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Listing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
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Trading
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
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Clearing
Connecting Europe's Fixed Income MarketsOne connected fixed income ecosystemLer maisSeamless listing, trading, clearing and settlement for fixed income
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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.
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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.
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Data
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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
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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 |
|---|---|---|---|---|---|---|---|---|---|---|
| PTBBP7OM0030 | BBP7OM | BANCO BPI/2024-EMTN-EUR 700 M. FIXED RATE CALLABLE SENIOR NON-PREFERRED NOTES DUE MARCH 2030 - SER.1136 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 700,000,000 | FAMT | |
| PTBPIIOM0036 | BPIIOM | BANCO BPI/2024-EUR 1.800 M. FLOATING RATE COVERED BONDS DUE DEC. 2031- SER. 28 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 1,800,000,000 | FAMT | |
| PTBPIEOM0030 | BPIEOM | BANCO BPI/2024-EUR 300 M. -3,374 PER CENT FIXED RATE COVERED BONDS (PREMIUM) DUE JUN. 2032- SER. 27 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 300,000,000 | FAMT | |
| PTBPIZOM0035 | BPIZOM | BANCO BPI/2024-EUR 500 M. - 3,25 PER CENT FIXED RATE COVERED BONDS (PREMIUM) DUE MAR. 2030- SER. 26 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 500,000,000 | FAMT | |
| PTBBRGOM0058 | BBRGOM | BANCO BPI/2025-EMTN-EUR 450M. FLOATING RATE CALLABLE SENIOR NON-PREFERRED NOTES DUE NOVEMBER 2029-SR 1139 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 450,000,000 | FAMT | |
| PTBPIPOM0011 | BPIPOM | BANCO BPI/2025-EUR 500M.- 2,625 PER CENT FIXED RATE COVERED BONDS (PREMIUM) DUE APRIL 2031-SER. 29 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 500,000,000 | FAMT | |
| PTBPIFOM0039 | BPIFOM | BANCO BPI/2025-EUR 900M. FLOATING RATE COVERED BONDS DUE JUN. 2032- SER. 30 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 900,000,000 | FAMT | |
| PTBBRHOM0032 | BBRHOM | BANCO BPI/2026 -EUR 500 M.- 3.125 PER CENT FIXED RATE COVERED BONDS (PREMIUM) DUE MARCH 2032 - SER. 31 | Obrigação | BANCO BPI, S.A. | 100,000.00 | EUR | 0.000000000000 | 500,000,000 | FAMT | |
| PTBCP0AM0015 | BCP AM | BANCO COMERCIAL PORTUGUES | Acção | BANCO COMERCIAL PORTUGUÊS, S.A. | 0.20 | EUR | 14,804,627,089 | UNIT | ||
| PTCRD0AM0009 | CRD AM | BANCO CREDIBOM, SA | Acção | BANCO CREDIBOM, S.A. | 5.00 | EUR | 24,800,000 | UNIT | ||
| PTBOTBOM0007 | BOTBOM | BANCO CTT/2025 - EUR 45 M. 3.75 PER CENT FIXED/FLOATING RATE CALLABLE SENIOR PREFERRED NOTES - 2028 | Obrigação | BANCO CTT, S.A. | 100,000.00 | EUR | 0.000000000000 | 45,000,000 | FAMT | |
