Zdarzenia korporacyjne
Data: 04.02.2025
Dividend Reinvestment VODAFONE GROUP PLC REGD (LO)
ISIN GB00BH4HKS39
VODAFONE GROUP PLC REGD (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250207
GRSS//GBP0,018861
ISIN GB00BH4HKS39
VODAFONE GROUP PLC REGD (LO)
ADEX//UKWN
PAYD//20250212
Cash Dividend APPLE INC (NY)
NEWM
ISIN US0378331005
APPLE INC (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250213
GRSS//USD0,25
Redemption EMIRATES AIRLINES 13-24 4,5%
REPL
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
RDTE//20250205
XDTE//20250206
PAYD//20250206
RATE//4,76
Exercise rights NORWEGIAN BLOCK EX.RIGHTEX211124(OS
REPL
ISIN NO0013411157
NORWEGIAN BLOCK EX.RIGHTEX211124(OS
RDTE//20241122
XDTE//20241121
ISIN NO0010984966
NORWEGIAN BLOCK EXCHANGE AS (OS)
NEWO//1,/1,
PAYD//20250204
Dividend Reinvestment BP PLC (LO)
REPL
ISIN GB0007980591
BP PLC (LO)
RDTE//20250221
XDTE//20250220
PAYD//20250328
GRSS//UKWN
ISIN GB0007980591
BP PLC (LO)
ADEX//UKWN
PAYD//20250328
Redemption SONO GRP NV (NY)
NEWM
ISIN NL0015002AM0
SONO GRP NV (NY)
XDTE//20250203
PAYD//20250203
OFFR//ACTU/USD9,036666
Merger SILVERCREST METALS INC
REPL
ISIN CA8283631015
SILVERCREST METALS INC
XDTE//UKWN
ISIN US1921085049
COEUR MINING INC (NY)
NEWO//1,6022/1,
PAYD//UKWN
Cash Dividend VODAFONE GROUP PLC 1 ADR = 10 (NY)
REPL
ISIN US92857W3088
VODAFONE GROUP PLC 1 ADR 10 (NY)
RDTE//20241122
XDTE//20241122
PAYD//20250207
GRSS//USD0,234767
Cash Dividend SANDSTORM GOLD LTD (NY)
NEWM
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//USD0,01377
Intrest Payment ROMANIA 18-39 4,125% 11/03 REGS MTN
REPL
ISIN XS1892127470
ROMANIA 18-39 4,125 11/03 REGS MTN
RDTE//20250310
XDTE//20250311
PAYD//20250311
INTP//4,125
Cash Dividend CARDINAL HEALTH INC (NY)
NEWM
ISIN US14149Y1082
CARDINAL HEALTH INC (NY)
RDTE//20250401
XDTE//20250401
PAYD//20250415
GRSS//USD0,5056
Cash Dividend METLIFE INC (NY)
REPE
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20250204
XDTE//20250204
PAYD//20250311
GRSS//USD0,545
Cash Dividend CHEVRON CORP (NY)
NEWM
ISIN US1667641005
CHEVRON CORP (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250310
GRSS//USD1,71
Cash Dividend HP INC (NY)
NEWM
ISIN US40434L1052
HP INC (NY)
RDTE//20250312
XDTE//20250312
PAYD//20250402
GRSS//USD0,2894
Cash Dividend EXXON MOBIL CORP (NY)
NEWM
ISIN US30231G1022
EXXON MOBIL CORP (NY)
RDTE//20250212
XDTE//20250212
PAYD//20250310
GRSS//USD0,99
Cash Dividend GEN DIGITAL (NY)
NEWM
ISIN US6687711084
GEN DIGITAL (NY)
RDTE//20250217
XDTE//20250214
PAYD//20250312
GRSS//USD0,125
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
NEWM
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20250311
XDTE//20250311
PAYD//20250325
GRSS//USD0,4
Cash Dividend VISA INC -CL A (NY)
NEWM
ISIN US92826C8394
VISA INC -CL A (NY)
RDTE//20250211
XDTE//20250211
PAYD//20250303
GRSS//USD0,59
Cash Dividend RTX CORPORATION (NY)
NEWM
ISIN US75513E1010
RTX CORPORATION (NY)
RDTE//20250221
XDTE//20250221
PAYD//20250320
GRSS//USD0,63
Cash Dividend CITIGROUP INC (NY)
REPE
ISIN US1729674242
CITIGROUP INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250228
GRSS//USD0,56
Intrest Payment FORD MOTOR COMPANY 99-29 6,375%
NEWM
ISIN US345370BZ25
FORD MOTOR COMPANY 99-29 6,375
XDTE//20250801
RDTE//20250717
PAYD//20250801
INTP//3,1875
Data: 03.02.2025
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPE
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20250203
XDTE//20250203
PAYD//20250206
Change TUSIMPLE HLDGS INC (NY)
REPL
ISIN US90089L1089
TUSIMPLE HLDGS INC (NY)
EFFD//UKWN
CHAN//NAME
ADTX//NAME CHANGE:
OLD NAME: TUSIMPLE HLDGS INC USD
0.0001
NEW NAME: CREATEAI HOLDINGS INC
ISIN REMAINS THE SAME
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
NEWM
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
Cash Dividend COMCAST CORP CL-A (NY)
REPL
ISIN US20030N1019
COMCAST CORP CL-A (NY)
RDTE//20250402
XDTE//20250402
PAYD//20250423
GRSS//USD0,33
Rights Distribution SHELL PLC (AS)
NEWM
ISIN GB00BP6MXD84
SHELL PLC (AS)
RDTE//20250214
XDTE//20250213
ISIN NL0015002E16
SHELL PLC RIGHT EX130225 (AS)
ADEX//1,/1,
PAYD//20250213
Bankruptcy SORRENTO THERAPEUTICS INC (NY)
REPL
ISIN US83587F2020
SORRENTO THERAPEUTICS INC (NY)
EFFD//UKWN
ADTX//+++ UPDATE AS ON FEBRUARY 03,
2025+++
PLEASE BE ADVISED THAT NOTICE OF
ORDER
EXTENDING THE APPLICATION OF THE
AUTOMATIC STAY TO CONTINUE THE
RESTRICTED TRADING PERIOD FOR
SHARES OF SCILEX STOCK DISTRIBUTED
TO
:70E::ADTX//THE DEBTORS RECIPIENTS OF
DISTRIBUTED STOCK.
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPE
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20250203
XDTE//20250203
PAYD//20250206
GRSS//USD0,175461
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPE
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250206
GRSS//USD0,312282
Intrest Payment USA 99-29 6,125% 15/08
REPL
ISIN US912810FJ26
USA 99-29 6,125 15/08
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,0625
Intrest Payment USA 15-25 2%
REPL
ISIN US912828K742
USA 15-25 2
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//1,
Cash Dividend ONEOK INC (NY)
REPE
ISIN US6826801036
ONEOK INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250214
GRSS//USD1,03
Intrest Payment ESKOM HOLDINGS SOC 18-28 8,45%REGS
REPL
ISIN XS1864522757
ESKOM HOLDINGS SOC 18-28 8,45 REGS
RDTE//20250207
XDTE//20250210
PAYD//20250210
INTP//4,225
Intrest Payment CITIGROUP INC 16-26 4,6% 09/03
REPL
ISIN US172967KJ96
CITIGROUP INC 16-26 4,6 09/03
RDTE//20250307
XDTE//20250309
PAYD//20250309
INTP//2,3
Intrest Payment KOREA HYDRO&NUCLE 22-27 4.25% REGS
REPE
ISIN USY4899GFA68
KOREA HYDRO NUCLE 22-27 4.25 REGS
RDTE//20250124
XDTE//20250127
PAYD//20250127
INTP//2,125
Cash Dividend NOVARTIS AG REG. (VX)
NEWM
ISIN CH0012005267
NOVARTIS AG REG. (VX)
RDTE//20250312
XDTE//20250311
PAYD//20250313
GRSS//CHF3,5
Cash Dividend NOKIA CORP-ADR UN.1SH (NY)
REPL
ISIN US6549022043
NOKIA CORP-ADR UN.1SH (NY)
RDTE//20250204
XDTE//20250204
PAYD//20250218
GRSS//USD0,031308
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250317
GRSS//USD0,67
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250317
GRSS//USD0,67
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250317
GRSS//USD0,67
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250317
GRSS//USD0,67
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
NEWM
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250203
GRSS//USD0,15
Cash Dividend AT&T INC (NY)
NEWM
ISIN US00206R1023
AT T INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,2775
Cash Dividend GENERAL MILLS INC (NY)
NEWM
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,6
Cash Dividend BRISTOL-MYERS SQUIBB (NY)
NEWM
ISIN US1101221083
BRISTOL-MYERS SQUIBB (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250203
GRSS//USD0,62
Cash Dividend KINDER MORGAN INC (NY)
REPE
ISIN US49456B1017
KINDER MORGAN INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,2875
Cash Dividend NRG ENERGY INC (NY)
REPE
ISIN US6293775085
NRG ENERGY INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,44
Cash Dividend LINCOLN NATIONAL (NY)
NEWM
ISIN US5341871094
LINCOLN NATIONAL (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,45
Cash Dividend SYNCHRONY FINANCIAL (NY)
REPE
ISIN US87165B1035
SYNCHRONY FINANCIAL (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,25
Cash Dividend ABM INDUSTRIES INC (NY)
NEWM
ISIN US0009571003
ABM INDUSTRIES INC (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250203
GRSS//USD0,265
Cash Dividend ROCHE HOLDING AG - GENUSS (VX)
NEWM
ISIN CH0012032048
ROCHE HOLDING AG - GENUSS (VX)
RDTE//20250328
XDTE//20250327
PAYD//20250331
GRSS//CHF9,7
Cash Dividend TELIA COMPANY AB (ST)
NEWM
ISIN SE0000667925
TELIA COMPANY AB (ST)
XDTE//20251029
RDTE//20251030
PAYD//20251104
GRSS//SEK0,5
Cash Dividend COMMERZBANK AG (FR)
NEWM
ISIN DE000CBK1001
COMMERZBANK AG (FR)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//EUR0,65
Cash Dividend ONEMAIN HLDGS INC (NY)
NEWM
ISIN US68268W1036
ONEMAIN HLDGS INC (NY)
RDTE//20250212
XDTE//20250212
PAYD//20250220
GRSS//USD1,04
Intrest Payment OMAN 19-29 6% MTN REGS
NEWM
ISIN XS1944412748
OMAN 19-29 6 MTN REGS
XDTE//20250801
RDTE//20250731
PAYD//20250801
INTP//UKWN
Cash Dividend ONEMAIN HLDGS INC (NY)
NEWM
ISIN US68268W1036
ONEMAIN HLDGS INC (NY)
RDTE//20250212
XDTE//20250212
PAYD//20250220
GRSS//USD1,04
Intrest Payment BNP PARIBAS 17-27 4,625%
NEWM
ISIN US05581LAC37
BNP PARIBAS 17-27 4,625
XDTE//20250313
RDTE//20250312
PAYD//20250313
INTP//2,3125
Intrest Payment WELLS FARGO BANK NA 07-37 5,85%
REPE
ISIN US92976GAG64
WELLS FARGO BANK NA 07-37 5,85
RDTE//20250131
XDTE//20250201
PAYD//20250201
INTP//2,925
Full Call PKO BANK POLSKI23-26 5,625-VAR%REGS
NEWM
ISIN XS2582358789
PKO BANK POLSKI23-26 5,625-VAR REGS
RDTE//20250131
XDTE//20250203
PAYD//20250203
INTP//0,136
RATE//99,864
Intrest Payment HALLIBURTON CO 13-43 4,75%
REPE
ISIN US406216BE02
HALLIBURTON CO 13-43 4,75
RDTE//20250131
XDTE//20250201
PAYD//20250201
INTP//2,375
Cash Dividend BAKER HUGHES COMPANY(NY)
NEWM
ISIN US05722G1004
BAKER HUGHES COMPANY(NY)
RDTE//20250211
XDTE//20250211
PAYD//20250221
GRSS//USD0,23
Dividend Option IBERDROLA SA (MA)
NEWM
ISIN ES06445809T5
IBERDROLA SA RIGHT EX100125 (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250131
ISIN ES0144583319
IBERDROLA SA TEMP SH (MA)
NEWO//1,/58,
PAYD//20250131
Cash Dividend OSHKOSH CORP (NY)
NEWM
ISIN US6882392011
OSHKOSH CORP (NY)
RDTE//20250217
XDTE//20250214
PAYD//20250303
GRSS//USD0,51
Cash Dividend SHELL PLC - ADR (NY)
NEWM
ISIN US7802593050
SHELL PLC - ADR (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250324
GRSS//USD0,716
Cash Dividend CANADIAN NATL RAILWAY CO (NY)
NEWM
ISIN CA1363751027
CANADIAN NATL RAILWAY CO (NY)
RDTE//20250310
XDTE//20250310
PAYD//20250331
GRSS//USD0,8875
Cash Dividend BLACKSTONE INC (NY)
NEWM
ISIN US09260D1072
BLACKSTONE INC (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250218
GRSS//USD1,44
Cash Dividend NORDEA BANK ABP (ST)
NEWM
ISIN FI4000297767
NORDEA BANK ABP (ST)
XDTE//20250321
RDTE//20250324
PAYD//20250331
GRSS//EUR0,94
Cash Dividend TEXAS INSTRUMENTS (NY)
REPE
ISIN US8825081040
TEXAS INSTRUMENTS (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250211
GRSS//USD1,36
Cash Dividend ASML HOLDING NY-REG. ADR (NY)
NEWM
ISIN USN070592100
ASML HOLDING NY-REG. ADR (NY)
RDTE//20250428
XDTE//20250428
PAYD//20250506
GRSS//USD1,919304
Cash Dividend MORGAN STANLEY (NY)
REPE
ISIN US6174464486
MORGAN STANLEY (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250214
GRSS//USD0,925
Reverse Stock Split TONIX PHARMACEUTICALS HOLDING (NY)
REPL
ISIN US8902608475
TONIX PHARMACEUTICALS HOLDING (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/100,
PAYD//UKWN
Cash Dividend AMPHENOL CORP -A- (NY)
NEWM
ISIN US0320951017
AMPHENOL CORP -A- (NY)
RDTE//20250318
XDTE//20250318
PAYD//20250409
GRSS//USD0,165
Redemption PROSHARES SHORT S&P500 ETF-D
NEWM
ISIN US74349Y7537
PROSHARES SHORT S P500 ETF-D (NY)
XDTE//20250130
PAYD//20250130
OFFR//ACTU/USD41,114594
Cash Dividend FRANCO-NEVADA CORP (NY)
NEWM
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20250313
XDTE//20250313
PAYD//20250327
GRSS//USD0,38
Cash Dividend NASDAQ INC (NY)
NEWM
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20250314
XDTE//20250314
PAYD//20250328
GRSS//USD0,24
Data: 31.01.2025
Cash Dividend ASML HOLDING (AS)
NEWM
//DVCA
ISIN NL0010273215
ASML HOLDING (AS)
RDTE//20250211
XDTE//20250210
PAYD//20250219
GRSS//EUR1,52
Cash Dividend ASML HOLDING (AS)
NEWM
//DVCA
ISIN NL0010273215
ASML HOLDING (AS)
RDTE//20250428
XDTE//20250425
PAYD//20250506
GRSS//EUR1,84
Cash Dividend SPDR BARCL GL DIV ARISTOCR UCIT
NEWM
//DVCA
ISIN IE00B9CQXS71
SPDR BARCL GL DIV ARISTOCR UCIT(FR)
RDTE//20250206
XDTE//20250205
PAYD//20250219
GRSS//USD0,2669
Cash Dividend SSAB AB A (ST)
NEWM
//DVCA
ISIN SE0000171100
SSAB AB A (ST)
XDTE//20250430
RDTE//20250502
PAYD//20250507
GRSS//SEK2,6
Cash Dividend SSGA SPDR ETFS EUR.I EM.M.D.A.UC
NEWM
//DVCA
ISIN IE00B6YX5B26
SSGA SPDR ETFS EUR.I EM.M.D.A.UC(FR
RDTE//20250206
XDTE//20250205
PAYD//20250219
GRSS//USD0,1986
Cash Dividend VOLVO -A FRIA (ST)
NEWM
//DVCA
ISIN SE0000115420
VOLVO -A FRIA (ST)
XDTE//20250403
RDTE//20250404
PAYD//20250409
GRSS//SEK18,5
Cash Dividend VF CORPORATION (NY)
NEWM
//DVCA
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20250310
XDTE//20250310
PAYD//20250320
GRSS//USD0,09
Cash Dividend VOLVO -B FRIA (ST)
NEWM
//DVCA
ISIN SE0000115446
VOLVO -B FRIA (ST)
XDTE//20250403
RDTE//20250404
PAYD//20250409
GRSS//SEK18,5
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
//DVCA
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250218
GRSS//USD0,124167
Cash Dividend HAWKINS INC (NY)
NEWM
//DVCA
ISIN US4202611095
HAWKINS INC (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250228
GRSS//USD0,18
Cash Dividend MURPHY OIL CORP (NY)
NEWM
//DVCA
ISIN US6267171022
MURPHY OIL CORP (NY)
RDTE//20250218
XDTE//20250218
PAYD//20250303
GRSS//USD0,325
Cash Dividend HUNTINGTON INGALLS INDUSTRIES (NY)
//DVCA
ISIN US4464131063
HUNTINGTON INGALLS INDUSTRIES (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250314
GRSS//USD1,35
Cash Dividend UNITED STATES STEEL CORP (NY)
NEWM
//DVCA
ISIN US9129091081
UNITED STATES STEEL CORP (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250312
GRSS//USD0,05
Cash Dividend CIGNA GROUP/THE(NY)
NEWM
//DVCA
ISIN US1255231003
CIGNA GROUP/THE(NY)
RDTE//20250305
XDTE//20250305
PAYD//20250320
GRSS//USD1,51
Cash Dividend EVOLUTION AB (ST)
NEWM
//DVCA
ISIN SE0012673267
EVOLUTION AB (ST)
XDTE//20250506
RDTE//20250507
PAYD//20250514
GRSS//EUR2,8
Cash Dividend ECORA RESOURCES PLC (LO)
REPE
//DVCA
ISIN GB0006449366
ECORA RESOURCES PLC (LO)
RDTE//20250103
XDTE//20250102
PAYD//20250131
GRSS//GBP0,013704
Cash Dividend DEUTSCHE BANK AG (FR)
NEWM
//DVCA
ISIN DE0005140008
DEUTSCHE BANK AG (FR)
RDTE//20250526
XDTE//20250523
PAYD//20250527
GRSS//UKWN
Partial Redemption AYDEM YENILENEBILIR 21-27 7,75%REGS
REPL
//PRED
ISIN XS2368781477
AYDEM YENILENEBILIR 21-27 7,75 REGS
RDTE//20250117
XDTE//20250202
PAYD//20250202
RATE//UKWN
Intrest Payment SOFTBANK GROUP CORP 18-28 6,25%REGS
NEWM
//INTR
ISIN XS1793255198
SOFTBANK GROUP CORP 18-28 6,25 REGS
XDTE//20250415
RDTE//20250414
INPE//20241015/20250415
PAYD//20250415
INTP//UKWN
Redemption CROATIA 15-25 3,00% 11/03
NEWM
//REDM
ISIN XS1117298916
CROATIA 15-25 3,00 11/03
XDTE//20250311
PAYD//20250311
RATE//97,845
INTP//2,155
Cash Dividend ELECTROLUX PROFESS B (ST)
NEWM
//DVCA
ISIN SE0013747870
ELECTROLUX PROFESS B (ST)
XDTE//20250508
RDTE//20250509
PAYD//20250514
GRSS//SEK0,85
Cash Dividend SKF AB -B- FRIA (ST)
NEWM
//DVCA
ISIN SE0000108227
SKF AB -B- FRIA (ST)
XDTE//20250402
RDTE//20250403
PAYD//20250408
GRSS//SEK7,75
Cash Dividend ATKORE INC (NY)
NEWM
//DVCA
ISIN US0476491081
ATKORE INC (NY)
RDTE//20250218
XDTE//20250218
PAYD//20250228
GRSS//USD0,32
Cash Dividend CAIXABANK S.A. (MA)
NEWM
//DVCA
ISIN ES0140609019
CAIXABANK S.A. (MA)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//EUR0,2864
Cash Dividend HENNES & MAURITZ -B FRIA (ST)
NEWM
//DVCA
ISIN SE0000106270
HENNES MAURITZ -B FRIA (ST)
XDTE//20251106
RDTE//20251107
PAYD//20251112
GRSS//SEK3,4
Cash Dividend HENNES & MAURITZ -B FRIA (ST)
NEWM
//DVCA
ISIN SE0000106270
HENNES MAURITZ -B FRIA (ST)
XDTE//20250508
RDTE//20250509
PAYD//20250514
GRSS//SEK3,4
Cash Dividend KPN NV (AS)
NEWM
//DVCA
ISIN NL0000009082
KPN NV (AS)
RDTE//20250423
XDTE//20250422
PAYD//20250428
GRSS//EUR0,102
Data: 30.01.2025
Cash Dividend CHRISTIAN DIOR SA (PA)
NEWM
//DVCA
ISIN FR0000130403
CHRISTIAN DIOR SA (PA)
RDTE//20250425
XDTE//20250424
PAYD//20250428
GRSS//EUR7,5
Cash Dividend BALL CORP (NY)
NEWM
//DVCA
ISIN US0584981064
BALL CORP (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250317
GRSS//USD0,2
Cash Dividend BANK OF AMERICA CORP (NY)
NEWM
//DVCA
ISIN US0605051046
BANK OF AMERICA CORP (NY)
RDTE//20250307
XDTE//20250307
PAYD//20250328
GRSS//USD0,26
Cash Dividend AKZO NOBEL NV (AS)
NEWM
//DVCA
ISIN NL0013267909
AKZO NOBEL NV (AS)
RDTE//20250430
XDTE//20250429
PAYD//20250507
GRSS//EUR1,54
Cash Dividend BANK OF NOVA SCOTIA (NY)
NEWM
//DVCA
ISIN CA0641491075
BANK OF NOVA SCOTIA (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250129
POST//20250130
GRSS//USD0,732943
Cash Dividend ARJO AB (ST)
NEWM
//DVCA
ISIN SE0010468116
ARJO AB (ST)
XDTE//20250430
RDTE//20250502
PAYD//20250507
GRSS//SEK0,95
Spin Off WESTERN DIGITAL CORP (NY)
NEWM
//SOFF
ISIN US9581021055
WESTERN DIGITAL CORP (NY)
RDTE//UKWN
XDTE//UKWN
ADEX//0,33333/1,
PAYD//20250221
ADDINFO//SPIN OFF
Cash Dividend LENNAR CORP -A (NY)
CANC
//DVCA
ISIN US5260571048
LENNAR CORP -A (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//USD0,115
Cash Dividend BLACKROCK INC (NY)
NEWM
//DVCA
ISIN US09290D1019
BLACKROCK INC (NY)
RDTE//20250307
XDTE//20250307
PAYD//20250324
GRSS//USD5,21
Cash Dividend MSCI INC-A (NY)
NEWM
//DVCA
ISIN US55354G1004
MSCI INC-A (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250228
GRSS//USD1,8
Cash Dividend OMEGA HEALTHCARE INV. (NY)
NEWM
//DVCA
ISIN US6819361006
OMEGA HEALTHCARE INV. (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250218
GRSS//USD0,67
Cash Dividend APPLIED INDUSTRIAL TECHNOLOGIES INC
NEWM
//DVCA
ISIN US03820C1053
APPLIED INDUSTRIAL TECHNOLOGIES INC
RDTE//20250214
XDTE//20250214
PAYD//20250228
GRSS//USD0,46
Cash Dividend EUROPRIS ASA (OS)
NEWM
//DVCA
ISIN NO0010735343
EUROPRIS ASA (OS)
RDTE//20250428
XDTE//20250425
PAYD//20250506
GRSS//NOK3,5
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
//DVCA
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//USD0,4721
Dividend Reinvestment BAE SYSTEMS Plc (LO)
REPL
//DRIP
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20250422
XDTE//20250417
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250602
GRSS//UKWN
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250602
Data: 29.01.2025
Cash Dividend WILLIAMS COMPANIES (NY)
NEWM
//DVCA
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20250314
XDTE//20250314
PAYD//20250331
GRSS//USD0,5
Cash Dividend WELLS FARGO & CO (NY)
NEWM
//DVCA
ISIN US9497461015
WELLS FARGO CO (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250301
GRSS//USD0,4
Cash Dividend TERADYNE (NY)
NEWM
//DVCA
ISIN US8807701029
TERADYNE (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250314
GRSS//USD0,12
Cash Dividend MERCK AND CY INC
NEWM
//DVCA
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20250317
XDTE//20250317
PAYD//20250407
GRSS//USD0,81
Cash Dividend LVMH-MOET HENNESSY -CR (PA)
NEWM
//DVCA
ISIN FR0000121014
LVMH-MOET HENNESSY -CR (PA)
RDTE//20250425
XDTE//20250424
PAYD//20250428
GRSS//EUR7,5
Cash Dividend LOCKHEED MARTIN CORP (NY)
NEWM
//DVCA
ISIN US5398301094
LOCKHEED MARTIN CORP (NY)
RDTE//20250303
XDTE//20250303
PAYD//20250328
GRSS//USD3,3
Cash Dividend INTL PAPER (NY)
NEWM
//DVCA
ISIN US4601461035
INTL PAPER (NY)
RDTE//20250224
XDTE//20250224
PAYD//20250317
GRSS//USD0,4625
Cash Dividend S AND P GLOBAL INC (NY)
NEWM
//DVCA
ISIN US78409V1044
S AND P GLOBAL INC (NY)
RDTE//20250226
XDTE//20250226
PAYD//20250312
GRSS//USD0,96
Cash Dividend SKANDIN ENSKILDA BK -A-FRIA (ST)
NEWM
//DVCA
ISIN SE0000148884
SKANDIN ENSKILDA BK -A-FRIA (ST)
XDTE//20250402
RDTE//20250403
PAYD//20250408
GRSS//SEK11,5
Cash Dividend KIMBERLY CLARK CORP (NY)
NEWM
//DVCA
ISIN US4943681035
KIMBERLY CLARK CORP (NY)
RDTE//20250307
XDTE//20250307
PAYD//20250402
GRSS//USD1,26
Cash Dividend EQUINOR ASA - ADR (NY)
NEWM
//DVCA
ISIN US29446M1027
EQUINOR ASA - ADR (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250228
GRSS//USD0,7
Cash Dividend GENERAL MILLS INC (NY)
NEWM
//DVCA
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20250410
XDTE//20250410
PAYD//20250501
GRSS//USD0,6
Cash Dividend NORFOLK SOUTHERN (NY)
NEWM
//DVCA
ISIN US6558441084
NORFOLK SOUTHERN (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250220
GRSS//USD1,35
Cash Dividend BECTON DICKINSON (NY)
NEWM
//DVCA
ISIN US0758871091
BECTON DICKINSON (NY)
RDTE//20250310
XDTE//20250310
PAYD//20250331
GRSS//USD1,04
Cash Dividend SOUTHERN COMPANY (NY)
NEWM
//DVCA
ISIN US8425871071
SOUTHERN COMPANY (NY)
RDTE//20250218
XDTE//20250218
PAYD//20250306
GRSS//USD0,72
Cash Dividend LENNAR CORP -A (NY)
REPE
//DVCA
ISIN US5260571048
LENNAR CORP -A (NY)
RDTE//20250129
XDTE//20250129
PAYD//20250212
GRSS//USD0,5
Cash Dividend GETINGE AB-B (ST)
NEWM
//DVCA
ISIN SE0000202624
GETINGE AB-B (ST)
XDTE//20250423
RDTE//20250424
PAYD//20250429
GRSS//SEK4,6
Cash Dividend YORK WATER CO (NY)
NEWM
//DVCA
ISIN US9871841089
YORK WATER CO (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250415
GRSS//USD0,2192
Data: 28.01.2025
Cash Dividend CARPENTER TECHNOLOGY (NY)
REPE
ISIN US1442851036
CARPENTER TECHNOLOGY (NY)
RDTE//20250128
XDTE//20250128
PAYD//20250306
GRSS//USD0,2
Intrest Payment ABN AMRO BANK 15-25 4,75% REGS SUB
REPE
ISIN XS1264600310
ABN AMRO BANK 15-25 4,75 REGS SUB
RDTE//20250127
XDTE//20250128
PAYD//20250128
INTP//2,375
Cash Dividend THYSSENKRUPP AG (FR)
NEWM
ISIN DE0007500001
THYSSENKRUPP AG (FR)
RDTE//20250204
XDTE//20250203
PAYD//20250205
GRSS//EUR0,15
Cash Dividend GE VERNOVA INC (NY)
NEWM
ISIN US36828A1016
GE VERNOVA INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250128
GRSS//USD0,25
Cash Dividend GENERAL MOTORS CO (NY)
NEWM
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20250307
XDTE//20250307
PAYD//20250320
GRSS//USD0,12
Cash Dividend SIGNIFY N.V (AS)
NEWM
ISIN NL0011821392
SIGNIFY N.V (AS)
RDTE//20250430
XDTE//20250429
PAYD//20250507
GRSS//EUR1,56
Intrest Payment REP COLOMBIA 15-26 4,5%
REPE
ISIN US195325CX13
REP COLOMBIA 15-26 4,5
RDTE//20250127
XDTE//20250128
PAYD//20250128
INTP//2,25
Data: 27.01.2025
Cash Dividend PENTAIR PLC (NY)
REPE
ISIN IE00BLS09M33
PENTAIR PLC (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250207
GRSS//USD0,25
Intrest Payment POLAND 19-29 1% 07/03 REGS
NEWM
ISIN XS1958534528
POLAND 19-29 1 07/03 REGS
XDTE//20250307
RDTE//20250306
PAYD//20250307
INTP//1,
Cash Dividend JM SMUCKER CO/THE-NEW COM WI (NY)
REPL
ISIN US8326964058
JM SMUCKER CO/THE-NEW COM WI (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250303
GRSS//USD1,08
Cash Dividend CONAGRA BRANDS INC (NY)
REPE
ISIN US2058871029
CONAGRA BRANDS INC (NY)
RDTE//20250127
XDTE//20250127
PAYD//20250227
GRSS//USD0,35
Cash Dividend BANK OF NEW YORK MELLON CORP(NY)
REPE
ISIN US0640581007
BANK OF NEW YORK MELLON CORP(NY)
RDTE//20250127
XDTE//20250127
PAYD//20250207
GRSS//USD0,47
Cash Dividend THE CAMPBELL'S COMPANY (NY)
NEWM
ISIN US1344291091
THE CAMPBELL'S COMPANY (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250127
GRSS//USD0,39
Cash Dividend GENERAL ELECTRIC CO (NY)
NEWM
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250127
GRSS//USD0,28
Partial Redemption AYDEM YENILENEBILIR 21-27 7,75%REGS
NEWM
ISIN XS2368781477
AYDEM YENILENEBILIR 21-27 7,75 REGS
RDTE//20250718
XDTE//20250802
PAYD//20250802
RATE//UKWN
Cash Dividend DOMINION ENERGY INC (NY)
NEWM
ISIN US25746U1097
DOMINION ENERGY INC (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250320
GRSS//USD0,6675
Cash Dividend GJENSIDIGE FORSIKRING AS (OS)
REPL
ISIN NO0010582521
GJENSIDIGE FORSIKRING AS (OS)
RDTE//20250324
XDTE//20250321
PAYD//20250328
GRSS//NOK9,
Intrest Payment FORD MOTOR COMPANY 99-29 6,375%
REPL
ISIN US345370BZ25
FORD MOTOR COMPANY 99-29 6,375
RDTE//20250131
XDTE//20250201
PAYD//20250201
INTP//3,1875
Intrest Payment OMAN 19-29 6% MTN REGS
REPL
ISIN XS1944412748
OMAN 19-29 6 MTN REGS
RDTE//20250131
XDTE//20250201
PAYD//20250201
INTP//3,
Change LITHIUM AMERICAS ARGENTINA CORP(NY)
NEWM
ISIN CA53681K1003
LITHIUM AMERICAS ARGENTINA CORP(NY)
XDTE//20250127
ISIN CH1403212751
LITHIUM ARGENTINA AG (NY)
NEWO//1,/1,
PAYD//20250127
Intrest Payment UNITED STATES STEEL 21-29 6,875%
REPL
ISIN US912909AU28
UNITED STATES STEEL 21-29 6,875
RDTE//20250228
XDTE//20250301
PAYD//20250301
INTP//3,4375
Intrest Payment STARBUCK CORP 18-28 3,5%
REPL
ISIN US855244AP46
STARBUCK CORP 18-28 3,5
RDTE//20250228
XDTE//20250301
PAYD//20250301
INTP//1,75
Cash Dividend HSBC ETFS PLC HSBC MSCI CHINA
REPL
ISIN IE00B44T3H88
HSBC ETFS PLC HSBC MSCI CHINA (FR)
RDTE//20250207
XDTE//20250206
PAYD//20250228
GRSS//USD0,0837
Cash Dividend INTERACTIVE BROKERS GROUP CL A (NY)
REPL
ISIN US45841N1072
INTERACTIVE BROKERS GROUP CL A (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250314
GRSS//USD0,25
Intrest Payment REPUBLIC PERU 16-30 3.75% 1/3 REGS
REPL
ISIN XS1373156618
REPUBLIC PERU 16-30 3.75 1/3 REGS
RDTE//20250214
XDTE//20250301
PAYD//20250301
INTP//3,74141
Cash Dividend COSTCO WHOLESALE CORP (NY)
NEWM
ISIN US22160K1051
COSTCO WHOLESALE CORP (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250221
GRSS//USD1,16
Intrest Payment LIMAK CIMENTO SANAY 24-29 9.75%
NEWM
ISIN XS2862382541
LIMAK CIMENTO SANAY 24-29 9.75
RDTE//20250124
XDTE//20250125
PAYD//20250125
INTP//4,875
Spin Off EMBRACER GROUP AB (ST)
REPL
ISIN SE0023615885
EMBRACER GROUP AB (ST)
XDTE//20250204
RDTE//20250205
UNKNOWN
ADEX//1,/1,
PAYD//20250207
Data: 24.01.2025
Cash Dividend SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
NEWM
ISIN IE00BKVD2N49
SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
RDTE//20250319
XDTE//20250319
PAYD//20250402
GRSS//USD0,72
Cash Dividend SWEDBANK AB (ST)
NEWM
ISIN SE0000242455
SWEDBANK AB (ST)
XDTE//20250327
RDTE//20250328
PAYD//20250402
GRSS//SEK21,7
Cash Dividend TRAVELERS COS INC /THE (NY)
NEWM
ISIN US89417E1091
TRAVELERS COS INC /THE (NY)
RDTE//20250310
XDTE//20250310
PAYD//20250331
GRSS//USD1,05
Cash Dividend NRG ENERGY INC (NY)
NEWM
ISIN US6293775085
NRG ENERGY INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,44
Cash Dividend SANDVIK AB (ST)
NEWM
ISIN SE0000667891
SANDVIK AB (ST)
XDTE//20250430
RDTE//20250502
PAYD//20250507
GRSS//SEK5,75
Cash Dividend SIRIUS XM HOLDING INC (NY)
NEWM
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250225
GRSS//USD0,27
Cash Dividend EQT AB (ST)
NEWM
ISIN SE0012853455
EQT AB (ST)
XDTE//UKWN
RDTE//UKWN
PAYD//UKWN
GRSS//SEK2,15
Cash Dividend INVESTOR AB-B- (ST)
NEWM
ISIN SE0015811963
INVESTOR AB-B- (ST)
XDTE//20251107
RDTE//20251110
PAYD//20251113
GRSS//SEK1,45
Cash Dividend AMER EAGLE OUTFITTERS (NY)
NEWM
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,125
Cash Dividend JDE PEETS N.V. (AS)
NEWM
ISIN NL0014332678
JDE PEETS N.V. (AS)
RDTE//20250121
XDTE//20250120
PAYD//20250124
GRSS//EUR0,35
Cash Dividend SYSCO CORP (NY)
NEWM
ISIN US8718291078
SYSCO CORP (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250124
GRSS//USD0,51
Cash Dividend ALBERTSONS COS INC -A- (NY)
REPE
:ISIN US0130911037
RDTE//20250124
XDTE//20250124
PAYD//20250207
GRSS//USD0,15
Cash Dividend IMMERSION CORP (NY)
NEWM
ISIN US4525211078
IMMERSION CORP (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,245
Cash Dividend PROCTER & GAMBLE (NY)
REPE
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250218
GRSS//USD1,0065
Cash Dividend PROCTER & GAMBLE (NY)
REPE
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250218
GRSS//USD1,0065
Cash Dividend PROCTER & GAMBLE (NY)
REPE
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250218
GRSS//USD1,0065
Cash Dividend TRYG A/S (CO)
NEWM
ISIN DK0060636678
TRYG A/S (CO)
RDTE//20250127
XDTE//20250124
PAYD//20250128
GRSS//DKK1,95
Intrest Payment KOREA HYDRO&NUCLE 22-27 4.25% REGS
REPL
ISIN USY4899GFA68
KOREA HYDRO NUCLE 22-27 4.25 REGS
RDTE//20250124
XDTE//20250127
PAYD//20250127
INTP//2,125
Cash Dividend MATSON INC (NY)
NEWM
ISIN US57686G1058
MATSON INC (NY)
RDTE//20250206
XDTE//20250206
PAYD//20250306
GRSS//USD0,34
Reverse Stock Split 111 INCORPORATION -A- ADR (NY)
NEWM
ISIN US68247Q1022
111 INCORPORATION -A- ADR (NY)
XDTE//20250124
ISIN US68247Q2012
111 INCORPORATION ADR (NY)
NEWO//1,/10,
PAYD//20250124
Reverse Stock Split TONIX PHARMACEUTICALS HOLDING (NY)
NEWM
ISIN US8902608475
TONIX PHARMACEUTICALS HOLDING (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Redemption UNITED STATES TREASURY 23-25 4,625%
REPL
ISIN US91282CGN56
UNITED STATES TREASURY 23-25 4,625
RDTE//20250227
XDTE//20250228
PAYD//20250228
RATE//99,90936
INTP//0,09064
Intrest Payment NORDEA BANK 20-25 0.75% 28/8 REGS
REPL
ISIN US65559D2B49
NORDEA BANK 20-25 0.75 28/8 REGS
RDTE//20250227
XDTE//20250228
PAYD//20250228
INTP//0,375
Intrest Payment MUNDYS SPA 24-29 4.75% 24/1 REGSMTN
REPE
ISIN XS2750308483
MUNDYS SPA 24-29 4.75 24/1 REGSMTN
RDTE//20250123
XDTE//20250124
PAYD//20250124
INTP//4,75
Cash Dividend ERICSSON (LM)-B- (ST)
NEWM
ISIN SE0000108656
ERICSSON (LM)-B- (ST)
XDTE//20250926
RDTE//20250929
PAYD//20251002
GRSS//SEK1,42
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
REPL
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20250221
XDTE//20250220
PAYD//20250331
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//UKWN
PAYD//20250403
Data: 23.01.2025
Change TUSIMPLE HLDGS INC (NY)
NEWM
ISIN US90089L1089
TUSIMPLE HLDGS INC (NY)
CHAN//NAME
ADTX//NAME CHANGE:
FURTHER INFORMATION UPON RECEIPT.
