FOLGENDE WERTPAPIERE WERDEN AM 27.05.2019 CUM DIVIDENDE/ZINSEN UND AM 28.05.2019 EX DIVIDENDE/ZINSEN GEHANDELT.
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 27.05.2019. THE EX-DIVIDEND/INTEREST DAY WILL BE 28.05.2019.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
5NVA XFRA MHY621591434 NAVIOS MARIT.AC.DL -,0001 0.268 EUR
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 27.05.2019. THE EX-DIVIDEND/INTEREST DAY WILL BE 28.05.2019.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
5NVA XFRA MHY621591434 NAVIOS MARIT.AC.DL -,0001 0.268 EUR
© 2019 Xetra Newsboard