| PTBOTCOM0006 | BOTCOM | BANCO CTT/2026 - EUR 60M 4,25 PER CENT FIXED/FLOATING RATE CALLABLE SENIOR PREFERRED NOTES - 2029 | Obrigação | BANCO CTT, S.A. | 100,000.00 | EUR | 0.000000000000 | 60,000,000 | FAMT | |
| PTBIG2VM0006 | BIG2VM | BANCO DE INVESTIMENTO GLOBAL - ACOES PREFERENCIAIS REMIDAS | Acção | BANCO DE INVESTIMENTO GLOBAL, S.A. | 1.00 | EUR | 12,000,000 | UNIT | ||
| PTBIG0AM0003 | BIG AM | BANCO DE INVESTIMENTO GLOBAL, SA | Acção | BANCO DE INVESTIMENTO GLOBAL, S.A. | 1.00 | EUR | 186,947,388 | UNIT | ||
| PTBFO0AM0003 | BFO AM | BANCO PORTUGUES DE FOMENTO | Acção | BANCO PORTUGUÊS DE FOMENTO, S.A. | 1.00 | EUR | 505,000,000 | UNIT | ||
| PTBPP0AM0009 | BPP AM | BANCO PRIVADO PORTUGUES, SA | Acção | BANCO PRIVADO PORTUGUÊS, S.A. | 1.00 | EUR | 125,000,000 | UNIT | ||
| PTCPP0AM0007 | CPP AM | BANCO SANTANDER TOTTA, S.A. | Acção | BANCO SANTANDER TOTTA, S.A. | 1.00 | EUR | 1,391,779,674 | UNIT | ||
| PTBNM0AM0001 | BNM AM | BANIF IMOBILIARIA, SA | Acção | BANIF IMOBILIÁRIA, S.A. | 2.50 | EUR | 20,000 | UNIT | ||
| PTMUS0AM0018 | MUS AM | BARRA SHOPPING - SIC IMOBILIARIA FECHADA, S.A. | Acção | BARRA SHOPPING - SIC IMOBILIÁRIA FECHADA, S.A. | 1.07 | EUR | 44,919,000 | UNIT | ||
| PTBAT0AN0010 | BAT AN | BARRAQUEIRO TRANSPORTES, S.A. | Acção | BARRAQUEIRO TRANSPORTES, S.A. | 5.00 | EUR | 2,032,260 | UNIT | ||
| PTSFQLIM0008 | SFQLIM | BASALTO, FUNDO DE INVESTIMENTO ALTERNATIVO FECHADO - CLASS A | Unidade de Participação | STAG FUND MANAGEMENT SCR S.A. | 50,000.00 | EUR | 10 | UNIT | ||
| PTBBZ0AM0008 | BBZ AM | BBZ - PUBLICIDADE E MARKETING, S.A. | Acção | BBZ - PUBLICIDADE E MARKETING, S.A. | 5.00 | EUR | 30,000 | UNIT | ||
| PTBCSFOE0024 | BCSFOE | BCP/10-EUR 2.000 M.- FLOATING RATE COVERED BONDS - OCT. 2029 - SER.6 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | 0.000000000000 | 2,000,000,000 | FAMT | |
| PTBIPGOE0061 | BIPGOE | BCP/10-EUR 2.700 M.- FLT. RATE COVERED BONDS DUE OCT. 2028 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | 0.000000000000 | 2,200,000,000 | FAMT | |
| PTBCS3OE0028 | BCS3OE | BCP/10-EUR 3.000 M. FLT. R. COVERED BONDS -APRIL 2030 - SER.7 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 150,000.00 | EUR | 0.000000000000 | 3,000,000,000 | FAMT | |
| PTBCQLOE0036 | BCQLOE | BCP/2012-EUR 4.000 M. FLT.R.COVERED BONDS-APRIL 2031-S.8 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 200,000.00 | EUR | 0.000000000000 | 4,000,000,000 | FAMT | |
| PTBITTYE0094 | BITTYE | BCP/2016 - CERTIFICADOS SOBRE O MSCI WORLD PRICE EUR INDEX | Certificado | BANCO COMERCIAL PORTUGUÊS, S.A. | 0.00 | EUR | 222,870,000 | UNIT | ||
| PTBCPWOM0034 | BCPWOM | BCP/2017-EUR 300.000.000-SUBORDINATED FIXED RATE RESET NOTES DUE 07 DEC.2027 - SER.854 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | 86,800,000 | FAMT | ||
| PTBCPEOM0069 | BCPEOM | BCP/2021 - EUR 500 M. - SENIOR PREFERRED SOCIAL FIXED TO FLOAT. RATE -ESG NOTES- APRIL 2028 - MTN 857 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | 0.000000000000 | 500,000,000 | FAMT | |
| PTBCPGOM0067 | BCPGOM | BCP/2021-EUR 300 M.-TIER 2 SUBORDINATED FIXED RATE RESET CALLABLE NOTES-17 MAY 2032-MTN 858 | Obrigação | BANCO COMERCIAL PORTUGUÊS, S.A. | 100,000.00 | EUR | 0.000000000000 | 300,000,000 | FAMT |