FOLGENDE WERTPAPIERE WERDEN AM 17.05.2017 CUM DIVIDENDE/ZINSEN UND AM 18.05.2017 EX DIVIDENDE/ZINSEN GEHANDELT.
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 17.05.2017. THE EX-DIVIDEND/INTEREST DAY WILL BE 18.05.2017.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
FGY XFRA US3157851052 FIDELITY+GUAR.LIFE DL-,01 0.059 EUR
FSH XFRA KYG371091086 FU SHOU YUAN IN.GR.DL-,01 0.003 EUR
ACX XFRA DE000A0DNAY5 BET-AT-HOME.COM AG O.N. 7.500 EUR
DB1 XFRA DE0005810055 DEUTSCHE BOERSE NA O.N. 2.350 EUR
EQS XFRA DE0005494165 EQS GROUP AG NA O.N. 0.750 EUR
BSL XFRA DE0005102008 BASLER AG O.N. 0.740 EUR
SOW XFRA DE0003304002 SOFTWARE AG O.N. 0.600 EUR
OZH XFRA CH0001840450 VALARTIS GROUP AG INH.SF1 0.183 EUR
2R8 XFRA CA7677441056 RITCHIE BROTH.AUCTIONEERS 0.154 EUR
LNR XFRA CA53278L1076 LINAMAR CORP. 0.080 EUR
CS6 XFRA CA1469001053 CASCADES INC. 0.027 EUR
B3O XFRA BMG657731060 NORDIC AMER.TANKER.DL-,01 0.181 EUR
L3R XFRA BE0003770840 LEASINVEST REAL ESTATE 4.900 EUR
WBC XFRA AU000000WBC1 WESTPAC BKG 0.629 EUR
K2Y XFRA CA4932711001 KEYERA CORP. 0.093 EUR
D8EN XFRA MHY2065G1219 DHT HLDGS INC.NEW DL -,01 0.072 EUR
AUZ XFRA US02052T1097 ALON USA PARTNERS UTS 0.344 EUR
LEG XFRA DE000LEG1110 LEG IMMOBILIEN AG NA O.N. 2.760 EUR
CWG XFRA US1651851099 CHESAP.GRANITE W.TR.U.B.I 0.091 EUR
15A XFRA US04014Y1010 ARES MANAGEMENT LP UTS 0.118 EUR
1A7 XFRA US01973R1014 ALLISON TRANSM.HLDGS DL-1 0.136 EUR
F8B XFRA US6952631033 PACWEST BANCORP. DL-,01 0.452 EUR
SJ2A XFRA US2423702032 DEAN FOODS DL-,01 0.081 EUR
6AA XFRA SE0001493776 AAK AB NAM. 0.899 EUR
DN8E XFRA GB00BRB37M78 DIG. PLC LS 0,12335664335 0.184 EUR
10N XFRA PLENTER00017 ENTER AIR SA ZY 1 0.131 EUR
BB1 XFRA US0684631080 BARRETT BUS. SVCS DL-,01 0.226 EUR
SHY1 XFRA US79971C2017 SANCHEZ PROD. PART. UTS 0.396 EUR
TM9 XFRA US8960475031 TRIBUNE MEDIA CO.A DL-001 0.226 EUR
TZB2 XFRA SE0009161185 TETHYS OIL AB AK SK-,0834 0.103 EUR
BEHV XFRA CH0009691608 BEKB AG/BCBE SA NAM.SF 20 5.664 EUR
QGU XFRA US7473011093 QUAD GRAPHICS INC. CL. A 0.271 EUR
EGG XFRA US29272W1099 ENERGIZER HLDG.NEW DL-,01 0.249 EUR
PF6 XFRA CA70137T1057 PARKLAND FUEL CORP. 0.064 EUR
189A XFRA US40054A1088 GR.SUPERVIELLE B SP.ADR 0.052 EUR
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 17.05.2017. THE EX-DIVIDEND/INTEREST DAY WILL BE 18.05.2017.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
FGY XFRA US3157851052 FIDELITY+GUAR.LIFE DL-,01 0.059 EUR
FSH XFRA KYG371091086 FU SHOU YUAN IN.GR.DL-,01 0.003 EUR
ACX XFRA DE000A0DNAY5 BET-AT-HOME.COM AG O.N. 7.500 EUR
DB1 XFRA DE0005810055 DEUTSCHE BOERSE NA O.N. 2.350 EUR
EQS XFRA DE0005494165 EQS GROUP AG NA O.N. 0.750 EUR
BSL XFRA DE0005102008 BASLER AG O.N. 0.740 EUR
SOW XFRA DE0003304002 SOFTWARE AG O.N. 0.600 EUR
OZH XFRA CH0001840450 VALARTIS GROUP AG INH.SF1 0.183 EUR
2R8 XFRA CA7677441056 RITCHIE BROTH.AUCTIONEERS 0.154 EUR
LNR XFRA CA53278L1076 LINAMAR CORP. 0.080 EUR
CS6 XFRA CA1469001053 CASCADES INC. 0.027 EUR
B3O XFRA BMG657731060 NORDIC AMER.TANKER.DL-,01 0.181 EUR
L3R XFRA BE0003770840 LEASINVEST REAL ESTATE 4.900 EUR
WBC XFRA AU000000WBC1 WESTPAC BKG 0.629 EUR
K2Y XFRA CA4932711001 KEYERA CORP. 0.093 EUR
D8EN XFRA MHY2065G1219 DHT HLDGS INC.NEW DL -,01 0.072 EUR
AUZ XFRA US02052T1097 ALON USA PARTNERS UTS 0.344 EUR
LEG XFRA DE000LEG1110 LEG IMMOBILIEN AG NA O.N. 2.760 EUR
CWG XFRA US1651851099 CHESAP.GRANITE W.TR.U.B.I 0.091 EUR
15A XFRA US04014Y1010 ARES MANAGEMENT LP UTS 0.118 EUR
1A7 XFRA US01973R1014 ALLISON TRANSM.HLDGS DL-1 0.136 EUR
F8B XFRA US6952631033 PACWEST BANCORP. DL-,01 0.452 EUR
SJ2A XFRA US2423702032 DEAN FOODS DL-,01 0.081 EUR
6AA XFRA SE0001493776 AAK AB NAM. 0.899 EUR
DN8E XFRA GB00BRB37M78 DIG. PLC LS 0,12335664335 0.184 EUR
10N XFRA PLENTER00017 ENTER AIR SA ZY 1 0.131 EUR
BB1 XFRA US0684631080 BARRETT BUS. SVCS DL-,01 0.226 EUR
SHY1 XFRA US79971C2017 SANCHEZ PROD. PART. UTS 0.396 EUR
TM9 XFRA US8960475031 TRIBUNE MEDIA CO.A DL-001 0.226 EUR
TZB2 XFRA SE0009161185 TETHYS OIL AB AK SK-,0834 0.103 EUR
BEHV XFRA CH0009691608 BEKB AG/BCBE SA NAM.SF 20 5.664 EUR
QGU XFRA US7473011093 QUAD GRAPHICS INC. CL. A 0.271 EUR
EGG XFRA US29272W1099 ENERGIZER HLDG.NEW DL-,01 0.249 EUR
PF6 XFRA CA70137T1057 PARKLAND FUEL CORP. 0.064 EUR
189A XFRA US40054A1088 GR.SUPERVIELLE B SP.ADR 0.052 EUR