Cash Dividend CVS HEALTH CORP (NY)
REPE
ISIN US1266501006
CVS HEALTH CORP (NY)
RDTE//20250123
XDTE//20250123
PAYD//20250203
GRSS//USD0,665
Cash Dividend AIR PROD CHEMICALS (NY)
NEWM
ISIN US0091581068
AIR PROD CHEMICALS (NY)
RDTE//20250401
XDTE//20250401
PAYD//20250512
GRSS//USD1,79
Cash Dividend ONEOK INC (NY)
NEWM
ISIN US6826801036
ONEOK INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250214
GRSS//USD1,03
Cash Dividend ENEL SPA (MI)
NEWM
ISIN IT0003128367
ENEL SPA (MI)
RDTE//20250121
XDTE//20250120
PAYD//20250122
GRSS//EUR0,215
Cash Dividend ORACLE CORP (NY)
NEWM
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250123
GRSS//USD0,4
Cash Dividend AMER ELECTRIC POWER (NY)
NEWM
ISIN US0255371017
AMER ELECTRIC POWER (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250310
GRSS//USD0,93
Cash Dividend AVANZA BANK HLDG (ST)
NEWM
ISIN SE0012454072
AVANZA BANK HLDG (ST)
RDTE//20250428
XDTE//20250425
PAYD//20250502
GRSS//SEK11,75
Cash Dividend DISCOVER FINANCIAL SERVICES (NY)
NEWM
ISIN US2547091080
DISCOVER FINANCIAL SERVICES (NY)
RDTE//20250220
XDTE//20250220
PAYD//20250306
GRSS//USD0,7
Capital distribution 2020 BULKERS LTD (OS)
REPL
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20250117
XDTE//20250116
PAYD//20250124
GRSS//NOK0,56934
Dividend Reinvestment GSK PLC (LO)
REPE
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20241115
XDTE//20241114
PAYD//20250109
GRSS//GBP0,15
ISIN GB00BN7SWP63
GSK PLC (LO)
ADEX//1,/91,738271
PAYD//20250109
Cash Dividend DOUYU INTERNATIONAL HO. LTD ADR (NY
NEWM
ISIN US25985W2044
DOUYU INTERNATIONAL HO. LTD ADR (NY
RDTE//20250210
XDTE//20250210
PAYD//20250220
GRSS//USD9,94
Cash Dividend INTERACTIVE BROKERS GROUP CL A (NY)
NEWM
ISIN US45841N1072
INTERACTIVE BROKERS GROUP CL A (NY)
RDTE//20250228
XDTE//UKWN
PAYD//20250314
GRSS//USD0,25
Cash Dividend HEXCEL CORP (NY)
NEWM
ISIN US4282911084
HEXCEL CORP (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250214
GRSS//USD0,17
Cash Dividend KINDER MORGAN INC (NY)
NEWM
ISIN US49456B1017
KINDER MORGAN INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,2875
Reverse Stock Split BIONANO GENOMICS INC (NY)
REPL
ISIN US09075F3055
BIONANO GENOMICS INC (NY)
XDTE//20250127
UNKNOWN
NEWO//1,/60,
PAYD//20250127
Cash Dividend LIBERTY ENERGY INC (NY)
NEWM
ISIN US53115L1044
LIBERTY ENERGY INC (NY)
RDTE//20250306
XDTE//20250306
PAYD//20250320
GRSS//USD0,08
Data: 22.01.2025
Intrest Payment UNITED STATES STEEL 21-29 6,875%
REPL
ISIN US912909AU28
UNITED STATES STEEL 21-29 6,875
XDTE//20250303
RDTE//20250228
PAYD//20250303
INTP//3,4375
Cash Dividend SYNCHRONY FINANCIAL (NY)
NEWM
ISIN US87165B1035
SYNCHRONY FINANCIAL (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250218
GRSS//USD0,25
Redemption EMIRATES AIRLINES 13-24 4,5%
REPL
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
RDTE//20250205
XDTE//20250206
PAYD//20250206
RATE//99,941
INTP//0,059
Cash Dividend PROSHARES ULTRASHORT S&P500 ETF
NEWM
ISIN US74347G4165
PROSHARES ULTRASHORT S P500 ETF(NY)
RDTE//20250326
XDTE//20250326
PAYD//20250401
GRSS//UKWN
Cash Dividend CISCO SYSTEMS INC (NY)
NEWM
ISIN US17275R1023
CISCO SYSTEMS INC (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250122
GRSS//USD0,4
Cash Dividend DELL TECHNOLOGIES INC (NY)
REPE
ISIN US24703L2025
DELL TECHNOLOGIES INC (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250131
GRSS//USD0,445
Cash Dividend APA CORPORATION (NY)
REPE
ISIN US03743Q1085
APA CORPORATION (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250221
GRSS//USD0,25
Cash Dividend LOWE'S COMPANIES (NY)
REPE
ISIN US5486611073
LOWE'S COMPANIES (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250205
GRSS//USD1,15
Intrest Payment ROEMENIE 14-44 6,125% (NY)
REPE
ISIN US77586TAE64
ROEMENIE 14-44 6,125 (NY)
RDTE//20250121
XDTE//20250122
PAYD//20250122
INTP//3,0625
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250122
GRSS//USD0,045
Cash Dividend ERIE INDEMNITY CO (NY)
NEWM
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250122
GRSS//USD1,365
Intrest Payment BRAZIL 04-34 8,25%
REPE
ISIN US105756BB58
BRAZIL 04-34 8,25
RDTE//20250117
XDTE//20250120
PAYD//20250120
INTP//4,125
Data: 21.01.2025
Cash Dividend LENNAR CORP -A (NY)
REPL
ISIN US5260571048
LENNAR CORP -A (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//USD0,115
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
NEWM
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250121
GRSS//USD0,812389
Spin Off EMBRACER GROUP AB (ST)
NEWM
ISIN SE0023615885
EMBRACER GROUP AB (ST)
XDTE//UKWN
RDTE//UKWN
UNKNOWN
ADEX//1,/1,
PAYD//UKWN
Intrest Payment TELEC.ITA.CAP. 06-36 7,20%
NEWM
ISIN US87927VAR96
TELEC.ITA.CAP. 06-36 7,20
XDTE//20250718
RDTE//20250703
PAYD//20250718
INTP//3,6
Cash Dividend TF BANK AB (ST)
NEWM
ISIN SE0007331608
TF BANK AB (ST)
XDTE//20250618
RDTE//20250619
PAYD//20250625
GRSS//SEK5,
Intrest Payment REP COLOMBIA 15-26 4,5%
REPL
ISIN US195325CX13
REP COLOMBIA 15-26 4,5
RDTE//20250127
XDTE//20250128
PAYD//20250128
INTP//2,25
Change SSGA SPDR EUR.MSCI SCI ACWI IMI ETF
NEWM
ISIN IE00B3YLTY66
SSGA SPDR EUR.MSCI SCI ACWI IMI ETF
CHAN//NAME
ADTX//OLD NAME:
SSGA SPDR ETFs Europe I PLC - SPDR
MSCI ACWI IMI UCITS ETF
NEW NAME:
SSGA SPDR ETFs Europe I PLC - SPDR
MSCI All Country World Investable
Market UCITS ETF
ISIN REMAINS THE SAME.
Cash Dividend MARKETWISE INC-A (NY)
REPL
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20250129
XDTE//20250129
PAYD//20250226
GRSS//USD0,03
Spin Off EMBRACER GROUP AB -B- (ST)
CANC
ISIN SE0016828511
EMBRACER GROUP AB -B- (ST)
XDTE//UKWN
RDTE//UKWN
PAYD//UKWN
Change SPDR MSCI ACWI UCITS ETF-USD-
NEWM
ISIN IE00B44Z5B48
SPDR MSCI ACWI UCITS ETF-USD- (FR)
CHAN//NAME
ADTX//OLD NAME:
SSGA SPDR ETFs Europe I PLC - SPDR
MSCI ACWI UCITS ETF
Cash Dividend CATERPILLAR INC (NY)
REPE
ISIN US1491231015
CATERPILLAR INC (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250220
GRSS//USD1,41
Cash Dividend COLGATE PALMOLIVE CY (NY)
REPE
ISIN US1941621039
COLGATE PALMOLIVE CY (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250214
GRSS//USD0,5
Cash Dividend ZOETIS INC (NY)
REPE
ISIN US98978V1035
ZOETIS INC (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250304
GRSS//USD0,5
Cash Dividend MATCH GROUP INC NEW (NY)
NEWM
ISIN US57667L1070
MATCH GROUP INC NEW (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250121
GRSS//USD0,19
Cash Dividend DOLLAR GENERAL CORP
NEWM
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20250107
XDTE//20250107
PAYD//20250121
GRSS//USD0,59
Cash Dividend TEXAS INSTRUMENTS (NY)
NEWM
ISIN US8825081040
TEXAS INSTRUMENTS (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250211
GRSS//USD1,36
Cash Dividend QUALCOMM INC (NY)
REPL
ISIN US7475251036
QUALCOMM INC (NY)
RDTE//20250306
XDTE//20250306
PAYD//20250327
GRSS//USD0,85
Cash Dividend SLB (NY)
NEWM
ISIN AN8068571086
SLB (NY)
RDTE//20250205
XDTE//20250205
PAYD//20250403
GRSS//USD0,285
Cash Dividend SANDSTORM GOLD LTD (NY)
REPL
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//UKWN
Data: 20.01.2025
Rights Distribution ACS - ACTIV.CONSTR.SERVIC.SA (MA)
NEWM
ISIN ES0167050915
ACS - ACTIV.CONSTR.SERVIC.SA (MA)
RDTE//20250122
XDTE//20250121
ISIN ES06670509Q3
ACS-ACTI.CONST.SER.RGHT EX210125(MA
ADEX//1,/1,
PAYD//20250121
Intrest Payment LIMAK CIMENTO SANAY 24-29 9.75%
REPL
ISIN XS2862382541
LIMAK CIMENTO SANAY 24-29 9.75
RDTE//20250124
XDTE//20250125
PAYD//20250125
INTP//4,875
Cash Dividend SOLVAY (BR)
REPE
ISIN BE0003470755
SOLVAY (BR)
RDTE//20250121
XDTE//20250120
PAYD//20250122
NETT//EUR0,679
Intrest Payment AMAZON.COM 18-27 3,15%
REPL
ISIN US023135BC96
AMAZON.COM 18-27 3,15
RDTE//20250221
XDTE//20250222
PAYD//20250222
INTP//1,575
Intrest Payment BK GOSP.KRAJOW23-33 5,125%22/02REGS
REPL
ISIN XS2589727168
BK GOSP.KRAJOW23-33 5,125 22/02REGS
RDTE//20250221
XDTE//20250222
PAYD//20250222
INTP//5,125
Intrest Payment REPUBLIC PERU 16-30 3.75% 1/3 REGS
NEWM
ISIN XS1373156618
REPUBLIC PERU 16-30 3.75 1/3 REGS
XDTE//20250301
RDTE//20250228
PAYD//20250301
INTP//3,75
Intrest Payment UNITED STATES TREASURY 24-31 4,25%
NEWM
ISIN US91282CKC46
UNITED STATES TREASURY 24-31 4,25
XDTE//20250301
RDTE//20250228
PAYD//20250301
INTP//2,125
Intrest Payment STARBUCK CORP 18-28 3,5%
NEWM
ISIN US855244AP46
STARBUCK CORP 18-28 3,5
XDTE//20250301
RDTE//20250228
PAYD//20250301
INTP//1,75
Cash Dividend JDE PEETS N.V. (AS)
REPE
ISIN NL0014332678
JDE PEETS N.V. (AS)
RDTE//20250121
XDTE//20250120
PAYD//20250124
GRSS//EUR0,35
Intrest Payment NORDEA BANK 20-25 0.75% 28/8 REGS
NEWM
ISIN US65559D2B49
NORDEA BANK 20-25 0.75 28/8 REGS
XDTE//20250228
RDTE//20250227
PAYD//20250228
INTP//0,375
Intrest Payment UNITED STATES TREASURY 23-25 4,625%
NEWM
ISIN US91282CGN56
UNITED STATES TREASURY 23-25 4,625
XDTE//20250228
RDTE//20250227
PAYD//20250228
INTP//2,3125
Full Call RAIFFEISENB. 23 7,125%-VAR% 190126
REPE
ISIN XS2577033553
RAIFFEISENB. 23 7,125 -VAR 190126
RDTE//20250117
XDTE//20250120
PAYD//20250120
RATE//100,
Cash Dividend ALLY FINANCIAL INC (NY)
NEWM
ISIN US02005N1000
ALLY FINANCIAL INC (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250214
GRSS//USD0,3
Cash Dividend TARGA RESOURCES CORP (NY)
NEWM
ISIN US87612G1013
TARGA RESOURCES CORP (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250214
GRSS//USD0,75
Intrest Payment DE.TEL.INT.FIN.17-27 3,6%19/01REGS
NEWM
ISIN USN27915AS11
DE.TEL.INT.FIN.17-27 3,6 19/01REGS
RDTE//20250117
XDTE//20250119
PAYD//20250119
INTP//1,8
Intrest Payment POLAND 16-26 1,5% 19/01
NEWM
ISIN XS1346201616
POLAND 16-26 1,5 19/01
RDTE//20250117
XDTE//20250119
PAYD//20250119
INTP//1,5
Intrest Payment POLAND 16-36 2,375% 18/01
REPE
ISIN XS1346201889
POLAND 16-36 2,375 18/01
RDTE//20250117
XDTE//20250118
PAYD//20250118
INTP//2,375
Data: 17.01.2025
Dividend Reinvestment RIO TINTO PLC (LO)
REPL
ISIN GB0007188757
RIO TINTO PLC (LO)
RDTE//20250307
XDTE//20250306
PAYD//20250417
GRSS//UKWN
ISIN GB0007188757
RIO TINTO PLC (LO)
ADEX//UKWN
PAYD//20250417
Cash Dividend ROPER TECHNOLOGIES INC (NY)
NEWM
ISIN US7766961061
ROPER TECHNOLOGIES INC (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250117
GRSS//USD0,825
Cash Dividend FORTITUDE GOLD CORP (NY)
REPE
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250131
GRSS//USD0,04
Cash Dividend GENERAL DYNAMICS (NY)
REPE
ISIN US3695501086
GENERAL DYNAMICS (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250207
GRSS//USD1,42
Cash Dividend EOG RES. INC (NY)
REPE
ISIN US26875P1012
EOG RES. INC (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250131
GRSS//USD0,975
Cash Dividend NUTRIEN LTD (NY)
NEWM
ISIN CA67077M1086
NUTRIEN LTD (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250117
GRSS//USD0,54
Cash Dividend INTUIT INC (NY)
NEWM
ISIN US4612021034
INTUIT INC (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250117
GRSS//USD1,04
Cash Dividend AGCO CORP (NY)
NEWM
ISIN US0010841023
AGCO CORP (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250314
GRSS//USD0,29
Cash Dividend PPG INDUSTRIES INC (NY)
NEWM
ISIN US6935061076
PPG INDUSTRIES INC (NY)
RDTE//20250221
XDTE//20250221
PAYD//20250312
GRSS//USD0,68
Cash Dividend MORGAN STANLEY (NY)
NEWM
ISIN US6174464486
MORGAN STANLEY (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250214
GRSS//USD0,925
Redemption POLAND 10-25 5,25% 20/01
REPL
ISIN XS0479333311
POLAND 10-25 5,25 20/01
RDTE//20250117
XDTE//20250120
PAYD//20250120
INTP//1,205
Cash Dividend VALERO ENERGY CORP (NY)
NEWM
ISIN US91913Y1001
VALERO ENERGY CORP (NY)
RDTE//20250130
XDTE//20250130
PAYD//20250303
GRSS//USD1,13
Intrest Payment MUNDYS SPA 24-29 4.75% 24/1 REGSMTN
REPL
ISIN XS2750308483
MUNDYS SPA 24-29 4.75 24/1 REGSMTN
RDTE//20250123
XDTE//20250124
PAYD//20250124
INTP//4,75
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20250115
XDTE//20250114
PAYD//20250117
GRSS//NOK0,46
Cash Dividend AMBEV SP ADS U.1 SH (NY)
CANC
ISIN US02319V1035
AMBEV SP ADS U.1 SH (NY)
RDTE//20241223
XDTE//20241223
PAYD//20250117
GRSS//USD0,071503
Cash Dividend SANDSTORM GOLD LTD (NY)
REPL
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//USD0,0139
Cash Dividend HSBC ETFS PLCMSCI WORLD UC.ETF
NEWM
ISIN IE00B4X9L533
HSBC ETFS PLCMSCI WORLD UC.ETF (FR
RDTE//20250131
XDTE//20250130
PAYD//20250221
GRSS//USD0,1007
Data: 16.01.2025
Cash Dividend SOUTHWEST AIRLINES (NY)
NEWM
ISIN US8447411088
SOUTHWEST AIRLINES (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250116
GRSS//USD0,18
Cash Dividend VENTAS INC (NY)
NEWM
ISIN US92276F1003
VENTAS INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250116
GRSS//USD0,45
Intrest Payment BANCO SANT SA 23-26 3,75% 16/1 REGS
NEWM
ISIN XS2575952424
BANCO SANT SA 23-26 3,75 16/1 REGS
RDTE//20250115
XDTE//20250116
PAYD//20250116
INTP//3,75
Cash Dividend FMC CORP (NY)
NEWM
ISIN US3024913036
FMC CORP (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250116
GRSS//USD0,58
Cash Dividend HP ENTERPRISE CO (NY
NEWM
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250116
GRSS//USD0,13
Cash Dividend WALT DISNEY CO (HLD. CY) (NY)
NEWM
ISIN US2546871060
WALT DISNEY CO (HLD. CY) (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250116
GRSS//USD0,5
Cash Dividend ING GROEP N.V. (AS)
NEWM
ISIN NL0011821202
ING GROEP N.V. (AS)
RDTE//20250109
XDTE//20250108
PAYD//20250116
GRSS//EUR0,161
Cash Dividend CINTAS CORP (NY)
NEWM
ISIN US1729081059
CINTAS CORP (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250314
GRSS//USD0,39
Cash Dividend FIDELITY NASDAQ COMPOS.INDEX ETF
NEWM
ISIN US3159128087
FIDELITY NASDAQ COMPOS.INDEX ETF(NY
RDTE//20251219
XDTE//20251219
PAYD//20251223
GRSS//UKWN
Cash Dividend MARSH & MCLENNAN COS (NY)
NEWM
ISIN US5717481023
MARSH MCLENNAN COS (NY)
RDTE//20250130
XDTE//20250130
PAYD//20250214
GRSS//USD0,815
Cash Dividend CARPENTER TECHNOLOGY (NY)
NEWM
ISIN US1442851036
CARPENTER TECHNOLOGY (NY)
RDTE//20250128
XDTE//20250128
PAYD//20250306
GRSS//USD0,2
Cash Dividend BANK OF NEW YORK MELLON CORP(NY)
NEWM
ISIN US0640581007
BANK OF NEW YORK MELLON CORP(NY)
RDTE//20250127
XDTE//20250127
PAYD//20250207
GRSS//USD0,47
Cash Dividend DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF
NEWM
ISIN US25460G8318
DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF(NY
RDTE//20250624
XDTE//20250624
PAYD//20250701
GRSS//UKWN
Cash Dividend BCE INC (NY)
NEWM
ISIN CA05534B7604
BCE INC (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250115
GRSS//USD0,695154
Cash Dividend TARGET CORP (NY)
NEWM
ISIN US87612E1064
TARGET CORP (NY)
RDTE//20250212
XDTE//20250212
PAYD//20250301
GRSS//USD1,12
Cash Dividend TOTAL ENERGIES SE(PA)
NEWM
ISIN FR0000120271
TOTAL ENERGIES SE(PA)
RDTE//20250620
XDTE//20250619
PAYD//20250701
GRSS//EUR0,79
Cash Dividend ISHAR.III CORE EUR CORP BD UC ETF-D
REPE
ISIN IE00B3F81R35
ISHAR.III CORE EUR CORP BD UC ETF-D
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//EUR2,0396
Merger GATOS SILVER INC (NY)
REPL
ISIN US3680361090
GATOS SILVER INC (NY)
XDTE//UKWN
PAYD//UKWN
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
NEWO//2,55/1,
PAYD//UKWN
Cash Dividend ACCENTURE PLC CL A (NY)
REPE
ISIN IE00B4BNMY34
ACCENTURE PLC CL A (NY)
RDTE//20250116
XDTE//20250116
PAYD//20250214
GRSS//USD1,48
Reverse Stock Split BIONANO GENOMICS INC (NY)
REPL
ISIN US09075F3055
BIONANO GENOMICS INC (NY)
XDTE//20250124
UNKNOWN
NEWO//1,/0,
PAYD//20250124
Cash Dividend GOLDMAN SACHS GROUP INC (NY)
NEWM
ISIN US38141G1040
GOLDMAN SACHS GROUP INC (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250328
GRSS//USD3,
Cash Dividend MARKETWISE INC-A (NY)
NEWM
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20250129
XDTE//UKWN
PAYD//20250226
GRSS//USD0,03
Cash Dividend RYANAIR HOLDINGS PLC (DU)
REPE
ISIN IE00BYTBXV33
RYANAIR HOLDINGS PLC (DU)
RDTE//20250117
XDTE//20250116
PAYD//20250226
GRSS//EUR0,223
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
REPE
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//EUR0,058895
Data: 15.01.2025
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
REPE
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250203
GRSS//USD0,15
Redemption UNITED STATES TREASURY 23-25 4,625%
REPL
ISIN US91282CGN56
UNITED STATES TREASURY 23-25 4,625
XDTE//20250228
PAYD//20250228
INTP//0,09064
Intrest Payment AMAZON.COM 18-27 3,15%
REPL
ISIN US023135BC96
AMAZON.COM 18-27 3,15
XDTE//20250224
RDTE//20250221
PAYD//20250224
INTP//1,575
Cash Dividend LENNAR CORP -A (NY)
NEWM
ISIN US5260571048
LENNAR CORP -A (NY)
RDTE//20250121
XDTE//20250121
PAYD//UKWN
GRSS//UKWN
Cash Dividend PROCTER & GAMBLE (NY)
NEWM
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250218
GRSS//USD1,0065
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
REPL
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250121
GRSS//USD0,812389
Intrest Payment INPOST S.A. 21-27 2,25% REGS
NEWM
ISIN XS2010028004
INPOST S.A. 21-27 2,25 REGS
RDTE//20250114
XDTE//20250115
PAYD//20250115
INTP//1,125
Cash Dividend BRP INC- SUB VOTING W/I (NY)
NEWM
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//USD0,146154
Cash Dividend CAL-MAINE FOODS INC (NY)
REPL
ISIN US1280302027
CAL-MAINE FOODS INC (NY)
RDTE//20250129
XDTE//20250129
PAYD//20250213
GRSS//USD1,489
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20250203
XDTE//20250203
PAYD//20250206
GRSS//UKWN
Cash Dividend CITIGROUP INC (NY)
NEWM
ISIN US1729674242
CITIGROUP INC (NY)
RDTE//20250203
XDTE//20250203
PAYD//20250228
GRSS//USD0,56
Cash Dividend MICRON TECHNOLOGY (NY)
NEWM
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250115
GRSS//USD0,115
Cash Dividend THERMO FISHER SCIENTIFIC (NY)
NEWM
ISIN US8835561023
THERMO FISHER SCIENTIFIC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250115
GRSS//USD0,39
Cash Dividend MOTOROLA SOLUTIONS INC (NY)
NEWM
ISIN US6200763075
MOTOROLA SOLUTIONS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250115
GRSS//USD1,09
Cash Dividend ABBVIE INC (NY)
REPE
ISIN US00287Y1091
ABBVIE INC (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250214
GRSS//USD1,64
Cash Dividend 2020 BULKERS LTD (OS)
NEWM
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20250117
XDTE//20250116
PAYD//20250124
GRSS//USD0,05
Cash Dividend MAIN STREET CAPITAL CORP
NEWM
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20250108
XDTE//20250108
PAYD//20250115
GRSS//USD0,25
Cash Dividend US BANCORP NEW (NY)
NEWM
ISIN US9029733048
US BANCORP NEW (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,5
Cash Dividend ABBOTT LABOR. (NY)
REPE
ISIN US0028241000
ABBOTT LABOR. (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250214
GRSS//USD0,59
Cash Dividend OCCIDENTAL PETROLEUM (NY)
NEWM
ISIN US6745991058
OCCIDENTAL PETROLEUM (NY)
RDTE//20241210
XDTE//20241210
PAYD//20250115
GRSS//USD0,22
Cash Dividend SEMPRA (NY)
NEWM
ISIN US8168511090
SEMPRA (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250115
GRSS//USD0,62
Cash Dividend YORK WATER CO (NY)
NEWM
ISIN US9871841089
YORK WATER CO (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,2192
Cash Dividend CARDINAL HEALTH INC (NY)
NEWM
ISIN US14149Y1082
CARDINAL HEALTH INC (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250115
GRSS//USD0,5056
Cash Dividend GARRETT MOTION INC (NY)
REPE
ISIN US3665051054
GARRETT MOTION INC (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250131
GRSS//USD0,06
Cash Dividend CSP INC (NY)
NEWM
ISIN US1263891053
CSP INC (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250115
GRSS//USD0,03
Cash Dividend FIRST INTERNET BANCORP (NQ)
NEWM
ISIN US3205571017
FIRST INTERNET BANCORP (NQ)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,06
Intrest Payment URUGUAY 03-33 7,875% PIK
NEWM
ISIN US917288BA96
URUGUAY 03-33 7,875 PIK
RDTE//20250114
XDTE//20250115
PAYD//20250115
INTP//3,9375
Cash Dividend PORTLAND GENERAL ELECTRIC CO (NY)
NEWM
ISIN US7365088472
PORTLAND GENERAL ELECTRIC CO (NY)
RDTE//20241224
XDTE//20241224
PAYD//20250115
GRSS//USD0,5
Data: 14.01.2025
Intrest Payment DEUTS. BANK 21-32 3.729%-VAR% ACH
REPE
ISIN US251526CF47
DEUTS. BANK 21-32 3.729 -VAR ACH
XDTE//20250114
RDTE//20250113
PAYD//20250114
INTP//1,8645
Intrest Payment CREDIT AGRICOLE SA 15-25 2,7%
NEWM
ISIN FR0012620367
CREDIT AGRICOLE SA 15-25 2,7
RDTE//20250113
XDTE//20250114
PAYD//20250114
INTP//0,675
Cash Dividend GE HEALTHCARE TECHNOLOGIES INC (NY)
REPE
ISIN US36266G1076
GE HEALTHCARE TECHNOLOGIES INC (NY)
RDTE//20250114
XDTE//20250114
PAYD//20250214
GRSS//USD0,035
Cash Dividend REPSOL SA (MA)
NEWM
ISIN ES0173516115
REPSOL SA (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250114
GRSS//EUR0,475
Cash Dividend MONDELEZ INTERNATIONAL INC (NY)
NEWM
ISIN US6092071058
MONDELEZ INTERNATIONAL INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//USD0,47
Cash Dividend KERING (PA)
REPE
ISIN FR0000121485
KERING (PA)
RDTE//20250115
XDTE//20250114
PAYD//20250116
GRSS//EUR2,
Intrest Payment USA 95-25 6,875%
NEWM
ISIN US912810EV62
USA 95-25 6,875
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,4375
Redemption USA 15-25 2% T_BILLS S:B-2025
REPL
ISIN US912828J272
USA 15-25 2 T BILLS S:B-2025
RDTE//20250214
XDTE//20250215
PAYD//20250215
RATE//99,999892
INTP//0,000108
Intrest Payment AMERICAN AIRLINES 23-28 7.25% REGS
REPL
ISIN USU02413AH27
AMERICAN AIRLINES 23-28 7.25 REGS
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,625
Intrest Payment UNITED STATES TREASURY 24-54 4,25%
REPL
ISIN US912810TX63
UNITED STATES TREASURY 24-54 4,25
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//2,125
Dividend Reinvestment ASSOCIATED BRITISH FOODS PLC (LO)
NEWM
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
RDTE//20241213
XDTE//20241212
PAYD//20250110
GRSS//GBP0,693
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
ADEX//1,/28,98581
PAYD//20250115
Intrest Payment HSBC HOLDINGS 15-25 04,25% SUB
REPL
ISIN US404280AU33
HSBC HOLDINGS 15-25 04,25 SUB
RDTE//20250217
XDTE//20250218
PAYD//20250218
INTP//2,125
Intrest Payment USA 15-25 2%
REPL
ISIN US912828K742
USA 15-25 2
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//1,
Intrest Payment USA 99-29 6,125% 15/08
REPL
ISIN US912810FJ26
USA 99-29 6,125 15/08
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,0625
Intrest Payment FINLAND 96-26 6,95%
REPL
ISIN US317873AY36
FINLAND 96-26 6,95
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,475
Intrest Payment TELEC.ITA.CAP. 06-36 7,20%
REPL
ISIN US87927VAR96
TELEC.ITA.CAP. 06-36 7,20
RDTE//20250117
XDTE//20250118
PAYD//20250118
INTP//3,6
Intrest Payment BRAZIL 04-34 8,25%
REPL
ISIN US105756BB58
BRAZIL 04-34 8,25
RDTE//20250117
XDTE//20250120
PAYD//20250120
INTP//4,125
Dividend Reinvestment MARKS AND SPENCER GROUP PLC (LO)
NEWM
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,01
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
ADEX//1,/350,333382
PAYD//20250115
Dividend Reinvestment SEVERN TRENT PLC NEW (LO)
NEWM
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,4868
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
ADEX//1,/49,579195
PAYD//20250115
Intrest Payment BOMBARDIER INC 21-28 6% REGS
CANC
ISIN USC10602BK23
BOMBARDIER INC 21-28 6 REGS
XDTE//20250218
RDTE//20250217
PAYD//20250218
INTP//3,
Dividend Option NATIONAL GRID (LO)
NEWM
ISIN GB00BDR05C01
NATIONAL GRID (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250114
GRSS//GBP0,1584
Change LITHIUM AMERICAS ARGENTINA CORP(NY)
NEWM
ISIN CA53681K1003
LITHIUM AMERICAS ARGENTINA CORP(NY)
CHAN//NAME
ADTX//NAME CHANGE:
FURTHER INFORMATION UPON RECEIPT.
Cash Dividend ISHARES STOXX GL SEL D100 DE A
REPL
ISIN DE000A0F5UH1
ISHARES STOXX GL SEL D100 DE A (FR)
RDTE//20250114
XDTE//20250115
PAYD//20250115
GRSS//EUR0,370252
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
REPL
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
RDTE//20250114
XDTE//20250115
PAYD//20250115
GRSS//EUR0,216841
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
NEWM
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20250221
XDTE//20250220
PAYD//20250331
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//UKWN
PAYD//20250331
Reverse Stock Split PRYME N.V (OS)
REPL
ISIN NL00150005Z1
PRYME N.V (OS)
XDTE//UKWN
UNKNOWN
NEWO//1,/10,
PAYD//UKWN
Data: 13.01.2025
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//USD0,4721
Cash Dividend GENERAL MILLS INC (NY)
REPE
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,6
Change GRAY MEDIA INC (NY)
NEWM
ISIN US3893751061
GRAY MEDIA INC (NY)
EFFD//20250110
CHAN//NAME
ADTX//NAME CHANGE
OLD NAME: Gray Television Inc
NEW NAME: Gray Media Inc
ISIN REMAINS THE SAME.
