Euronext a le plaisir d’annoncer à ses investisseurs privés, la mise en service d’une nouvelle offre leur permettant d’avoir accès aux «Notices Euronext Cash» à la demande et en ligne, au prix de 12.50€ (TVA comprise) l’unité. Notez également que certaines Notices sont disponibles gratuitement.

Différents exemples de types de notices sont disponibles ici.

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Showing 24735-24300 of 543256

Notice Number Issued Effective Event Type Symbole
MIL_20260113_01102_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01101_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
NGAS3.367TBSOPENV

MIL_20260113_01100_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01099_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01098_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01097_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
BRENT64.19TBSOPENB

MIL_20260113_01096_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
MP66.35TBSOPENB

MIL_20260113_01095_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
SP5007072.MISOPENV

MIL_20260113_01094_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
SILVE86.26TBSOPENB

MIL_20260113_01093_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Adjustment
Multiple

MIL_20260113_01092_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Adjustment
Multiple

PAR_20260113_00992_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Adjustment
Multiple

OSL_20260113_00042_ABM 13 Jan 2026 14 Jan 2026
CE - Bonds - New listing
NONG132 PRO

BRX_20260113_00009_FRM 13 Jan 2026 15 Jan 2026
CE - Shares - Capital increase
Multiple

OSL_20260113_00041_EUR 13 Jan 2026 14 Jan 2026
CE - Shares - Capital increase
KITRON

MIL_20260113_01091_MOX 13 Jan 2026 14 Jan 2026
CE - Bonds - New listing
Multiple

PAR_20260113_00991_EUR 13 Jan 2026 14 Jan 2026
CE - Bonds Delisting
CACIBZC11JAN2030

MIL_20260113_01090_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01089_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01088_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01087_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

PAR_20260113_00990_EUR 13 Jan 2026 15 Jan 2026
CE - Bonds - New listing
CIC FX JAN34 EUR

MIL_20260113_01086_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
Multiple

PAR_20260113_00989_EUR 13 Jan 2026 14 Jan 2026
CE - Bonds - New listing
CAMOR FX JUL31 GBP

PAR_20260113_00988_EUR 13 Jan 2026 14 Jan 2026
CE - Bonds - New listing
Multiple

MIL_20260113_01085_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01084_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
EUUSD1.15PUT0326V

MIL_20260113_01083_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
SILVE54.31FLS1228V

MIL_20260113_01082_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
BMPS/ EXP1226V

MIL_20260113_01081_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
XA5S FLS0627V

MIL_20260113_01080_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
Multiple

MIL_20260113_01079_TLX 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
BKDCS RCO1030X

MIL_20260113_01078_ETP 13 Jan 2026 14 Jan 2026
CE - ETF - Change of Characteristics
Multiple

PAR_20260113_00987_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - New Listing
CAC40 x12 SHT S

PAR_20260113_00986_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - New Listing
Multiple

PAR_20260113_00985_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - New Listing
TSM x5 SHT S

PAR_20260113_00984_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - New Listing
Multiple

MIL_20260112_01077_GRO 12 Jan 2026 13 Jan 2026
CE - Diverse Announcement
MEVIM

PAR_20260112_00983_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
MIL_20260112_01076_TLX 12 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
BKTBC EXP0827X

PAR_20260112_00982_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260112_00981_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260112_00979_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260112_00978_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260112_00980_ACC 12 Jan 2026 13 Jan 2026
CE - Structured Products - Strike Update
Multiple
MIL_20260112_01075_SED 12 Jan 2026 13 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260112_01074_SED 12 Jan 2026 13 Jan 2026
CE - Structured Products - Milan - Delisting
SILVE85.99TBSOPENT

AMS_20260112_00016_EUR 12 Jan 2026 16 Jan 2026
CE - ETF Listing
ISHActUSECXAMS

MIL_20260112_01073_TLX 12 Jan 2026 12 Feb 2026
CE - Bonds Delisting
CASSA CENTR MC FB2

MIL_20260112_01072_TLX 12 Jan 2026 13 Jan 2026
CE - Structured Products - Change of characteristics
Multiple