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Showing 473484-464250 of 537947

Notice Number Issued Effective Event Type Symbol
AMS_20111003_04377_EUR 03 Oct 2011 04 Oct 2011
CE - Shares - Dividend - Final announcement
Multiple

AMS_20111003_04376_EUR 03 Oct 2011 07 Oct 2011
CE - Structured products - Delisting
Multiple

AMS_20111003_04375_EUR 03 Oct 2011 07 Oct 2011
CE - Structured products - Delisting
Multiple

AMS_20111003_04374_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04393_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111003_04392_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111003_04391_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111003_04390_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111003_04389_EUR 03 Oct 2011 07 Oct 2011
CE - Structured products - Delisting
Multiple

AMS_20111003_04388_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111003_04384_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04380_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04373_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04372_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04371_EUR 03 Oct 2011 04 Oct 2011
CE - Structured products - New listing
Multiple

AMS_20111003_04370_EUR 03 Oct 2011 04 Oct 2011
CE - Bonds - Increase listed number
NEDER 1%15JAN14

AMS_20111002_04369_EUR 02 Oct 2011 03 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111002_04367_EUR 02 Oct 2011 03 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111002_04366_EUR 01 Oct 2011 03 Oct 2011
CE - Structured products - Adjustement
Multiple

AMS_20111001_04365_EUR 01 Oct 2011 03 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111130_10327_EUR 30 Nov 2011 30 Nov 2011
CE - Trading Suspension
Multiple

PAR_20111130_10326_EUR 30 Nov 2011 02 Dec 2011
CE - Bonds - New listing
SEN5.375%02DEC2030

PAR_20111130_10325_ALT 30 Nov 2011 05 Dec 2011
CE - Paris - Squeeze Out
EFRONT

PAR_20111130_10324_EUR 30 Nov 2011 02 Dec 2011
CE - Bonds - New listing
BPCE2.95%DEC2013

PAR_20111130_10323_EUR 30 Nov 2011 02 Dec 2011
CE - ETF Listing
AMUNDI ETF SP500 H

PAR_20111130_10322_EUR 30 Nov 2011 30 Nov 2011
CE - Shares - Dividend Optional
HSBC HOLDINGS

PAR_20111130_10321_ALT 30 Nov 2011 01 Dec 2011
CE - Paris - Centralized takeover bid
SPOREVER

PAR_20111130_10320_ALT 30 Nov 2011 02 Dec 2011
CE - Shares - Capital increase
Multiple

PAR_20111130_08248_EUR 30 Nov 2011 01 Dec 2011
CE - Structured products - Adjustement
Multiple

PAR_20111130_08247_EUR 30 Nov 2011 01 Dec 2011
CE - Structured products - Adjustement
Multiple

PAR_20111130_08246_EUR 30 Nov 2011 01 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08243_EUR 30 Nov 2011 02 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08242_EUR 30 Nov 2011 02 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08241_EUR 30 Nov 2011 01 Dec 2011
CE - Structured products - Delisting
DE000CK4ZT20

PAR_20111130_08240_EUR 30 Nov 2011 02 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08239_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
CARRBQUE F 1MAR12

PAR_20111130_08227_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
BFCM V02JAN2012

PAR_20111130_08238_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
RCIB V 01MAR12

PAR_20111130_08237_EUR 30 Nov 2011 02 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08236_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
LLOYDS Z 01MAR12

PAR_20111130_08235_EUR 30 Nov 2011 06 Dec 2011
CE - Structured products - Delisting
Multiple

PAR_20111130_08234_EUR 30 Nov 2011 06 Dec 2011
CE - Structured products - Delisting
Multiple

PAR_20111130_08233_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - change of characteristics
Multiple

PAR_20111130_08232_EUR 30 Nov 2011 01 Dec 2011
CE - Structured products - New listing
Multiple

PAR_20111130_08231_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
Multiple

PAR_20111130_08230_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
SG Z 03JAN12

PAR_20111130_08229_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
Multiple

PAR_20111130_08228_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - New listing
Multiple

PAR_20111130_08226_EUR 30 Nov 2011 01 Dec 2011
CE - Bonds - change of characteristics
Multiple

PAR_20111129_10317_EUR 29 Nov 2011 01 Dec 2011
CE - Capital decrease
SYSTRAN