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Showing 506124-496250 of 571372

Notice Number Issued Effective Event Type Symbol
PAR_20111031_07632_EUR 31 Oct 2011 27 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111031_07630_EUR 31 Oct 2011 26 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111031_07629_EUR 31 Oct 2011 26 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111029_07627_EUR 29 Oct 2011 01 Nov 2011
CE - Structured products - New listing
Multiple

PAR_20111031_07640_EUR 31 Oct 2011 01 Nov 2011
CE - Bonds - New listing
Multiple

PAR_20111031_07639_EUR 31 Oct 2011 01 Nov 2011
CE - Bonds - New listing
CIC F02FEB2012

PAR_20111031_07638_EUR 31 Oct 2011 02 Nov 2011
CE - Bonds - New listing
RCIB V 02DEC11

PAR_20111031_07637_EUR 31 Oct 2011 02 Nov 2011
CE - Bonds - change of characteristics
RCIB F 15DEC11

PAR_20111031_07636_EUR 31 Oct 2011 02 Nov 2011
CE - Bonds - New listing
Multiple

PAR_20111031_07631_EUR 31 Oct 2011 27 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111029_07626_EUR 29 Oct 2011 31 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111029_07625_EUR 29 Oct 2011 01 Nov 2011
CE - Structured products - New listing
Multiple

PAR_20111028_10084_EUR 28 Oct 2011 01 Nov 2011
CE - Shares - Capital increase
NOVAGALI PHARMA

PAR_20111028_10083_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - Increase listed number
Multiple

PAR_20111028_10082_EUR 28 Oct 2011 01 Nov 2011
CE - Shares - Capital increase
Multiple

PAR_20111028_10081_EUR 28 Oct 2011 03 Nov 2011
CE - Diverse announcement
FIPP

PAR_20111028_10079_EUR 28 Oct 2011 01 Nov 2011
CE - Shares - Capital increase
REXEL

PAR_20111028_10078_EUR 28 Oct 2011 31 Oct 2011
CE - ETF Listing
Multiple

PAR_20111028_10077_EUR 28 Oct 2011 01 Nov 2011
CE - Shares - Capital increase
ORPEA

PAR_20111028_07624_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111028_07623_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111028_07622_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111028_07621_EUR 28 Oct 2011 01 Nov 2011
ETA - LP - Liquidity Providers Agreement
FONCIER PARIS FRAN

PAR_20111028_07620_EUR 28 Oct 2011 01 Nov 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07619_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - Delisting
SOFINCO V 15NOV11

PAR_20111028_07618_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07617_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07616_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07615_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07614_EUR 28 Oct 2011 01 Nov 2011
CE - Bonds - New listing
BTMU F 01FEB12

PAR_20111028_07613_EUR 28 Oct 2011 01 Nov 2011
CE - Bonds - New listing
BTMU F 30NOV11

PAR_20111028_07612_EUR 28 Oct 2011 01 Nov 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07611_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07610_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
CDC F 16042012

PAR_20111028_07609_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
LLOYDS Z 31JAN12

PAR_20111028_07608_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07607_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - change of characteristics
LLOYDS Z 09NOV11

PAR_20111028_07606_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07605_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111028_07604_EUR 28 Oct 2011 01 Nov 2011
CE - Bonds - New listing
LANHNG Z 02May2012

PAR_20111028_07603_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - New listing
PASCHI Z 31OCT11

PAR_20111028_07602_EUR 28 Oct 2011 03 Nov 2011
CE - Structured products - Delisting
Multiple

PAR_20111028_07601_EUR 28 Oct 2011 03 Nov 2011
CE - Structured products - Delisting
Multiple

PAR_20111028_07600_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07599_EUR 28 Oct 2011 31 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111028_07598_EUR 28 Oct 2011 01 Nov 2011
CE - Bonds - change of characteristics
BTMU F 29NOV11

PAR_20111028_07597_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - change of characteristics
BTMU F 28NOV11

PAR_20111028_07596_EUR 28 Oct 2011 01 Nov 2011
ETA - LP - Liquidity Providers Agreement
U10

PAR_20111028_07595_EUR 28 Oct 2011 31 Oct 2011
CE - Bonds - change of characteristics
Multiple

PAR_20111027_10075_EUR 27 Oct 2011 01 Nov 2011
CE - Shares - Capital increase
ECA