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The Newsboard is based on a service of the stock exchange operator Deutsche Börse AG, which provides investors with company-relevant information. In particular, it deals with events that may be relevant to the listing of companies or tradable financial instruments.

The publications relate to new admissions to trading on the stock exchanges, trading interruptions, delistings, price suspensions or delistings. Shares, bonds, certificates and warrants are recorded. The X-Billboard portfolio is supplemented by a further service. You can find it here.

The X-Feed shows important news about listed companies in the style of a short news service. This is not editorial content. The focus is on information about the tradability status of a listed financial instrument. The news is kept compact and reduced to the essentials. You are welcome to use the search function or the available filters to carry out further research quickly and conveniently.
State: 23.06.2025 | 3AM
System-State: Number of processed items 55.586 Notifications successully processed since Inception
Sun, 22.06.2025

Das Instrument DE000LB5Y6V9 M.EXP.PL 23.08.30 Dt.Bank WARRANT hat eine geaenderte Produktzuweisung. Dies fuehrt zu einer Orderloeschung zum 23.06.2025: WARLB_01 The instrument DE000LB5Y6V9 M.EXP.PL 23.08.30 Dt.Bank WARRANT has a change of product relation causing deletion of all open orders effective on 23.06.2025: WARLB_01
Sun, 22.06.2025

Das Instrument DE000LB5Y6W7 M.EXP.PL 23.08.30 PUMA WARRANT hat eine geaenderte Produktzuweisung. Dies fuehrt zu einer Orderloeschung zum 23.06.2025: WARLB_01 The instrument DE000LB5Y6W7 M.EXP.PL 23.08.30 PUMA WARRANT has a change of product relation causing deletion of all open orders effective on 23.06.2025: WARLB_01
Sun, 22.06.2025

Das Instrument XS2911645286 Expr.Nts 2025(26) Heidelb.Mat. WARRANT hat eine geaenderte Produktzuweisung. Dies fuehrt zu einer Orderloeschung zum 23.06.2025: WARIN_01 The instrument XS2911645286 Expr.Nts 2025(26) Heidelb.Mat. WARRANT has a change of product relation causing deletion of all open orders effective on 23.06.2025: WARIN_01
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Sun, 22.06.2025

Das Instrument DE000HLB3SE3 LB.HESS.-THR.ZI.DI.06A/18 BOND wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument DE000HLB3SE3 LB.HESS.-THR.ZI.DI.06A/18 BOND has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument S4M FR0010282822 VUSIONGROUP S.A. EO 2 EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument S4M FR0010282822 VUSIONGROUP S.A. EO 2 EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument T0J1 NL0015001OJ9 MFE-MEDIAFOREU. B EO -,60 EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument T0J1 NL0015001OJ9 MFE-MEDIAFOREU. B EO -,60 EQUITY has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument DE000HLB3SF0 LB.HESS.-THR.ZI.DI.06B/18 BOND wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument DE000HLB3SF0 LB.HESS.-THR.ZI.DI.06B/18 BOND has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument AKTA ID1000106602 PT ANEKA TAMBANG RP 100 EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument AKTA ID1000106602 PT ANEKA TAMBANG RP 100 EQUITY has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument VAI US91879Q1094 VAIL RESORTS INC. DL-,01 EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument VAI US91879Q1094 VAIL RESORTS INC. DL-,01 EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument CH0212937244 CAISSE REF.HAB 13-25 BOND hat seinen letzten Handelstag am 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_BON, SettlCurr EUR, CCP N The instrument CH0212937244 CAISSE REF.HAB 13-25 BOND has its last trading date on 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_BON, SettlCurr EUR, CCP N
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Sun, 22.06.2025

Das Instrument GUJB HK1203033175 GDH GUANGNAN (HOLDINGS) EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument GUJB HK1203033175 GDH GUANGNAN (HOLDINGS) EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument 9CN BE0974303357 CENERGY HLDGS NOM. EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument 9CN BE0974303357 CENERGY HLDGS NOM. EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument DE000DDA0KZ6 DZ BANK IS.A952 VAR BOND hat seinen letzten Handelstag am 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_BON, SettlCurr EUR, CCP N The instrument DE000DDA0KZ6 DZ BANK IS.A952 VAR BOND has its last trading date on 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_BON, SettlCurr EUR, CCP N
Sun, 22.06.2025