Cash Dividend KERING (PA)
REPL
ISIN FR0000121485
KERING (PA)
RDTE//20250115
XDTE//20250114
PAYD//20250116
GRSS//EUR2,
Dividend Reinvestment BP PLC (LO)
REPL
ISIN GB0007980591
BP PLC (LO)
RDTE//20250221
XDTE//20250220
PAYD//20250328
GRSS//UKWN
ISIN GB0007980591
BP PLC (LO)
ADEX//UKWN
PAYD//20250328
Cash Dividend INTUIT INC (NY)
REPE
ISIN US4612021034
INTUIT INC (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250117
GRSS//USD1,04
Cash Dividend JEFFERIES FINANCIAL GROUP INC (NY)
NEWM
ISIN US47233W1099
JEFFERIES FINANCIAL GROUP INC (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250227
GRSS//USD0,4
Cash Dividend STAG INDUSTRIAL INC (NY)
NEWM
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20250331
XDTE//20250331
PAYD//20250415
GRSS//USD0,124167
Cash Dividend HORMEL FOODS CORP (NY)
REPE
ISIN US4404521001
HORMEL FOODS CORP (NY)
RDTE//20250113
XDTE//20250113
PAYD//20250218
GRSS//USD0,29
Cash Dividend STATE STREET CORP (NY)
NEWM
ISIN US8574771031
STATE STREET CORP (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250113
GRSS//USD0,76
Intrest Payment BK GOSP.KRAJOW23-33 5,125%22/02REGS
NEWM
ISIN XS2589727168
BK GOSP.KRAJOW23-33 5,125 22/02REGS
XDTE//20250222
RDTE//20250221
PAYD//20250222
INTP//5,125
Redemption DUITSLAND 15-25 0,5% 15/02
REPL
ISIN DE0001102374
DUITSLAND 15-25 0,5 15/02
RDTE//20250214
XDTE//20250217
PAYD//20250217
RATE//99,82
INTP//0,18
Cash Dividend DUKE ENERGY (NY)
REPL
ISIN US26441C2044
DUKE ENERGY (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250317
GRSS//USD1,045
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20250115
XDTE//20250114
PAYD//20250121
GRSS//USD0,04
Intrest Payment TELECOM ITALIA SPA 23-28 6,875%REGS
REPL
ISIN XS2581393134
TELECOM ITALIA SPA 23-28 6,875 REGS
RDTE//20250214
XDTE//20250215
PAYD//20250215
INTP//3,4375
Reverse Stock Split T2 BIOSYSTEMS INC (NY)
NEWM
ISIN US89853L3024
T2 BIOSYSTEMS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Dividend Option SSE PLC (LO)
REPL
ISIN GB0007908733
SSE PLC (LO)
RDTE//20250103
XDTE//20250102
PAYD//20250227
GRSS//GBP0,212
ISIN GB0007908733
SSE PLC (LO)
ADEX//1,/75,990566
PAYD//20250227
Cash Dividend OPERA LIMITED ADR (NY)
NEWM
ISIN US68373M1071
OPERA LIMITED ADR (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250113
GRSS//USD0,4
Reverse Stock Split EMBRACER GROUP AB -B- (ST)
REPL
ISIN SE0016828511
EMBRACER GROUP AB -B- (ST)
XDTE//20250115
UNKNOWN
NEWO//1,/6,
PAYD//20250115
Cash Dividend ALBERTSONS COS INC -A- (NY)
NEWM
ISIN US0130911037
ALBERTSONS COS INC -A- (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250207
GRSS//USD0,15
Cash Dividend PAYCHEX INC (NY)
NEWM
ISIN US7043261079
PAYCHEX INC (NY)
RDTE//20250207
XDTE//UKWN
PAYD//20250227
GRSS//USD0,98
Dividend Reinvestment AVIVA PLC (LO)
NEWM
ISIN GB00BPQY8M80
AVIVA PLC (LO)
RDTE//20250411
XDTE//20250410
PAYD//20250522
GRSS//UKWN
ISIN GB00BPQY8M80
AVIVA PLC (LO)
ADEX//UKWN
PAYD//20250522
Data: 10.01.2025
Dividend Reinvestment ASSOCIATED BRITISH FOODS PLC (LO)
NEWM
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
RDTE//20241213
XDTE//20241212
PAYD//20250110
GRSS//GBP0,693
Dividend Reinvestment MARKS AND SPENCER GROUP PLC (LO)
NEWM
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,01
Dividend Reinvestment SEVERN TRENT PLC NEW (LO)
NEWM
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,4868
Cash Dividend MARVELL TECHNOLOGY INC (NY)
REPE
ISIN US5738741041
MARVELL TECHNOLOGY INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250130
GRSS//USD0,06
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
REPL
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
RDTE//20241213
XDTE//20250109
PAYD//20250109
INTP//1,8375
Cash Dividend IMMERSION CORP (NY)
REPE
ISIN US4525211078
IMMERSION CORP (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,245
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//EUR0,058895
Cash Dividend ROYAL CARIBBEAN GROUP LTD (NY)
ISIN LR0008862868
ROYAL CARIBBEAN GROUP LTD (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250113
GRSS//USD0,55
Cash Dividend INFINEON TECHNOLOGIES (FR)
REPL
ISIN DE0006231004
INFINEON TECHNOLOGIES (FR)
RDTE//20250224
XDTE//20250221
PAYD//20250225
GRSS//EUR0,35
Cash Dividend ISHAR.III CORE EUR CORP BD UC ETF-D
NEWM
ISIN IE00B3F81R35
ISHAR.III CORE EUR CORP BD UC ETF-D
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//EUR2,0396
Cash Dividend ISH. III PLC JPM.L.GOV.BD.UC.ETF
NEWM
ISIN IE00B5M4WH52
ISH. III PLC JPM.L.GOV.BD.UC.ETF(LO
RDTE//20250117
XDTE//20250116
PAYD//20250129
GRSS//USD1,2692
Cash Dividend PHILIP MORRIS INT. (NY)
NEWM
ISIN US7181721090
PHILIP MORRIS INT. (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250113
GRSS//USD0,0675
Cash Dividend FUTU HOLDINGS LIMITED-A ADR (NY)
NEWM
ISIN US36118L1061
FUTU HOLDINGS LIMITED-A ADR (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250110
GRSS//USD2,
Intrest Payment SOCIETE GENERALE 16-26 4,25% REGS
REPL
ISIN USF43628C650
SOCIETE GENERALE 16-26 4,25 REGS
XDTE//20250219
RDTE//20250218
PAYD//20250219
INTP//2,125
Cash Dividend MASTERCARD INC -CL A (NY)
REPE
ISIN US57636Q1040
MASTERCARD INC -CL A (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250207
GRSS//USD0,76
Cash Dividend MEDTRONIC PLC (NY)
NEWM
ISIN IE00BTN1Y115
MEDTRONIC PLC (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250110
GRSS//USD0,7
Cash Dividend ORACLE CORP (NY)
REPE
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250123
GRSS//USD0,4
Cash Dividend ALTRIA GROUP INC (NY)
NEWM
ISIN US02209S1033
ALTRIA GROUP INC (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250110
GRSS//USD1,02
Capital distribution REPSOL SA (MA)
CANC
ISIN ES0173516115
REPSOL SA (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250114
GRSS//EUR0,45
Cash Dividend AT&T INC (NY)
REPE
ISIN US00206R1023
AT T INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,2775
Cash Dividend VERIZON COMMUNICATIONS INC (NY)
REPE
ISIN US92343V1044
VERIZON COMMUNICATIONS INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,6775
Cash Dividend RALPH LAUREN CORP -A- (NY)
NEWM
ISIN US7512121010
RALPH LAUREN CORP -A- (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250110
GRSS//USD0,825
Rights Distribution IBERDROLA SA (MA)
REPE
ISIN ES0144580Y14
IBERDROLA SA (MA)
RDTE//20250113
XDTE//20250110
ISIN ES06445809T5
IBERDROLA SA RIGHT EX100125 (MA)
ADEX//1,/1,
PAYD//20250110
Cash Dividend LINCOLN NATIONAL (NY)
REPE
ISIN US5341871094
LINCOLN NATIONAL (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,45
Cash Dividend AMER EAGLE OUTFITTERS (NY)
REPE
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,125
Cash Dividend CAL-MAINE FOODS INC (NY)
NEWM
ISIN US1280302027
CAL-MAINE FOODS INC (NY)
RDTE//20250129
XDTE//UKWN
PAYD//20250213
GRSS//USD1,49
Data: 9.01.2025
Dividend Option IBERDROLA SA (MA)
REPL
ISIN ES0144580Y14
IBERDROLA SA (MA)
ISIN ES06445809T5
IBERDROLA SA RIGHT EX100125 (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250131
ISIN ES0144583319
IBERDROLA SA TEMP SH (MA)
NEWO//1,/58,
PAYD//20250131
Cash Dividend SALESFORCE INC (NY)
NEWM
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20241218
XDTE//20241218
PAYD//20250109
GRSS//USD0,4
Intrest Payment HSBC HOLDINGS 15-25 04,25% SUB
NEWM
ISIN US404280AU33
HSBC HOLDINGS 15-25 04,25 SUB
XDTE//20250218
RDTE//20250217
PAYD//20250218
INTP//2,125
Intrest Payment BOMBARDIER INC 21-28 6% REGS
REPL
ISIN USC10602BK23
BOMBARDIER INC 21-28 6 REGS
XDTE//20250218
RDTE//20250217
PAYD//20250218
INTP//3,
Intrest Payment USA 95-25 6,875%
REPL
ISIN US912810EV62
USA 95-25 6,875
XDTE//20250218
RDTE//20250217
PAYD//20250218
INTP//3,4375
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250131
GRSS//USD0,04
Dividend Reinvestment GSK PLC (LO)
NEWM
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20241115
XDTE//20241114
PAYD//20250109
GRSS//GBP0,15
Data: 8.01.2025
Cash Dividend ING GROEP N.V. (AS)
REPE
ISIN NL0011821202
ING GROEP N.V. (AS)
RDTE//20250109
XDTE//20250108
PAYD//20250116
GRSS//EUR0,161
Cash Dividend MAIN STREET CAPITAL CORP
REPE
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20250108
XDTE//20250108
PAYD//20250115
GRSS//USD0,25
Cash Dividend SLB (NY)
REPE
ISIN AN8068571086
SLB (NY)
RDTE//20241204
XDTE//20241204
PAYD//20250109
GRSS//USD0,275
Intrest Payment INPOST S.A. 21-27 2,25% REGS
REPL
ISIN XS2010028004
INPOST S.A. 21-27 2,25 REGS
RDTE//20250114
XDTE//20250115
PAYD//20250115
INTP//1,125
Cash Dividend MERCK AND CY INC
NEWM
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,81
Intrest Payment ROEMENIE 14-44 6,125% (NY)
REPL
ISIN US77586TAE64
ROEMENIE 14-44 6,125 (NY)
RDTE//20250121
XDTE//20250122
PAYD//20250122
INTP//3,0625
Intrest Payment ROEMENIE 14-44 6,125% (NY)
REPL
ISIN US77586TAE64
ROEMENIE 14-44 6,125 (NY)
RDTE//20250121
XDTE//20250122
PAYD//20250122
INTP//3,0625
Cash Dividend METLIFE INC (NY)
NEWM
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20250204
XDTE//20250204
PAYD//20250311
GRSS//USD0,545
Cash Dividend LAM RESEARCH CORP (NY)
NEWM
ISIN US5128073062
LAM RESEARCH CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20250108
GRSS//USD0,23
Cash Dividend NXP SEMICONDUCTORS NV (NY)
NEWM
ISIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250108
GRSS//USD1,014
Cash Dividend PACCAR INC (NY)
NEWM
ISIN US6937181088
PACCAR INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250108
GRSS//USD3,
Cash Dividend EASTMAN CHEMICAL CO (NY)
NEWM
ISIN US2774321002
EASTMAN CHEMICAL CO (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,83
Cash Dividend AMPHENOL CORP -A- (NY)
NEWM
ISIN US0320951017
AMPHENOL CORP -A- (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250108
GRSS//USD0,165
Cash Dividend INTL FLAVORS FRAGRANC (NY)
NEWM
ISIN US4595061015
INTL FLAVORS FRAGRANC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250108
GRSS//USD0,4
Cash Dividend COMCAST CORP CL-A (NY)
REPE
ISIN US20030N1019
COMCAST CORP CL-A (NY)
RDTE//20250108
XDTE//20250108
PAYD//20250129
GRSS//USD0,31
Reverse Stock Split EMBRACER GROUP AB -B- (ST)
REPL
ISIN SE0016828511
EMBRACER GROUP AB -B- (ST)
XDTE//UKWN
UNKNOWN
NEWO//1,/6,
PAYD//UKWN
Cash Dividend TAIWAN SEMICONDUCTOR-SP ADR (NY)
REPL
ISIN US8740391003
TAIWAN SEMICONDUCTOR-SP ADR (NY)
RDTE//20241212
XDTE//20241212
PAYD//20250109
GRSS//USD0,608106
Data: 7.01.2025
Redemption MOMENTUS INC-A (NY)
NEWM
ISIN US60879E3099
MOMENTUS INC-A (NY)
XDTE//20250106
PAYD//20250106
OFFR//ACTU/USD8,150234
Cash Dividend GLOBAL X SILVER MINERS ETF-D
NEWM
ISIN US37954Y8488
GLOBAL X SILVER MINERS ETF-D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//USD0,757701
Cash Dividend GLOBAL X URANIUM ETF D
NEWM
ISIN US37954Y8710
GLOBAL X URANIUM ETF D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//USD0,741396
Cash Dividend REDEIA CORPORACION S.A. (MA)
NEWM
ISIN ES0173093024
REDEIA CORPORACION S.A. (MA)
RDTE//20250106
XDTE//20250103
PAYD//20250107
GRSS//EUR0,2
Cash Dividend BEST BUY CO. (NY)
NEWM
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250107
GRSS//USD0,94
Cash Dividend EDISON INTERNATIONAL (NY)
REPE
ISIN US2810201077
EDISON INTERNATIONAL (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250131
GRSS//USD0,8275
Cash Dividend DOLLAR GENERAL CORP
REPE
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20250107
XDTE//20250107
PAYD//20250121
GRSS//USD0,59
Cash Dividend ISHARES MSCI BRAZIL ETF - D
CANC
ISIN US4642864007
ISHARES MSCI BRAZIL ETF - D(NY
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Reverse Stock Split 111 INCORPORATION -A- ADR (NY)
NEWM
ISIN US68247Q1022
111 INCORPORATION -A- ADR (NY)
XDTE//20250124
UNKNOWN
NEWO//1,/10,
PAYD//20250124
Cash Dividend ISHARES GLOBAL REIT ETF D
CANC
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Cash Dividend ISHARES MSCI CHILE ETF-D
CANC
ISIN US4642866408
ISHARES MSCI CHILE ETF-D(NY
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
NEWM
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20241231
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//1,/48,504515
PAYD//20250106
Cash Dividend ERIE INDEMNITY CO (NY)
REPE
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250122
GRSS//USD1,365
Cash Dividend EQUINOR ASA (OS)
REPL
ISIN NO0010096985
EQUINOR ASA (OS)
RDTE//20250214
XDTE//20250213
PAYD//20250228
GRSS//NOK0,077519
Cash Dividend AMBEV SP ADS U.1 SH (NY)
REPL
ISIN US02319V1035
AMBEV SP ADS U.1 SH (NY)
RDTE//20241223
XDTE//20241223
PAYD//20250109
GRSS//USD0,039717
Liquidation HYZON MOTORS INC-A (NY)
NEWM
ISIN US44951Y2019
HYZON MOTORS INC-A (NY)
XDTE//UKWN
RDTE//UKWN
PAYD//UKWN
OFFR//UKWN
Cash Dividend SOLVAY (BR)
REPL
ISIN BE0003470755
SOLVAY (BR)
RDTE//20250121
XDTE//20250120
PAYD//20250122
NETT//EUR0,679
Dividend Reinvestment TATE&LYLE PLC (LO)
NEWM
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250106
GRSS//GBP0,064
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
ADEX//1,/103,546001
PAYD//20250109
Data: 6.01.2025
Cash Dividend OPERA LIMITED ADR (NY)
REPL
ISIN US68373M1071
OPERA LIMITED ADR (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250113
GRSS//USD0,4
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
REPL
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
RDTE//20250114
XDTE//20250115
PAYD//20250115
GRSS//EUR0,216841
Cash Dividend ING GROEP N.V. (AS)
REPL
ISIN NL0011821202
ING GROEP N.V. (AS)
RDTE//20250109
XDTE//20250108
PAYD//20250116
GRSS//EUR0,161
Cash Dividend EMCOR GROUP INC (NY)
NEWM
ISIN US29084Q1004
EMCOR GROUP INC (NY)
RDTE//20250116
XDTE//20250116
PAYD//20250131
GRSS//USD0,25
Cash Dividend SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
NEWM
ISIN IE00BKVD2N49
SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
RDTE//20241215
XDTE//20241213
PAYD//20250106
GRSS//USD0,72
Cash Dividend ENDESA SA (MA)
REPE
ISIN ES0130670112
ENDESA SA (MA)
RDTE//20250107
XDTE//20250106
PAYD//20250108
GRSS//EUR0,5
Cash Dividend MATCH GROUP INC NEW (NY)
REPE
ISIN US57667L1070
MATCH GROUP INC NEW (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250121
GRSS//USD0,19
Cash Dividend WAL-MART INC (NY)
NEWM
ISIN US9311421039
WAL-MART INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250106
GRSS//USD0,2075
Cash Dividend PEPSICO INC (NY)
NEWM
ISIN US7134481081
PEPSICO INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250106
GRSS//USD1,355
Intrest Payment AMERICAN AIRLINES 23-28 7.25% REGS
NEWM
ISIN USU02413AH27
AMERICAN AIRLINES 23-28 7.25 REGS
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//3,625
Intrest Payment USA 99-29 6,125% 15/08
NEWM
ISIN US912810FJ26
USA 99-29 6,125 15/08
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//3,0625
Intrest Payment UNITED STATES TREASURY 24-54 4,25%
NEWM
ISIN US912810TX63
UNITED STATES TREASURY 24-54 4,25
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//2,125
Intrest Payment TELECOM ITALIA SPA 23-28 6,875%REGS
NEWM
ISIN XS2581393134
TELECOM ITALIA SPA 23-28 6,875 REGS
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//3,4375
Intrest Payment FINLAND 96-26 6,95%
NEWM
ISIN US317873AY36
FINLAND 96-26 6,95
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//3,475
Intrest Payment USA 15-25 2%
NEWM
ISIN US912828K742
USA 15-25 2
XDTE//20250215
RDTE//20250214
PAYD//20250215
INTP//1,
Cash Dividend CANADIAN NATURAL RES (NY)
NEWM
ISIN CA1363851017
CANADIAN NATURAL RES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250103
GRSS//USD0,388708
Cash Dividend JPMORGAN CHASE & CO (NY)
REPE
ISIN US46625H1005
JPMORGAN CHASE CO (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250131
GRSS//USD1,25
Redemption DUITSLAND 15-25 0,5% 15/02
NEWM
ISIN DE0001102374
DUITSLAND 15-25 0,5 15/02
XDTE//20250215
PAYD//20250215
RATE//99,82
INTP//0,18
Redemption USA 15-25 2% T_BILLS S:B-2025
NEWM
ISIN US912828J272
USA 15-25 2 T BILLS S:B-2025
XDTE//20250215
PAYD//20250215
RATE//99,999892
INTP//0,000108
Cash Dividend OGE ENERGY (NY)
REPE
ISIN US6708371033
OGE ENERGY (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250131
GRSS//USD0,42125
Intrest Payment SOFTBANK GROUP CO.21-27 2,875% REGS
NEWM
ISIN XS2361254597
SOFTBANK GROUP CO.21-27 2,875 REGS
XDTE//20250707
RDTE//20250704
PAYD//20250707
INTP//UKWN
Dividend Reinvestment TATE&LYLE PLC (LO)
NEWM
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250106
GRSS//GBP0,064
Cash Dividend CVS HEALTH CORP (NY)
NEWM
ISIN US1266501006
CVS HEALTH CORP (NY)
RDTE//20250123
XDTE//20250123
PAYD//20250203
GRSS//USD0,665
Reverse Stock Split SONO GRP NV (NY)
REPE
ISIN NL0015000N74
SONO GRP NV (NY)
XDTE//20250106
ISIN NL0015002AM0
SONO GRP NV (NY)
NEWO//1,/75,
PAYD//20250106
Data: 3.01.2025
Full Call PKO BANK POLSKI23-26 5,625-VAR%REGS
NEWM
//MCAL
ISIN XS2582358789
PKO BANK POLSKI23-26 5,625-VAR REGS
RDTE//20250131
XDTE//20250203
PAYD//20250203
RATE//99,864
Cash Dividend INTUIT INC (NY)
REPL
//DVCA
ISIN US4612021034
INTUIT INC (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250117
GRSS//USD1,04
Cash Dividend ORACLE CORP (NY)
REPL
//DVCA
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250123
GRSS//USD0,4
Cash Dividend JOHNSON & JOHNSON CO (NY)
NEWM
//DVCA
ISIN US4781601046
JOHNSON JOHNSON CO (NY)
RDTE//20250218
XDTE//20250218
PAYD//20250304
GRSS//USD1,24
Dividend Reinvestment RIO TINTO PLC (LO)
NEWM
//DRIP
ISIN GB0007188757
RIO TINTO PLC (LO)
RDTE//20250307
XDTE//20250306
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250417
GRSS//UKWN
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250417
Data: 2.01.2025
Worthless ATOS SE RIGHT EX121124 (PA)
NEWM
//WRTH
ISIN FR001400THA4
ATOS SE RIGHT EX121124 (PA)
XDTE//20241210
PAYD//20241210
POST//20241231
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
REPL
//DVCA
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20241231
XDTE//20241231
PAYD//UKWN
GRSS//UKWN
Cash Dividend BRP INC- SUB VOTING W/I (NY)
REPL
//DVCA
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//UKWN
Cash Dividend GLOBAL X URANIUM ETF D
NEWM
//DVCA
ISIN US37954Y8710
GLOBAL X URANIUM ETF D (NY)
RDTE//20250627
XDTE//20250627
PAYD//20250707
GRSS//UKWN
Cash Dividend US BANCORP NEW (NY)
REPE
//DVCA
ISIN US9029733048
US BANCORP NEW (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,5
Cash Dividend YORK WATER CO (NY)
REPE
//DVCA
ISIN US9871841089
YORK WATER CO (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,2192
Intrest Payment ESKOM HOLDINGS SOC 18-28 8,45%REGS
NEWM
//INTR
ISIN XS1864522757
ESKOM HOLDINGS SOC 18-28 8,45 REGS
XDTE//20250210
RDTE//20250207
INTR//8,45
PAYD//20250210
INTP//4,225
Intrest Payment EMIRATES AIRLINES 13-24 4,5%
REPL
//INTR
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
RDTE//20250205
XDTE//20250206
INPE//20240806/20250206
INTR//4,5
PAYD//20250206
INTP//0,1071
Redemption EMIRATES AIRLINES 13-24 4,5%
REPL
//REDM
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
RDTE//20250205
XDTE//20250206
PAYD//20250206
RATE//UKWN
INTP//UKWN
Cash Dividend TECK RESOURCES LTD CL B (NY)
NEWM
//DVCA
ISIN CA8787422044
TECK RESOURCES LTD CL B (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241231
POST//20250102
GRSS//USD0,086816
Cash Dividend TOTAL ENERGIES SE(PA)
REPE
//DVCA
ISIN FR0000120271
TOTAL ENERGIES SE(PA)
RDTE//20250103
XDTE//20250102
PAYD//20250106
GRSS//EUR0,79
Cash Dividend ECORA RESOURCES PLC (LO)
REPE
//DVCA
ISIN GB0006449366
ECORA RESOURCES PLC (LO)
RDTE//20250103
XDTE//20250102
PAYD//20250131
GRSS//GBP0,017
Merger SILVERCREST METALS INC
NEWM
//REOR
//MRGR
ISIN CA8283631015
SILVERCREST METALS INC
XDTE//UKWN
PAYD//UKWN
SECMOVE
CRDB//CRED
ISIN US1921085049
COEUR MINING INC (NY)
NEWO//1,6022/1,
PAYD//UKWN
ADTX//STOCK MERGER
Reverse Stock Split MULLEN AUTOMOTIVE INC (NY)
NEWM
//SPLR
ISIN US62526P5052
MULLEN AUTOMOTIVE INC (NY)
XDTE//UKWN
PAYD//UKWN
SECMOVE
CRDB//CRED
UNKNOWN
NEWO//UKWN
PAYD//UKWN
ADTX//REVERSE STOCK SPLIT
Cash Dividend MASTERCARD INC -CL A (NY)
REPL
//DVCA
ISIN US57636Q1040
MASTERCARD INC -CL A (NY)
RDTE//20250109
XDTE//20250110
PAYD//20250207
GRSS//USD0,76
Data: 31.12.2024
Change LITHIUM AMERICAS ARGENTINA CORP(NY)
NEWM
//CHAN
ISIN CA53681K1003
LITHIUM AMERICAS ARGENTINA CORP(NY)
EFFD//UKWN
CHAN//NAME
Cash Dividend GLOBAL X SILVER MINERS ETF-D
NEWM
//DVCA
ISIN US37954Y8488
GLOBAL X SILVER MINERS ETF-D (NY)
RDTE//20250627
XDTE//20250627
PAYD//20250707
GRSS//UKWN
Cash Dividend GLOBAL X SILVER MINERS ETF-D
NEWM
//DVCA
ISIN US37954Y8488
GLOBAL X SILVER MINERS ETF-D (NY)
RDTE//20251230
XDTE//20251230
PAYD//20260107
GRSS//UKWN
Cash Dividend CANADIAN NATL RAILWAY CO (NY)
REPL
//DVCA
ISIN CA1363751027
CANADIAN NATL RAILWAY CO (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD0,587961
Cash Dividend B&G FOODS INC -A (NY)
REPE
//DVCA
ISIN US05508R1068
B G FOODS INC -A (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250130
GRSS//USD0,19
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
//DVCA
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,123333
Cash Dividend OPERA LIMITED ADR (NY)
NEWM
//DVCA
ISIN US68373M1071
OPERA LIMITED ADR (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250113
GRSS//USD0,39
Data: 30.12.2024
Cash Dividend ROPER TECHNOLOGIES INC (NY)
NEWM
ISIN US7766961061
ROPER TECHNOLOGIES INC (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250117
GRSS//USD0,825
Intrest Payment RAIFFEISENB. 23 7,125%-VAR% 190126
REPE
ISIN XS2577033553
RAIFFEISENB. 23 7,125 -VAR 190126
RDTE//20241227
XDTE//20250119
PAYD//20250119
INTP//7,125
Cash Dividend DEVON ENERGY CORP (NY)
NEWM
ISIN US25179M1036
DEVON ENERGY CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,22
Cash Dividend UNION PACIFIC CORP (NY)
NEWM
ISIN US9078181081
UNION PACIFIC CORP (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD1,34
Cash Dividend ARES CAPITAL CORP (NY)
NEWM
ISIN US04010L1035
ARES CAPITAL CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,48
Cash Dividend ZIMMER BIOMET HOLDINGS INC (NY)
REPE
ISIN US98956P1021
ZIMMER BIOMET HOLDINGS INC (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250131
GRSS//USD0,24
Cash Dividend WILLIAMS COMPANIES (NY)
NEWM
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,475
Cash Dividend GOLDMAN SACHS GROUP INC (NY)
NEWM
ISIN US38141G1040
GOLDMAN SACHS GROUP INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241230
GRSS//USD3,
Cash Dividend SIMON PROPERTY GROUP INC (NY)
NEWM
ISIN US8288061091
SIMON PROPERTY GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD2,1
Cash Dividend AMERICAN INTERNATIONAL GROUP INC(NY
NEWM
ISIN US0268747849
AMERICAN INTERNATIONAL GROUP INC(NY
RDTE//20241216
XDTE//20241216
PAYD//20241230
GRSS//USD0,4
Cash Dividend GILEAD SCIENCES INC (NY)
NEWM
ISIN US3755581036
GILEAD SCIENCES INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,77
Cash Dividend MICRON TECHNOLOGY (NY)
REPE
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250115
GRSS//USD0,115
Cash Dividend LEAR CORP (NY)
REPE
ISIN US5218652049
LEAR CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241230
GRSS//USD0,77
Cash Dividend CANADIAN NATURAL RES (NY)
REPL
ISIN CA1363851017
CANADIAN NATURAL RES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250103
GRSS//UKWN
Intrest Payment ASTANA FIN 15-28 0%
NEWM
ISIN XS1056732214
ASTANA FIN 15-28 0
XDTE//20241222
RDTE//20241220
GRSS//USD0,
PAYD//20241222
Cash Dividend DIVERSIFIED ENERGY CO PLC (NY)
NEWM
ISIN GB00BQHP5P93
DIVERSIFIED ENERGY CO PLC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241227
GRSS//USD0,29
Cash Dividend ISHARES STOXX GL SEL D100 DE A
NEWM
ISIN DE000A0F5UH1
ISHARES STOXX GL SEL D100 DE A (FR)
XDTE//20250115
RDTE//UKWN
PAYD//20250115
GRSS//EUR0,370252
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
NEWM
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
XDTE//20250115
RDTE//UKWN
PAYD//20250115
GRSS//EUR0,216841
Intrest Payment AYDEM YENILENEBILIR 21-27 7,75%REGS
REPL
ISIN XS2368781477
AYDEM YENILENEBILIR 21-27 7,75 REGS
RDTE//20250131
XDTE//20250202
PAYD//20250202
INTP//3,875
Cash Dividend FIDELITY NASDAQ COMPOS.INDEX ETF
REPL
ISIN US3159128087
FIDELITY NASDAQ COMPOS.INDEX ETF(NY
RDTE//20241230
XDTE//20241230
PAYD//20250102
GRSS//UKWN
Cash Dividend FRANKLIN RESOURCES (NY)
REPE
ISIN US3546131018
FRANKLIN RESOURCES (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250110
GRSS//USD0,32
Cash Dividend GLOBAL X SILVER MINERS ETF-D
REPE
ISIN US37954Y8488
GLOBAL X SILVER MINERS ETF-D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//USD0,757701
Cash Dividend GLOBAL X URANIUM ETF D
REPE
ISIN US37954Y8710
GLOBAL X URANIUM ETF D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//USD0,741396
Cash Dividend NUTRIEN LTD (NY)
REPL
ISIN CA67077M1086
NUTRIEN LTD (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250117
GRSS//USD0,54
Cash Dividend ISHARES GLOBAL REIT ETF D
REPL
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Redemption UNITED STATES TREASURY 23-25 4,625%
NEWM
ISIN US91282CGN56
UNITED STATES TREASURY 23-25 4,625
XDTE//20250228
PAYD//20250228
RATE//UKWN
Cash Dividend ISHARES MSCI BRAZIL ETF - D
REPL
ISIN US4642864007
ISHARES MSCI BRAZIL ETF - D(NY
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Cash Dividend ISHARES MSCI CHILE ETF-D
REPL
ISIN US4642866408
ISHARES MSCI CHILE ETF-D(NY
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//UKWN
Redemption EMIRATES AIRLINES 13-24 4,5%
NEWM
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
XDTE//20250206
PAYD//20250206
RATE//99,941
INTP//0,059
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
NEWM
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241218
XDTE//20241218
PAYD//20241223
GRSS//USD0,176683
Cash Dividend ISHARES MSCI CHINA INDEX FUND D
REPE
ISIN US46429B6719
ISHARES MSCI CHINA INDEX FUND D(NQ)
RDTE//20241230
XDTE//20241230
PAYD//20250103
GRSS//NILP
Worthless CHORD ENERGY CORPOR.CW 191124 (NY)
NEWM
ISIN US6742151169
CHORD ENERGY CORPOR.CW 191124 (NY)
XDTE//20241210
PAYD//20241210
Data: 27.12.2024
Cash Dividend CME GROUP INC (NY)
NEWM
//DVCA
ISIN US12572Q1058
CME GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241227
GRSS//USD1,15
Intrest Payment FORD MOTOR COMPANY 99-29 6,375%
NEWM
//INTR
ISIN US345370BZ25
FORD MOTOR COMPANY 99-29 6,375
RDTE//20250131
XDTE//20250201
INPE//20240801/20250201
INTR//6,375
PAYD//20250201
INTP//3,1875
Intrest Payment SOFTBANK GROUP CO.21-27 2,875% REGS
REPL
//INTR
ISIN XS2361254597
SOFTBANK GROUP CO.21-27 2,875 REGS
RDTE//20250103
XDTE//20250106
INPE//20240706/20250106
INTR//2,875
PAYD//20250106
INTP//1,4375
Intrest Payment OMAN 19-29 6% MTN REGS
REPL
//INTR
ISIN XS1944412748
OMAN 19-29 6 MTN REGS
RDTE//20250131
XDTE//20250201
INPE//20240801/20250201
INTR//6,
PAYD//20250201
INTP//3,
Intrest Payment TURKIJE 05-25 7,375%
REPL
//INTR
ISIN US900123AW05
TURKIJE 05-25 7,375
XDTE//20250205
RDTE//20250204
INTR//7,375
PAYD//20250205
INTP//3,6875
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPE
//DVCA
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241227
XDTE//20241227
PAYD//20241230
GRSS//USD0,3738
Cash Dividend SUNCOR ENERGY INC (NY)
NEWM
//DVCA
ISIN CA8672241079
SUNCOR ENERGY INC (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241224
POST//20241227
GRSS//USD0,395614
Redemption TURKIJE 05-25 7,375%
NEWM
//REDM
ISIN US900123AW05
TURKIJE 05-25 7,375
XDTE//20250205
PAYD//20250205
RATE//98,507
INTP//1,493
Intrest Payment FORD MOTOR COMPANY 99-29 6,375%
REPL
//INTR
ISIN US345370BZ25
FORD MOTOR COMPANY 99-29 6,375
XDTE//20250203
RDTE//20250131
INTR//6,375
PAYD//20250203
INTP//3,1875
Intrest Payment PKO BANK POLSKI23-26 5,625-VAR%REGS
REPL
//INTR
ISIN XS2582358789
PKO BANK POLSKI23-26 5,625-VAR REGS
RDTE//20250131
XDTE//20250201
INPE//20240201/20250201
INTR//5,625
PAYD//20250201
INTP//5,625
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
//DVCA
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250227
GRSS//USD0,231588
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
//DVCA
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250103
GRSS//USD0,502709
Data: 26.12.2024
Reverse Stock Split CANOO INC -A- (NY)
NEWM
ISIN US13803R2013
CANOO INC -A- (NY)
XDTE//20241224
ISIN US13803R3003
CANOO INC-A (NY)
NEWO//1,/20,
PAYD//20241224
Merger ARCADIUM LITHIUM PLC (NY)
WITH
ISIN JE00BM9HZ112
ARCADIUM LITHIUM PLC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Dividend Reinvestment ANGLO AMERICAN PLC (LO)
NEWM
ISIN GB00B1XZS820
ANGLO AMERICAN PLC (LO)
RDTE//20250314
XDTE//20250313
PAYD//20250507
GRSS//UKWN
ISIN GB00B1XZS820
ANGLO AMERICAN PLC (LO)
ADEX//UKWN
PAYD//20250512
Cash Dividend VANGUARD GROUP MID-CAP ETF DIV
NEWM
ISIN US9229086296
VANGUARD GROUP MID-CAP ETF DIV (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241226
GRSS//USD1,0928
Cash Dividend SOUTHWEST AIRLINES (NY)
REPE
ISIN US8447411088
SOUTHWEST AIRLINES (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250116
GRSS//USD0,18
Cash Dividend VANGUARD INDEX FD VANG.S&P500-
NEWM
ISIN US9229083632
VANGUARD INDEX FD VANG.S P500- (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241226
GRSS//USD1,7385
Cash Dividend MERCER INTL INC -SBI (NY)
NEWM
ISIN US5880561015
MERCER INTL INC -SBI (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241226
GRSS//USD0,075
Cash Dividend MARKETWISE INC-A (NY)
NEWM
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241226
GRSS//USD0,01
Cash Dividend HALLIBURTON CY (HOLDING) (NY)
NEWM
ISIN US4062161017
HALLIBURTON CY (HOLDING) (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241226
GRSS//USD0,17
Cash Dividend ALTRIA GROUP INC (NY)
REPE
ISIN US02209S1033
ALTRIA GROUP INC (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250110
GRSS//USD1,02
Redemption SHELL PLC (AS)
NEWM
ISIN GB00BP6MXD84
SHELL PLC (AS)
XDTE//20241219
PAYD//20241219
OFFR//ACTU/EUR29,19
Data: 24.12.2024
Dividend Reinvestment BP PLC (LO)
//DISN
//DRIP
ISIN GB0007980591
BP PLC (LO)
RDTE//20250221
XDTE//20250220
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250328
GRSS//UKWN
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250328
Reverse Stock Split GLOBALSTAR INC (NY)
NEWM
//REOR
//SPLR
ISIN US3789734080
GLOBALSTAR INC (NY)
XDTE//UKWN
PAYD//UKWN
NEWO//UKWN
Dividend Reinvestment BT GROUP PLC (LO)
REPL
ISIN GB0030913577
BT GROUP PLC (LO)
RDTE//20241227
XDTE//20241224
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250205
GRSS//GBP0,024
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250210
Cash Dividend INTERNATIONAL SEAWAYS INC (NY)
REPL
//DVCA
ISIN MHY410531021
INTERNATIONAL SEAWAYS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD0,12
Intrest Payment AYDEM YENILENEBILIR 21-27 7,75%REGS
NEWM
//INTR
ISIN XS2368781477
AYDEM YENILENEBILIR 21-27 7,75 REGS
XDTE//20250202
RDTE//20250131
INTR//7,75
PAYD//20250202
INTP//3,875
Cash Dividend VANECK JR GOLD MINERS-
NEWM
//DVCA
ISIN US92189F7915
VANECK JR GOLD MINERS-(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241224
GRSS//USD1,1144
Cash Dividend PORTLAND GENERAL ELECTRIC CO (NY)
REPE
//DVCA
ISIN US7365088472
PORTLAND GENERAL ELECTRIC CO (NY)
RDTE//20241224
XDTE//20241224
PAYD//20250115
GRSS//USD0,5
Cash Dividend VANECK RARE EARTH AND ST.MET.ETF
NEWM
//DVCA
ISIN US92189H8051
VANECK RARE EARTH AND ST.MET.ETF(NY
RDTE//20241223
XDTE//20241223
PAYD//20241224
GRSS//USD0,9971
Cash Dividend CSP INC (NY)
//DVCA
ISIN US1263891053
CSP INC (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250115
GRSS//USD0,03
Data: 23.12.2024
Cash Dividend DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF
//DVCA
ISIN US25460G8318
DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF(NY
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,03251
Cash Dividend PROSHARES ULTRASHORT S&P500 ETF
REPE
//DVCA
ISIN US74347G4165
PROSHARES ULTRASHORT S P500 ETF(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,423226
Cash Dividend REPSOL SA (MA)
REPL
ISIN ES0173516115
REPSOL SA (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250114
GRSS//EUR0,475
Cash Dividend BW LPG LIMITED (OS)
REPL
ISIN SGXZ69436764
BW LPG LIMITED (OS)
RDTE//20241212
XDTE//20241211
PAYD//20241227
GRSS//NOK4,68526
Cash Dividend PROSHARES ULTRAP.S.S&P500 ETF-D
REPE
ISIN US74349Y8451
PROSHARES ULTRAP.S.S P500 ETF-D(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,481706
Cash Dividend PROSHARES SHORT QQQ ETF
REPE
ISIN US74349Y8378
PROSHARES SHORT QQQ ETF (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,699096
Cash Dividend BROADCOM INC (NY)
REPE
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,59
Cash Dividend PROSHARES SHORT S&P500 ETF-D
REPE
ISIN US74349Y7537
PROSHARES SHORT S P500 ETF-D (NY)
RDTE//20241223
PAYD//20241231
GRSS//USD0,703865
Cash Dividend AMBEV SP ADS U.1 SH (NY)
REPL
ISIN US02319V1035
AMBEV SP ADS U.1 SH (NY)
RDTE//20241223
XDTE//20241223
PAYD//20250117
GRSS//USD0,071503
Merger DISCOVER FINANCIAL SERVICES (NY)
NEWM
ISIN US2547091080
DISCOVER FINANCIAL SERVICES (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Redemption BLUEBIRD BIO INC (NY)
NEWM
ISIN US09609G2093
BLUEBIRD BIO INC (NY)
XDTE//20241223
PAYD//20241223
OFFR//ACTU/USD8,950445
Cash Dividend VANECK GOLD MINERS ETF FUND-D
CANC
ISIN US92189F1066
VANECK GOLD MINERS ETF FUND-D (NY)
RDTE//20241227
XDTE//20241227
PAYD//20241230
GRSS//UKWN
Cash Dividend REDES ENERGETICAS NACIONAIS SA (LI)
REPE
ISIN PTREL0AM0008
REDES ENERGETICAS NACIONAIS SA (LI)
RDTE//20241219
XDTE//20241218
PAYD//20241220
GRSS//EUR0,064
Change K33 AB (ST)
REPL
ISIN SE0007614722
K33 AB (ST)
EFFD//20241223
CHAN//NAME
ADTX//OLD NAME: ARCARIO AB
NEW NAME: K33 AB
ISIN REMAINS THE SAME.
