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Showing 153-200 of 534220

Notice Number Issued Effective Event Type Symbole
MIL_20260316_09131_TLX 16 Mar 2026 17 Mar 2026
CE - Bonds - Change of characteristics
CITIGROUP GM TV GN

PAR_20260316_07430_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07429_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07428_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07427_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07426_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07425_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07424_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07423_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07422_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07421_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07420_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07419_GRO 16 Mar 2026 18 Mar 2026
CE - Change of nominal value
NETMEDIA GROUP

MIL_20260316_09130_SED 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

MIL_20260316_09129_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
IT0006774464

MIL_20260316_09128_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
XS3047125466

MIL_20260316_09127_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

MIL_20260316_09126_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
IT0006774456

MIL_20260316_09125_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

MIL_20260316_09124_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
CH1525088436

MIL_20260316_09123_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
XS3127862814

MIL_20260316_09122_SED 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
DE000WA1SD03

MIL_20260316_09121_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

MIL_20260316_09120_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
IT0006774282

MIL_20260316_09119_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
XS3280844906

MIL_20260316_09118_TLX 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
DE000GW1EEQ3

AMS_20260316_00195_EUR 16 Mar 2026 21 Apr 2026
CE - Shares - Optional dividend
NSI N.V.

PAR_20260316_07418_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07417_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07416_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07415_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260316_07414_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260316_07413_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - Strike Update
Multiple
OSL_20260316_00349_GRO 16 Mar 2026 16 Mar 2026
CE - Shares - New listing Oslo
CAPITAL TANKERS
MIL_20260316_09117_ETP 16 Mar 2026 17 Mar 2026
CE - ETF Listing
WISETFWTEUBLETFP

PAR_20260316_07412_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07411_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07410_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07409_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07408_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07407_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07406_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07405_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07404_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07403_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07402_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260316_07401_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
Multiple

PAR_20260316_07400_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - New Listing
EUUSD 1.12SPLOPENB

PAR_20260316_07399_ACC 16 Mar 2026 17 Mar 2026
CE - Structured Products - Strike Update
Multiple
AMS_20260316_00194_EUR 16 Mar 2026 21 Apr 2026
CE - Shares - Optional dividend
NSI N.V.