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Showing 506481-496600 of 571372

Notice Number Issued Effective Event Type Symbol
PAR_20111017_07349_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
SG F 21NOV11

PAR_20111017_07348_EUR 17 Oct 2011 18 Oct 2011
CE - Structured products - New listing
NL0009920297

PAR_20111017_07347_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111017_07346_EUR 17 Oct 2011 19 Oct 2011
CE - Shares - Capital increase
HSBC HOLDINGS

PAR_20111017_07345_EUR 17 Oct 2011 18 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111017_07344_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
UNICRED F 16APR12

PAR_20111017_07343_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
LANHNG Z 16Oct2012

PAR_20111017_07342_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111017_07339_EUR 17 Oct 2011 18 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111017_07334_EUR 17 Oct 2011 01 Nov 2011
CE - Stock warrant - Delisting
FR0000346975

PAR_20111015_07331_EUR 15 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111015_07330_EUR 15 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07315_EUR 14 Oct 2011 17 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111014_07314_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
INTESASA Z 16APR12

PAR_20111015_07328_EUR 15 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111015_07327_EUR 15 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111015_07326_EUR 15 Oct 2011 20 Oct 2011
CE - Structured products - Delisting
Multiple

PAR_20111014_10011_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111014_10010_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
EDF5.50%17OCT2041

PAR_20111014_07325_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
LLOYDS Z 17JAN12

PAR_20111014_07324_EUR 14 Oct 2011 17 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111014_07323_EUR 14 Oct 2011 14 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07322_EUR 14 Oct 2011 14 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07321_EUR 14 Oct 2011 14 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07320_EUR 14 Oct 2011 17 Oct 2011
CE - Trading Resumption
OUTREMER TELECOM

PAR_20111014_07316_EUR 14 Oct 2011 18 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111014_07313_EUR 14 Oct 2011 18 Oct 2011
CE - Structured products - New listing
Multiple

PAR_20111014_07312_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111014_07311_EUR 14 Oct 2011 -
CE - Bonds - New listing

PAR_20111014_07310_EUR 14 Oct 2011 -
CE - Bonds - New listing

PAR_20111014_07309_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - change of characteristics
BPSA Z 14NOV11

PAR_20111014_07308_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
PASCHI Z 17OCT11

PAR_20111014_07307_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
BNPP V 16APR12

PAR_20111014_07306_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
CCCM V03JAN2012

PAR_20111014_07305_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111014_07304_EUR 14 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07303_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
RBS PLC F 16AVR12

PAR_20111014_07302_EUR 14 Oct 2011 17 Oct 2011
CE - Structured products - Adjustement
Multiple

PAR_20111014_07301_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111014_07300_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
CASA F 13DEC11

PAR_20111014_07299_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
SG V 31OCT11

PAR_20111014_07298_EUR 14 Oct 2011 17 Oct 2011
CE - Bonds - New listing
Multiple

PAR_20111014_07297_EUR 14 Oct 2011 20 Oct 2011
CE - Structured products - Delisting
Multiple

PAR_20111014_07296_EUR 14 Oct 2011 17 Oct 2011
CE - Paris - Buy Back offer
BOUYGUES

PAR_20111014_07295_EUR 14 Oct 2011 18 Oct 2011
ETA - LP - Termination LP Agreement
CNA6,8%13MAY12

PAR_20111014_07294_MLI 14 Oct 2011 14 Oct 2011
CE - Trading Suspension
A TOUTE VITESSE

PAR_20111013_10009_EUR 13 Oct 2011 13 Oct 2011
CE - Bonds - New listing
UNEDI1.37%13APR13

PAR_20111013_10008_EUR 13 Oct 2011 17 Oct 2011
CE - Bonds - New listing
ENGIE3.046%OCT2018

PAR_20111013_10007_EUR 13 Oct 2011 14 Oct 2011
CE - Bonds - New listing
DPT ESSON.3,325%21

PAR_20111013_07293_EUR 13 Oct 2011 17 Oct 2011
CE - Structured products - New listing
Multiple