Intrest Payment ASTANA FIN 15-28 0%
NEWM
ISIN XS1056732214
ASTANA FIN 15-28 0
XDTE//20250322
RDTE//20250321
PAYD//20250322
INTP//UKWN
Dividend Reinvestment VODAFONE GROUP PLC REGD (LO)
REPL
ISIN GB00BH4HKS39
VODAFONE GROUP PLC REGD (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250207
GRSS//UKWN
ISIN GB00BH4HKS39
VODAFONE GROUP PLC REGD (LO)
ADEX//UKWN
PAYD//20250212
Intrest Payment PKO BANK POLSKI23-26 5,625-VAR%REGS
NEWM
ISIN XS2582358789
PKO BANK POLSKI23-26 5,625-VAR REGS
XDTE//20250201
RDTE//20250131
PAYD//20250201
INTP//UKWN
Intrest Payment WELLS FARGO BANK NA 07-37 5,85%
NEWM
ISIN US92976GAG64
WELLS FARGO BANK NA 07-37 5,85
XDTE//20250201
RDTE//20250131
PAYD//20250201
INTP//2,925
Intrest Payment HALLIBURTON CO 13-43 4,75%
NEWM
ISIN US406216BE02
HALLIBURTON CO 13-43 4,75
XDTE//20250201
RDTE//20250131
PAYD//20250201
INTP//2,375
Cash Dividend NEWMONT CORPORATION (NY)
NEWM
ISIN US6516391066
NEWMONT CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241223
GRSS//USD0,25
Cash Dividend AMKOR TECHNOL. INC (NY)
NEWM
ISIN US0316521006
AMKOR TECHNOL. INC (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241223
GRSS//USD0,40546
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
NEWM
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241223
GRSS//USD0,36
Cash Dividend WESTERN UNION CO (NY)
REPE
ISIN US9598021098
WESTERN UNION CO (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,235
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
NEWM
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241223
GRSS//USD0,351032
Intrest Payment UNITED STATES TREASURY 23-28 4,125%
NEWM
ISIN US91282CHQ78
UNITED STATES TREASURY 23-28 4,125
XDTE//20250131
RDTE//20250130
PAYD//20250131
INTP//2,0625
Redemption CREDIT AGRICOLE SA 14-24 3%
NEWM
ISIN FR0012304459
CREDIT AGRICOLE SA 14-24 3
RDTE//20241220
XDTE//20241222
PAYD//20241222
RATE//100,
Cash Dividend SANDSTORM GOLD LTD (NY)
NEWM
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250131
GRSS//USD0,02
Data: 20.12.2024
Dividend Reinvestment BP PLC (LO)
NEWM
ISIN GB0007980591
BP PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241220
GRSS//GBP0,062959
Cash Dividend ACCENTURE PLC CL A (NY)
NEWM
ISIN IE00B4BNMY34
ACCENTURE PLC CL A (NY)
RDTE//20250116
XDTE//20250116
PAYD//20250214
GRSS//USD1,48
Cash Dividend MAIN STREET CAPITAL CORP
REPE
SIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20241220
XDTE//20241220
PAYD//20241227
GRSS//USD0,3
Cash Dividend INTL FLAVORS FRAGRANC (NY)
REPE
ISIN US4595061015
INTL FLAVORS FRAGRANC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250108
GRSS//USD0,4
Cash Dividend HP ENTERPRISE CO (NY)
REPE
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250116
GRSS//USD0,13
Cash Dividend BP PLC ADR (NY)
NEWM
ISIN US0556221044
BP PLC ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241220
GRSS//USD0,48
Rights Distribution IBERDROLA SA (MA)
NEWM
ISIN ES0144580Y14
IBERDROLA SA (MA)
RDTE//20250113
XDTE//20250110
:ISIN ES06445809T5
IBERDROLA SA RIGHT EX100125 (MA)
ADEX//1,/1,
PAYD//20250110
Merger ARCADIUM LITHIUM PLC (NY)
NEWM
ISIN JE00BM9HZ112
ARCADIUM LITHIUM PLC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Reverse Stock Split CANOO INC -A- (NY)
REPL
ISIN US13803R2013
CANOO INC -A- (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/20,
PAYD//UKWN
Cash Dividend 2020 BULKERS LTD (OS)
REPE
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241213
XDTE//20241212
PAYD//20241220
GRSS//NOK1,5552
Merger LITHIUM AMERICAS ARGENTINA CORP(NY)
NEWM
ISIN CA53681K1003
LITHIUM AMERICAS ARGENTINA CORP(NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend FIDELITY NASDAQ COMPOS.INDEX ETF
REPE
ISIN US3159128087
FIDELITY NASDAQ COMPOS.INDEX ETF(NY
RDTE//20241220
XDTE//20241220
PAYD//20241224
Dividend Reinvestment J. SAINSBURY -NEW (LO)
NEWM
ISIN GB00B019KW72
J. SAINSBURY -NEW (LO)
RDTE//20241115
PAYD//20241220
GRSS//GBP0,039
Cash Dividend MICRON TECHNOLOGY (NY)
NEWM
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241230
XDTE//UKWN
PAYD//20250115
GRSS//USD0,115
Cash Dividend VANGUARD GROUP MID-CAP ETF DIV
REPL
ISIN US9229086296
VANGUARD GROUP MID-CAP ETF DIV (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241226
GRSS//USD1,0928
Cash Dividend VANGUARD INDEX FD VANG.S&P500-
REPL
ISIN US9229083632
VANGUARD INDEX FD VANG.S P500- (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241226
GRSS//USD1,7385
Cash Dividend SIEMENS HEALTHCARE (FR)
NEWM
ISIN DE000SHL1006
SIEMENS HEALTHCARE (FR)
RDTE//20250220
XDTE//20250219
PAYD//20250221
GRSS//EUR0,95
Cash Dividend VANECK JR GOLD MINERS-
NEWM
ISIN US92189F7915
VANECK JR GOLD MINERS-(NY)
RDTE//20251229
XDTE//20251229
PAYD//20251231
GRSS//UKWN
Cash Dividend VANECK VIETNAM ETF-D
NEWM
ISIN US92189F8178
VANECK VIETNAM ETF-D (NY)
RDTE//20251229
XDTE//20251229
PAYD//20251231
GRSS//UKWN
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
NEWM
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20250203
XDTE//20250203
PAYD//20250206
GRSS//UKWN
Cash Dividend VANECK RARE EARTH AND ST.MET.ETF
NEWM
ISIN US92189H8051
VANECK RARE EARTH AND ST.MET.ETF(NY
RDTE//20251222
XDTE//20251222
PAYD//20251226
GRSS//UKWN
Cash Dividend VERALTO CORPORATION (NY)
NEWM
ISIN US92338C1036
VERALTO CORPORATION (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250131
GRSS//USD0,11
Cash Dividend LAMB WESTON HLDGS INC (NY)
NEWM
ISIN US5132721045
LAMB WESTON HLDGS INC (NY)
RDTE//20250131
XDTE//20250131
:PAYD//20250228
GRSS//USD0,37
Cash Dividend VALERO ENERGY CORP (NY)
NEWM
ISIN US91913Y1001
VALERO ENERGY CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241220
GRSS//USD1,07
Cash Dividend STATE STREET CORP (NY)
NEWM
ISIN US8574771031
STATE STREET CORP (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250113
GRSS//USD0,76
Cash Dividend SEALED AIR CORP (NEW) (NY)
NEWM
ISIN US81211K1007
SEALED AIR CORP (NEW) (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,2
Cash Dividend GE VERNOVA INC (NY)
REPE
ISIN US36828A1016
GE VERNOVA INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250128
GRSS//USD0,25
Cash Dividend GE VERNOVA INC (NY)
REPE
ISIN US36828A1016
GE VERNOVA INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250128
GRSS//USD0,25
Cash Dividend CARRIER GLOBAL CORPORATION (NY)
REPE
ISIN US14448C1045
CARRIER GLOBAL CORPORATION (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250207
GRSS//USD0,225
Cash Dividend VISTRA CORP (NY)
REPE
ISIN US92840M1027
VISTRA CORP (NY)
RDTE//20241220
XDTE//20241220
PAYD//20241231
GRSS//USD0,2215
Cash Dividend NASDAQ INC (NY)
NEWM
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,24
Cash Dividend PACCAR INC (NY)
REPE
ISIN US6937181088
PACCAR INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250108
GRSS//USD3,
Cash Dividend ANALOG DEVICES INC (NY)
NEWM
ISIN US0326541051
ANALOG DEVICES INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241220
GRSS//USD0,92
Cash Dividend TSAKOS ENERGY NAVIGATION (NY)
NEWM
ISIN BMG9108L1735
TSAKOS ENERGY NAVIGATION (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241220
GRSS//USD0,9
Data: 19.12.2024
Cash Dividend THYSSENKRUPP AG (FR)
NEWM
ISIN DE0007500001
THYSSENKRUPP AG (FR)
RDTE//20250204
XDTE//20250203
PAYD//20250205
GRSS//EUR0,15
Cash Dividend ZIMMER BIOMET HOLDINGS INC (NY)
NEWM
ISIN US98956P1021
ZIMMER BIOMET HOLDINGS INC (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250131
GRSS//USD0,24
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
NEWM
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250203
Cash Dividend OPERA LIMITED ADR (NY)
REPL
ISIN US68373M1071
OPERA LIMITED ADR (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250113
GRSS//USD0,4
Cash Dividend ERIE INDEMNITY CO (NY)
:REPL
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250122
GRSS//USD1,365
Cash Dividend SHELL PLC - ADR (NY)
NEWM
ISIN US7802593050
SHELL PLC - ADR (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241219
GRSS//USD0,688
Cash Dividend HSBC HOLDINGS PLC-SPONS ADR (NY)
NEWM
ISIN US4042804066
HSBC HOLDINGS PLC-SPONS ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241219
GRSS//USD0,5
Cash Dividend DOMINION ENERGY INC (NY)
REPE
ISIN US25746U1097
DOMINION ENERGY INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241220
GRSS//USD0,6675
Intrest Payment LIMAK CIMENTO SANAY 24-29 9.75%
REPL
ISIN XS2862382541
LIMAK CIMENTO SANAY 24-29 9.75
RDTE//20250124
XDTE//20250125
PAYD//20250125
INTP//4,875
Cash Dividend VANGUARD FTSE PACIFIC ETF D
REPL
ISIN US9220428661
VANGUARD FTSE PACIFIC ETF D (NY)
RDTE//20241220
XDTE//20241220
PAYD//20241224
GRSS//USD1,2379
Intrest Payment ABN AMRO BANK 15-25 4,75% REGS SUB
NEWM
ISIN XS1264600310
ABN AMRO BANK 15-25 4,75 REGS SUB
XDTE//20250128
RDTE//20250127
PAYD//20250128
INTP//2,375
Intrest Payment REP COLOMBIA 15-26 4,5%
NEWM
ISIN US195325CX13
REP COLOMBIA 15-26 4,5
XDTE//20250128
RDTE//20250127
PAYD//20250128
INTP//2,25
Cash Dividend QUALCOMM INC (NY)
NEWM
ISIN US7475251036
QUALCOMM INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,85
Cash Dividend VERTIV HOLDINGS CO (NY)
NEWM
ISIN US92537N1081
VERTIV HOLDINGS CO (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241219
GRSS//USD0,0375
Cash Dividend MOSAIC CO (THE) (NY)
NEWM
ISIN US61945C1036
MOSAIC CO (THE) (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,21
Cash Dividend FRANCO-NEVADA CORP (NY)
NEWM
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,36
Cash Dividend MPC CONTAINER SHIPS ASA(OS)
NEWM
ISIN NO0010791353
MPC CONTAINER SHIPS ASA(OS)
RDTE//20241213
XDTE//20241212
PAYD//20241219
GRSS//NOK1,1147
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241219
GRSS//USD0,045
Cash Dividend SMITH AND WESSON BRANDS INC (NY)
REPE
ISIN US8317541063
SMITH AND WESSON BRANDS INC (NY)
RDTE//20241219
XDTE//20241219
PAYD//20250102
GRSS//USD0,13
Cash Dividend FORTITUDE GOLD CORP (NY)
REPE
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241219
XDTE//20241219
PAYD//20241231
GRSS//USD0,04
Cash Dividend KIMCO REALTY CORP (NY)
NEWM
ISIN US49446R1095
KIMCO REALTY CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,25
Cash Dividend GENERAL MOTORS CO (NY)
NEWM
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241219
GRSS//USD0,12
Cash Dividend CIGNA GROUP/THE(NY)
NEWM
ISIN US1255231003
CIGNA GROUP/THE(NY)
RDTE//20241204
XDTE//20241204
PAYD//20241219
GRSS//USD1,4
Cash Dividend NOBLE CORPORATION PLC -A(NY)
NEWM
ISIN GB00BMXNWH07
NOBLE CORPORATION PLC -A(NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,5
Cash Dividend HSBC HOLD. PLC (LO)
NEWM
ISIN GB0005405286
HSBC HOLD. PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241219
GRSS//USD0,1
Cash Dividend FIRST INTERNET BANCORP (NQ)
NEWM
SIN US3205571017
FIRST INTERNET BANCORP (NQ)
RDTE//20241231
XDTE//20241231
PAYD//20250115
GRSS//USD0,06
Data: 18.12.2024
Merger APTIV PLC (NY)
REPL
ISIN JE00B783TY65
APTIV PLC (NY)
XDTE//UKWN
ISIN JE00BTDN8H13
APTIV PLC (NY)
NEWO//1,/1,
PAYD//UKWN
Worthless OPTICEPT TECHNOLO.RIGHT EX071124(ST
NEWM
ISIN SE0023261128
OPTICEPT TECHNOLO.RIGHT EX071124(ST
XDTE//20241204
PAYD//20241204
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250327
GRSS//USD0,227913
Cash Dividend MASTERCARD INC -CL A (NY)
NEWM
ISIN US57636Q1040
MASTERCARD INC -CL A (NY)
RDTE//20250109
XDTE//20250109
PAYD//20250207
GRSS//USD0,76
Cash Dividend MARVELL TECHNOLOGY INC (NY)
REPL
ISIN US5738741041
MARVELL TECHNOLOGY INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250130
GRSS//USD0,06
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPE
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241218
XDTE//20241218
PAYD//20241223
GRSS//USD0,176683
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPE
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241223
GRSS//USD0,351
Worthless IDEX BIOMETRICS RIGHT EX170924 (OS)
NEWM
ISIN NO0013393330
IDEX BIOMETRICS RIGHT EX170924 (OS)
XDTE//20241212
PAYD//20241212
Cash Dividend ICL GROUP LTD (NY)
REPL
ISIN IL0002810146
ICL GROUP LTD (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241218
GRSS//USD0,0527
Dividend Reinvestment SHELL PLC (AS)
REPL
ISIN GB00BP6MXD84
SHELL PLC (AS)
ISIN NL0015002AR9
SHELL PLC RIGHT EX141124 (AS)
RDTE//20241115
XDTE//20241114
PAYD//20241219
ISIN GB00BP6MXD84
SHELL PLC (AS)
NEWO//1,/94,120507
PAYD//20241219
Cash Dividend EVERSOURCE ENERGY (NY)
REPE
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241231
GRSS//USD0,715
Cash Dividend REDES ENERGETICAS NACIONAIS SA (LI)
REPL
ISIN PTREL0AM0008
REDES ENERGETICAS NACIONAIS SA (LI)
RDTE//20241219
XDTE//20241218
PAYD//20241220
GRSS//EUR0,064
Cash Dividend BLACKROCK INC (NY)
REPE
ISIN US09290D1019
BLACKROCK INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241223
GRSS//USD5,1
Tender Offer HUMMINGBIRD RESOURCES PLC (LO)
NEWM
ISIN GB00B60BWY28
HUMMINGBIRD RESOURCES PLC (LO)
PAYD//UKWN
OFFR//ACTU/GBP0,026777
Cash Dividend APPLIED MATERIALS (NY)
REPL
ISIN US0382221051
APPLIED MATERIALS (NY)
RDTE//20250220
XDTE//20250220
PAYD//20250313
GRSS//USD0,4
Intrest Payment KOREA HYDRO&NUCLE 22-27 4.25% REGS
NEWM
ISIN USY4899GFA68
KOREA HYDRO NUCLE 22-27 4.25 REGS
XDTE//20250127
RDTE//20250124
PAYD//20250127
INTP//2,125
Cash Dividend SALESFORCE INC (NY)
REPE
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20241218
XDTE//20241218
PAYD//20250109
GRSS//USD0,4
Cash Dividend STAR BULK CARRIERS CORP (NY)
NEWM
ISIN MHY8162K2046
STAR BULK CARRIERS CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241218
GRSS//USD0,6
Cash Dividend NORTHROP GRUMMAN (NY)
NEWM
ISIN US6668071029
NORTHROP GRUMMAN (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241218
GRSS//USD2,06
Cash Dividend ELECTRONIC ARTS INC (NY)
NEWM
ISIN US2855121099
ELECTRONIC ARTS INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241218
GRSS//USD0,19
Cash Dividend TERADYNE (NY)
NEWM
ISIN US8807701029
TERADYNE (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241218
GRSS//USD0,12
Cash Dividend MERCER INTL INC -SBI (NY)
REPE
ISIN US5880561015
MERCER INTL INC -SBI (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241226
GRSS//USD0,075
Cash Dividend VF CORPORATION (NY)
NEWM
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20241210
XDTE//20241210
PAYD//20241218
GRSS//USD0,09
Data: 17.12.2024
Cash Dividend STANLEY BLACK&DECKER INC (NY)
NEWM
ISIN US8545021011
STANLEY BLACK DECKER INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241217
GRSS//USD0,82
Cash Dividend YUM CHINA HOLDINGS INC (NY)
NEWM
ISIN US98850P1093
YUM CHINA HOLDINGS INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241217
GRSS//USD0,16
Cash Dividend BEST BUY CO. (NY)
REPE
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250107
GRSS//USD0,94
Cash Dividend AMPHENOL CORP -A- (NY)
REPE
ISIN US0320951017
AMPHENOL CORP -A- (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250108
GRSS//USD0,165
Cash Dividend LINDE PLC
NEWM
ISIN IE000S9YS762
LINDE PLC
RDTE//20241203
XDTE//20241203
PAYD//20241217
GRSS//USD1,39
Cash Dividend UNITEDHEALTH GROUP INC (NY)
NEWM
ISIN US91324P1021
UNITEDHEALTH GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241217
GRSS//USD2,1
Cash Dividend WALT DISNEY CO (HLD. CY) (NY)
REPE
ISIN US2546871060
WALT DISNEY CO (HLD. CY) (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250116
GRSS//USD0,5
Cash Dividend TELEFONICA SA (MA)
REPE
ISIN ES0178430E18
TELEFONICA SA (MA)
RDTE//20241218
XDTE//20241217
PAYD//20241219
GRSS//EUR0,15
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
NEWM
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
XDTE//20250609
RDTE//20250606
PAYD//20250609
INTP//3,1875
Cash Dividend AMBEV SP ADS U.1 SH (NY)
NEWM
ISIN US02319V1035
AMBEV SP ADS U.1 SH (NY)
RDTE//20241223
XDTE//20241223
PAYD//20250109
GRSS//UKWN
Spin Off EMBRACER GROUP AB -B- (ST)
REPL
ISIN SE0016828511
EMBRACER GROUP AB -B- (ST)
XDTE//UKWN
RDTE//UKWN
UNKNOWN
ADEX//1,/1,
PAYD//UKWN
Intrest Payment SYNTHOS SA 21-28 2,5% REGS
NEWM
ISIN XS2348767836
SYNTHOS SA 21-28 2,5 REGS
XDTE//20250609
RDTE//20250606
PAYD//20250609
INTP//1,25
Cash Dividend ISHARES MSCI BRAZIL ETF - D
REPE
ISIN US4642864007
ISHARES MSCI BRAZIL ETF - D(NY
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//USD1,09197
Cash Dividend INTERNATIONAL SEAWAYS INC (NY)
NEWM
ISIN MHY410531021
INTERNATIONAL SEAWAYS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD1,08
Cash Dividend RITHM CAPITAL CORP - REIT (NY)
NEWM
ISIN US64828T2015
RITHM CAPITAL CORP - REIT (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250131
GRSS//USD0,25
Cash Dividend ISHARES MSCI CHILE ETF-D
REPE
ISIN US4642866408
ISHARES MSCI CHILE ETF-D(NY
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//USD0,08438
Cash Dividend ISHARES GLOBAL REIT ETF D
REPE
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//USD0,412979
Cash Dividend ISHARES MSCI CHINA INDEX FUND D
REPE
ISIN US46429B6719
ISHARES MSCI CHINA INDEX FUND D(NQ)
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//USD0,891074
Reverse Stock Split PRYME N.V (OS)
NEWM
ISIN NL00150005Z1
PRYME N.V (OS)
XDTE//UKWN
UNKNOWN
NEWO//1,/10,
PAYD//UKWN
Capital distribution NORAM DRILLING AS (OS)
REPL
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241217
XDTE//20241216
PAYD//20241220
GRSS//NOK0,445
Cash Dividend NVENT ELECTRIC PLC (NY)
NEWM
ISIN IE00BDVJJQ56
NVENT ELECTRIC PLC (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250207
GRSS//USD0,2
Cash Dividend PENTAIR PLC (NY)
NEWM
ISIN IE00BLS09M33
PENTAIR PLC (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250207
GRSS//USD0,25
Data: 16.12.2024
Intrest Payment ROMANIA 18-48 5,125% REGS
REPE
ISIN XS1837994794
ROMANIA 18-48 5,125 REGS
RDTE//20241213
XDTE//20241215
PAYD//20241215
INTP//2,5625
Intrest Payment JPMORGAN CHASE 14-26 4,125% GLOB
NEWM
ISIN US46625HJZ47
JPMORGAN CHASE 14-26 4,125 GLOB
RDTE//20241213
XDTE//20241215
PAYD//20241215
INTP//2,0625
Intrest Payment BANK OF AMERI.CORP 97-27 8.05% SUB
NEWM
ISIN US06051GHP72
BANK OF AMERI.CORP 97-27 8.05 SUB
RDTE//20241213
XDTE//20241215
PAYD//20241215
INTP//4,025
Cash Dividend WESTERN UNION CO (NY)
NEWM
ISIN US9598021098
WESTERN UNION CO (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//USD0,235
Cash Dividend FMC CORP (NY)
NEWM
ISIN US3024913036
FMC CORP (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250116
GRSS//USD0,58
Cash Dividend ERIE INDEMNITY CO (NY)
NEWM
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20250107
XDTE//UKWN
PAYD//20250122
GRSS//USD1,365
Cash Dividend BROADCOM INC (NY)
NEWM
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20241223
XDTE//UKWN
PAYD//20241231
GRSS//USD0,59
Intrest Payment MUNDYS SPA 24-29 4.75% 24/1 REGSMTN
NEWM
ISIN XS2750308483
MUNDYS SPA 24-29 4.75 24/1 REGSMTN
XDTE//20250124
RDTE//20250123
PAYD//20250124
INTP//4,75
Cash Dividend WHIRLPOOL CORP (NY)
NEWM
ISIN US9633201069
WHIRLPOOL CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241215
GRSS//USD1,75
Cash Dividend MARVELL TECHNOLOGY INC (NY)
NEWM
ISIN US5738741041
MARVELL TECHNOLOGY INC (NY)
RDTE//20250110
XDTE//UKWN
PAYD//20250130
GRSS//USD0,06
Cash Dividend METLIFE INC (NY)
NEWM
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241216
GRSS//USD0,545
Cash Dividend BALL CORP (NY)
NEWM
ISIN US0584981064
BALL CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,2
Cash Dividend PATTERSON-UTI ENERGY INC (NY)
NEWM
ISIN US7034811015
PATTERSON-UTI ENERGY INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,08
Cash Dividend DUKE ENERGY (NY)
NEWM
ISIN US26441C2044
DUKE ENERGY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD1,045
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,66
Cash Dividend DUPONT DE NEMOURS INC (NY)
NEWM
ISIN US26614N1028
DUPONT DE NEMOURS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,38
Cash Dividend INTL PAPER (NY)
NEWM
ISIN US4601461035
INTL PAPER (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD0,4625
Cash Dividend DOVER CORP (NY)
NEWM
ISIN US2600031080
DOVER CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,515
Cash Dividend BORGWARNER INC (NY)
NEWM
ISIN US0997241064
BORGWARNER INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,11
Cash Dividend STAG INDUSTRIAL INC (NY)
NEWM
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,123333
Cash Dividend AGCO CORP (NY)
NEWM
ISIN US0010841023
AGCO CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD0,29
Cash Dividend PARAMOUNT GLOBAL -B- (NY)
REPE
ISIN US92556H2067
PARAMOUNT GLOBAL -B- (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250102
GRSS//USD0,05
Cash Dividend TSAKOS ENERGY NAVIGATION (NY)
REPE
ISIN BMG9108L1735
TSAKOS ENERGY NAVIGATION (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241220
GRSS//USD0,9
Cash Dividend WENDY'S CO/THE (NY)
NEWM
ISIN US95058W1009
WENDY'S CO/THE (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,25
Cash Dividend CLEARWAY ENERGY INC -C- (NY)
NEWM
ISIN US18539C2044
CLEARWAY ENERGY INC -C- (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,424
Cash Dividend AGNICO-EAGLE MINES (NY)
NEWM
ISIN CA0084741085
AGNICO-EAGLE MINES (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,4
Cash Dividend AMERICAN INTERNATIONAL GROUP INC(NY
REPE
ISIN US0268747849
AMERICAN INTERNATIONAL GROUP INC(NY
RDTE//20241216
XDTE//20241216
PAYD//20241230
GRSS//USD0,4
Cash Dividend EASTMAN CHEMICAL CO (NY)
REPE
ISIN US2774321002
EASTMAN CHEMICAL CO (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,83
Cash Dividend PROLOGIS INC (NY)
REPE
ISIN US74340W1036
PROLOGIS INC (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241231
GRSS//USD0,96
Cash Dividend NEXTERA ENERGY INC (NY)
NEWM
ISIN US65339F1012
NEXTERA ENERGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241216
GRSS//USD0,515
Cash Dividend MCDONALDS CORP (NY)
NEWM
ISIN US5801351017
MCDONALDS CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD1,77
Cash Dividend HERSHEY CO /THE (NY)
NEWM
ISIN US4278661081
HERSHEY CO /THE (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241216
GRSS//USD1,37
Cash Dividend ESTEE LAUDER COMPANIES INC 'A' (NY)
NEWM
ISIN US5184391044
ESTEE LAUDER COMPANIES INC 'A' (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,35
Cash Dividend ATKORE INC (NY)
NEWM
ISIN US0476491081
ATKORE INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241216
GRSS//USD0,32
Cash Dividend MERCK AND CY INC
REPE
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,81
Cash Dividend BARRICK GOLD CORP (NY)
NEWM
ISIN CA0679011084
BARRICK GOLD CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,1
Cash Dividend COCA COLA CO (NY)
NEWM
ISIN US1912161007
COCA COLA CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,485
Cash Dividend ALPHABET INC -C- (NY)
NEWM
ISIN US02079K1079
ALPHABET INC -C- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Cash Dividend ALPHABET --- SHS -A- (NY)
NEWM
ISIN US02079K3059
ALPHABET --- SHS -A- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Cash Dividend META PLATFORMS INC-SHS A (NY)
REPE
ISIN US30303M1027
META PLATFORMS INC-SHS A (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241227
GRSS//USD0,5
Intrest Payment LIMAK CIMENTO SANAY 24-29 9.75%
NEWM
ISIN XS2862382541
LIMAK CIMENTO SANAY 24-29 9.75
XDTE//20250125
RDTE//20250124
PAYD//20250125
INTP//4,875
Spin Off VIVENDI SE (PA)
NEWM
ISIN FR0000127771
VIVENDI SE (PA)
RDTE//20241217
XDTE//20241216
ISIN NL0015002AH0
HAVAS N.V. (AS)
ADEX//1,/1,
PAYD//20241216
Dividend Reinvestment BAE SYSTEMS Plc (LO)
NEWM
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20250422
XDTE//20250417
PAYD//20250602
GRSS//UKWN
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
ADEX//UKWN
PAYD//20250602
Cash Dividend CAMECO CORP (NY)
NEWM
ISIN CA13321L1085
CAMECO CORP (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241213
GRSS//USD0,112332
Stock Split PALO ALTO NETWORKS INC (NY)
NEWM
ISIN US6974351057
PALO ALTO NETWORKS INC (NY)
RDTE//20241216
XDTE//20241216
ISIN US6974351057
PALO ALTO NETWORKS INC (NY)
ADEX//1,/1,
PAYD//20241213
Dividend Reinvestment BT GROUP PLC (LO)
REPL
ISIN GB0030913577
BT GROUP PLC (LO)
RDTE//20241227
XDTE//20241224
PAYD//20250205
GRSS//GBP0,024
ISIN GB0030913577
BT GROUP PLC (LO)
ADEX//UKWN
PAYD//20250210
Cash Dividend ISHARES DOW JONES G TI 50 DE-ETF
NEWM
ISIN DE0006289382
ISHARES DOW JONES G TI 50 DE-ETF(FR
XDTE//20240916
RDTE//UKWN
PAYD//20240916
GRSS//UKWN
Cash Dividend HOEGH AUTOLINERS ASA (OS)
REPE
ISIN NO0011082075
HOEGH AUTOLINERS ASA (OS)
RDTE//20241210
XDTE//20241209
PAYD//20241218
GRSS//NOK14,2664
Cash Dividend BRP INC- SUB VOTING W/I (NY)
REPL
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//USD0,21
Intrest Payment RAIFFEISEN B INT AG 24-26 VAR%
NEWM
ISIN AT0000A3CZ17
RAIFFEISEN B INT AG 24-26 VAR
XDTE//20241211
RDTE//20241210
PAYD//20241211
GRSS//USD37,5
Cash Dividend AT&T INC (NY)
NEWM
ISIN US00206R1023
AT T INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,2775
Cash Dividend ABBOTT LABOR. (NY)
NEWM
ISIN US0028241000
ABBOTT LABOR. (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250214
GRSS//USD0,59
Cash Dividend AMER EXPRESS (NY)
NEWM
ISIN US0258161092
AMER EXPRESS (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250210
GRSS//USD0,7
Intrest Payment BOMBARDIER INC 21-26 7,125% REGS
NEWM
ISIN USC10602BJ59
BOMBARDIER INC 21-26 7,125 REGS
RDTE//20241213
XDTE//20241215
PAYD//20241215
INTP//3,5625
Cash Dividend EDISON INTERNATIONAL (NY)
NEWM
ISIN US2810201077
EDISON INTERNATIONAL (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250131
GRSS//USD0,8275
Cash Dividend GENERAL ELECTRIC CO (NY)
NEWM
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250127
GRSS//USD0,28
Cash Dividend UGI CORP (NY)
REPE
ISIN US9026811052
UGI CORP (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250101
GRSS//USD0,375
Cash Dividend NEWELL BRANDS INC (NY)
NEWM
ISIN US6512291062
NEWELL BRANDS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,07
Cash Dividend RALPH LAUREN CORP -A- (NY)
NEWM
ISIN US7512121010
RALPH LAUREN CORP -A- (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250110
GRSS//USD0,825
Cash Dividend PHILIP MORRIS INT. (NY)
NEWM
ISIN US7181721090
PHILIP MORRIS INT. (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250113
GRSS//USD1,35
Cash Dividend PFIZER (NY)
NEWM
ISIN US7170811035
PFIZER (NY)
RDTE//20250124
XDTE//20250124
PAYD//20250307
GRSS//USD0,43
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
NEWM
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20241231
XDTE//20241231
PAYD//UKWN
GRSS//UKWN
Cash Dividend SSGA SPDR SP500 UC ETF-USD-D-USD
NEWM
ISIN IE00B6YX5C33
SSGA SPDR SP500 UC ETF-USD-D-USD(LO
RDTE//20241223
XDTE//20241220
PAYD//20241231
GRSS//USD1,5803
Cash Dividend STMICROELECTRONICS NV -REG NY (NY)
REPL
ISIN US8610121027
STMICROELECTRONICS NV -REG NY (NY)
RDTE//20241217
XDTE//20241217
PAYD//20241227
GRSS//USD0,09
Cash Dividend SSGA SPDR ETFS SPDR S P US DIV
NEWM
ISIN IE00B6YX5D40
SSGA SPDR ETFS SPDR S P US DIV (MI)
RDTE//20241223
XDTE//20241220
PAYD//20241231
GRSS//USD0,3522
Cash Dividend 2020 BULKERS LTD (OS)
REPL
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241213
XDTE//20241212
PAYD//20241220
GRSS//NOK1,5552
Intrest Payment POLAND 22-32 2,75% 25/05 REGS
NEWM
ISIN XS2447602793
POLAND 22-32 2,75 25/05 REGS
XDTE//20250526
RDTE//20250523
PAYD//20250526
INTP//2,75
Intrest Payment ROMANIA 22-27 5,25% REGS
NEWM
ISIN XS2485248806
ROMANIA 22-27 5,25 REGS
XDTE//20250527
RDTE//20250523
PAYD//20250527
INTP//2,625
Cash Dividend OVINTIV INC (NY)
REPE
ISIN US69047Q1022
OVINTIV INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241231
GRSS//USD0,3
Cash Dividend WAL-MART INC (NY)
REPE
ISIN US9311421039
WAL-MART INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250106
GRSS//USD0,2075
Cash Dividend STARBUCKS CORP (NY)
NEWM
ISIN US8552441094
STARBUCKS CORP (NY)
RDTE//20250214
XDTE//20250214
PAYD//20250228
GRSS//USD0,61
Cash Dividend GILEAD SCIENCES INC (NY)
REPE
ISIN US3755581036
GILEAD SCIENCES INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,77
Data: 13.12.2024
Cash Dividend WILLIAMS COMPANIES (NY)
REPE
//DVCA
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,475
Cash Dividend KELLANOVA (NY)
NEWM
//DVCA
ISIN US4878361082
KELLANOVA (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241213
GRSS//USD0,57
Cash Dividend RANGE RESOURCES CORP (NY)
REPE
//DVCA
ISIN US75281A1097
RANGE RESOURCES CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD0,08
Intrest Payment ROEMENIE 14-44 6,125% (NY)
NEWM
//INTR
ISIN US77586TAE64
ROEMENIE 14-44 6,125 (NY)
XDTE//20250122
RDTE//20250121
INTR//6,125
PAYD//20250122
INTP//3,0625
Cash Dividend APA CORPORATION (NY)
NEWM
//DVCA
ISIN US03743Q1085
APA CORPORATION (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250221
GRSS//USD0,25
Cash Dividend MONDELEZ INTERNATIONAL INC (NY)
REPL
//DVCA
ISIN US6092071058
MONDELEZ INTERNATIONAL INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//USD0,47
Cash Dividend OPERA LIMITED ADR (NY)
NEWM
//DVCA
ISIN US68373M1071
OPERA LIMITED ADR (NY)
RDTE//20250106
XDTE//UKWN
PAYD//20250113
GRSS//USD0,4
Reverse Stock Split MOMENTUS INC (NY)
NEWM
//SPLR
ISIN US60879E2000
MOMENTUS INC (NY)
XDTE//20241213
PAYD//20241213
SECMOVE
CRDB//CRED
ISIN US60879E3099
MOMENTUS INC-A (NY)
NEWO//1,/14,
Cash Dividend MPC CONTAINER SHIPS ASA(OS)
REPL
//DVCA
ISIN NO0010791353
MPC CONTAINER SHIPS ASA(OS)
RDTE//20241213
XDTE//20241212
PAYD//20241219
GRSS//NOK1,1147
Partial Call BOMBARDIER INC 19-27 7,875% REGS
NEWM
//PCAL
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
RDTE//20241212
XDTE//20250109
INTR//7,875
PAYD//20250109
RATE//99,246
INTP//0,754
Cash Dividend ZOETIS INC (NY)
NEWM
//DVCA
ISIN US98978V1035
ZOETIS INC (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250304
GRSS//USD0,5
Cash Dividend CONAGRA BRANDS INC (NY)
NEWM
//DVCA
ISIN US2058871029
CONAGRA BRANDS INC (NY)
RDTE//20250127
XDTE//20250127
PAYD//20250227
GRSS//USD0,35
Cash Dividend VANGUARD FDS V.FTSE250 U.ETF-PTG
REPE
ISIN IE00BKX55Q28
VANGUARD FDS V.FTSE250 U.ETF-PTG(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//GBP0,250385
Cash Dividend VANGUARD F.-LIFESTR.80%E.U.ETF
REPE
ISIN IE00BMVB5S82
VANGUARD F.-LIFESTR.80 E.U.ETF(FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,304019
Cash Dividend ISH.IV USD T.B.20+Y.UC ETF D USD
REPE
ISIN IE00BSKRJZ44
ISH.IV USD T.B.20+Y.UC ETF D USD(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,0755
Data: 12.12.2024
Cash Dividend CATERPILLAR INC (NY)
NEWM
ISIN US1491231015
CATERPILLAR INC (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250220
GRSS//USD1,41
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
NEWM
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20241231
XDTE//20241230
PAYD//UKWN
GRSS//USD6,28405
Dividend Reinvestment GSK PLC (LO)
REPL
