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Euronext Upcoming Dividends




Without further notice, the adjustments will be effective at the date of posting.

Euronext informs you that the order book will be purged at the end of the day preceding the Ex-date.


  • IDS has decided to proceed with the distribution of a cash dividend to the shares (ISIN code FR0000079691) below:


Type of distribution: Ordinary dividend
Ex-date: 09/07/2019
Record date: 10/07/2019
Payment date: 11/07/2019
Gross dividend: 0.06 EUR
Paying Agent: CM-CIC ISSUER (00000025)

Label: IDS

ISIN: FR0000079691
Euronext code: FR0000079691
Mnemonic: MLIDS


  • ABC ARBITRAGE has decided to proceed to the distribution of a cash dividend to the shares (ISIN code FR0004040608) below:


Type of distribution: Ordinary dividend
Ex-date: 09/07/2019
Record date: 10/07/2019
Payment date: 11/07/2019
Gross dividend: 0,23 EUR
Paying Agent: CACEIS CORPORATE TRUST (00000023)

Label: ABC ARBITRAGE

ISIN: FR0004040608
Euronext code: FR0004040608
Mnemonic: ABCA


  • ALSTOM has decided to proceed with the distribution of a cash dividend to the shares (ISIN code FR0010220475) below:

Correction PAR_20190703_07508_EUR

- EURONEXT announces that the type of dividend is unspecified in not Ordinary as initially announced

Type of distribution: -
Ex-date: 15/07/2019
Record date: 16/07/2019
Payment date: 17/07/2019
Gross dividend: EUR 5.5
Paying Agent: BNP PARIBAS SECURITIES SERVICE (00000030)

Label: ALSTOM

ISIN: FR0010220475
Euronext code: FR0010220475
Mnemonic: ALO


  • RIBER has decided to proceed to the distribution of a cash dividend to the shares (ISIN code FR0000075954) below:


Type of distribution: Ordinary dividend
Ex-date: 09/07/2019
Record date: 10/07/2019
Payment date: 11/07/2019
Gross dividend: 0.03 EUR
Paying Agent: CACEIS CORPORATE TRUST (00000023)

Label: RIBER

ISIN: FR0000075954
Euronext code: FR0000075954
Mnemonic: RIB


  • OBER has decided to proceed with the distribution of a cash dividend to the shares (ISIN code FR0010330613) below:

Type of distribution: Ordinary dividend
Ex-date: 24/07/2019
Record date: 25/07/2019
Payment date: 26/07/2019
Gross dividend: EUR 0.5
Paying agent: SOCIETE GENERALE (42)

Label: OBER

ISIN: FR0010330613
Euronext code: FR0010330613
Mnemonic: ALOBR


  • GOLD BY GOLD has decided to proceed with the distribution of a cash dividend to the shares (ISIN code FR0011208693) below:

Type of distribution: Ordinary dividend
Ex-date: 08/07/2019
Record date: 09/07/2019
Payment date: 10/07/2019
Gross dividend: 0.04 EUR
Paying Agent: CACEIS CORPORATE TRUST (00000023)

Label: GOLD BY GOLD

ISIN: FR0011208693
Euronext code: FR0011208693
Mnemonic: ALGLD

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