FOLGENDE WERTPAPIERE WERDEN AM 20.09.2011 EX DIVIDENDE GEHANDELT.
THE EX-DIVIDEND DAY OF THE FOLLOWING SHARES WILL BE 20.09.2011.
INSTR ISIN INSTRUMENT NAME DIVIDEND AMOUNT
ATU AU000000AGO1 ATLAS IRON LTD. 0.022 EUR
4QM CA00089N1033 ADF GRP INC. SV 0.007 EUR
NBC CA6330671034 NATL BK OF CDA 0.529 EUR
CPP HK0688002218 CHINA OV.LD HD-,10 0.012 EUR
SZO IL0010855885 SHL TELEMEDICINE IS-,01 0.483 EUR
C4S1 KYG216771363 CHINA ST.CONSTR.INTL CON. 0.006 EUR
EBN KYG2917V1023 E.BON HOLDINGS HD-,10 0.005 EUR
36Y KYG6141X1079 MING FAI INTL HLDG.HD-,01 0.001 EUR
3NT MHY621961033 NAVIOS MARITIME HLDGS 0.044 EUR
WX2 US3137472060 FED. RLTY INV. TRUST SBI 0.505 EUR
HJH US4230741039 HEINZ -H.J.- CO. DL-,25 0.351 EUR
IGT US4599021023 INTL GAME TECHN.DL-000625 0.044 EUR
LTP US5021751020 LTC PTIES INC. DL-,01 0.102 EUR
SWY US7865142084 SAFEWAY INC. DL-,01 0.106 EUR
NRN US98389B1008 XCEL ENERGY DL 2,50 0.190 EUR
THE EX-DIVIDEND DAY OF THE FOLLOWING SHARES WILL BE 20.09.2011.
INSTR ISIN INSTRUMENT NAME DIVIDEND AMOUNT
ATU AU000000AGO1 ATLAS IRON LTD. 0.022 EUR
4QM CA00089N1033 ADF GRP INC. SV 0.007 EUR
NBC CA6330671034 NATL BK OF CDA 0.529 EUR
CPP HK0688002218 CHINA OV.LD HD-,10 0.012 EUR
SZO IL0010855885 SHL TELEMEDICINE IS-,01 0.483 EUR
C4S1 KYG216771363 CHINA ST.CONSTR.INTL CON. 0.006 EUR
EBN KYG2917V1023 E.BON HOLDINGS HD-,10 0.005 EUR
36Y KYG6141X1079 MING FAI INTL HLDG.HD-,01 0.001 EUR
3NT MHY621961033 NAVIOS MARITIME HLDGS 0.044 EUR
WX2 US3137472060 FED. RLTY INV. TRUST SBI 0.505 EUR
HJH US4230741039 HEINZ -H.J.- CO. DL-,25 0.351 EUR
IGT US4599021023 INTL GAME TECHN.DL-000625 0.044 EUR
LTP US5021751020 LTC PTIES INC. DL-,01 0.102 EUR
SWY US7865142084 SAFEWAY INC. DL-,01 0.106 EUR
NRN US98389B1008 XCEL ENERGY DL 2,50 0.190 EUR
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