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Operational Notices

Showing 441-460 of 1076 Results

Released Title
T2S Release 3.0 – CR-520 - 12 aprile 2019
T2S Release 3.0 – CR-520 - 12 April 2019
Chiusura sistemi MT/T2/T2S - 8 aprile 2019
MT/T2/T2S systems closure - 8 April 2019
Migration of assets held in Clearstream Banking Luxembourg to Euroclear Bank - 27 March 2019
Migrazione degli asset detenuti in Clearstream Banking Luxembourg a Euroclear Bank - 27 marzo 2019
Liquidazione dei contratti su base netta per mercati non garantiti (SeDeX ed EuroTLX) – Piano dei Collaudi - 22 marzo 2019
Settlement of trades on a net basis for non-guaranteed markets (SeDeX ed EuroTLX) – Test Plan - 22 March 2019
Corrispettivi applicati agli intermediari - 22 marzo 2019
Fees applied to Intermediaries - 22 March 2019
Allineamento tipi transazione titoli - 21 marzo 2019
Alignment of securities transaction types - 21 March 2019
871M: Titoli soggetti a fiscalità US - 18 marzo 2019
871M: Securities subject to US taxation - 18 March 2019
T2S Release 3.0 – CR612 – XSD notice - 13 March 2019
T2S Release 3.0 – CR612 – XSD notice - 13 marzo 2019
Release in produzione dell’11/03/2019 - 5 marzo 2019
Release into production on 11/03/2019 - 5 March 2019
Settlement of trades on a net basis for non-guaranteed markets (SeDeX and EuroTLX) - 1 March 2019
Natura fiscale del dividendo distribuito - 1 marzo 2019