DIVIDEND INFORMATION

01/19/2019, 11:07:47

THE FOLLOWING INSTRUMENTS ARE TRADED CUM DIVIDEND ON 21.01.2019 AND EX DIVIDEND ON 22.01.2019.

ISIN / NAME / SHORT CODE / Ref.PriceAdj.( in EUR)

ES0167050915/ACS SA/ACS/0,3637

US1941621039/COLGATE-PALMOLIVE CO/COLG/0,36885

PLEASE CONSIDER, THAT THE ORDERS WILL BE DECLARED CANCELLED ON 21.01.2019 AT THE END OF THE TRADING DAY AND HAVE TO BE PLACED AGAIN ON THE BEGINNING OF THE EX-DAY.


More News

Xetra® Newsboard