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20241115
XDTE//20241114
PAYD//20250109
GRSS//GBP0,15
Intrest Payment OMAN 19-29 6% MTN REGS
NEWM
ISIN XS1944412748
OMAN 19-29 6 MTN REGS
XDTE//20250203
RDTE//20250131
PAYD//20250203
INTP//3,
Spin Off VIVENDI SE (PA)
REPL
ISIN FR0000127771
VIVENDI SE (PA)
RDTE//20241217
XDTE//20241216
ISIN NL0015002AH0
HAVAS N.V. (PA)
ADEX//1,/1,
PAYD//20241218
Cash Dividend MATCH GROUP INC NEW (NY)
NEWM
ISIN US57667L1070
MATCH GROUP INC NEW (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250121
GRSS//USD0,19
Cash Dividend PRUDENTIAL FINANCIAL INC (NY)
NEWM
ISIN US7443201022
PRUDENTIAL FINANCIAL INC (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241212
GRSS//USD1,3
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20250203
Cash Dividend INTUIT INC (NY)
NEWM
ISIN US4612021034
INTUIT INC (NY)
RDTE//20250109
XDTE//20250109
PAYD//20250117
GRSS//USD1,04
Cash Dividend T-MOBILE US INC (NY)
NEWM
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD0,88
Cash Dividend PPG INDUSTRIES INC (NY)
NEWM
ISIN US6935061076
PPG INDUSTRIES INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241212
GRSS//USD0,68
Cash Dividend CHORD ENERGY CORPORATION (NY)
NEWM
ISIN US6742152076
CHORD ENERGY CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD1,25
Cash Dividend 3M CO (NY)
NEWM
ISIN US88579Y1010
3M CO (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241212
GRSS//USD0,7
Cash Dividend RTX CORPORATION (NY)
NEWM
ISIN US75513E1010
RTX CORPORATION (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241212
GRSS//USD0,63
Cash Dividend WALGREENS BOOTS ALLIANCE INC (NY)
NEWM
ISIN US9314271084
WALGREENS BOOTS ALLIANCE INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241212
GRSS//USD0,25
Cash Dividend APPLIED MATERIALS (NY)
NEWM
ISIN US0382221051
APPLIED MATERIALS (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,4
Cash Dividend ORGANON&CO (NY)
NEWM
ISIN US68622V1061
ORGANON CO (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241212
GRSS//USD0,28
Cash Dividend ARCHER DANIELS MIDL (NY)
NEWM
ISIN US0394831020
ARCHER DANIELS MIDL (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,5
Cash Dividend HOME DEPOT INC (NY)
NEWM
ISIN US4370761029
HOME DEPOT INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD2,25
Cash Dividend MICROSOFT CORP (NY)
NEWM
ISIN US5949181045
MICROSOFT CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,83
Cash Dividend ESSENTIAL UTILITIES INC (NY)
NEWM
ISIN US29670G1022
ESSENTIAL UTILITIES INC (NY)
RDTE//20250210
XDTE//20250210
PAYD//20250303
GRSS//USD0,3255
Cash Dividend ROYAL CARIBBEAN GROUP LTD (NY)
NEWM
ISIN LR0008862868
ROYAL CARIBBEAN GROUP LTD (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250113
GRSS//USD0,55
Cash Dividend SONY GROUP CORPORATION ADR (NY)
NEWM
ISIN US8356993076
SONY GROUP CORPORATION ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241212
GRSS//USD0,33174
Cash Dividend MOODY'S CORP (NY)
REPE
ISIN US6153691059
MOODY'S CORP (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241213
GRSS//USD0,85
Cash Dividend TECK RESOURCES LTD CL B (NY)
REPL
SIN CA8787422044
TECK RESOURCES LTD CL B (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241231
GRSS//USD0,0881
Cash Dividend IS.PLC CORE FTSE100 UC.ETF(DIST)
REPE
ISIN IE0005042456
IS.PLC CORE FTSE100 UC.ETF(DIST)(AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//GBP0,0499
Cash Dividend ISHARES PLC EURO DIV UCI.ETF-D
REPE
ISIN IE00B0M62S72
ISHARES PLC EURO DIV UCI.ETF-D (FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,0615
Cash Dividend ISHARES PLC ISH.CHINA 50-USD-D
REPE
ISIN IE00B02KXK85
ISHARES PLC ISH.CHINA 50-USD-D (LO)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1833
Cash Dividend ISHARES PLC MSCI BRA UCI ETF USD
REPE
ISIN IE00B0M63516
ISHARES PLC MSCI BRA UCI ETF USD(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,0379
Cash Dividend ISH.PLC C.S&P500 U.ETF EUR(DIST)
REPE
ISIN IE0031442068
ISH.PLC C.S P500 U.ETF EUR(DIST)(AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1567
Cash Dividend VANG.FDS PLC FTSE D.EUR.U.ETF-D
REPE
ISIN IE00B945VV12
VANG.FDS PLC FTSE D.EUR.U.ETF-D (AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,154193
Cash Dividend VANGUARD FDS FTSE ALL WLD UC ETF
REPE
SIN IE00B3RBWM25
VANGUARD FDS FTSE ALL WLD UC ETF(AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,446619
Intrest Payment RAIFFEISENB. 23 7,125%-VAR% 190126
REPL
ISIN XS2577033553
RAIFFEISENB. 23 7,125 -VAR 190126
RDTE//20241227
XDTE//20250119
PAYD//20250119
INTP//7,125
Cash Dividend KINROSS GOLD CORP (NY)
NEWM
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20241128
XDTE//20241128
PAYD//20241212
GRSS//USD0,03
Dividend Reinvestment ASSOCIATED BRITISH FOODS PLC (LO)
REPL
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
RDTE//20241213
XDTE//20241212
PAYD//20250110
GRSS//GBP0,693
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
ADEX//UKWN
PAYD//20250115
Cash Dividend NUCOR CORP (NY)
NEWM
ISIN US6703461052
NUCOR CORP (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250211
GRSS//USD0,55
Cash Dividend SIEMENS AG- NOM (FR)
NEWM
ISIN DE0007236101
SIEMENS AG- NOM (FR)
RDTE//20250217
XDTE//20250214
PAYD//20250218
GRSS//EUR5,2
Cash Dividend PACCAR INC (NY)
NEWM
ISIN US6937181088
PACCAR INC (NY)
RDTE//20250212
XDTE//20250212
PAYD//20250305
GRSS//USD0,33
Intrest Payment BOMBARDIER INC 21-28 6% REGS
NEWM
ISIN USC10602BK23
BOMBARDIER INC 21-28 6 REGS
XDTE//20250218
RDTE//20250203
PAYD//20250218
INTP//3,
Cash Dividend GE VERNOVA INC (NY)
NEWM
ISIN US36828A1016
GE VERNOVA INC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250128
GRSS//USD0,25
Cash Dividend MONDELEZ INTERNATIONAL INC (NY)
NEWM
ISIN US6092071058
MONDELEZ INTERNATIONAL INC (NY)
RDTE//20241231
XDTE//UKWN
PAYD//20250114
GRSS//USD0,47
Cash Dividend COLGATE PALMOLIVE CY (NY)
NEWM
ISIN US1941621039
COLGATE PALMOLIVE CY (NY)
RDTE//20250121
XDTE//20250121
PAYD//20250214
GRSS//USD0,5
Cash Dividend BRISTOL-MYERS SQUIBB (NY)
NEWM
ISIN US1101221083
BRISTOL-MYERS SQUIBB (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250203
GRSS//USD0,62
Cash Dividend ALTRIA GROUP INC (NY)
NEWM
ISIN US02209S1033
ALTRIA GROUP INC (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250110
GRSS//USD1,02
Intrest Payment UNITED STATES STEEL 21-29 6,875%
NEWM
ISIN US912909AU28
UNITED STATES STEEL 21-29 6,875
XDTE//20250303
RDTE//20250214
PAYD//20250303
INTP//3,4375
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
NEWM
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
XDTE//20250415
RDTE//20250331
PAYD//20250415
INTP//3,9375
Intrest Payment NETFLIX 18-28 4,875%
NEWM
ISIN US64110LAS51
NETFLIX 18-28 4,875
XDTE//20250415
RDTE//20250331
PAYD//20250415
INTP//2,4375
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
REPE
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,045609
Data: 11.12.2024
Dividend Reinvestment SHELL PLC (AS)
REPL
ISIN GB00BP6MXD84
SHELL PLC (AS)
ISIN NL0015002AR9
SHELL PLC RIGHT EX141124 (AS)
PAYD//20241219
ISIN GB00BP6MXD84
SHELL PLC (AS)
NEWO//UKWN
PAYD//20241219
Redemption ANGLOGOLD ASHANTI LIMITED (NY)
NEWM
ISIN GB00BRXH2664
ANGLOGOLD ASHANTI LIMITED (NY)
XDTE//20241210
PAYD//20241210
OFFR//ACTU/USD25,002228
Intrest Payment POLAND 15-27 0,875% 10/05
NEWM
ISIN XS1209947271
POLAND 15-27 0,875 10/05
XDTE//20250512
RDTE//20250509
PAYD//20250512
INTP//0,875
Dividend Reinvestment UNILEVER PLC (LO)
REPE
ISIN GB00B10RZP78
UNILEVER PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241206
GRSS//GBP0,3663
ISIN GB00B10RZP78
UNILEVER PLC (LO)
ADEX//1,/129,575278
PAYD//20241206
Conversion ENGIE (PA)
REPL
ISIN FR0010208488
ENGIE (PA)
EFFD//20250102
ISIN FR001400U6U4
ENGIE PRIME DE FIDELITE 2025 (PA)
NEWO//1,/1,
PAYD//20250102
Redemption ARCELORMITTAL (AS)
NEWM
ISIN LU1598757687
ARCELORMITTAL (AS)
XDTE//20241204
PAYD//20241204
OFFR//ACTU/EUR24,27
Cash Dividend HONDA MOTOR CO LTD ADR (NY)
NEWM
ISIN US4381283088
HONDA MOTOR CO LTD ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241211
GRSS//USD0,673212
Cash Dividend HOEGH AUTOLINERS ASA (OS)
REPL
ISIN NO0011082075
HOEGH AUTOLINERS ASA (OS)
RDTE//20241210
XDTE//20241209
PAYD//20241218
GRSS//NOK14,1834
Cash Dividend GUESS INC (NY)
REPE
ISIN US4016171054
GUESS INC (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241227
GRSS//USD0,3
Cash Dividend KOHLS CORP (NY)
REPE
ISIN US5002551043
KOHLS CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241224
GRSS//USD0,5
Cash Dividend AMCOR PLC (NY)
NEWM
ISIN JE00BJ1F3079
AMCOR PLC (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241211
GRSS//USD0,1275
Cash Dividend UNITED STATES STEEL CORP (NY)
NEWM
ISIN US9129091081
UNITED STATES STEEL CORP (NY)
RDTE//20241111
XDTE//20241108
PAYD//20241211
GRSS//USD0,05
Cash Dividend S AND P GLOBAL INC (NY)
NEWM
ISIN US78409V1044
S AND P GLOBAL INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241211
GRSS//USD0,91
Intrest Payment BRAZIL 04-34 8,25%
NEWM
ISIN US105756BB58
BRAZIL 04-34 8,25
XDTE//20250120
RDTE//20250117
PAYD//20250120
INTP//4,125
Cash Dividend STRYKER CORP (NY)
NEWM
ISIN US8636671013
STRYKER CORP (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250131
GRSS//USD0,84
Cash Dividend AMER EAGLE OUTFITTERS (NY)
NEWM
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,125
Cash Dividend VENTAS INC (NY)
NEWM
ISIN US92276F1003
VENTAS INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250116
GRSS//USD0,45
Reverse Stock Split KARYOPHARM THERAPEUTICS INC (NY)
NEWM
ISIN US48576U1060
KARYOPHARM THERAPEUTICS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend GEN DIGITAL (NY)
NEWM
ISIN US6687711084
GEN DIGITAL (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241211
GRSS//USD0,125
Merger GATOS SILVER INC (NY)
NEWM
ISIN US3680361090
GATOS SILVER INC (NY)
XDTE//UKWN
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
NEWO//UKWN
PAYD//UKWN
Cash Dividend 2020 BULKERS LTD (OS)
REPL
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241213
XDTE//20241212
PAYD//20241220
GRSS//UKWN
Intrest Payment ROMANIA 19-34 3,5% 03/04 REGS MTN
NEWM
ISIN XS1970549561
ROMANIA 19-34 3,5 03/04 REGS MTN
XDTE//20250403
RDTE//20250402
PAYD//20250403
INTP//3,5
Intrest Payment EGYPT 19-31 6,375% 11/04 REGS MTN
NEWM
ISIN XS1980255936
EGYPT 19-31 6,375 11/04 REGS MTN
XDTE//20250411
RDTE//20250410
PAYD//20250411
INTP//6,375
Intrest Payment TURKEY REP.21-27 4,375% 08/07
NEWM
ISIN XS2361850527
TURKEY REP.21-27 4,375 08/07
XDTE//20250708
RDTE//20250707
PAYD//20250708
INTP//4,375
Intrest Payment ROMANIA 19-31 2,124% 16/07 MTN REGS
NEWM
ISIN XS2027596530
ROMANIA 19-31 2,124 16/07 MTN REGS
XDTE//20250716
RDTE//20250715
PAYD//20250716
INTP//2,124
Intrest Payment DEUTSHE BK.22-PP 6,75-VAR%COCO REGS
NEWM
ISIN DE000DL19WG7
DEUTSHE BK.22-PP 6,75-VAR COCO REGS
XDTE//20250430
RDTE//20250429
PAYD//20250430
INTP//6,75
Intrest Payment ROMANIA 18-39 4,125% 11/03 REGS MTN
NEWM
ISIN XS1892127470
ROMANIA 18-39 4,125 11/03 REGS MTN
XDTE//20250311
RDTE//20250310
PAYD//20250311
INTP//4,125
Intrest Payment ROMANIA 20-40 2,625% 02/12 REGS
NEWM
ISIN XS2258400162
ROMANIA 20-40 2,625 02/12 REGS
XDTE//20251202
RDTE//20251201
PAYD//20251202
INTP//2,625
Cash Dividend JPMORGAN CHASE & CO (NY)
NEWM
ISIN US46625H1005
JPMORGAN CHASE CO (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250131
GRSS//USD1,25
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241217
XDTE//20241216
PAYD//20241223
GRSS//USD0,04
Cash Dividend HP INC (NY)
REPE
ISIN US40434L1052
HP INC (NY)
RDTE//20241211
XDTE//20241211
PAYD//20250102
GRSS//USD0,2894
Cash Dividend LAM RESEARCH CORP (NY)
REPE
ISIN US5128073062
LAM RESEARCH CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20250108
GRSS//USD0,23
Cash Dividend VERBIO SE (FR)
NEWM
ISIN DE000A0JL9W6
VERBIO SE (FR)
RDTE//20241210
XDTE//20241209
PAYD//20241211
GRSS//EUR0,2
Data: 10.12.2024
Cash Dividend HP ENTERPRISE CO (NY)
NEWM
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250116
GRSS//USD0,13
Cash Dividend GARRETT MOTION INC (NY)
NEWM
ISIN US3665051054
GARRETT MOTION INC (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250131
GRSS//USD0,06
Cash Dividend AES CORP (NY)
NEWM
ISIN US00130H1059
AES CORP (NY)
RDTE//20250131
XDTE//20250131
PAYD//20250214
GRSS//USD0,17595
Cash Dividend DANSKE BANK A/S (CO)
REPE
ISIN DK0010274414
DANSKE BANK A/S (CO)
RDTE//20241210
XDTE//20241209
PAYD//20241211
GRSS//DKK6,5
Cash Dividend VANGUARD FDS PLC ALL WLD HG DI
NEWM
ISIN IE00B8GKDB10
VANGUARD FDS PLC ALL WLD HG DI (AS)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,429599
Merger ANSYS INC (NY)
NEWM
ISIN US03662Q1058
ANSYS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend AMER ELECTRIC POWER (NY)
NEWM
ISIN US0255371017
AMER ELECTRIC POWER (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241210
GRSS//USD0,93
Cash Dividend TRAVELERS COS INC /THE (NY)
REPE
ISIN US89417E1091
TRAVELERS COS INC /THE (NY)
RDTE//20241210
XDTE//20241210
PAYD//20241231
GRSS//USD1,05
Cash Dividend TARGET CORP (NY)
NEWM
ISIN US87612E1064
TARGET CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241210
GRSS//USD1,12
Cash Dividend MARATHON OIL CORP (NY)
NEWM
ISIN US5658491064
MARATHON OIL CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD0,11
Cash Dividend PPL CORP (NY)
REPE
ISIN US69351T1060
PPL CORP (NY)
RDTE//20241210
XDTE//20241210
PAYD//20250102
GRSS//USD0,2575
Cash Dividend ENAGAS (MA)
REPE
ISIN ES0130960018
ENAGAS (MA)
RDTE//20241211
XDTE//20241210
PAYD//20241212
GRSS//EUR0,4
Cash Dividend VF CORPORATION (NY)
REPE
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20241210
XDTE//20241210
PAYD//20241218
GRSS//USD0,09
Cash Dividend CHEVRON CORP (NY)
NEWM
ISIN US1667641005
CHEVRON CORP (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241210
GRSS//USD1,63
Cash Dividend OCCIDENTAL PETROLEUM (NY)
REPE
ISIN US6745991058
OCCIDENTAL PETROLEUM (NY)
RDTE//20241210
XDTE//20241210
PAYD//20250115
GRSS//USD0,22
Cash Dividend IBM (NY)
NEWM
ISIN US4592001014
IBM (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241210
GRSS//USD1,67,
Cash Dividend JOHNSON & JOHNSON CO (NY)
NEWM
ISIN US4781601046
JOHNSON JOHNSON CO (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241210
GRSS//USD1,24
Cash Dividend EXXON MOBIL CORP (NY)
NEWM
ISIN US30231G1022
EXXON MOBIL CORP (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241210
GRSS//USD0,99
Cash Dividend ELI LILLY AND CY (NY)
NEWM
ISIN US5324571083
ELI LILLY AND CY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD1,3
Intrest Payment POLAND 16-26 1,5% 19/01
NEWM
ISIN XS1346201616
POLAND 16-26 1,5 19/01
XDTE//20250119
RDTE//20250117
PAYD//20250119
INTP//1,5
Intrest Payment DE.TEL.INT.FIN.17-27 3,6%19/01REGS
NEWM
ISIN USN27915AS11
DE.TEL.INT.FIN.17-27 3,6 19/01REGS
XDTE//20250119
RDTE//20250117
PAYD//20250119
INTP//1,8
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
REPE
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
RDTE//20241206
XDTE//20241209
PAYD//20241209
INTP//3,1875
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
REPE
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
RDTE//20241206
XDTE//20241209
PAYD//20241209
INTP//3,1875
Reverse Stock Split RIGETTI COMPUTING INC (NY)
WITH
ISIN US76655K1034
RIGETTI COMPUTING INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/10,
PAYD//UKWN
Cash Dividend ORACLE CORP (NY)
NEWM
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20250109
XDTE//20250109
PAYD//20250123
GRSS//USD0,4
Cash Dividend RYANAIR HOLDINGS PLC (DU)
NEWM
ISIN IE00BYTBXV33
RYANAIR HOLDINGS PLC (DU)
RDTE//20250117
XDTE//20250116
PAYD//20250226
GRSS//EUR0,223
Cash Dividend TJX COMPANIES INC (NY)
NEWM
ISIN US8725401090
TJX COMPANIES INC (NY)
RDTE//20250213
XDTE//20250213
PAYD//20250306
GRSS//USD0,375
Intrest Payment BOMBARDIER 04-34 7,45% REGS
NEWM
ISIN USC10602AJ68
BOMBARDIER 04-34 7,45 REGS
XDTE//20250501
RDTE//20250416
PAYD//20250501
INTP//3,725
Intrest Payment FORD MOTOR CO 98-28 6,625%
NEWM
ISIN US345370BY59
FORD MOTOR CO 98-28 6,625
XDTE//20250401
RDTE//20250317
PAYD//20250401
INTP//3,3125
Intrest Payment GOODY TIRE RUB 98-28 7%
NEWM
ISIN US382550AD35
GOODY TIRE RUB 98-28 7
XDTE//20250317
RDTE//20250228
PAYD//20250317
INTP//3,5
Intrest Payment US TREAS. N/B 97-27 6,125%
NEWM
ISIN US912810FB99
US TREAS. N/B 97-27 6,125
XDTE//20250515
RDTE//20250430
PAYD//20250515
INTP//3,0625
Intrest Payment GERMANY 97-27 6,50% 04/07
NEWM
ISIN DE0001135044
GERMANY 97-27 6,50 04/07
XDTE//20250704
RDTE//20250703
PAYD//20250704
INTP//6,5
Intrest Payment POLAND 10-25 5,25% 20/01
NEWM
ISIN XS0479333311
POLAND 10-25 5,25 20/01
XDTE//20250120
RDTE//20250117
PAYD//20250120
INTP//5,25
Intrest Payment EMIRATES AIRLINES 13-24 4,5%
NEWM
ISIN XS0885065887
EMIRATES AIRLINES 13-24 4,5
XDTE//20250206
RDTE//20250205
PAYD//20250206
INTP//2,25
Intrest Payment POLAND 15-25 1,50% 09/09
NEWM
ISIN XS1288467605
POLAND 15-25 1,50 09/09
XDTE//20250909
RDTE//20250908
PAYD//20250909
INTP//1,5
Intrest Payment ERSTE GR BANK 14-25 4% 22/10 SUB
NEWM
ISIN AT0000A19NR2
ERSTE GR BANK 14-25 4 22/10 SUB
XDTE//20251022
RDTE//20251021
PAYD//20251022
INTP//4,
Intrest Payment ROEMENIE 15-35 3,875% 29/10 EMTN
NEWM
ISIN XS1313004928
ROEMENIE 15-35 3,875 29/10 EMTN
XDTE//20251029
RDTE//20251028
PAYD//20251029
INTP//3,875
Intrest Payment CROATIA 15-25 3,00% 11/03
NEWM
ISIN XS1117298916
CROATIA 15-25 3,00 11/03
XDTE//20250311
RDTE//20250310
PAYD//20250311
INTP//3,
Intrest Payment A.REP.OF EG.18-30 5,625% 16/04 REGS
NEWM
ISIN XS1807305328
A.REP.OF EG.18-30 5,625 16/04 REGS
XDTE//20250416
RDTE//20250415
PAYD//20250416
INTP//5,625
Intrest Payment BANK GOSP.KRAJOW 18-30 2% 01/06REGS
NEWM
ISIN XS1829261087
BANK GOSP.KRAJOW 18-30 2 01/06REGS
XDTE//20250602
RDTE//20250530
PAYD//20250602
INTP//2,
Intrest Payment FORD MOTOR COMPANY 99-29 6,375%
NEWM
ISIN US345370BZ25
FORD MOTOR COMPANY 99-29 6,375
XDTE//20250203
RDTE//20250117
PAYD//20250203
INTP//3,1875
Intrest Payment USA 95-25 6,875%
NEWM
ISIN US912810EV62
USA 95-25 6,875
XDTE//20250218
RDTE//20250203
PAYD//20250218
INTP//3,4375
Intrest Payment TAUR.PO.ENERG.17-27 2,375%05/07REGS
NEWM
ISIN XS1577960203
TAUR.PO.ENERG.17-27 2,375 05/07REGS
XDTE//20250707
RDTE//20250704
PAYD//20250707
INTP//2,375
Intrest Payment SOCIETE GENERALE 16-26 4,25% REGS
NEWM
ISIN USF43628C650
SOCIETE GENERALE 16-26 4,25 REGS
XDTE//20250219
RDTE//20250204
PAYD//20250219
INTP//2,125
Cash Dividend BRP INC- SUB VOTING W/I (NY)
NEWM
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250114
GRSS//USD0,21
Intrest Payment DEUTSCHE BANK 16-26 4,5% 19/05 MTN
NEWM
ISIN DE000DL40SR8
DEUTSCHE BANK 16-26 4,5 19/05 MTN
XDTE//20250519
RDTE//20250516
PAYD//20250519
INTP//4,5
Intrest Payment USA T-NOTE 15-25 2,25%
NEWM
ISIN US912828M565
USA T-NOTE 15-25 2,25
XDTE//20250515
RDTE//20250430
PAYD//20250515
INTP//1,125
Intrest Payment POLEN 16-26 3,25%
NEWM
ISIN US731011AU68
POLEN 16-26 3,25
XDTE//20250407
RDTE//20250321
PAYD//20250407
INTP//1,625
Intrest Payment CITIGROUP INC 16-26 4,6% 09/03
NEWM
ISIN US172967KJ96
CITIGROUP INC 16-26 4,6 09/03
XDTE//20250310
RDTE//20250221
PAYD//20250310
INTP//2,3
Intrest Payment USA 15-25 2% T_BILLS S:B-2025
NEWM
ISIN US912828J272
USA 15-25 2 T BILLS S:B-2025
XDTE//20250218
RDTE//20250203
PAYD//20250218
INTP//1,
Intrest Payment TURKIJE 05-25 7,375%
NEWM
ISIN US900123AW05
TURKIJE 05-25 7,375
XDTE//20250205
RDTE//20250121
PAYD//20250205
INTP//3,6875
Intrest Payment AMAZON.COM 18-27 3,15%
NEWM
ISIN US023135BC96
AMAZON.COM 18-27 3,15
XDTE//20250224
RDTE//20250207
PAYD//20250224
INTP//1,575
Intrest Payment GOODYEAR TIRE RUBBER 16-26 5%
NEWM
ISIN US382550BF73
GOODYEAR TIRE RUBBER 16-26 5
XDTE//20250602
RDTE//20250516
PAYD//20250602
INTP//2,5
Intrest Payment REP.SOUTH AFRICA 16-26 4,875% GLOB
NEWM
ISIN US836205AT15
REP.SOUTH AFRICA 16-26 4,875 GLOB
XDTE//20250414
RDTE//20250328
PAYD//20250414
INTP//2,4375
Data: 09.12.2024
Cash Dividend ISHARES IV FALLEN AN.H.Y.C.B E
NEWM
ISIN IE00BYM31M36
ISHARES IV FALLEN AN.H.Y.C.B E (LO)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1544
Cash Dividend IS.PLC CORE FTSE100 UC.ETF(DIST)
NEWM
ISIN IE0005042456
IS.PLC CORE FTSE100 UC.ETF(DIST)(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//GBP0,0499
Cash Dividend ISH.PLC C.S&P500 U.ETF EUR(DIST)
NEWM
ISIN IE0031442068
ISH.PLC C.S P500 U.ETF EUR(DIST)(AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1567
Dividend Reinvestment BAE SYSTEMS Plc (LO)
NEWM
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20241025
XDTE//20241024
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
ADEX//1,/102,765049
PAYD//20241205
Cash Dividend VANG.FDS PLC FTSE D.EUR.U.ETF-D
NEWM
ISIN IE00B945VV12
VANG.FDS PLC FTSE D.EUR.U.ETF-D (AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,154193
Cash Dividend VANGUARD F.-LIFESTR.80%E.U.ETF
NEWM
ISIN IE00BMVB5S82
VANGUARD F.-LIFESTR.80 E.U.ETF(FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,304019
Cash Dividend SONY GROUP CORPORATION ADR (NY)
REPL
ISIN US8356993076
SONY GROUP CORPORATION ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241212
GRSS//USD0,33174
Cash Dividend VANGUARD FDS V.FTSE250 U.ETF-PTG
NEWM
ISIN IE00BKX55Q28
VANGUARD FDS V.FTSE250 U.ETF-PTG(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//GBP0,250385
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,045609
Cash Dividend VANGUARD FDS FTSE ALL WLD UC ETF
NEWM
ISIN IE00B3RBWM25
VANGUARD FDS FTSE ALL WLD UC ETF(AS
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,446619
Cash Dividend TELECOM ARGENTINA -ADR (NY)
NEWM
ISIN US8792732096
TELECOM ARGENTINA -ADR (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241209
GRSS//USD0,240462
Dividend Reinvestment SEVERN TRENT PLC NEW (LO)
REPL
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,4868
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
ADEX//UKWN
PAYD//20250115
Dividend Reinvestment TATE&LYLE PLC (LO)
REPL
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250106
GRSS//GBP0,064
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
ADEX//UKWN
PAYD//20250109
Cash Dividend COLOPLAST AS -B- (CO)
REPE
ISIN DK0060448595
COLOPLAST AS -B- (CO)
XDTE//20241206
RDTE//20241209
PAYD//20241210
GRSS//DKK17,
Cash Dividend BANK OF AMERICA CORP (NY)
REPE
SIN US0605051046
BANK OF AMERICA CORP (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241227
GRSS//USD0,26
Cash Dividend SMITH AND WESSON BRANDS INC (NY)
NEWM
ISIN US8317541063
SMITH AND WESSON BRANDS INC (NY)
RDTE//20241219
XDTE//20241219
PAYD//20250102
GRSS//USD0,13
Cash Dividend FRONTLINE PLC (NY)
NEWM
ISIN CY0200352116
FRONTLINE PLC (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241231
GRSS//USD0,34
Cash Dividend TSAKOS ENERGY NAVIGATION (NY)
NEWM
ISIN BMG9108L1735
TSAKOS ENERGY NAVIGATION (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241220
GRSS//USD0,9
Intrest Payment BANCO SANT SA 23-26 3,75% 16/1 REGS
NEWM
ISIN XS2575952424
BANCO SANT SA 23-26 3,75 16/1 REGS
XDTE//20250116
RDTE//20250115
PAYD//20250116
INTP//3,75
Cash Dividend EASTMAN CHEMICAL CO (NY)
REPL
ISIN US2774321002
EASTMAN CHEMICAL CO (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,83
Cash Dividend AMERICAN WATER WORKS CO INC (NY)
REPL
ISIN US0304201033
AMERICAN WATER WORKS CO INC (NY)
RDTE//20250207
XDTE//20250207
PAYD//20250304
GRSS//USD0,765
Cash Dividend CARRIER GLOBAL CORPORATION (NY)
:REPL
ISIN US14448C1045
CARRIER GLOBAL CORPORATION (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250207
GRSS//USD0,225
Cash Dividend AMGEN INC (NY)
NEWM
ISIN US0311621009
AMGEN INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241209
GRSS//USD2,25
Cash Dividend SIMON PROPERTY GROUP INC (NY)
REPE
ISIN US8288061091
SIMON PROPERTY GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD2,1
Cash Dividend CME GROUP INC (NY)
REPE
ISIN US12572Q1058
CME GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241227
GRSS//USD1,15
Cash Dividend PAYCOM SOFTWARE INC (NY)
NEWM
ISIN US70432V1026
PAYCOM SOFTWARE INC (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241209
GRSS//USD0,375
Cash Dividend LYONDELLBASELL IND CL-A (NY)
NEWM
ISIN NL0009434992
LYONDELLBASELL IND CL-A (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241209
GRSS//USD1,34
Cash Dividend FEDEX CORP (NY)
REPE
ISIN US31428X1063
FEDEX CORP (NY)
RDTE//20241209
XDTE//20241209
PAYD//20250103
GRSS//USD1,38
Cash Dividend ANALOG DEVICES INC (NY)
REPE
ISIN US0326541051
ANALOG DEVICES INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241220
GRSS//USD0,92
Cash Dividend UNITEDHEALTH GROUP INC (NY)
REPE
ISIN US91324P1021
UNITEDHEALTH GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241217
GRSS//USD2,1
Cash Dividend ALPHABET INC -C- (NY)
REPE
ISIN US02079K1079
ALPHABET INC -C- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Cash Dividend ALPHABET --- SHS -A- (NY)
REPE
ISIN US02079K3059
ALPHABET --- SHS -A- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Intrest Payment TELEC.ITA.CAP. 06-36 7,20%
NEWM
ISIN US87927VAR96
TELEC.ITA.CAP. 06-36 7,20
XDTE//20250118
RDTE//20250117
PAYD//20250118
INTP//3,6
Intrest Payment POLAND 16-36 2,375% 18/01
NEWM
ISIN XS1346201889
POLAND 16-36 2,375 18/01
XDTE//20250118
RDTE//20250117
PAYD//20250118
INTP//2,375
Intrest Payment BOMBARDIER INC 21-26 7,125% REGS
REPL
ISIN USC10602BJ59
BOMBARDIER INC 21-26 7,125 REGS
RDTE//20241213
XDTE//20241215
PAYD//20241215
INTP//3,5625
Cash Dividend EMERSON ELECTRIC CO (NY)
REPE
ISIN US2910111044
EMERSON ELECTRIC CO (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD0,5275
Cash Dividend ZIM INTEGRATED SHIPPING SERVCE (NY)
NEWM
ISIN IL0065100930
ZIM INTEGRATED SHIPPING SERVCE (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241209
GRSS//USD2,81
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
REPE
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241223
GRSS//USD0,36
Cash Dividend UNION PACIFIC CORP (NY)
REPE
ISIN US9078181081
UNION PACIFIC CORP (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD1,34
Conversion AIR LIQUIDE (PA)
REPL
ISIN FR0000120073
AIR LIQUIDE (PA)
PAYD//20250102
ISIN FR001400T5U9
AIR LIQUIDE PRIME FIDELITE 2025(PA)
NEWO//1,/1,
PAYD//20250102
Merger EXSCIENTIA PLC ADR (NY)
NEWM
ISIN US30223G1022
EXSCIENTIA PLC ADR (NY)
ISIN US75629V1044
RECURSION PHARMACEUTICALS INC -A(NY
NEWO//0,7729/1,
PAYD//20241121
Intrest Payment SYNTHOS SA 21-28 2,5% REGS
NEWM
ISIN XS2348767836
SYNTHOS SA 21-28 2,5 REGS
RDTE//20241206
XDTE//20241207
PAYD//20241207
INTP//1,25
Cash Dividend M.UN.FR.SI.AMUNDI CAC 40 ETF
NEWM
ISIN FR0007052782
M.UN.FR.SI.AMUNDI CAC 40 ETF (PA)
RDTE//20241211
XDTE//20241210
PAYD//20241213
GRSS//EUR2,19
Cash Dividend MEDTRONIC PLC (NY)
NEWM
ISIN IE00BTN1Y115
MEDTRONIC PLC (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250110
GRSS//USD0,7
Cash Dividend META PLATFORMS INC-SHS A (NY)
NEWM
ISIN US30303M1027
META PLATFORMS INC-SHS A (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241227
GRSS//USD0,5
Cash Dividend SALESFORCE INC (NY)
NEWM
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20241218
XDTE//20241218
PAYD//20250109
GRSS//USD0,4
Data: 06.12.2024
Cash Dividend MICROSOFT CORP (NY)
NEWM
ISIN US5949181045
MICROSOFT CORP (NY)
RDTE//20250220
XDTE//20250220
PAYD//20250313
GRSS//USD0,83
Cash Dividend EVERSOURCE ENERGY (NY)
NEWM
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241231
GRSS//USD0,715
Redemption AUR PORTFOLIO III SE&CO. KGAA (FR)
NEWM
ISIN DE000A40UTE1
AUR PORTFOLIO III SE CO. KGAA (FR)
XDTE//20241205
PAYD//20241205
OFFR//ACTU/EUR84,210017
Cash Dividend FRANCO-NEVADA CORP (NY)
REPE
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,36
Cash Dividend KERING (PA)
NEWM
ISIN FR0000121485
KERING (PA)
RDTE//20250115
XDTE//20250114
PAYD//20250116
GRSS//EUR2,
Cash Dividend REDES ENERGETICAS NACIONAIS SA (LI)
NEWM
ISIN PTREL0AM0008
REDES ENERGETICAS NACIONAIS SA (LI)
RDTE//20241219
XDTE//20241218
PAYD//20241220
GRSS//EUR0,064
Cash Dividend HONEYWELL INT. INC (NY)
NEWM
ISIN US4385161066
HONEYWELL INT. INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD1,13
Cash Dividend SOUTHERN COMPANY (NY)
NEWM
ISIN US8425871071
SOUTHERN COMPANY (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD0,72
Cash Dividend THE SHERWIN-WILLIAMS (NY)
NEWM
ISIN US8243481061
THE SHERWIN-WILLIAMS (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD0,715
Cash Dividend SEALED AIR CORP (NEW) (NY)
REPE
ISIN US81211K1007
SEALED AIR CORP (NEW) (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,2
Cash Dividend L3 HARRIS TECHNOLOGIES INC (NY)
NEWM
ISIN US5024311095
L3 HARRIS TECHNOLOGIES INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD1,16
Cash Dividend GENUINE PARTS (NY)
REPE
ISIN US3724601055
GENUINE PARTS (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250102
GRSS//USD1,
Cash Dividend BROWN FORMAN CORP 'B' (NY)
REPE
ISIN US1156372096
BROWN FORMAN CORP 'B' (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250102
GRSS//USD0,2265
Cash Dividend BOOKING HOLDINGS INC (NY)
REPE
ISIN US09857L1089
BOOKING HOLDINGS INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241231
GRSS//USD8,75
Cash Dividend ATKORE INC (NY)
REPE
ISIN US0476491081
ATKORE INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241216
GRSS//USD0,32
Cash Dividend CONSTELLATION ENERGY CORP (NY)
NEWM
ISIN US21037T1097
CONSTELLATION ENERGY CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD0,3525
Cash Dividend KIMBERLY CLARK CORP (NY)
REPE
ISIN US4943681035
KIMBERLY CLARK CORP (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250103
GRSS//USD1,22
Cash Dividend MICROCHIP TECHNOLOGY INC (NY)
NEWM
ISIN US5950171042
MICROCHIP TECHNOLOGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241206
GRSS//USD0,455
Cash Dividend WHEATON PRECIOUS METALS CORP (NY)
NEWM
ISIN CA9628791027
WHEATON PRECIOUS METALS CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241206
GRSS//USD0,155
Cash Dividend NASDAQ INC (NY)
REPE
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,24
Cash Dividend GENERAL MOTORS CO (NY)
REPE
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241219
GRSS//USD0,12
Cash Dividend PEPSICO INC (NY)
REPE
:ISIN US7134481081
PEPSICO INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250106
GRSS//USD1,355
IIntrest Payment URUGUAY 03-33 7,875% PIK
NEWM
ISIN US917288BA96
URUGUAY 03-33 7,875 PIK
XDTE//20250115
RDTE//20250114
PAYD//20250115
INTP//3,9375
Full Call RAIFFEISENB. 23 7,125%-VAR% 190126
NEWM
ISIN XS2577033553
RAIFFEISENB. 23 7,125 -VAR 190126
RDTE//20250117
XDTE//20250120
ISIN XS2577033553
RAIFFEISENB. 23 7,125 -VAR 190126
PAYD//20250120
RATE//100,
Cash Dividend BCE INC (NY)
CANC
ISIN CA05534B7604
BCE INC (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//UKWN
Cash Dividend ISH.IV USD SH.DUR.HY.CRP.B.UC.
