FOLGENDE WERTPAPIERE WERDEN AM 15.08.2019 EX DIVIDENDE/ZINSEN GEHANDELT.
THE EX-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 15.08.2019.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
A90A XFRA US05367G1004 AVIANKA HLDGS SPON.ADR 1 0.035 EUR
HO9 XFRA US4042511000 HNI CORP. DL 1 0.273 EUR
PESA XFRA US7050151056 PEARSON PLC ADR/1 LS-,25 0.065 EUR
SDP XFRA US8660821005 SUMMIT HOTEL PROP. DL-,01 0.161 EUR
NGLD XFRA US03485P3001 ANGLO AMERICAN SP.ADR 1/2 0.277 EUR
LYU XFRA GB0004281639 IOMART GROUP PLC LS-,01 0.054 EUR
2FT XFRA US34960P1012 FORT.TR.+IN.I.R.L.I.DL-01 0.295 EUR
1KB XFRA US0012821023 AH BELO CORP. A DL-,01 0.072 EUR
T3V2 XFRA GB00BF8Q6K64 STD.LIFE AB.LS-,139682539 0.079 EUR
UKYE XFRA LU1565283667 ARDAGH GROUP E01 0.125 EUR
21W XFRA GB00B41H7391 NORTHGATE PLC LS-,50 0.131 EUR
AIV1 XFRA US03748R7540 APARTM.INV. MGMT A DL-,01 0.349 EUR
YJEB XFRA US21870U5020 CORENERGY INFR.TR. NEW 0.671 EUR
EUHI XFRA IE00BD8D5H32 PFISE.-E ST HY CB ISU.EOI 0.018 EUR
CXWV XFRA DE000A1110J4 BRW BALANCE.RETURN PLUS V 3.250 EUR
NF4 XFRA DE000A1MME74 NETFONDS AG VNA O.N. 0.150 EUR
1BF XFRA GB00BGXQNP29 PHOENIX GRP HLDGS LS-,10 0.253 EUR
THE EX-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 15.08.2019.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
A90A XFRA US05367G1004 AVIANKA HLDGS SPON.ADR 1 0.035 EUR
HO9 XFRA US4042511000 HNI CORP. DL 1 0.273 EUR
PESA XFRA US7050151056 PEARSON PLC ADR/1 LS-,25 0.065 EUR
SDP XFRA US8660821005 SUMMIT HOTEL PROP. DL-,01 0.161 EUR
NGLD XFRA US03485P3001 ANGLO AMERICAN SP.ADR 1/2 0.277 EUR
LYU XFRA GB0004281639 IOMART GROUP PLC LS-,01 0.054 EUR
2FT XFRA US34960P1012 FORT.TR.+IN.I.R.L.I.DL-01 0.295 EUR
1KB XFRA US0012821023 AH BELO CORP. A DL-,01 0.072 EUR
T3V2 XFRA GB00BF8Q6K64 STD.LIFE AB.LS-,139682539 0.079 EUR
UKYE XFRA LU1565283667 ARDAGH GROUP E01 0.125 EUR
21W XFRA GB00B41H7391 NORTHGATE PLC LS-,50 0.131 EUR
AIV1 XFRA US03748R7540 APARTM.INV. MGMT A DL-,01 0.349 EUR
YJEB XFRA US21870U5020 CORENERGY INFR.TR. NEW 0.671 EUR
EUHI XFRA IE00BD8D5H32 PFISE.-E ST HY CB ISU.EOI 0.018 EUR
CXWV XFRA DE000A1110J4 BRW BALANCE.RETURN PLUS V 3.250 EUR
NF4 XFRA DE000A1MME74 NETFONDS AG VNA O.N. 0.150 EUR
1BF XFRA GB00BGXQNP29 PHOENIX GRP HLDGS LS-,10 0.253 EUR