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Showing 0-50 of 519332

Notice Number Issued Effective Event Type Symbol
PAR_20260114_01108_EUR 14 Jan 2026 15 Jan 2026
CE - Bonds - New listing
ENRED FX JAN33 EUR

MIL_20260114_01302_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Size update
Multiple

MIL_20260114_01301_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MR5S FLS0627V

MIL_20260114_01300_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MRNA FLS1235B

MIL_20260114_01299_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MRNA FLSOPENS

MIL_20260114_01298_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MRNA FLSOPENS

MIL_20260114_01297_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Change of characteristics
Multiple

MIL_20260114_01296_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MRNA FLSOPENS

MIL_20260114_01295_SED 14 Jan 2026 16 Jan 2026
CE - Structured Products - Size update
MSOFT450.1TBLOPENS

MIL_20260114_01294_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Milan - Strike Update
MRNA FLSOPENS

MIL_20260114_01293_SED 14 Jan 2026 16 Jan 2026
CE - Structured Products - Size update
SMCI FLLOPENS

MIL_20260114_01292_SED 14 Jan 2026 16 Jan 2026
CE - Structured Products - Size update
MSOFT408.6TBLOPENS

MIL_20260114_01291_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Change of characteristics
Multiple

MIL_20260114_01290_SED 14 Jan 2026 15 Jan 2026
CE - Structured Products - Size update
FARG51.96FLS1228V

PAR_20260114_01107_ACC 14 Jan 2026 15 Jan 2026
CE - Structured Products - Adjustment
Multiple

AMS_20260113_00018_EUR 13 Jan 2026 15 Jan 2026
CE - Bonds - New listing
NVNER FX JAN38 EUR

MIL_20260113_01289_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Size update
Multiple

MIL_20260113_01288_TLX 13 Jan 2026 20 Mar 2026
CE - Structured Products - Change of characteristics
Multiple

PAR_20260113_01106_ACC 13 Jan 2026 15 Jan 2026
CE - Structured Products - New Listing
BUND x5 LEV B

PAR_20260113_01105_ACC 13 Jan 2026 15 Jan 2026
CE - Structured Products - New Listing
BUND x5 SHT B

MIL_20260113_01287_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01286_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

PAR_20260113_01104_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
MIL_20260113_01285_GEM 13 Jan 2026 14 Jan 2026
CE - Change of issuer/product name
MARSH

BRX_20260113_00010_EUR 13 Jan 2026 10 Feb 2026
CE - Bonds - Monthly delisting
Multiple

AMS_20260113_00017_EUR 13 Jan 2026 12 Feb 2026
CE - Bonds - Monthly delisting
Multiple

PAR_20260113_01103_EUR 13 Jan 2026 29 Jan 2026
CE - Bonds - Monthly delisting
Multiple

LIS_20260113_00004_EUR 13 Jan 2026 23 Feb 2026
CE - Bonds - Monthly delisting
PORT 3,3% 25FEB26

PAR_20260113_01102_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01101_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
MIL_20260113_01284_GEM 13 Jan 2026 14 Jan 2026
CE - Shares - Reverse split
Amcor PLC

PAR_20260113_01100_ACC 13 Jan 2026 15 Jan 2026
CE - Structured Products - New Listing
Multiple

PAR_20260113_01099_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01098_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01097_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01096_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
MIL_20260113_01283_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
EXXON126.9TBSOPENS

MIL_20260113_01282_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01281_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

MIL_20260113_01280_SED 13 Jan 2026 14 Jan 2026
CE - Structured Products - Milan - Delisting
Multiple

PAR_20260113_01095_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01094_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01093_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01092_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Adjustment
Multiple

PAR_20260113_01091_ACC 13 Jan 2026 13 Jan 2026
CE - Structured Products - Delisting
Multiple

PAR_20260113_01088_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01090_ACC 13 Jan 2026 13 Jan 2026
CE - Structured Products - Delisting
GLDFP SHROPENH

PAR_20260113_01087_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple
PAR_20260113_01089_EUR 13 Jan 2026 15 Jan 2026
CE - Bonds Delisting
NSI ZC JAN35 EUR

PAR_20260113_01086_ACC 13 Jan 2026 14 Jan 2026
CE - Structured Products - Strike Update
Multiple