NEWM
ISIN IE00BCRY6003
ISH.IV USD SH.DUR.HY.CRP.B.UC. (FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD2,8085
Cash Dividend ISHARES IV DIGITAL SEC.UC.ETF
NEWM
ISIN IE00BG0J4841
ISHARES IV DIGITAL SEC.UC.ETF (LO)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,0197
Cash Dividend ISH.IV USD T.B.20+Y.UC ETF D USD
NEWM
ISIN IE00BSKRJZ44
ISH.IV USD T.B.20+Y.UC ETF D USD(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,0755
Cash Dividend VERIZON COMMUNICATIONS INC (NY)
NEWM
ISIN US92343V1044
VERIZON COMMUNICATIONS INC (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,6775
Reverse Stock Split BLUEBIRD BIO INC (NY)
REPL
ISIN US09609G1004
BLUEBIRD BIO INC (NY)
XDTE//UKWN
:UNKNOWN
NEWO//1,/20,
PAYD//UKWN
Reverse Stock Split MOMENTUS INC (NY)
REPL
ISIN US60879E2000
MOMENTUS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/14,
PAYD//UKWN
Dividend Reinvestment BP PLC (LO)
REPL
ISIN GB0007980591
BP PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241220
GRSS//GBP0,062959
ISIN GB0007980591
BP PLC (LO)
ADEX//UKWN
PAYD//20241220
Cash Dividend DOLLAR GENERAL CORP
REPL
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20250107
XDTE//20250107
PAYD//20250121
GRSS//USD0,59
Cash Dividend ABM INDUSTRIES INC (NY)
NEWM
ISIN US0009571003
ABM INDUSTRIES INC (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250203
GRSS//USD0,265
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241219
XDTE//20241219
PAYD//20241231
GRSS//USD0,04
Cash Dividend PROLOGIS INC (NY)
NEWM
ISIN US74340W1036
PROLOGIS INC (NY)
RDTE//20241216
XDTE//20241216
PAYD//20241231
GRSS//USD0,96
Cash Dividend TOYOTA MOTOR CORP- SPON.ADR (NY)
NEWM
ISIN US8923313071
TOYOTA MOTOR CORP- SPON.ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241206
GRSS//USD2,60083
Cash Dividend UNILEVER PLC -SP ADR (NY)
NEWM
ISIN US9047677045
UNILEVER PLC -SP ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241206
GRSS//USD0,4755
Cash Dividend ISHS.IV EUR.ULTRASH.BD.UCIT.ETF
NEWM
ISIN IE00BCRY6557
ISHS.IV EUR.ULTRASH.BD.UCIT.ETF(FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR1,8648
Cash Dividend ISHARES PLC ISH.CHINA 50-USD-D
NEWM
ISIN IE00B02KXK85
ISHARES PLC ISH.CHINA 50-USD-D (LO)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1833
Cash Dividend ISHARES PLC EURO DIV UCI.ETF-D
NEWM
ISIN IE00B0M62S72
ISHARES PLC EURO DIV UCI.ETF-D (FR)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//EUR0,0615
Cash Dividend MAIN STREET CAPITAL CORP
REPE
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20241206
XDTE//20241206
PAYD//20241213
GRSS//USD0,245
Cash Dividend ISHARES PLC MSCI BRA UCI ETF USD
NEWM
ISIN IE00B0M63516
ISHARES PLC MSCI BRA UCI ETF USD(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,0379
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,4648
Cash Dividend ISHARES IV FALLEN AN.H.Y.C.B E
NEWM
ISIN IE00BYM31M36
ISHARES IV FALLEN AN.H.Y.C.B E (LO)
RDTE//20241213
XDTE//20241212
PAYD//20241227
GRSS//USD0,1544
Data: 05.12.2024
Reverse Stock Split EMBRACER GROUP AB -B- (ST)
NEWM
ISIN SE0016828511
EMBRACER GROUP AB -B- (ST)
XDTE//UKWN
UNKNOWN
NEWO//1,/6,
PAYD//UKWN
Dividend Reinvestment ARCELORMITTAL (AS)
NEWM
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
RDTE//20241112
XDTE//20241111
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
ISIN LU1598757687
ARCELORMITTAL (AS)
NEWO//1,/119,075693
PAYD//20241204
Spin Off VIVENDI SE (PA)
NEWM
ISIN FR0000127771
VIVENDI SE (PA)
RDTE//20241217
XDTE//20241216
UNKNOWN
ADEX//1,/1,
PAYD//20241218
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
NEWM
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,325021
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
NEWM
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,164857
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
NEWM
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,0628
Cash Dividend MATSON INC (NY)
NEWM
ISIN US57686G1058
MATSON INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241205
GRSS//USD0,34
Cash Dividend DISCOVER FINANCIAL SERVICES (NY)
NEWM
ISIN US2547091080
DISCOVER FINANCIAL SERVICES (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241205
GRSS//USD0,7
Cash Dividend PRIMO BRANDS CORPORATION - A (NY)
NEWM
ISIN US7416231022
PRIMO BRANDS CORPORATION - A (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD0,09
Cash Dividend TJX COMPANIES INC (NY)
NEWM
ISIN US8725401090
TJX COMPANIES INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241205
GRSS//USD0,375
Cash Dividend STAR BULK CARRIERS CORP (NY)
REPE
ISIN MHY8162K2046
STAR BULK CARRIERS CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241218
GRSS//USD0,6
Cash Dividend NXP SEMICONDUCTORS NV (NY)
REPE
ISIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250108
GRSS//USD1,014
Cash Dividend VINCI PARTNERS INVESTMENTS LTD-A(NY
NEWM
ISIN KYG9451V1095
VINCI PARTNERS INVESTMENTS LTD-A(NY
RDTE//20241120
XDTE//20241120
PAYD//20241205
GRSS//USD0,16
Cash Dividend MOSAIC CO (THE) (NY)
REPE
ISIN US61945C1036
MOSAIC CO (THE) (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,21
Cash Dividend EQT AB (ST)
NEWM
ISIN SE0012853455
EQT AB (ST)
XDTE//20241129
RDTE//20241202
PAYD//20241205
GRSS//SEK1,8
Cash Dividend CUMMINS INC (NY)
NEWM
ISIN US2310211063
CUMMINS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD1,82
Cash Dividend UNITED PARCEL SERVICE - CL B (NY)
NEWM
ISIN US9113121068
UNITED PARCEL SERVICE - CL B (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241205
GRSS//USD1,63
Cash Dividend QUALCOMM INC (NY)
REPE
ISIN US7475251036
QUALCOMM INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,85
Cash Dividend NVIDIA CORP (NY)
REPE
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241227
GRSS//USD0,01
Intrest Payment CREDIT AGRICOLE SA 15-25 2,7%
NEWM
ISIN FR0012620367
CREDIT AGRICOLE SA 15-25 2,7
XDTE//20250114
RDTE//20250113
PAYD//20250114
INTP//0,675
Cash Dividend OGE ENERGY (NY)
NEWM
ISIN US6708371033
OGE ENERGY (NY)
RDTE//20250106
XDTE//20250106
PAYD//20250131
GRSS//USD0,42125
Cash Dividend FRANKLIN RESOURCES (NY)
NEWM
ISIN US3546131018
FRANKLIN RESOURCES (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250110
GRSS//USD0,32
Cash Dividend GENERAL DYNAMICS (NY)
NEWM
ISIN US3695501086
GENERAL DYNAMICS (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250207
GRSS//USD1,42
Cash Dividend DELL TECHNOLOGIES INC (NY)
NEWM
ISIN US24703L2025
DELL TECHNOLOGIES INC (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250131
GRSS//USD0,445
Cash Dividend THE CAMPBELL'S COMPANY (NY)
NEWM
ISIN US1344291091
THE CAMPBELL'S COMPANY (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250127
GRSS//USD0,39
Cash Dividend WALT DISNEY CO (HLD. CY) (NY)
NEWM
ISIN US2546871060
WALT DISNEY CO (HLD. CY) (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250116
GRSS//USD0,5
Intrest Payment INPOST S.A. 21-27 2,25% REGS
NEWM
ISIN XS2010028004
INPOST S.A. 21-27 2,25 REGS
XDTE//20250115
RDTE//20250114
PAYD//20250115
INTP//UKWN
Cash Dividend SEMPRA (NY)
REPE
ISIN US8168511090
SEMPRA (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250115
GRSS//USD0,62
Cash Dividend NOBLE CORPORATION PLC -A(NY)
REPE
ISIN GB00BMXNWH07
NOBLE CORPORATION PLC -A(NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,5
Cash Dividend BLACKROCK INC (NY)
REPL
ISIN US09290D1019
BLACKROCK INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241223
GRSS//USD5,1
Cash Dividend KIMCO REALTY CORP (NY)
REPE
ISIN US49446R1095
KIMCO REALTY CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,25
Data: 04.12.2024
Cash Dividend TAKEDA PHARMACEUTIC -SP ADR (NY)
REPL
ISIN US8740602052
TAKEDA PHARMACEUTIC -SP ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241212
GRSS//USD0,326079
Stock Split ARISTA NETWORKS INC (NY)
NEWM
ISIN US0404131064
ARISTA NETWORKS INC (NY)
XDTE//20241204
ISIN US0404132054
ARISTA NETWORKS INC (NY)
NEWO//4,/1,
PAYD//20241204
Cash Dividend BANK OF NOVA SCOTIA (NY)
NEWM
ISIN CA0641491075
BANK OF NOVA SCOTIA (NY)
RDTE//20250107
XDTE//20250107
PAYD//20250129
GRSS//USD1,06
Dividend Reinvestment APERAM SA (AS)
REPL
ISIN LU0569974404
APERAM SA (AS)
ISIN NL0015002AY5
APERAM SA RIGHT EX111124/4 (AS)
RDTE//20241112
XDTE//20241111
PAYD//20241206
GRSS//EUR0,5
ISIN LU0569974404
APERAM SA (AS)
NEWO//1,/64,139856
PAYD//20241206
Dividend Reinvestment UNILEVER PLC (AS)
REPL
ISIN GB00B10RZP78
UNILEVER PLC (AS)
ISIN NL0015002AJ6
UNILEVER PLC RIGHT EX071124 (AS)
RDTE//20241108
XDTE//20241107
PAYD//20241206
IISIN GB00B10RZP78
UNILEVER PLC (AS)
NEWO//1,/129,741083
PAYD//20241206
Merger APTIV PLC (NY)
REPL
ISIN JE00B783TY65
APTIV PLC (NY)
XDTE//UKWN
NKNOWN
NEWO//1,/1,
PAYD//UKWN
Cash Dividend DEERE & CO (NY)
NEWM
ISIN US2441991054
DEERE CO (NY)
RDTE//20241231
XDTE//20241231
:PAYD//20250210
GRSS//USD1,62
Cash Dividend HECLA MINING CO (NY)
NEWM
ISIN US4227041062
HECLA MINING CO (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,00375
Cash Dividend EXPAND ENERGY CORPORATION (NY)
NEWM
ISIN US1651677353
EXPAND ENERGY CORPORATION (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241204
GRSS//USD0,575
Cash Dividend HALLIBURTON CY (HOLDING) (NY)
REPE
ISIN US4062161017
HALLIBURTON CY (HOLDING) (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241226
GRSS//USD0,17
Cash Dividend CIGNA GROUP/THE(NY)
REPE
ISIN US1255231003
CIGNA GROUP/THE(NY)
RDTE//20241204
XDTE//20241204
PAYD//20241219
GRSS//USD1,4
Cash Dividend AMKOR TECHNOL. INC (NY)
REPE
ISIN US0316521006
AMKOR TECHNOL. INC (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241223
GRSS//USD0,08269
Cash Dividend MARKETAXESS HOLDINGS INC (NY)
NEWM
ISIN US57060D1081
MARKETAXESS HOLDINGS INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,74
Cash Dividend TECHNIPFMC LIMITED (NY)
NEWM
ISIN GB00BDSFG982
TECHNIPFMC LIMITED (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241204
GRSS//USD0,05
Cash Dividend DANAOS CORP (NY)
NEWM
ISIN MHY1968P1218
DANAOS CORP (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241204
GRSS//USD0,85
Cash Dividend HASBRO INC (NY)
NEWM
ISIN US4180561072
HASBRO INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,7
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20250203
Cash Dividend CHRISTIAN DIOR SA (PA)
NEWM
ISIN FR0000130403
CHRISTIAN DIOR SA (PA)
RDTE//20241203
XDTE//20241202
PAYD//20241204
GRSS//EUR5,5
Cash Dividend PACCAR INC (NY)
NEWM
ISIN US6937181088
PACCAR INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241204
GRSS//USD0,3
Cash Dividend HF SINCLAIR CORPORATION (NY)
NEWM
ISIN US4039491000
HF SINCLAIR CORPORATION (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,5
Redemption SOS LIMITED ADR (NY)
NEWM
ISIN US83587W3043
SOS LIMITED ADR (NY)
XDTE//20241203
PAYD//20241203
OFFR//ACTU/USD11,915248
Cash Dividend LINDE PLC
REPE
ISIN IE000S9YS762
LINDE PLC
RDTE//20241203
XDTE//20241203
PAYD//20241217
GRSS//USD1,39
Data: 03.12.2024
Cash Dividend BW LPG LIMITED (OS)
NEWM
ISIN SGXZ69436764
BW LPG LIMITED (OS)
RDTE//20241212
XDTE//20241211
PAYD//20241227
GRSS//USD0,42
Redemption LUMINAR TECHNOLOGIES INC-A (NY)
NEWM
ISIN US5504243032
LUMINAR TECHNOLOGIES INC-A (NY)
XDTE//20241203
PAYD//20241203
OFFR//ACTU/USD8,893254
Cash Dividend LVMH-MOET HENNESSY -CR (PA)
REPE
ISIN FR0000121014
LVMH-MOET HENNESSY -CR (PA)
RDTE//20241203
XDTE//20241202
PAYD//20241204
GRSS//EUR5,5
Cash Dividend ENBRIDGE INC (NY)
REPL
ISIN CA29250N1050
ENBRIDGE INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241201
GRSS//USD0,650123
Cash Dividend ARCELORMITTAL (NY)
REPE
ISIN US03938L2034
ARCELORMITTAL (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241204
GRSS//USD0,25
Rights Distribution ZWIPE AS (OS)
REPL
ISIN NO0010721277
ZWIPE AS (OS)
RDTE//20241205
XDTE//20241204
ISIN NO0013409755
ZWIPE AS RIGHT EX041224 (OS)
ADEX//1,/1,
PAYD//UKWN
Reverse Stock Split 3X NVDIA ETC (LO)
REPL
ISIN XS2706225427
3X NVDIA ETC (LO)
XDTE//20241203
ISIN XS2944874416
3X NVDIA ETC (LO)
NEWO//1,/246,
PAYD//20241203
Cash Dividend ORANGE (PA)
REPE
ISIN FR0000133308
ORANGE (PA)
RDTE//20241204
XDTE//20241203
PAYD//20241205
GRSS//EUR0,3
Cash Dividend SKYWORKS SOLUTIONS INC (NY)
REPE
ISIN US83088M1027
SKYWORKS SOLUTIONS INC (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241224
GRSS//USD0,7
Cash Dividend ZOETIS INC (NY)
NEWM
ISIN US98978V1035
ZOETIS INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241203
GRSS//USD0,432
Cash Dividend VERTIV HOLDINGS CO (NY)
REPE
ISIN US92537N1081
VERTIV HOLDINGS CO (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241219
GRSS//USD0,0375
Cash Dividend KLA CORPORATION (NY)
NEWM
ISIN US4824801009
KLA CORPORATION (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241203
GRSS//USD1,7
Cash Dividend AMERICAN WATER WORKS CO INC (NY)
NEWM
ISIN US0304201033
AMERICAN WATER WORKS CO INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241203
GRSS//USD0,765
Cash Dividend KOHLS CORP (NY)
NEWM
ISIN US5002551043
KOHLS CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241224
GRSS//USD0,5
Cash Dividend INVESCO LTD (NY)
NEWM
ISIN BMG491BT1088
INVESCO LTD (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241203
GRSS//USD0,205
Reverse Stock Split BIONANO GENOMICS INC (NY)
NEWM
ISIN US09075F3055
BIONANO GENOMICS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/0,
PAYD//UKWN
Intrest Payment GOODYEAR TIRE RUBBER 16-26 5%
NEWM
ISIN US382550BF73
GOODYEAR TIRE RUBBER 16-26 5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//2,5
Intrest Payment GOODYEAR TIRE & RUBBER C 20-25 9,5%
NEWM
ISIN US382550BH30
GOODYEAR TIRE RUBBER C 20-25 9,5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//4,75
Pari Passu ENGIE - LOYALTY BONUS SHARE2023(PA)
NEWM
ISIN FR001400D229
ENGIE - LOYALTY BONUS SHARE2023(PA)
XDTE//20250102
ISIN FR0013215407
ENGIE PRIME FIDELITE(PA)
NEWO//1,/1,
PAYD//20250102
Cash Dividend WENDY'S CO/THE (NY)
REPE
ISIN US95058W1009
WENDY'S CO/THE (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,25
Data: 02.12.2024
Cash Dividend BALL CORP (NY)
REPE
ISIN US0584981064
BALL CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,2
Dividend Reinvestment BAE SYSTEMS Plc (LO)
NEWM
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20241025
XDTE//20241024
PAYD//20241202
GRSS//GBP0,124
Cash Dividend TAIWAN SEMICONDUCTOR-SP ADR (NY)
REPL
ISIN US8740391003
TAIWAN SEMICONDUCTOR-SP ADR (NY)
RDTE//20241212
XDTE//20241212
PAYD//20250109
GRSS//USD0,615593
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
REPL
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
RDTE//20241206
XDTE//20241209
PAYD//20241209
INTP//3,1875
Intrest Payment SYNTHOS SA 21-28 2,5% REGS
REPL
ISIN XS2348767836
SYNTHOS SA 21-28 2,5 REGS
RDTE//20241206
XDTE//20241207
PAYD//20241207
INTP//1,25
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
REPL
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20241231
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//UKWN
PAYD//20250106
Dividend Option NATIONAL GRID (LO)
REPL
ISIN GB00BDR05C01
NATIONAL GRID (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250114
GRSS//GBP0,1584
ISIN GB00BDR05C01
NATIONAL GRID (LO)
ADEX//1,/62,131313
Cash Dividend LOCKHEED MARTIN CORP (NY)
REPE
ISIN US5398301094
LOCKHEED MARTIN CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241227
GRSS//USD3,3
Reverse Stock Split TONIX PHARMACEUTICALS HOLDING (NY)
WITH
ISIN US8902608475
TONIX PHARMACEUTICALS HOLDING (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Stock Split ARISTA NETWORKS INC (NY)
REPL
ISIN US0404131064
ARISTA NETWORKS INC (NY)
RDTE//20241203
XDTE//20241203
ISIN US0404131064
ARISTA NETWORKS INC (NY)
ADEX//3,/1,
PAYD//20241202
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,0628
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPL
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,325021
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPL
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//USD0,164857
Cash Dividend SILVERCORP METALS INC (NY)
REPE
ISIN CA82835P1036
SILVERCORP METALS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,0125
Cash Dividend EQUINOR ASA (OS)
NEWM
ISIN NO0010096985
EQUINOR ASA (OS)
RDTE//20241119
XDTE//20241118
PAYD//20241129
GRSS//NOK7,7519
Data: 29.11.2024
Dividend Reinvestment ARCELORMITTAL (AS)
REPL
ISIN LU1598757687
ARCELORMITTAL (AS)
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
RDTE//20241112
XDTE//20241111
PAYD//20241204
GRSS//EUR0,231803
ISIN LU1598757687
ARCELORMITTAL (AS)
NEWO//1,/119,075693
PAYD//20241204
Cash Dividend WK KELLOGG CO (NY)
REPE
ISIN US92942W1071
WK KELLOGG CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,16
Cash Dividend PAN AMERICAN SILVER (NY)
NEWM
ISIN CA6979001089
PAN AMERICAN SILVER (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241129
GRSS//USD0,1
Cash Dividend NEWELL BRANDS INC (NY)
REPL
ISIN US6512291062
NEWELL BRANDS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,07
Reverse Stock Split AUR PORTFOLIO III SE & CO. KGAA (FR
NEWM
ISIN DE000A0JK2A8
AUR PORTFOLIO III SE CO. KGAA (FR
XDTE//20241203
ISIN DE000A40UTE1
AUR PORTFOLIO III SE CO. KGAA (FR)
NEWO//1,/6,
PAYD//20241203
Cash Dividend BARRICK GOLD CORP (NY)
REPE
ISIN CA0679011084
BARRICK GOLD CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,1
Cash Dividend AGNICO-EAGLE MINES (NY)
REPE
ISIN CA0084741085
AGNICO-EAGLE MINES (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,4
Cash Dividend XTR. EURO STXX.QUA.DIV.UC.ETF
NEWM
ISIN LU0292095535
XTR. EURO STXX.QUA.DIV.UC.ETF (MI)
RDTE//20241114
XDTE//20241113
PAYD//20241129
GRSS//EUR0,1371
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
NEWM
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20240823
XDTE//20240823
PAYD//20241129
GRSS//USD0,141621
Cash Dividend EQUINOR ASA - ADR (NY)
NEWM
ISIN US29446M1027
EQUINOR ASA - ADR (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241129
GRSS//USD0,7
Cash Dividend COCA COLA CO (NY)
REPE
ISIN US1912161007
COCA COLA CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,485
Cash Dividend THE KRAFT HEINZ COMPANY (NY)
REPE
ISIN US5007541064
THE KRAFT HEINZ COMPANY (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241227
GRSS//USD0,4
Cash Dividend ESTEE LAUDER COMPANIES INC 'A' (NY)
REPE
ISIN US5184391044
ESTEE LAUDER COMPANIES INC 'A' (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,35
Cash Dividend FIRST MAJESTIC SILVER CORP (NY)
NEWM
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,0048
Cash Dividend STARBUCKS CORP (NY)
NEWM
ISIN US8552441094
STARBUCKS CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,61
Cash Dividend BAXTER INTERNAT INC (NY)
REPE
ISIN US0718131099
BAXTER INTERNAT INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20250102
GRSS//USD0,17
Cash Dividend DHT HOLDINGS INC (NY)
NEWM
ISIN MHY2065G1219
DHT HOLDINGS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241129
GRSS//USD0,22
Cash Dividend EBAY INC (NY)
REPE
ISIN US2786421030
EBAY INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,27
Cash Dividend MSCI INC-A (NY)
NEWM
ISIN US55354G1004
MSCI INC-A (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD1,6
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241129
GRSS//USD0,04
Cash Dividend DOVER CORP (NY)
REPE
ISIN US2600031080
DOVER CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,515
Cash Dividend DOW INC (NY)
REPE
ISIN US2605571031
DOW INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,7
Cash Dividend MAGNA INT. CL- A (NY)
NEWM
ISIN CA5592224011
MAGNA INT. CL- A (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,475
Cash Dividend EQT AB (ST)
REPE
ISIN SE0012853455
EQT AB (ST)
XDTE//20241129
RDTE//20241202
PAYD//20241205
GRSS//SEK1,8
Cash Dividend STANLEY BLACK&DECKER INC (NY)
REPE
ISIN US8545021011
STANLEY BLACK DECKER INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241217
GRSS//USD0,82
Cash Dividend DUPONT DE NEMOURS INC (NY)
REPE
ISIN US26614N1028
DUPONT DE NEMOURS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,38
Cash Dividend HUNTINGTON INGALLS INDUSTRIES (NY)
REPE
ISIN US4464131063
HUNTINGTON INGALLS INDUSTRIES (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD1,35
Cash Dividend AFFILIATED MANAGERS GR. (NY)
NEWM
ISIN US0082521081
AFFILIATED MANAGERS GR. (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241129
GRSS//USD0,01
Cash Dividend STEPHAN CO (NY)
REPE
ISIN US8585861003
STEPHAN CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,385
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,123333
Cash Dividend OSHKOSH CORP (NY)
NEWM
ISIN US6882392011
OSHKOSH CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,46
Cash Dividend CSX CORP (NY)
REPE
ISIN US1264081035
CSX CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,12
Cash Dividend HAWKINS INC (NY)
NEWM
ISIN US4202611095
HAWKINS INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,18
Cash Dividend ALLSTATE CORPORATION (NY)
REPE
ISIN US0200021014
ALLSTATE CORPORATION (NY)
RDTE//20241129
XDTE//20241129
PAYD//20250102
GRSS//USD0,92
Cash Dividend LAMB WESTON HLDGS INC (NY)
NEWM
ISIN US5132721045
LAMB WESTON HLDGS INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241129
GRSS//USD0,36
Cash Dividend TYSON FOODS CL A (NY)
REPE
ISIN US9024941034
TYSON FOODS CL A (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,5
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
NEWM
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20240930
XDTE//20240930
PAYD//20241127
GRSS//USD6,460456
Cash Dividend GOLAR LNG LTD (NY)
REPE
ISIN BMG9456A1009
GOLAR LNG LTD (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241202
GRSS//USD0,25
Data: 28.11.2024
Cash Dividend KINROSS GOLD CORP (NY)
REPL
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20241128
XDTE//20241128
PAYD//20241212
GRSS//USD0,03
Cash Dividend ISHS.II USD FLOAT.RATE BD.UC.ETF
NEWM
ISIN IE00BZ048462
ISHS.II USD FLOAT.RATE BD.UC.ETF(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,1531
Cash Dividend ISHARES II GLO WAT UC ETF GBP D
NEWM
ISIN IE00B1TXK627
ISHARES II GLO WAT UC ETF GBP D(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3537
Cash Dividend ISH II GLOB.CL.ENER UC.ETF GBP
NEWM
ISIN IE00B1XNHC34
ISH II GLOB.CL.ENER UC.ETF GBP (LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,0589
Cash Dividend MPC CONTAINER SHIPS ASA(OS)
NEWM
ISIN NO0010791353
MPC CONTAINER SHIPS ASA(OS)
RDTE//20241213
XDTE//20241212
PAYD//20241219
GRSS//USD0,1
Cash Dividend BEST BUY CO. (NY)
NEWM
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250107
GRSS//USD0,94
Cash Dividend HORMEL FOODS CORP (NY)
NEWM
ISIN US4404521001
HORMEL FOODS CORP (NY)
RDTE//20250113
XDTE//20250113
PAYD//20250218
GRSS//USD0,29
Cash Dividend HP INC (NY)
NEWM
ISIN US40434L1052
HP INC (NY)
RDTE//20241211
XDTE//20241211
PAYD//20250102
GRSS//USD0,2894
Cash Dividend UNION PACIFIC CORP (NY)
NEWM
ISIN US9078181081
UNION PACIFIC CORP (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD1,34
Cash Dividend AMGEN INC (NY)
REPE
ISIN US0311621009
AMGEN INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241209
Cash Dividend ANALOG DEVICES INC (NY)
NEWM
ISIN US0326541051
ANALOG DEVICES INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241220
GRSS//USD0,92
Cash Dividend EASYJET PLC (LO)
NEWM
ISIN GB00B7KR2P84
EASYJET PLC (LO)
RDTE//20250221
XDTE//20250220
PAYD//20250321
GRSS//GBP0,121
Cash Dividend TOYOTA MOTOR CORP- SPON.ADR (NY)
REPL
ISIN US8923313071
TOYOTA MOTOR CORP- SPON.ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241206
GRSS//USD2,60083
Data: 27.11.2024
Cash Dividend STURM RUGER AND CO (NY)
NEWM
ISIN US8641591081
STURM RUGER AND CO (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20250203
Cash Dividend ORANGE (PA)
REPL
ISIN FR0000133308
ORANGE (PA)
RDTE//20241204
XDTE//20241203
PAYD//20241205
GRSS//EUR0,3
Dividend Reinvestment MARKS AND SPENCER GROUP PLC (LO)
REPL
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,01
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
NEWM
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20250325
XDTE//20250325
PAYD//20250416
GRSS//USD0,830835
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR0,058015
Cash Dividend ISH.GBP IDX.-LKD.GILTS UC.ETF D
NEWM
ISIN IE00B1FZSD53
ISH.GBP IDX.-LKD.GILTS UC.ETF D(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//GBP0,4451
Cash Dividend ISH.II PLC EURO STOXX 50 UC.ETF
NEWM
ISIN IE0008471009
ISH.II PLC EURO STOXX 50 UC.ETF(FR)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR0,1238
Cash Dividend COTERRA ENERGY INC (NY)
NEWM
ISIN US1270971039
COTERRA ENERGY INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241127
GRSS//USD0,21
Cash Dividend ELECTRONIC ARTS INC (NY)
REPE
ISIN US2855121099
ELECTRONIC ARTS INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241218
GRSS//USD0,19
Cash Dividend PBF ENERGY INC -A- (NY)
NEWM
ISIN US69318G1067
PBF ENERGY INC -A- (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD0,275
Cash Dividend ISHARES MSCI LAT.AM UCI ETF USD
NEWM
ISIN IE00B27YCK28
ISHARES MSCI LAT.AM UCI ETF USD (LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3351
Cash Dividend CHORD ENERGY CORPORATION (NY)
REPE
ISIN US6742152076
CHORD ENERGY CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD0,19
Cash Dividend UNITED RENTALS INC (NY)
NEWM
ISIN US9113631090
UNITED RENTALS INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD1,63
Cash Dividend JEFFERIES FINANCIAL GROUP INC (NY)
NEWM
ISIN US47233W1099
JEFFERIES FINANCIAL GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241127
GRSS//USD0,35
Cash Dividend PAYCHEX INC (NY)
NEWM
ISIN US7043261079
PAYCHEX INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241127
GRSS//USD0,98
Cash Dividend CONAGRA BRANDS INC (NY)
NEWM
ISIN US2058871029
CONAGRA BRANDS INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241127
GRSS//USD0,35
Cash Dividend POOL CORP (NY)
NEWM
ISIN US73278L1052
POOL CORP (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD1,2
Cash Dividend HOME DEPOT INC (NY)
REPE
ISIN US4370761029
HOME DEPOT INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD2,25
Cash Dividend ISHARES II PLC WORLD ISLAMI USD
NEWM
ISIN IE00B27YCN58
ISHARES II PLC WORLD ISLAMI USD(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3366
Cash Dividend ISHARES II-MS.USA QU.DIV.ESG.ETF
NEWM
ISIN IE00BKM4H312
ISHARES II-MS.USA QU.DIV.ESG.ETF(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,5002
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3721
Cash Dividend ISHARES S&P GLOB TIM&FORST ETF
REPE
ISIN IE00B27YCF74
ISHARES S P GLOB TIM FORST ETF(GBP
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,2023
Change ZOOM COMMUNICATIONS INC (NY)
REPL
ISIN US98980L1017
ZOOM COMMUNICATIONS INC (NY)
CHAN//NAME
ADTX//NAME CHANGE
.
Old Company Name:
Zoom Video Communications Inc
.
