 | FAMT | |
| PTHYYBOM0002 | HYYBOM | HYPERION ENERGY ELVAS/2026 - A3 NOTES - EUR 463.352 FLOAT. R. SEC. NOTES DUE 2031-TR.2 | Obrigação | HYPERION ENERGY ELVAS, UNIPESSOAL, LDA | 0.97 | EUR | 0.974495005957 | 463,352.00000 | FAMT | |
| PTHYYAOM0003 | HYYAOM | HYPERION ENERGY ELVAS/2026 - A3 NOTES - UP TO EUR 12.397.940 FLOAT. R. SECURED NOTES DUE 2031-TR.1 | Obrigação | HYPERION ENERGY ELVAS, UNIPESSOAL, LDA | 0.97 | EUR | 0.974494999635 | 10,304,448.00000 | FAMT |