Das Instrument EB2 IL0010811243 ELBIT SYS LTD EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument EB2 IL0010811243 ELBIT SYS LTD EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument R2V US7580754023 REDWOOD TRUST DL-,01 EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument R2V US7580754023 REDWOOD TRUST DL-,01 EQUITY has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument WDP0 CA25472W1059 THE WALT DISNEY CDR EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument WDP0 CA25472W1059 THE WALT DISNEY CDR EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument 8II US72815L1070 PLAYTIKA HOLDING DL-,01 EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument 8II US72815L1070 PLAYTIKA HOLDING DL-,01 EQUITY has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument BR20 CA39261L2049 GREEN BATTERY MINERALS EQUITY wird cum Kapitalmassnahme gehandelt am 23.06.2025 und ex Kapitalmassnahme am 24.06.2025 The instrument BR20 CA39261L2049 GREEN BATTERY MINERALS EQUITY is traded cum capital adjustment on 23.06.2025 and ex capital adjustment on 24.06.2025
Sun, 22.06.2025

Das Instrument E9Q CNE100002B55 GUANGDONG KANG.HEALTH.YC1 EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument E9Q CNE100002B55 GUANGDONG KANG.HEALTH.YC1 EQUITY has its ex-dividend/interest day on 23.06.2025
Sun, 22.06.2025

Das Instrument 5R9 HK0000746575 YUEXIU SERVICES GROUP LTD EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument 5R9 HK0000746575 YUEXIU SERVICES GROUP LTD EQUITY has its ex-dividend/interest day on 23.06.2025
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Sun, 22.06.2025

Das Instrument RQQ0 CA6752224007 OCEANAGOLD CORP. EQUITY hat seinen ersten Handelstag am 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_EQU, SettlCurr EUR, CCP N The instrument RQQ0 CA6752224007 OCEANAGOLD CORP. EQUITY has its first trading date on 23.06.2025: CONTINUOUS AUCTION SPECIALIST, PAG PAG_EQU, SettlCurr EUR, CCP N
Sun, 22.06.2025

Das Instrument IXD2 US4557931098 IND.D.D.TEXT.UNSP.ADR 1/2 EQUITY wird cum Kapitalmassnahme gehandelt am 23.06.2025 und ex Kapitalmassnahme am 24.06.2025 The instrument IXD2 US4557931098 IND.D.D.TEXT.UNSP.ADR 1/2 EQUITY is traded cum capital adjustment on 23.06.2025 and ex capital adjustment on 24.06.2025
Sun, 22.06.2025

Das Instrument US85859N1028 STEM INC. DL-,0001 EQUITY wird ex Kapitalmassnahme gehandelt am 23.06.2025 The instrument US85859N1028 STEM INC. DL-,0001 EQUITY is traded ex capital adjustment on 23.06.2025
Sun, 22.06.2025

Das Instrument TSPA US87936R2058 TELEFONICA BRASIL ADR 2 EQUITY wird cum Dividende/Zinsen gehandelt am 23.06.2025 und ex Dividende/Zinsen am 24.06.2025 The instrument TSPA US87936R2058 TELEFONICA BRASIL ADR 2 EQUITY has its pre-dividend/interest day on 23.06.2025 and its ex-dividend/interest day on 24.06.2025
Sun, 22.06.2025

Das Instrument 2AE CA00762V1094 AECON GRP EQUITY wird ex Dividende/Zinsen gehandelt am 23.06.2025 The instrument 2AE CA00762V1094 AECON GRP EQUITY has its ex-dividend/interest day on 23.06.2025

The information provided here is not subject to any editorial processing. It is prepared fully automatically and enriched with additional information and further research options. The aim of the content is to provide information seekers with the relevant information quickly and easily. A link back to the information provider and owner ensures that the data prepared here can be compared with the source information if required. The newsboard does not show information in real time. Please contact the exchange operator for this information if required. There is no claim to completeness. High availability cannot be guaranteed. If you notice any errors in the functionality, please let us know using the "Report a Bug" form below.

RAW DATA PROCESSING means that raw data is processed without changing the content. The data is supplemented to improve the interpretation of the information in terms of usability.

Note: The newswire cross-link panel at the top allows you to quickly and easily access additional sources of information. In the terminal view, the news is filtered at company level and enables targeted searches.


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