New Company Name:
Zoom Communications Inc
Cash Dividend LVMH-MOET HENNESSY -CR (PA)
REPL
ISIN FR0000121014
LVMH-MOET HENNESSY -CR (PA)
RDTE//20241203
XDTE//20241202
PAYD//20241204
GRSS//EUR5,5
Cash Dividend CHRISTIAN DIOR SA (PA)
REPL
ISIN FR0000130403
CHRISTIAN DIOR SA (PA)
RDTE//20241203
XDTE//20241202
PAYD//20241204
GRSS//EUR5,5
Cash Dividend STRABAG SE-BR (WE)
REPL
ISIN AT000000STR1
STRABAG SE-BR (WE)
RDTE//20241128
XDTE//20241127
PAYD//20241203
GRSS//EUR9,05
Cash Dividend ISHS.EUR G.B.15-30Y U.ETF EUR D
NEWM
ISIN IE00B1FZS913
ISHS.EUR G.B.15-30Y U.ETF EUR D(AS)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR2,9054
Dividend Reinvestment KINGFISHER PLC (LO)
REPE
ISIN GB0033195214
KINGFISHER PLC (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,038
ISIN GB0033195214
KINGFISHER PLC (LO)
ADEX//1,/77,799701
PAYD//20241115
Cash Dividend AMS-OSRAM AG (GE)
CANC
ISIN AT0000A18XM4
AMS-OSRAM AG (GE)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//UKWN
Cash Dividend FUTU HOLDINGS LIMITED-A ADR (NY)
NEWM
ISIN US36118L1061
FUTU HOLDINGS LIMITED-A ADR (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250110
GRSS//USD2,
Cash Dividend GUESS INC (NY)
NEWM
ISIN US4016171054
GUESS INC (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241227
GRSS//USD0,3
Cash Dividend ISH.II PLC USD TR.BD7-10Y.U.ETF
NEWM
ISIN IE00B1FZS798
ISH.II PLC USD TR.BD7-10Y.U.ETF (LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD3,5247
Cash Dividend NEWMONT CORPORATION (NY)
REPE
ISIN US6516391066
NEWMONT CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241223
GRSS//USD0,25
Cash Dividend WABTEC CORP (NY)
NEWM
ISIN US9297401088
WABTEC CORP (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD0,2
Cash Dividend ISHARES EURO GOVT BOND 3-5 ETF
NEWM
ISIN IE00B1FZS681
ISHARES EURO GOVT BOND 3-5 ETF (AS)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR2,1943
Cash Dividend RANA GRUBER ASA(OS)
NEWM
ISIN NO0010907389
RANA GRUBER ASA(OS)
RDTE//20241118
XDTE//20241115
PAYD//20241127
GRSS//NOK1,45
Data: 26.11.2024
Cash Dividend T-MOBILE US INC (NY)
REPL
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250313
GRSS//USD0,88
Conversion GIG SOFTWARE P.L.C. GDR (OS)
NEWM
ISIN NO0013326033
GIG SOFTWARE P.L.C. GDR (OS)
XDTE//20241125
ISIN SE0022760229
GIG SOFTWARE P.L.C. SDR (ST)
NEWO//1,/1,
PAYD//20241125
Cash Dividend NXP SEMICONDUCTORS NV (NY)
NEWM
ISIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250108
GRSS//USD1,014
Cash Dividend LYONDELLBASELL IND CL-A (NY)
NEWM
ISIN NL0009434992
LYONDELLBASELL IND CL-A (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241209
GRSS//USD1,34
Dividend Reinvestment J. SAINSBURY -NEW (LO)
REPL
ISIN GB00B019KW72
J. SAINSBURY -NEW (LO)
RDTE//20241115
XDTE//20241114
PAYD//20241220
GRSS//GBP0,039
ISIN GB00B019KW72
J. SAINSBURY -NEW (LO)
ADEX//UKWN
PAYD//20241227
Cash Dividend ADVANSIX INC (NY)
NEWM
ISIN US00773T1016
ADVANSIX INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241126
GRSS//USD0,16
Cash Dividend S AND P GLOBAL INC (NY)
REPE
ISIN US78409V1044
S AND P GLOBAL INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241211
GRSS//USD0,91
Cash Dividend NORDIC AMER TANKERS LTD (NY)
NEWM
ISIN BMG657731060
NORDIC AMER TANKERS LTD (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241126
GRSS//USD0,12
Cash Dividend PROSPECT CAPITAL CORP (NY)
REPE
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241219
GRSS//USD0,045
Cash Dividend XYLEM INC (NY)
REPE
ISIN US98419M1009
XYLEM INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241224
GRSS//USD0,36
Cash Dividend JOHNSON & JOHNSON CO (NY)
REPE
ISIN US4781601046
JOHNSON JOHNSON CO (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241210
GRSS//USD1,24
Intrest Payment SOFTBANK GROUP CO.21-27 2,875% REGS
NEWM
ISIN XS2361254597
SOFTBANK GROUP CO.21-27 2,875 REGS
XDTE//20250106
RDTE//20250103
PAYD//20250106
INTP//UKWN
Cash Dividend KINROSS GOLD CORP (NY)
REPL
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20241128
XDTE//20241128
PAYD//20241212
GRSS//USD0,03
Cash Dividend 2020 BULKERS LTD (OS)
REPE
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241120
XDTE//20241119
PAYD//20241127
GRSS//NOK1,65336
Cash Dividend EQUINOR ASA (OS)
REPL
ISIN NO0010096985
EQUINOR ASA (OS)
RDTE//20241119
XDTE//20241118
PAYD//20241129
GRSS//NOK7,7519
Data: 25.11.2024
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20240823
XDTE//20240823
PAYD//20241129
GRSS//USD0,141621
Cash Dividend PERNOD-RICARD SA (PA)
REPE
SIN FR0000120693
PERNOD-RICARD SA (PA)
RDTE//20241126
XDTE//20241125
PAYD//20241127
GRSS//EUR2,35
Capital distribution PROSUS N.V. (AS)
NEWM
ISIN NL0013654783
PROSUS N.V. (AS)
RDTE//20241101
XDTE//20241031
PAYD//20241126
GRSS//EUR0,1
Cash Dividend YUM CHINA HOLDINGS INC (NY)
REPL
ISIN US98850P1093
YUM CHINA HOLDINGS INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241217
GRSS//USD0,16
Intrest Payment GOODYEAR TIRE & RUBBER C 20-25 9,5%
REPL
ISIN US382550BH30
GOODYEAR TIRE RUBBER C 20-25 9,5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//4,75
Rights Distribution NORWEGIAN BLOCK EXCHANGE AS (OS)
REPL
ISIN NO0010984966
NORWEGIAN BLOCK EXCHANGE AS (OS)
RDTE//20241122
XDTE//20241121
ISIN NO0013411157
NORWEGIAN BLOCK EX.RIGHTEX211124(OS
ADEX//0,499978/1,
PAYD//20241125
Intrest Payment GOODYEAR TIRE RUBBER 16-26 5%
REPL
ISIN US382550BF73
GOODYEAR TIRE RUBBER 16-26 5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//2,5
Cash Dividend CARLYLE GROUP INC (NY)
NEWM
ISIN US14316J1088
CARLYLE GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241125
GRSS//USD0,35
Cash Dividend MOWI ASA (OS)
NEWM
ISIN NO0003054108
MOWI ASA (OS)
RDTE//20241118
XDTE//20241115
PAYD//20241125
GRSS//NOK1,5
Cash Dividend TERADYNE (NY)
REPE
ISIN US8807701029
TERADYNE (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241218
GRSS//USD0,12
Cash Dividend DANAOS CORP (NY)
REPE
ISIN MHY1968P1218
DANAOS CORP (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241204
GRSS//USD0,85
Cash Dividend PAYCOM SOFTWARE INC (NY)
REPE
ISIN US70432V1026
PAYCOM SOFTWARE INC (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241209
GRSS//USD0,375
Cash Dividend MARKETWISE INC-A (NY)
REPE
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241226
GRSS//USD0,01
Cash Dividend COMFORT SYS. USA INC (NY)
NEWM
ISIN US1999081045
COMFORT SYS. USA INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241125
GRSS//USD0,35
Cash Dividend PPL CORP (NY)
NEWM
ISIN US69351T1060
PPL CORP (NY)
RDTE//20241210
XDTE//20241210
PAYD//20250102
GRSS//USD0,2575
Intrest Payment ROMANIA 22-27 5,25% REGS
NEWM
ISIN XS2485248806
ROMANIA 22-27 5,25 REGS
RDTE//20241122
XDTE//20241125
PAYD//20241125
INTP//2,625
Intrest Payment SOC.GENERALE 15-25 4,75% REGS
NEWM
ISIN USF8586CBS01
SOC.GENERALE 15-25 4,75 REGS
RDTE//20241122
XDTE//20241124
PAYD//20241124
INTP//2,375
Cash Dividend NEXTERA ENERGY INC (NY)
REPE
ISIN US65339F1012
NEXTERA ENERGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241216
GRSS//USD0,515
Cash Dividend VIATRIS INC (NY)
REPE
ISIN US92556V1061
VIATRIS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241213
GRSS//USD0,12
Cash Dividend PRIMO BRANDS CORPORATION - A (NY)
REPE
ISIN US7416231022
PRIMO BRANDS CORPORATION - A (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD0,09
Data: 22.11.2024
Dividend Reinvestment SEVERN TRENT PLC NEW (LO)
NEWM
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,4868
ISIN GB00B1FH8J72
SEVERN TRENT PLC NEW (LO)
ADEX//UKWN
PAYD//20250110
Cash Dividend NORTHROP GRUMMAN (NY)
NEWM
ISIN US6668071029
NORTHROP GRUMMAN (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241218
GRSS//USD2,06
Cash Dividend PEPSICO INC (NY)
REPL
ISIN US7134481081
PEPSICO INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250106
GRSS//USD1,355
Cash Dividend INTESA SANPAOLO (MI)
NEWM
ISIN IT0000072618
INTESA SANPAOLO (MI)
RDTE//20241119
XDTE//20241118
PAYD//20241120
GRSS//EUR0,17
Cash Dividend NVIDIA CORP (NY)
NEWM
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241227
GRSS//USD0,01
Cash Dividend DNO ASA (OS)
NEWM
ISIN NO0003921009
DNO ASA (OS)
RDTE//20241115
XDTE//20241114
PAYD//20241122
GRSS//NOK0,3125
Cash Dividend MOODY'S CORP (NY)
REPE
ISIN US6153691059
MOODY'S CORP (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241213
GRSS//USD1,7
Cash Dividend EATON CORPORATION PUBLIC LTD C (NY)
NEWM
ISIN IE00B8KQN827
EATON CORPORATION PUBLIC LTD C (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD0,94
Cash Dividend MICROCHIP TECHNOLOGY INC (NY)
REPE
ISIN US5950171042
MICROCHIP TECHNOLOGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241206
GRSS//USD0,455
Cash Dividend APA CORPORATION (NY)
NEWM
ISIN US03743Q1085
APA CORPORATION (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241122
GRSS//USD0,25
Cash Dividend DHT HOLDINGS INC (NY)
REPE
ISIN MHY2065G1219
DHT HOLDINGS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241129
GRSS//USD0,22
Cash Dividend CITIGROUP INC (NY)
NEWM
ISIN US1729674242
CITIGROUP INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD0,56
Cash Dividend MICROSOFT CORP (NY)
REPE
ISIN US5949181045
MICROSOFT CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,83
Cash Dividend UGI CORP (NY)
NEWM
ISIN US9026811052
UGI CORP (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250101
GRSS//USD0,375
Cash Dividend QUANTA SERVICES INC (NY)
NEWM
ISIN US74762E1029
QUANTA SERVICES INC (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250113
GRSS//USD0,1
Cash Dividend AIR PROD CHEMICALS (NY)
NEWM
ISIN US0091581068
AIR PROD CHEMICALS (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250210
GRSS//USD1,77
Cash Dividend GE HEALTHCARE TECHNOLOGIES INC (NY)
NEWM
ISIN US36266G1076
GE HEALTHCARE TECHNOLOGIES INC (NY)
RDTE//20250114
XDTE//20250114
PAYD//20250214
GRSS//USD0,035
Cash Dividend BROWN FORMAN CORP 'B' (NY)
NEWM
ISIN US1156372096
BROWN FORMAN CORP 'B' (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250102
GRSS//USD0,2265
Cash Dividend KEYCORP (NY)
NEWM
ISIN US4932671088
KEYCORP (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241213
GRSS//USD0,205
Cash Dividend LEAR CORP (NY)
NEWM
ISIN US5218652049
LEAR CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20241230
GRSS//USD0,77
Cash Dividend SOUTHWEST AIRLINES (NY)
NEWM
ISIN US8447411088
SOUTHWEST AIRLINES (NY)
RDTE//20241226
XDTE//20241226
PAYD//20250116
GRSS//USD0,18
Intrest Payment BANK PEKAO 23-27 5,5-VAR% 23/11
REPL
ISIN XS2724428193
BANK PEKAO 23-27 5,5-VAR 23/11
RDTE//20241122
XDTE//20241123
PAYD//20241123
INTP//5,5
Merger CENTAMIN PLC (LO)
REPL
ISIN JE00B5TT1872
CENTAMIN PLC (LO)
XDTE//20241122
ISIN GB00BRXH2664
ANGLOGOLD ASHANTI LIMITED (NY)
NEWO//0,06983/1,
PAYD//20241122
Cash Dividend CUMMINS INC (NY)
REPE
ISIN US2310211063
CUMMINS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD1,82
Change AURELIUS EQ OPPORT SE & CO KGAA (FR
NEWM
ISIN DE000A0JK2A8
AURELIUS EQ OPPORT SE CO KGAA (FR
EFFD//20241121
CHAN//NAME
ADTX//NAME CHANGE
.
OLD NAME: AURELIUS EQUITY
OPPORTUNITIES SE + CO KGAA
.
NEW NAME: AUR PORTFOLIO III SE +
CO.KGAA
Cash Dividend CHUBB LIMITED (NY)
NEWM
ISIN CH0044328745
CHUBB LIMITED (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250103
GRSS//USD0,91
Stock Split PALO ALTO NETWORKS INC (NY)
NEWM
ISIN US6974351057
PALO ALTO NETWORKS INC (NY)
RDTE//20241216
XDTE//20241216
ISIN US6974351057
PALO ALTO NETWORKS INC (NY)
ADEX//1,/1,
PAYD//20241213
Cash Dividend GOLAR LNG LTD (NY)
REPL
ISIN BMG9456A1009
GOLAR LNG LTD (NY)
RDTE//20241125
XDTE//20241122
PAYD//20241204
GRSS//USD0,25
Cash Dividend STRABAG SE-BR (WE)
NEWM
ISIN AT000000STR1
STRABAG SE-BR (WE)
RDTE//20241128
XDTE//20241127
PAYD//20241203
GRSS//EUR9,05
Cash Dividend ING GROEP N.V. (AS)
REPL
ISIN NL0011821202
ING GROEP N.V. (AS)
RDTE//20250425
XDTE//20250424
PAYD//20250502
GRSS//UKWN
Dividend Reinvestment TESCO (LO)
REPE
ISIN GB00BLGZ9862
TESCO (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241122
GRSS//GBP0,0425
ISIN GB00BLGZ9862
TESCO (LO)
ADEX//UKWN
PAYD//20241122
Merger EXSCIENTIA PLC ADR (NY)
NEWM
ISIN US30223G1022
EXSCIENTIA PLC ADR (NY)
XDTE//20241121
ISIN US75629V1044
RECURSION PHARMACEUTICALS INC -A(NY
NEWO//0,7729/1,
PAYD//20241121
Change THE CAMPBELL'S COMPANY (NY)
REPL
ISIN US1344291091
THE CAMPBELL'S COMPANY (NY)
EFFD//20241122
CHAN//NAME
ADTX//NAME CHANGE:
.
OLD NAME: CAMPBELL SOUP COMPANY
.
NEW NAME: THE CAMPBELL'S COMPANy
Data: 21.11.2024
Intrest Payment BANK GOSPODARSTWA 23-33 5,375%REGS
REPL
ISIN XS2625207571
BANK GOSPODARSTWA 23-33 5,375 REGS
RDTE//20241121
XDTE//20241122
PAYD//20241122
Cash Dividend 2020 BULKERS LTD (OS)
REPL
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241120
XDTE//20241119
PAYD//20241127
Change BAUER AG (FR)
REPL
ISIN DE0005168108
BAUER AG (FR)
XDTE//20241121
ISIN DE000A40ETC9
BAUER AG (FR)
:NEWO//1,/1,
PAYD//20241121
ADTX//Exchange of bearer shares to registered shares.
.
CREDITED ISIN: DE000A40ETC9
BAUER AG NA O.N.
Cash Dividend KAINOS GROUP PLC (LO)
REPE
ISIN GB00BZ0D6727
KAINOS GROUP PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20241213
GRSS//GBP0,093
Cash Dividend WHEATON PRECIOUS METALS CORP (NY)
REPE
ISIN CA9628791027
WHEATON PRECIOUS METALS CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241206
GRSS//USD0,155
Dividend Reinvestment BT GROUP PLC (LO)
REPL
ISIN GB0030913577
BT GROUP PLC (LO)
RDTE//20241227
XDTE//20241224
PAYD//20250205
GRSS//GBP0,024
ISIN GB0030913577
BT GROUP PLC (LO)
ADEX//UKWN
PAYD//20250205
Cash Dividend ZIM INTEGRATED SHIPPING SERVCE (NY)
NEWM
ISIN IL0065100930
ZIM INTEGRATED SHIPPING SERVCE (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241209
GRSS//USD3,65
Intrest Payment RAIFFEISEN B INT AG 24-26 VAR%
REPL
ISIN AT0000A3CZ17
RAIFFEISEN B INT AG 24-26 VAR
XDTE//20241211
RDTE//20241210
PAYD//20241211
INTP//UKWN
Rights Distribution NORWEGIAN BLOCK EXCHANGE AS (OS)
NEWM
ISIN NO0010984966
NORWEGIAN BLOCK EXCHANGE AS (OS)
RDTE//20241122
XDTE//20241121
XX/1137325000
NORWEGIAN BLOCK EX.RIGHTEX211124(OS
ADEX//0,499978/1,
PAYD//20241125
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
REPL
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20240930
XDTE//20240927
PAYD//20241127
GRSS//USD6,460456
Cash Dividend TELECOM ARGENTINA -ADR (NY)
NEWM
ISIN US8792732096
TELECOM ARGENTINA -ADR (NY)
RDTE//20241129
XDTE//20241129
PAYD//UKWN
GRSS//USD0,338031
Cash Dividend BLACKROCK INC (NY)
NEWM
ISIN US09290D1019
BLACKROCK INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241223
GRSS//USD5,1
Cash Dividend APPLIED MATERIALS (NY)
REPE
ISIN US0382221051
APPLIED MATERIALS (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,4
Cash Dividend ARCHER DANIELS MIDL (NY)
REPE
ISIN US0394831020
ARCHER DANIELS MIDL (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,5
Cash Dividend HECLA MINING CO (NY)
REPE
ISIN US4227041062
HECLA MINING CO (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,00375
Cash Dividend DISCOVER FINANCIAL SERVICES (NY)
REPE
ISIN US2547091080
DISCOVER FINANCIAL SERVICES (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241205
GRSS//USD0,7
Cash Dividend DIAMONDBACK ENERGY INC (NY)
NEWM
ISIN US25278X1090
DIAMONDBACK ENERGY INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241121
GRSS//USD0,9
Cash Dividend HF SINCLAIR CORPORATION (NY)
REPE
ISIN US4039491000
HF SINCLAIR CORPORATION (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,5
Cash Dividend SIRIUS XM HOLDING INC (NY)
NEWM
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241121
GRSS//USD0,27
Cash Dividend WELLTOWER INC (NY)
NEWM
ISIN US95040Q1040
WELLTOWER INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241121
GRSS//USD0,67
Cash Dividend PRIMO WATER CORPORATION CANADA (NY)
NEWM
ISIN CA74167P1080
PRIMO WATER CORPORATION CANADA (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241121
GRSS//USD0,82
Cash Dividend MARRIOTT INTERNATIONAL A (NY)
REPE
ISIN US5719032022
MARRIOTT INTERNATIONAL A (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241231
GRSS//USD0,63
Cash Dividend SERICA ENERGY PLC (LO)
NEWM
ISIN GB00B0CY5V57
SERICA ENERGY PLC (LO)
RDTE//20241025
XDTE//20241024
PAYD//20241121
GRSS//GBP0,09
Cash Dividend MEKO AB (ST)
NEWM
ISIN SE0002110064
MEKO AB (ST)
XDTE//20241115
RDTE//20241118
PAYD//20241121
GRSS//SEK1,85
Cash Dividend STAR BULK CARRIERS CORP (NY)
NEWM
ISIN MHY8162K2046
STAR BULK CARRIERS CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241218
GRSS//USD0,6
Cash Dividend REDEIA CORPORACION S.A. (MA)
REPL
ISIN ES0173093024
REDEIA CORPORACION S.A. (MA)
RDTE//20250106
XDTE//20250103
PAYD//20250107
GRSS//EUR0,2
Cash Dividend HALLIBURTON CY (HOLDING) (NY)
NEWM
ISIN US4062161017
HALLIBURTON CY (HOLDING) (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241226
GRSS//USD0,17
Cash Dividend MERCK AND CY INC
NEWM
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20241216
XDTE//20241216
PAYD//20250108
GRSS//USD0,81
Reverse Stock Split LUMINAR TECHNOLOGIES INC-A- (NY)
REPL
ISIN US5504241051
LUMINAR TECHNOLOGIES INC-A- (NY)
XDTE//20241121
ISIN US5504243032
LUMINAR TECHNOLOGIES INC-A (NY)
NEWO//1,/15,
PAYD//20241121
Cash Dividend EQUINOR ASA (OS)
REPL
ISIN NO0010096985
EQUINOR ASA (OS)
RDTE//20241119
XDTE//20241118
PAYD//20241129
GRSS//UKWN
Data: 20.11.2024
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241115
XDTE//20241114
PAYD//20241120
Cash Dividend M&T BANK CORP (NY)
NEWM
ISIN US55261F1049
M T BANK CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241231
GRSS//USD1,35
Cash Dividend M&T BANK CORP (NY)
NEWM
ISIN US55261F1049
M T BANK CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241231
GRSS//USD1,35
Cash Dividend ENI SPA (MI)
REPL
ISIN IT0003132476
ENI SPA (MI)
RDTE//20241119
XDTE//20241118
PAYD//20241120
GRSS//EUR0,25
Dividend Reinvestment SHELL PLC (LO)
REPL
ISIN GB00BP6MXD84
SHELL PLC (LO)
ISIN GB00BR1WB110
SHELL PLC RIGHT EX141124/8 (LO)
RDTE//20241115
XDTE//20241114
PAYD//20241219
ISIN GB00BP6MXD84
SHELL PLC (LO)
NEWO//UKWN
PAYD//20241219
Cash Dividend ENDESA SA (MA)
NEWM
ISIN ES0130670112
ENDESA SA (MA)
RDTE//20250107
XDTE//20250106
PAYD//20250108
GRSS//EUR0,5
Cash Dividend ENAGAS (MA)
NEWM
ISIN ES0130960018
ENAGAS (MA)
RDTE//20241211
XDTE//20241210
PAYD//20241212
GRSS//EUR0,4
Cash Dividend ENAGAS (MA)
NEWM
ISIN ES0130960018
ENAGAS (MA)
RDTE//20241211
XDTE//20241210
PAYD//20241212
GRSS//EUR0,4
Cash Dividend ATKORE INC (NY)
NEWM
ISIN US0476491081
ATKORE INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241216
GRSS//USD0,32
Cash Dividend VINCI PARTNERS INVESTMENTS LTD-A(NY
REPE
ISIN KYG9451V1095
VINCI PARTNERS INVESTMENTS LTD-A(NY
RDTE//20241120
XDTE//20241120
PAYD//20241205
GRSS//USD0,16
Cash Dividend MARKETAXESS HOLDINGS INC (NY)
REPE
ISIN US57060D1081
MARKETAXESS HOLDINGS INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,74
Cash Dividend NORFOLK SOUTHERN (NY)
NEWM
ISIN US6558441084
NORFOLK SOUTHERN (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241120
GRSS//USD1,35
Cash Dividend CATERPILLAR INC (NY)
NEWM
ISIN US1491231015
CATERPILLAR INC (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241120
GRSS//USD1,41
Cash Dividend TARGET CORP (NY)
REPE
ISIN US87612E1064
TARGET CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241210
GRSS//USD1,12
Cash Dividend VALERO ENERGY CORP (NY)
REPE
ISIN US91913Y1001
VALERO ENERGY CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241220
GRSS//USD1,07
Cash Dividend KLAVENESS COMBINATION CARRIERS (OS)
NEWM
ISIN NO0010833262
KLAVENESS COMBINATION CARRIERS (OS)
RDTE//20241106
XDTE//20241105
PAYD//20241120
GRSS//NOK3,287
Cash Dividend HASBRO INC (NY)
REPE
ISIN US4180561072
HASBRO INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,7
Cash Dividend FORTITUDE GOLD CORP (NY)
REPE
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241129
GRSS//USD0,04
Cash Dividend CURIOSITYSTREAM INC -A- (NY)
NEWM
ISIN US23130Q1076
CURIOSITYSTREAM INC -A- (NY)
RDTE//20250314
XDTE//20250314
PAYD//20250328
GRSS//USD0,025
Data: 19.11.2024
Redemption FUELCELL ENERGY INC (NY)
NEWM
ISIN US35952H7008
FUELCELL ENERGY INC (NY)
XDTE//20241119
PAYD//20241119
OFFR//ACTU/USD6,248922
Shares Premium Dividend CELLNEX TELECOM S.A. (MA)
NEWM
ISIN ES0105066007
CELLNEX TELECOM S.A. (MA)
RDTE//20241120
XDTE//20241119
PAYD//20241121
GRSS//EUR0,046
Cash Dividend TECHNIPFMC LIMITED (NY)
REPE
ISIN GB00BDSFG982
TECHNIPFMC LIMITED (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241204
GRSS//USD0,05
Cash Dividend BCE INC (NY)
NEWM
ISIN CA05534B7604
BCE INC (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//UKWN
Rights Distribution HEXAGON PURUS ASA (OS)
WITH
ISIN NO0010904923
HEXAGON PURUS ASA (OS)
RDTE//20241101
XDTE//20241031
/XX/1136658000
HEXAGON PURUS A.EX311024 (OS)
ADEX//UKWN
PAYD//UKWN
Reverse Stock Split SOS LIMITED-A ADR (NY)
REPL
ISIN US83587W2052
SOS LIMITED-A ADR (NY)
XDTE//20241119
ISIN US83587W3043
SOS LIMITED ADR (NY)
PAYD//20241119
Cash Dividend DIVERSIFIED ENERGY CO PLC (NY)
REPL
ISIN GB00BQHP5P93
DIVERSIFIED ENERGY CO PLC (NY)
RDTE//20250228
XDTE//20250227
PAYD//20250331
GRSS//UKWN
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250327
GRSS//USD0,231589
Cash Dividend VERTIV HOLDINGS CO (NY)
NEWM
ISIN US92537N1081
VERTIV HOLDINGS CO (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241219
GRSS//USD0,0375
Cash Dividend KKR&CO INC (NY)
NEWM
ISIN US48251W1045
KKR CO INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241119
GRSS//USD0,175
Cash Dividend DR HORTON INC (NY)
NEWM
ISIN US23331A1097
DR HORTON INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241119
GRSS//USD0,4
Cash Dividend PRUDENTIAL FINANCIAL INC (NY)
REPE
ISIN US7443201022
PRUDENTIAL FINANCIAL INC (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241212
GRSS//USD1,3
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241119
GRSS//USD0,06
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20250203
Cash Dividend SOUTHERN COMPANY (NY)
REPE
ISIN US8425871071
SOUTHERN COMPANY (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD0,72
Dividend Option NATIONAL GRID (LO)
REPL
ISIN GB00BDR05C01
NATIONAL GRID (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250114
GRSS//GBP0,1584
ISIN GB00BDR05C01
NATIONAL GRID (LO)
ADEX//UKWN
PAYD//202501143
Cash Dividend B3 CONSULTING GROUP AB (ST)
NEWM
ISIN SE0008347660
B3 CONSULTING GROUP AB (ST)
XDTE//20241113
RDTE//20241114
PAYD//20241119
GRSS//SEK3,5
Cash Dividend LOWE'S COMPANIES (NY)
NEWM
ISIN US5486611073
LOWE'S COMPANIES (NY)
RDTE//20250122
XDTE//20250122
PAYD//20250205
GRSS//USD1,15
Cash Dividend FEDEX CORP (NY)
NEWM
ISIN US31428X1063
FEDEX CORP (NY)
RDTE//20241209
XDTE//20241209
PAYD//20250103
GRSS//USD1,38
Data: 18.11.2024
Cash Dividend MURPHY OIL CORP (NY)
REPE
ISIN US6267171022
MURPHY OIL CORP (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD0,3
Dividend Reinvestment UNILEVER PLC (LO)
REPL
ISIN GB00B10RZP78
UNILEVER PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241206
GRSS//GBP0,3663
ISIN GB00B10RZP78
UNILEVER PLC (LO)
ADEX//UKWN
PAYD//20241206
Reverse Stock Split SONO GRP NV (NY)
NEWM
ISIN NL0015000N74
SONO GRP NV (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend TECK RESOURCES LTD CL B (NY)
NEWM
ISIN CA8787422044
TECK RESOURCES LTD CL B (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241231
GRSS//USD0,125
Cash Dividend JEFFERIES FINANCIAL GROUP INC (NY)
REPE
ISIN US47233W1099
JEFFERIES FINANCIAL GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241127
GRSS//USD0,35
Change ARCARIO AB (ST)
NEWM
ISIN SE0007614722
ARCARIO AB (ST)
CHAN//NAME
ADTX//OLD NAME: ARCARIO AB
NEW NAME: K33 AB
ISIN REMAINS THE SAME.
Cash Dividend NIKE INC B (NY)
NEWM
ISIN US6541061031
NIKE INC B (NY)
RDTE//20241202
XDTE//20241202
PAYD//20250102
GRSS//USD0,4
Cash Dividend NETEASE INC ADR REPR 5 SHS (NY)
NEWM
ISIN US64110W1027
NETEASE INC ADR REPR 5 SHS (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,435
Cash Dividend CHEVRON CORP (NY)
REPE
ISIN US1667641005
CHEVRON CORP (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241210
GRSS//USD1,63
Cash Dividend KLA CORPORATION (NY)
REPE
ISIN US4824801009
KLA CORPORATION (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241203
GRSS//USD1,7
Cash Dividend GEN DIGITAL (NY)
REPE
ISIN US6687711084
GEN DIGITAL (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241211
GRSS//USD0,125
Cash Dividend HERSHEY CO /THE (NY)
REPE
ISIN US4278661081
HERSHEY CO /THE (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241216
GRSS//USD1,37
Cash Dividend EXP WORLD HOLDINGS INC (NY)
REPE
ISIN US30212W1009
EXP WORLD HOLDINGS INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD0,05
Cash Dividend UNITED PARCEL SERVICE - CL B (NY)
REPE
ISIN US9113121068
UNITED PARCEL SERVICE - CL B (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241205
GRSS//USD1,63
Cash Dividend WALGREENS BOOTS ALLIANCE INC (NY)
REPE
ISIN US9314271084
WALGREENS BOOTS ALLIANCE INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241212
GRSS//USD0,25
Cash Dividend CARRIER GLOBAL CORPORATION (NY)
NEWM
ISIN US14448C1045
CARRIER GLOBAL CORPORATION (NY)
RDTE//20241025
XDTE//20241025
PAYD//20241118
GRSS//USD0,19
Cash Dividend L3 HARRIS TECHNOLOGIES INC (NY)
REPE
ISIN US5024311095
L3 HARRIS TECHNOLOGIES INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD1,16
Cash Dividend PHILLIPS 66 (NY)
REPE
ISIN US7185461040
PHILLIPS 66 (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD1,15
Cash Dividend CARLYLE GROUP INC (NY)
REPE
ISIN US14316J1088
CARLYLE GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241125
GRSS//USD0,35
Cash Dividend AMGEN INC (NY)
REPL
ISIN US0311621009
AMGEN INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241209
GRSS//USD2,25
Capital distribution BUNGE GLOBAL LTD (NY)
REPE
ISIN CH1300646267
BUNGE GLOBAL LTD (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD0,68
Cash Dividend ONEMAIN HLDGS INC (NY)
NEWM
ISIN US68268W1036
ONEMAIN HLDGS INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241118
GRSS//USD1,04
Cash Dividend SYSCO CORP (NY)
NEWM
ISIN US8718291078
SYSCO CORP (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250124
GRSS//USD0,51
Cash Dividend XYLEM INC (NY)
NEWM
ISIN US98419M1009
XYLEM INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241224
GRSS//USD0,36
Intrest Payment SOCIETE GENERALE 22-27 4% 16/11REGS
NEWM
ISIN FR001400DZM5
SOCIETE GENERALE 22-27 4 16/11REGS
RDTE//20241115
XDTE//20241118
PAYD//20241118
INTP//4,
Cash Dividend INTERNATIONAL SEAWAYS INC (NY)
NEWM
ISIN MHY410531021
INTERNATIONAL SEAWAYS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD1,08
Intrest Payment POLAND 22-32 5,75% MTN
REPE
ISIN US857524AE20
POLAND 22-32 5,75 MTN
RDTE//20241115
XDTE//20241116
PAYD//20241116
INTP//2,875
Cash Dividend CANADIAN NATL RAILWAY CO (NY)
NEWM
ISIN CA1363751027
CANADIAN NATL RAILWAY CO (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//UKWN
Cash Dividend FIRST MAJESTIC SILVER CORP (NY)
REPE
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,0048
Cash Dividend MAGNA INT. CL- A (NY)
REPE
ISIN CA5592224011
MAGNA INT. CL- A (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,475
Dividend Reinvestment TAYLOR WIMPEY PLC (LO)
NEWM
ISIN GB0008782301
TAYLOR WIMPEY PLC (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,048
Cash Dividend MARATHON OIL CORP (NY)
REPE
ISIN US5658491064
MARATHON OIL CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD0,11
Cash Dividend SECURITAS AB -B- (ST)
REPE
ISIN SE0000163594
SECURITAS AB -B- (ST)
XDTE//20241115
RDTE//20241118
PAYD//20241121
GRSS//SEK1,9
Data: 15.11.2024
Dividend Reinvestment SHELL PLC (LO)
REPL
//DRIP
ISIN GB00BP6MXD84
SHELL PLC (LO)
ISIN GB00BR1WB110
SHELL PLC RIGHT EX141124/8 (LO)
RTUN//1,/1,
RDTE//20241115
XDTE//20241114
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20241219
GRSS//UKWN
CAON//002
CAOP//SECU
ISIN GB00BR1WB110
SHELL PLC RIGHT EX141124/8 (LO)
PAYD//20241219
NEWO//UKWN
PAYD//20241219
Dividend Reinvestment SHELL PLC (AS)
REPL
//DRIP
ISIN GB00BP6MXD84
SHELL PLC (AS)
ISIN NL0015002AR9
SHELL PLC RIGHT EX141124 (AS)
RTUN//1,/1,
RDTE//20241115
XDTE//20241114
CAON//001
CAOP//CASH
OPTN//EUR
DFLT//Y
PAYD//20241219
GRSS//UKWN
CAON//002
CAOP//SECU
ISIN NL0015002AR9
SHELL PLC RIGHT EX141124 (AS)
PAYD//20241219
NEWO//UKWN
PAYD//20241219
Cash Dividend KIMBERLY CLARK CORP (NY)
NEWM
//DVCA
ISIN US4943681035
KIMBERLY CLARK CORP (NY)
RDTE//20241206
XDTE//20241206
PAYD//20250103
GRSS//USD1,22
Cash Dividend SKYWORKS SOLUTIONS INC (NY)
NEWM
//DVCA
ISIN US83088M1027
SKYWORKS SOLUTIONS INC (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241224
GRSS//USD0,7
Cash Dividend HONDA MOTOR CO LTD ADR (NY)
REPL
//DVCA
ISIN US4381283088
HONDA MOTOR CO LTD ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241211
GRSS//USD0,661693
Dividend Option SSE PLC (LO)
NEWM
//DVOP
ISIN GB0007908733
SSE PLC (LO)
RDTE//20250103
XDTE//20250102
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250227
GRSS//GBP0,212
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250227
Cash Dividend VODAFONE GROUP PLC 1 ADR = 10 (NY)
NEWM
//DVCA
ISIN US92857W3088
VODAFONE GROUP PLC 1 ADR 10 (NY)
RDTE//20241122
XDTE//20241122
PAYD//20250207
GRSS//USD0,242309
Capital distribution NORAM DRILLING AS (OS)
NEWM
//CAPD
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241115
XDTE//20241114
PAYD//20241122
GRSS//NOK0,446
Cash Dividend CME GROUP INC (NY)
REPL
//DVCA
ISIN US12572Q1058
CME GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241227
GRSS//USD1,15
Cash Dividend CHORD ENERGY CORPORATION (NY)
NEWM
//DVCA
ISIN US6742152076
CHORD ENERGY CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD1,25
Cash Dividend 2020 BULKERS LTD (OS)
NEWM
//DVCA
ISIN BMG9156K1018
2020 BULKERS LTD (OS)
RDTE//20241120
XDTE//20241119
PAYD//20241127
GRSS//UKWN
Cash Dividend AMKOR TECHNOL. INC (NY)
NEWM
//DVCA
ISIN US0316521006
AMKOR TECHNOL. INC (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241223
GRSS//USD0,48815
Cash Dividend CISCO SYSTEMS INC (NY)
NEWM
//DVCA
ISIN US17275R1023
CISCO SYSTEMS INC (NY)
RDTE//20250103
XDTE//20250103
PAYD//20250122
GRSS//USD0,4
Cash Dividend MEKO AB (ST)
REPE
//DVCA
ISIN SE0002110064
MEKO AB (ST)
XDTE//20241115
RDTE//20241118
PAYD//20241121
GRSS//SEK1,85
Cash Dividend AMPHENOL CORP -A- (NY)
NEWM
//DVCA
ISIN US0320951017
AMPHENOL CORP -A- (NY)
RDTE//20241217
XDTE//20241217
PAYD//20250108
GRSS//USD0,165
Intrest Payment REPUBLIC OF POLAND 22-27 5,5%
REPL
//INTR
ISIN US857524AD47
REPUBLIC OF POLAND 22-27 5,5
RDTE//20241115
XDTE//20241116
INPE//20240516/20241116
INTR//5,5
PAYD//20241116
INTP//2,75
Rights Distribution IDEX BIOMETRICS ASA (OS)
REPE
//RHDI
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
CRDB//CRED
ISIN NO0013393330
IDEX BIOMETRICS RIGHT EX170924 (OS)
ADEX//0,5485/1,
PAYD//20241115
Cash Dividend CHORD ENERGY CORPORATION (NY)
NEWM
//DVCA
ISIN US6742152076
CHORD ENERGY CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD0,19
Cash Dividend DUKE ENERGY (NY)
REPE
//DVCA
ISIN US26441C2044
DUKE ENERGY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD1,045
Cash Dividend HOME DEPOT INC (NY)
NEWM
//DVCA
ISIN US4370761029
HOME DEPOT INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD2,25
Cash Dividend ALLSTATE CORPORATION (NY)
NEWM
//DVCA
ISIN US0200021014
ALLSTATE CORPORATION (NY)
RDTE//20241129
XDTE//20241129
PAYD//20250102
GRSS//USD0,92
Cash Dividend LINCOLN NATIONAL (NY)
NEWM
//DVCA
ISIN US5341871094
LINCOLN NATIONAL (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250203
GRSS//USD0,45
Cash Dividend MOTOROLA SOLUTIONS INC (NY)
NEWM
//DVCA
ISIN US6200763075
MOTOROLA SOLUTIONS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250115
GRSS//USD1,09
Dividend Reinvestment KINGFISHER PLC (LO)
NEWM
//DRIP
ISIN GB0033195214
KINGFISHER PLC (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,038
Data: 14.11.2024
Cash Dividend MOSAIC CO (THE) (NY)
NEWM
//DVCA
ISIN US61945C1036
MOSAIC CO (THE) (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,21
Cash Dividend TJX COMPANIES INC (NY)
REPE
//DVCA
ISIN US8725401090
TJX COMPANIES INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241205
GRSS//USD0,375
Cash Dividend PRIMO BRANDS CORPORATION - A (NY)
NEWM
//DVCA
ISIN US7416231022
PRIMO BRANDS CORPORATION - A (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD0,09
Rights Distribution SHELL PLC (LO)
REPE
//RHDI
ISIN GB00BP6MXD84
SHELL PLC (LO)
RDTE//20241115
XDTE//20241114
CRDB//CRED
ISIN GB00BR1WB110
SHELL PLC RIGHT EX141124/8 (LO)
ADEX//1,/1,
PAYD//20241114
Cash Dividend IMMERSION CORP (NY)
NEWM
//DVCA
ISIN US4525211078
IMMERSION CORP (NY)
RDTE//20250110
XDTE//20250110
PAYD//20250124
GRSS//USD0,245
Cash Dividend RANA GRUBER ASA(OS)
NEWM
//DVCA
ISIN NO0010907389
RANA GRUBER ASA(OS)
RDTE//20241118
XDTE//20241115
PAYD//20241127
GRSS//NOK1,45
Cash Dividend DIVERSIFIED ENERGY CO PLC (NY)
NEWM
//DVCA
ISIN GB00BQHP5P93
DIVERSIFIED ENERGY CO PLC (NY)
RDTE//20250228
XDTE//20250227
PAYD//20250331
GRSS//UKWN
Cash Dividend NEWELL BRANDS INC (NY)
NEWM
//DVCA
ISIN US6512291062
NEWELL BRANDS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,07
Dividend Reinvestment TRAVIS PERKINS (LO)
REPE
//DRIP
ISIN GB00BK9RKT01
TRAVIS PERKINS (LO)
RDTE//20241004
XDTE//20241003
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20241108
GRSS//GBP0,055
CAON//002
CAOP//SECU
ADEX//1,/174,273725
PAYD//20241108
Merger PRIMO WATER CORPORATION CANADA (NY)
NEWM
//MRGR
ISIN CA74167P1080
PRIMO WATER CORPORATION CANADA (NY)
XDTE//20241112
PAYD//20241112
CRDB//CRED
ISIN US7416231022
PRIMO BRANDS CORPORATION - A (NY)
PAYD//20241112
Cash Dividend GOLAR LNG LTD (NY)
NEWM
//DVCA
ISIN BMG9456A1009
GOLAR LNG LTD (NY)
RDTE//20241125
XDTE//20241122
PAYD//20241204
GRSS//USD0,25
Cash Dividend DHT HOLDINGS INC (NY)
NEWM
//DVCA
ISIN MHY2065G1219
DHT HOLDINGS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241129
GRSS//USD0,22
Cash Dividend BAXTER INTERNAT INC (NY)
NEWM
//DVCA
ISIN US0718131099
BAXTER INTERNAT INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20250102
GRSS//USD0,17
Cash Dividend TYSON FOODS CL A (NY)
NEWM
//DVCA
ISIN US9024941034
TYSON FOODS CL A (NY)
RDTE//20250228
XDTE//20250228
PAYD//20250314
GRSS//USD0,5
Cash Dividend TYSON FOODS CL A (NY)
REPL
//DVCA
ISIN US9024941034
TYSON FOODS CL A (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,5
Cash Dividend TERADYNE (NY)
NEWM
//DVCA
ISIN US8807701029
TERADYNE (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241218
GRSS//USD0,12
Cash Dividend TAIWAN SEMICONDUCTOR-SP ADR (NY)
NEWM
//DVCA
ISIN US8740391003
TAIWAN SEMICONDUCTOR-SP ADR (NY)
RDTE//20250318
XDTE//20250318
PAYD//20250410
GRSS//USD0,694165
Cash Dividend SUNCOR ENERGY INC (NY)
NEWM
//DVCA
ISIN CA8672241079
SUNCOR ENERGY INC (NY)
RDTE//20241203
XDTE//20241203
PAYD//20241224
GRSS//USD0,57
Dividend Reinvestment VODAFONE GROUP PLC REGD (LO)
NEWM
//DISN
ISIN GB00BH4HKS39
VODAFONE GROUP PLC REGD (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250207
GRSS//UKWN
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250207
Cash Dividend DANAOS CORP (NY)
NEWM
//DVCA
ISIN MHY1968P1218
DANAOS CORP (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241204
GRSS//USD0,85
Cash Dividend FERROGLOBE PLC (NY)
NEWM
//DVCA
ISIN GB00BYW6GV68
FERROGLOBE PLC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20241227
GRSS//USD0,013
Cash Dividend AVIVA PLC (LO)
NEWM
//DVCA
ISIN GB00BPQY8M80
AVIVA PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20241231
GRSS//GBP0,04375
Cash Dividend B3 CONSULTING GROUP AB (ST)
REPE
//DVCA
ISIN SE0008347660
B3 CONSULTING GROUP AB (ST)
XDTE//20241113
RDTE//20241114
PAYD//20241119
GRSS//SEK3,5
Stock Split ARISTA NETWORKS INC (NY)
NEWM
//SPLF
ISIN US0404131064
ARISTA NETWORKS INC (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
NEWO//UKWN
Cash Dividend GILEAD SCIENCES INC (NY)
REPL
//DVCA
ISIN US3755581036
GILEAD SCIENCES INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,77
Cash Dividend ISHARES MSCI CHILE ETF-D
REPL
//DVCA
ISIN US4642866408
ISHARES MSCI CHILE ETF-D(NY
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//UKWN
Cash Dividend PACCAR INC (NY)
REPE
//DVCA
ISIN US6937181088
PACCAR INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241204
GRSS//USD0,3
Redemption BANK OF CHINA 14-24 5% REGS SUB
REPE
//REDM
ISIN US06120TAA60
BANK OF CHINA 14-24 5 REGS SUB
RDTE//20241112
XDTE//20241113
PAYD//20241113
RATE//99,588
INTP//0,412
Intrest Payment BANK OF CHINA 14-24 5% REGS SUB
NEWM
//INTR
ISIN US06120TAA60
BANK OF CHINA 14-24 5 REGS SUB
RDTE//20241112
XDTE//20241113
INPE//20240513/20241113
INTR//5,
PAYD//20241113
INTP//2,5
Data: 13.11.2024
Cash Dividend MURPHY OIL CORP (NY)
NEWM
//DVCA
ISIN US6267171022
MURPHY OIL CORP (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD0,3
Intrest Payment UBS GROUP 22-26 4,488-VAR% REGS
NEWM
//INTR
ISIN USH42097CZ86
UBS GROUP 22-26 4,488-VAR REGS
RDTE//20241111
XDTE//20241112
INPE//20240512/20241112
INTR//4,488
PAYD//20241112
INTP//2,244
Intrest Payment CREDIT AGRICOLE SA 14-24 3%
NEWM
//INTR
ISIN FR0012304459
CREDIT AGRICOLE SA 14-24 3
XDTE//20241222
RDTE//20241220
INTR//3,
PAYD//20241222
INTP//0,75
Exercise rights OPTICEPT TECHNOLO.RIGHT EX071124(ST
REPL
//EXRI
ISIN SE0023261128
OPTICEPT TECHNOLO.RIGHT EX071124(ST
XDTE//20241107
RDTE//20241108
CAON//001
CAOP//NOAC
DFLT//Y
CAON//002
CAOP//EXER
PAYD//20241126
CRDB//CRED
ISIN SE0023261136
OPTICEPT TECHNOLOGIES TEMP.SH (ST)
NEWO//5,/16,
PAYD//20241126
PRPP//ACTU/SEK5,
AS THE RATIO IS NEWO 5:16 THE MINIMUM AMOUNT OF RIGHTS EXERCISED
ADTX//IS 16.
