FOLGENDE WERTPAPIERE WERDEN AM 07.02.2020 CUM DIVIDENDE/ZINSEN UND AM 10.02.2020 EX DIVIDENDE/ZINSEN GEHANDELT.
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 07.02.2020. THE EX-DIVIDEND/INTEREST DAY WILL BE 10.02.2020.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
SPYV XFRA IE00B6YX5B26 SPDR S+P EM.MKTS DIVI.ETF 0.195 EUR
XFRA DE000HLB2E40 LB.HESS.-THR.ZI.DI.02B/16 0.001 %
XFRA DE000HSH36C7 HCOB INF IV 13/21 0.000 %
XIX XFRA US9839191015 XILINX INC. DL-,01 0.336 EUR
WED XFRA US9478901096 WEBSTER FINL CORP. DL-,01 0.364 EUR
AWM XFRA US83088M1027 SKYWORKS SOL. DL-,25 0.400 EUR
PAE XFRA US6937181088 PACCAR INC. DL 1 0.291 EUR
NOU XFRA US65473P1057 NISOURCE INC. 0.191 EUR
MGC XFRA US5528481030 MGIC INV. CORP. DL 1 0.055 EUR
KM3 XFRA US4891701009 KENNAMETAL INC. DL 1,25 0.182 EUR
GIH XFRA US38068T1051 GOLD RES CORP. DL-,001 0.003 EUR
XONA XFRA US30231G1022 EXXON MOBIL CORP. 0.791 EUR
CB1A XFRA US21036P1084 CONST.BRANDS A DL-,01 0.682 EUR
XFRA DE000HLB0L84 LB.HESS.-THR. INFL. 11/21 0.000 %
XFRA DE000BLB06U3 BAY.LDSBK.INFL.ANL.21 0.000 %
37W XFRA US2946001011 EQUITRANS MIDSTREAM 0.409 EUR
OCZA XFRA ES0116920333 GRUPO CATALANA NOM.EO-,30 0.159 EUR
XFRA DE000HSH4KK2 HCOB MZC 14 13/21 0.001 %
XFRA DE000HLB4VR7 LB.HESS.-THR.ZI.DI.02B/19 0.001 %
XFRA DE000HLB4VS5 LB.HESS.-THR.ZI.DI.02C/19 0.001 %
AQY XFRA US03937C1053 ARCBEST CORP. DL-,01 0.073 EUR
ZPRA XFRA IE00B9KNR336 SPDR S+P P.AS.DIV.ARI.ETF 0.510 EUR
AG31 XFRA US03768E1055 APOLLO GLOBAL MAN. CL.A 0.809 EUR
3PXA XFRA MHY622674098 NAVIOS MARITIME PARTNERS 0.273 EUR
THE PRE-DIVIDEND/INTEREST DAY OF THE FOLLOWING SHARES WILL BE 07.02.2020. THE EX-DIVIDEND/INTEREST DAY WILL BE 10.02.2020.
INSTR EXCH ISIN INSTRUMENT NAME REF.PRC ADJUST
SPYV XFRA IE00B6YX5B26 SPDR S+P EM.MKTS DIVI.ETF 0.195 EUR
XFRA DE000HLB2E40 LB.HESS.-THR.ZI.DI.02B/16 0.001 %
XFRA DE000HSH36C7 HCOB INF IV 13/21 0.000 %
XIX XFRA US9839191015 XILINX INC. DL-,01 0.336 EUR
WED XFRA US9478901096 WEBSTER FINL CORP. DL-,01 0.364 EUR
AWM XFRA US83088M1027 SKYWORKS SOL. DL-,25 0.400 EUR
PAE XFRA US6937181088 PACCAR INC. DL 1 0.291 EUR
NOU XFRA US65473P1057 NISOURCE INC. 0.191 EUR
MGC XFRA US5528481030 MGIC INV. CORP. DL 1 0.055 EUR
KM3 XFRA US4891701009 KENNAMETAL INC. DL 1,25 0.182 EUR
GIH XFRA US38068T1051 GOLD RES CORP. DL-,001 0.003 EUR
XONA XFRA US30231G1022 EXXON MOBIL CORP. 0.791 EUR
CB1A XFRA US21036P1084 CONST.BRANDS A DL-,01 0.682 EUR
XFRA DE000HLB0L84 LB.HESS.-THR. INFL. 11/21 0.000 %
XFRA DE000BLB06U3 BAY.LDSBK.INFL.ANL.21 0.000 %
37W XFRA US2946001011 EQUITRANS MIDSTREAM 0.409 EUR
OCZA XFRA ES0116920333 GRUPO CATALANA NOM.EO-,30 0.159 EUR
XFRA DE000HSH4KK2 HCOB MZC 14 13/21 0.001 %
XFRA DE000HLB4VR7 LB.HESS.-THR.ZI.DI.02B/19 0.001 %
XFRA DE000HLB4VS5 LB.HESS.-THR.ZI.DI.02C/19 0.001 %
AQY XFRA US03937C1053 ARCBEST CORP. DL-,01 0.073 EUR
ZPRA XFRA IE00B9KNR336 SPDR S+P P.AS.DIV.ARI.ETF 0.510 EUR
AG31 XFRA US03768E1055 APOLLO GLOBAL MAN. CL.A 0.809 EUR
3PXA XFRA MHY622674098 NAVIOS MARITIME PARTNERS 0.273 EUR