FOR EACH FULL 16 RIGHTS EXERCISED YOU WILL RECEIVE 5 NEW SHARES. YOU CANNOT APPLY FOR 1 NEW SHARE.
Intrest Payment KRUK SA 23-28 VAR%
REPL
//INTR
ISIN NO0012903444
KRUK SA 23-28 VAR
RDTE//20250206
XDTE//20250210
INPE//20241112/20250210
INTR//9,532
PAYD//20250210
INTP//UKWN
Redemption CREDIT AGRICOLE SA 14-24 3%
NEWM
//REDM
ISIN FR0012304459
CREDIT AGRICOLE SA 14-24 3
XDTE//20241222
PAYD//20241222
RATE//100,
Cash Dividend KBC GROEP (BR)
REPE
//DVCA
ISIN BE0003565737
KBC GROEP (BR)
RDTE//20241113
XDTE//20241112
PAYD//20241114
NETT//EUR0,7
Cash Dividend SILVERCORP METALS INC (NY)
NEWM
//DVCA
ISIN CA82835P1036
SILVERCORP METALS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,0125
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
//DVCA
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241227
XDTE//20241227
PAYD//20241230
GRSS//UKWN
Cash Dividend MOWI ASA (OS)
REPL
//DVCA
ISIN NO0003054108
MOWI ASA (OS)
RDTE//20241118
XDTE//20241115
PAYD//20241125
GRSS//NOK1,5
Cash Dividend ARCELORMITTAL (NY)
REPL
//DVCA
ISIN US03938L2034
ARCELORMITTAL (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241204
GRSS//USD0,25
Cash Dividend GLOBAL X SILVER MINERS ETF-D
REPL
//DVCA
ISIN US37954Y8488
GLOBAL X SILVER MINERS ETF-D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//UKWN
Cash Dividend GLOBAL X URANIUM ETF D
REPL
//DVCA
ISIN US37954Y8710
GLOBAL X URANIUM ETF D (NY)
RDTE//20241230
XDTE//20241230
PAYD//20250107
GRSS//UKWN
Cash Dividend KAINOS GROUP PLC (LO)
NEWM
//DVCA
ISIN GB00BZ0D6727
KAINOS GROUP PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20241213
GRSS//GBP0,093
Cash Dividend ICL GROUP LTD (NY)
NEWM
//DVCA
ISIN IL0002810146
ICL GROUP LTD (NY)
RDTE//20241204
XDTE//20241204
PAYD//20241218
GRSS//USD0,0527
Cash Dividend HECLA MINING CO (NY)
NEWM
//DVCA
ISIN US4227041062
HECLA MINING CO (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,01
Dividend Option NATIONAL GRID (LO)
REPL
//DVOP
ISIN GB00BDR05C01
NATIONAL GRID (LO)
RDTE//20241122
XDTE//20241121
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20250114
GRSS//GBP0,1584
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250114
Spin Off FOMENTO CONSTR CONTR (1EURO) (MA)
REPL
//SOFF
ISIN ES0122060314
FOMENTO CONSTR CONTR (1EURO) (MA)
RDTE//20241111
XDTE//20241108
ISIN ES0105836003
INMOCEMENTO SA (MA)
ADEX//1,/1,
PAYD//20241112
ADTX//SPIN-OFF
RESULTING ISIN ES0105836003
Data: 12.11.2024
Cash Dividend LAM RESEARCH CORP (NY)
NEWM
//DVCA
ISIN US5128073062
LAM RESEARCH CORP (NY)
RDTE//20241211
XDTE//20241211
PAYD//20250108
GRSS//USD0,23
Cash Dividend MARKETWISE INC-A (NY)
NEWM
//DVCA
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241226
GRSS//USD0,01
Cash Dividend BCE INC (NY)
NEWM
//DVCA
ISIN CA05534B7604
BCE INC (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250115
GRSS//USD0,9975
Cash Dividend FRANCO-NEVADA CORP (NY)
NEWM
//DVCA
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,36
Cash Dividend VINCI PARTNERS INVESTMENTS LTD-A(NY
NEWM
//DVCA
ISIN KYG9451V1095
VINCI PARTNERS INVESTMENTS LTD-A(NY
RDTE//20241120
XDTE//20241120
PAYD//20241205
GRSS//USD0,16
Cash Dividend VANECK RARE EARTH AND ST.MET.ETF
REPL
//DVCA
ISIN US92189H8051
VANECK RARE EARTH AND ST.MET.ETF(NY
RDTE//20241223
XDTE//20241223
PAYD//20241224
GRSS//UKWN
Worthless SVB FINANCIAL GROUP (NY)
REPL
//WRTH
ISIN US78486Q1013
SVB FINANCIAL GROUP (NY)
XDTE//20241111
PAYD//20241111
ADTX//WORTHLESS
Cash Dividend KLA CORPORATION (NY)
NEWM
//DVCA
ISIN US4824801009
KLA CORPORATION (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241203
GRSS//USD1,7
Cash Dividend HONDA MOTOR CO LTD ADR (NY)
REPL
//DVCA
ISIN US4381283088
HONDA MOTOR CO LTD ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241211
GRSS//UKWN
Cash Dividend SEMPRA (NY)
NEWM
//DVCA
ISIN US8168511090
SEMPRA (NY)
RDTE//20241205
XDTE//20241205
PAYD//20250115
GRSS//USD0,62
Cash Dividend PROSHARES SHORT QQQ ETF
NEWM
//DVCA
ISIN US74349Y8378
PROSHARES SHORT QQQ ETF (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//UKWN
Exercise rights ATOS SE RIGHT EX121124 (PA)
NEWM
//EXRI
ISIN FR001400THA4
ATOS SE RIGHT EX121124 (PA)
RDTE//20241113
XDTE//20241112
CAON//001
CAOP//NOAC
DFLT//Y
CAON//002
CAOP//EXER
CRDB//DEBT
ISIN FR001400THA4
ATOS SE RIGHT EX121124 (PA)
PAYD//20241206
CRDB//CRED
ISIN FR0000051732
ATOS SE (PA)
NEWO//13497,/24,
PAYD//20241206
PRPP//ACTU/EUR0,0037
Dividend Reinvestment APERAM SA (AS)
REPL
//REOR
ISIN LU0569974404
APERAM SA (AS)
ISIN NL0015002AY5
APERAM SA RIGHT EX111124/4 (AS)
RTUN//1,/1,
EXPI//20241206
POST//20241111
RDTE//20241112
XDTE//20241111
CAON//001
CAOP//CASH
OPTN//EUR
DFLT//Y
PAYD//20241206
GRSS//EUR0,5
CAON//002
CAOP//SECU
CRDB//DEBT
ISIN NL0015002AY5
APERAM SA RIGHT EX111124/4 (AS)
PAYD//20241206
Capital distribution CELLNEX TELECOM S.A. (MA)
NEWM
//CAPD
ISIN ES0105066007
CELLNEX TELECOM S.A. (MA)
RDTE//20241120
XDTE//20241119
PAYD//20241121
GRSS//EUR0,046
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
NEWM
//DVCA
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20241227
XDTE//20241227
PAYD//UKWN
GRSS//USD0,463177
Intrest Payment JPMORGAN CHASE 14-26 4,125% GLOB
REPL
//INTR
ISIN US46625HJZ47
JPMORGAN CHASE 14-26 4,125 GLOB
RDTE//20241213
XDTE//20241215
INPE//20240615/20241215
INTR//4,125
PAYD//20241215
INTP//2,0625
Intrest Payment BOMBARDIER INC 21-26 7,125% REGS
REPL
//INTR
CAMV//MAND
ISIN USC10602BJ59
BOMBARDIER INC 21-26 7,125 REGS
RDTE//20241213
XDTE//20241215
INPE//20240615/20241215
INTR//7,125
PAYD//20241215
INTP//3,5625
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
//DVCA
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20250129
XDTE//20250129
PAYD//20250219
GRSS//USD0,045
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
//DVCA
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241219
GRSS//USD0,045
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
//DVCA
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241227
XDTE//20241227
PAYD//20250122
GRSS//USD0,045
Cash Dividend MARRIOTT INTERNATIONAL A (NY)
NEWM
//DVCA
ISIN US5719032022
MARRIOTT INTERNATIONAL A (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241231
GRSS//USD0,63
Rights Distribution ATOS SE (PA)
NEWM
//RHDI
ISIN FR0000051732
ATOS SE (PA)
RDTE//20241113
XDTE//20241112
CRDB//CRED
ISIN FR001400THA4
ATOS SE RIGHT EX121124 (PA)
ADEX//1,/1,
PAYD//20241112
Cash Dividend ARCHER DANIELS MIDL (NY)
NEWM
//DVCA
ISIN US0394831020
ARCHER DANIELS MIDL (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,5
Cash Dividend UBIQUITI INC (NY)
NEWM
//DVCA
ISIN US90353W1036
UBIQUITI INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241125
GRSS//USD0,6
Cash Dividend INVESTOR AB-B- (ST)
REPE
//DVCA
ISIN SE0015811963
INVESTOR AB-B- (ST)
XDTE//20241108
RDTE//20241111
PAYD//20241114
GRSS//SEK1,2
Cash Dividend MAIN STREET CAPITAL CORP
REPE
//DVCA
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20241108
XDTE//20241108
PAYD//20241115
GRSS//USD0,245
Cash Dividend EXP WORLD HOLDINGS INC (NY)
NEWM
//DVCA
ISIN US30212W1009
EXP WORLD HOLDINGS INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD0,05
Cash Dividend WHEATON PRECIOUS METALS CORP (NY)
NEWM
//DVCA
ISIN CA9628791027
WHEATON PRECIOUS METALS CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241206
GRSS//USD0,155
Data: 8.11.2024
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
//DVCA
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241115
XDTE//20241114
PAYD//20241127
Cash Dividend VANGUARD INDEX FD VANG.S&P500-
REPL
//DVCA
ISIN US9229083632
VANGUARD INDEX FD VANG.S P500- (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241226
GRSS//UKWN
Cash Dividend VANECK JR GOLD MINERS-
REPL
//DVCA
ISIN US92189F7915
VANECK JR GOLD MINERS-(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241224
GRSS//UKWN
Cash Dividend ISHARES II-MS.USA QU.DIV.ESG.ETF
NEWM
//DVCA
ISIN IE00BKM4H312
ISHARES II-MS.USA QU.DIV.ESG.ETF(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,5002
Cash Dividend ISHARES MSCI LAT.AM UCI ETF USD
NEWM
//DVCA
ISIN IE00B27YCK28
ISHARES MSCI LAT.AM UCI ETF USD (LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3351
Cash Dividend ISH II GLOB.CL.ENER UC.ETF GBP
NEWM
//DVCA
ISIN IE00B1XNHC34
ISH II GLOB.CL.ENER UC.ETF GBP (LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,0589
Cash Dividend KINROSS GOLD CORP (NY)
REPL
//DVCA
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20241128
XDTE//20241128
PAYD//20241212
GRSS//USD0,03
Cash Dividend ISHARES II PLC WORLD ISLAMI USD
NEWM
//DVCA
ISIN IE00B27YCN58
ISHARES II PLC WORLD ISLAMI USD(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3366
Cash Dividend ISHS.II USD FLOAT.RATE BD.UC.ETF
NEWM
//DVCA
ISIN IE00BZ048462
ISHS.II USD FLOAT.RATE BD.UC.ETF(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,1531
Cash Dividend NUTRIEN LTD (NY)
NEWM
//DVCA
ISIN CA67077M1086
NUTRIEN LTD (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250117
GRSS//USD0,54
Cash Dividend ISHARES II GLO WAT UC ETF GBP D
NEWM
//DVCA
ISIN IE00B1TXK627
ISHARES II GLO WAT UC ETF GBP D(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3537
Dividend Reinvestment ARCELORMITTAL (AS)
NEWM
//DRIP
ISIN LU1598757687
ARCELORMITTAL (AS)
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
RTUN//1,/1,
POST//20241111
CAON//001
CAOP//CASH
DFLT//Y
CRDB//DEBT
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
PAYD//20241204
GRSS//EUR0,231803
CAON//002
CAOP//SECU
CRDB//DEBT
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
PAYD//20241204
NEWO//UKWN
Cash Dividend ISHS.EUR G.B.15-30Y U.ETF EUR D
NEWM
//DVCA
ISIN IE00B1FZS913
ISHS.EUR G.B.15-30Y U.ETF EUR D(AS)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR2,9054
Rights Distribution ARCELORMITTAL (AS)
NEWM
//RHDI
ISIN LU1598757687
ARCELORMITTAL (AS)
RDTE//20241112
XDTE//20241111
CRDB//CRED
ISIN NL0015002AX7
ARCELORMITTAL IN RIGHT EX111124(AS)
ADEX//1,/1,
PAYD//20241111
Cash Dividend ISHARES EURO GOVT BOND 3-5 ETF
NEWM
//DVCA
ISIN IE00B1FZS681
ISHARES EURO GOVT BOND 3-5 ETF (AS)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR2,1943
Cash Dividend ISH.II PLC EURO STOXX 50 UC.ETF
NEWM
//DVCA
ISIN IE0008471009
ISH.II PLC EURO STOXX 50 UC.ETF(FR)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//EUR0,1238
Cash Dividend ISH.II PLC USD TR.BD7-10Y.U.ETF
NEWM
//DVCA
ISIN IE00B1FZS798
ISH.II PLC USD TR.BD7-10Y.U.ETF (LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD3,5247
Cash Dividend ISH.GBP IDX.-LKD.GILTS UC.ETF D
NEWM
//DVCA
ISIN IE00B1FZSD53
ISH.GBP IDX.-LKD.GILTS UC.ETF D(LO)
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//GBP0,4451
Reverse Stock Split FUELCELL ENERGY INC (NY)
REPL
//REOR
//SPLR
ISIN US35952H6018
FUELCELL ENERGY INC (NY)
XDTE//20241111
PAYD//20241111
CRDB//CRED
ISIN US35952H7008
FUELCELL ENERGY INC (NY)
NEWO//1,/30,
PAYD//20241111
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
//DVCA
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,3721
Cash Dividend CAMECO CORP (NY)
NEWM
//DVCA
ISIN CA13321L1085
CAMECO CORP (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241213
GRSS//USD0,16
Dividend Reinvestment SMITH & NEPHEW PLC (LO)
NEWM
//DRIP
ISIN GB0009223206
SMITH NEPHEW PLC (LO)
RDTE//20241004
XDTE//20241003
PAYD//20241108
GRSS//USD0,144
Cash Dividend BARRICK GOLD CORP (NY)
NEWM
//DVCA
ISIN CA0679011084
BARRICK GOLD CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,1
Cash Dividend CIVITAS RESOURCES INC (NY)
NEWM
//DVCA
ISIN US17888H1032
CIVITAS RESOURCES INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD0,5
Dividend Reinvestment TATE&LYLE PLC (LO)
NEWM
//DRIP
ISIN GB00BP92CJ43
TATE LYLE PLC (LO)
RDTE//20241122
XDTE//20241121
PAYD//20250106
GRSS//GBP0,064
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20250106
Cash Dividend THERMO FISHER SCIENTIFIC (NY)
NEWM
//DVCA
ISIN US8835561023
THERMO FISHER SCIENTIFIC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250115
GRSS//USD0,39
Cash Dividend OVINTIV INC (NY)
NEWM
//DVCA
ISIN US69047Q1022
OVINTIV INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241231
GRSS//USD0,3
Cash Dividend BORGWARNER INC (NY)
NEWM
//DVCA
ISIN US0997241064
BORGWARNER INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,11
Cash Dividend HERSHEY CO /THE (NY)
NEWM
//DVCA
ISIN US4278661081
HERSHEY CO /THE (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241216
GRSS//USD1,37
Cash Dividend SOLVAY (BR)
REPL
//DVCA
ISIN BE0003470755
SOLVAY (BR)
RDTE//20250121
XDTE//20250120
PAYD//20250122
NETT//EUR0,679
Rights Distribution ZWIPE AS (OS)
NEWM
//RHDI
ISIN NO0010721277
ZWIPE AS (OS)
RDTE//20241205
XDTE//20241204
ZWIPE AS RIGHT EX041224 (OS)
ADEX//1,/1,
PAYD//UKWN
ADDINFO
ADTX//SUBSCRIPTION RIGHT:
RENO
TRDP: 20241206 - 20241216
Cash Dividend DOVER CORP (NY)
NEWM
//DVCA
ISIN US2600031080
DOVER CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,515
Cash Dividend DNO ASA (OS)
NEWM
//DVCA
ISIN NO0003921009
DNO ASA (OS)
RDTE//20241115
XDTE//20241114
PAYD//20241122
GRSS//NOK0,3125
Cash Dividend DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF
REPL
//DVCA
ISIN US25460G8318
DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF(NY
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//UKWN
Change BAUER AG (FR)
REPL
//CHAN
ISIN DE0005168108
BAUER AG (FR)
XDTE//20241125
PAYD//20241125
SECMOVE
CRDB//CRED
ISIN DE000A40ETC9
BAUER AG (FR)
NEWO//1,/1,
PAYD//20241125
ADTX//Exchange of bearer shares to registered shares.
Reverse Stock Split BLUEBIRD BIO INC (NY)
REPL
//SPLR
ISIN US09609G1004
BLUEBIRD BIO INC (NY)
XDTE//UKWN
PAYD//UKWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend FIRST MAJESTIC SILVER CORP (NY)
NEWM
//DVCA
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,0048
Cash Dividend EOG RES. INC (NY)
NEWM
//DVCA
ISIN US26875P1012
EOG RES. INC (NY)
RDTE//20250117
XDTE//20250117
PAYD//20250131
GRSS//USD0,975
Cash Dividend ENEL SPA (MI)
NEWM
//DVCA
ISIN IT0003128367
ENEL SPA (MI)
RDTE//20250121
XDTE//20250120
PAYD//20250122
GRSS//EUR0,215
Cash Dividend PROSHARES ULTRASHORT S&P500 ETF
REPL
//DVCA
ISIN US74347G4165
PROSHARES ULTRASHORT S P500 ETF(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//UKWN
Reverse Stock Split SOS LIMITED-A ADR (NY)
REPL
//SPLR
ISIN US83587W2052
SOS LIMITED-A ADR (NY)
XDTE//UKWN
PAYD//UKWN
CRDB//CRED
ISIN US83587W3043
SOS LIMITED ADR (NY)
NEWO//1,/15,
PAYD//UKWN
Cash Dividend PROSHARES ULTRAP.S.S&P500 ETF-D
NEWM
//DVCA
ISIN US74349Y8451
PROSHARES ULTRAP.S.S P500 ETF-D(NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//UKWN
Cash Dividend PROSHARES SHORT S&P500 ETF-D
NEWM
//DVCA
ISIN US74349Y7537
PROSHARES SHORT S P500 ETF-D (NY)
RDTE//20241223
XDTE//20241223
PAYD//20241231
GRSS//UKWN
Cash Dividend ISHARES S&P GLOB TIM&FORST ETF
NEWM
//DVCA
ISIN IE00B27YCF74
ISHARES S P GLOB TIM FORST ETF(GBP
RDTE//20241115
XDTE//20241114
PAYD//20241127
GRSS//USD0,2023
Intrest Payment TORONTO-DOM.BK22-29 3,631%13/12REGS
REPL
//INTR
ISIN XS2565831943
TORONTO-DOM.BK22-29 3,631 13/12REGS
RDTE//20241212
XDTE//20241213
INPE//20231213/20241213
INTR//3,631
PAYD//20241213
INTP//3,631
Intrest Payment UNITED GROUP BV 20-27 4% REGS
REPL
//INTR
ISIN XS2010029317
UNITED GROUP BV 20-27 4 REGS
RDTE//20241114
XDTE//20241115
INPE//20240515/20241115
INTR//4,
PAYD//20241115
INTP//2,
Intrest Payment KRUK SA 23-28 VAR%
REPL
//INTR
ISIN NO0012903444
KRUK SA 23-28 VAR
RDTE//20241108
XDTE//20241112
INPE//20240812/20241112
INTR//10,077
PAYD//20241112
INTP//2,575233
Cash Dividend MARKETAXESS HOLDINGS INC (NY)
NEWM
//DVCA
ISIN US57060D1081
MARKETAXESS HOLDINGS INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,74
Cash Dividend CARLYLE GROUP INC (NY)
NEWM
//DVCA
ISIN US14316J1088
CARLYLE GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241125
GRSS//USD0,35
Dividend Reinvestment J. SAINSBURY -NEW (LO)
NEWM
//DRIP
ISIN GB00B019KW72
J. SAINSBURY -NEW (LO)
RDTE//20241115
XDTE//20241114
CAON//001
CAOP//CASH
PAYD//20241220
GRSS//GBP0,039
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20241220
Cash Dividend HECLA MINING CO (NY)
REPL
//DVCA
ISIN US4227041062
HECLA MINING CO (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,00375
Dividend Reinvestment TRAVIS PERKINS (LO)
REPE
//DRIP
ISIN GB00BK9RKT01
TRAVIS PERKINS (LO)
RDTE//20241004
XDTE//20241003
CAON//001
CAOP//CASH
GRSS//GBP0,055
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20241108
Change ZOOM VIDEO COMMUNICATIONS INC (NY)
NEWM
//REOR
//CHAN
ISIN US98980L1017
ZOOM VIDEO COMMUNICATIONS INC (NY)
XDTE//UKWN
CHAN//NAME
PAYD//UKWN
NEWO//1,/1,
PAYD//UKWN
ADDINFO
ADTX//NAME CHANGE
Data: 7.11.2024
Cash Dividend UNITED RENTALS INC (NY)
NEWM
ISIN US9113631090
UNITED RENTALS INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD1,63
Cash Dividend PAYCHEX INC (NY)
REPE
ISIN US7043261079
PAYCHEX INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241127
GRSS//USD0,98
Rights Distribution UNILEVER PLC (AS)
REPE
ISIN GB00B10RZP78
UNILEVER PLC (AS)
RDTE//20241108
XDTE//20241107
ISIN NL0015002AJ6
UNILEVER PLC RIGHT EX071124 (AS)
ADEX//1,/1,
PAYD//20241107
Cash Dividend CAIXABANK S.A. (MA)
NEWM
ISIN ES0140609019
CAIXABANK S.A. (MA)
RDTE//20241106
XDTE//20241105
PAYD//20241107
GRSS//EUR0,1488
Cash Dividend AKZO NOBEL NV (AS)
NEWM
ISIN NL0013267909
AKZO NOBEL NV (AS)
RDTE//20241029
XDTE//20241028
PAYD//20241107
GRSS//EUR0,44
Cash Dividend MATSON INC (NY)
REPE
ISIN US57686G1058
MATSON INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241205
GRSS//USD0,34
Cash Dividend HENNES & MAURITZ -B FRIA (ST)
REPE
ISIN SE0000106270
HENNES MAURITZ -B FRIA (ST)
XDTE//20241107
RDTE//20241108
PAYD//20241113
GRSS//SEK3,25
Cash Dividend FORD MOTOR CO (NY)
REPE
ISIN US3453708600
FORD MOTOR CO (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241202
GRSS//USD0,15
Cash Dividend ASML HOLDING (AS)
NEWM
ISIN NL0010273215
ASML HOLDING (AS)
RDTE//20241030
XDTE//20241029
PAYD//20241107
GRSS//EUR1,52
Cash Dividend ISHARES MSCI BRAZIL ETF - D
REPL
ISIN US4642864007
ISHARES MSCI BRAZIL ETF - D(NY
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//UKWN
Rights Distribution OPTICEPT TECHNOLOGIES AB (ST)
REPL
ISIN SE0005881786
OPTICEPT TECHNOLOGIES AB (ST)
RDTE//20241108
XDTE//20241107
ISIN SE0023261128
OPTICEPT TECHNOLO.RIGHT EX071124(ST
ADEX//1,/1,
PAYD//20241112
Cash Dividend ISHARES GLOBAL REIT ETF D
REPL
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20241217
XDTE//20241217
PAYD//20241220
GRSS//UKWN
Reverse Stock Split PROSHARES SHORT S&P500 ETF D
REPL
ISIN US74347B4251
PROSHARES SHORT S P500 ETF D (NY)
XDTE//20241107
ISIN US74349Y7537
PROSHARES SHORT S P500 ETF-D (NY)
NEWO//1,/4,
PAYD//20241107
Cash Dividend SOLVAY (BR)
NEWM
ISIN BE0003470755
SOLVAY (BR)
RDTE//UKWN
XDTE//UKWN
PAYD//20250122
NETT//EUR0,679
Cash Dividend UNITED PARCEL SERVICE - CL B (NY)
NEWM
ISIN US9113121068
UNITED PARCEL SERVICE - CL B (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241205
GRSS//USD1,63
Cash Dividend HSBC HOLD. PLC (LO)
REPE
ISIN GB0005405286
HSBC HOLD. PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241219
GRSS//USD0,1
Cash Dividend UNITEDHEALTH GROUP INC (NY)
NEWM
ISIN US91324P1021
UNITEDHEALTH GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241217
GRSS//USD2,1
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241202
XDTE//20241202
PAYD//20241205
GRSS//UKWN
Cash Dividend VANGUARD FTSE PACIFIC ETF D
REPL
ISIN US9220428661
VANGUARD FTSE PACIFIC ETF D (NY)
RDTE//20241220
XDTE//20241220
PAYD//20241224
GRSS//UKWN
Cash Dividend ASML HOLDING NY-REG. ADR (NY)
REPL
ISIN USN070592100
ASML HOLDING NY-REG. ADR (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241107
GRSS//USD1,641356
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241129
GRSS//USD0,04
Dividend Reinvestment MARKS AND SPENCER GROUP PLC (LO)
NEWM
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20250110
GRSS//GBP0,01
ISIN GB0031274896
MARKS AND SPENCER GROUP PLC (LO)
ADEX//UKWN
PAYD//20250110
Cash Dividend KINROSS GOLD CORP (NY)
NEWM
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20241128
XDTE//20241127
PAYD//20241212
GRSS//USD0,03
Cash Dividend MICROCHIP TECHNOLOGY INC (NY)
NEWM
ISIN US5950171042
MICROCHIP TECHNOLOGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241206
GRSS//USD0,455
Cash Dividend BANK OF IRELAND GROUP PLC (DU)
NEWM
ISIN IE00BD1RP616
BANK OF IRELAND GROUP PLC (DU)
RDTE//20241011
XDTE//20241010
PAYD//20241107
GRSS//EUR0,35
Cash Dividend NOBLE CORPORATION PLC -A(NY)
NEWM
ISIN GB00BMXNWH07
NOBLE CORPORATION PLC -A(NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,5
Cash Dividend OCCIDENTAL PETROLEUM (NY)
NEWM
ISIN US6745991058
OCCIDENTAL PETROLEUM (NY)
RDTE//20241210
XDTE//20241210
PAYD//20250115
GRSS//USD0,22
Cash Dividend PAN AMERICAN SILVER (NY)
NEWM
ISIN CA6979001089
PAN AMERICAN SILVER (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241129
GRSS//USD0,1
Cash Dividend MOWI ASA (OS)
NEWM
ISIN NO0003054108
MOWI ASA (OS)
RDTE//20241119
XDTE//20241118
PAYD//20241125
GRSS//NOK1,5
Change BAUER AG (FR)
NEWM
ISIN DE0005168108
BAUER AG (FR)
XDTE//20241125
NKNOWN
NEWO//1,/1,
PAYD//20241125
Redemption MAXEON SOLAR TECHNOLOGIES LIMI (NY)
NEWM
ISIN SGXZ57724486
MAXEON SOLAR TECHNOLOGIES LIMI (NY)
PAYD//20241107
OFFR//ACTU/USD5,885303
Data: 6.11.2024
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
NEWM
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241101
XDTE//20241101
PAYD//20241106
GRSS//USD0,165327
Cash Dividend NCC AB-B (ST)
REPE
ISIN SE0000117970
NCC AB-B (ST)
XDTE//20241106
RDTE//20241107
PAYD//20241112
GRSS//SEK4,
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
NEWM
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241106
GRSS//USD0,310541
Cash Dividend NATURGY ENERGY GROUP SA (MA)
NEWM
ISIN ES0116870314
NATURGY ENERGY GROUP SA (MA)
RDTE//20241105
XDTE//20241104
PAYD//20241106
GRSS//EUR0,5
Cash Dividend LOWE'S COMPANIES (NY)
NEWM
ISIN US5486611073
LOWE'S COMPANIES (NY)
RDTE//20241023
XDTE//20241023
PAYD//20241106
GRSS//USD1,15
Cash Dividend EQT CORP (NY)
REPE
ISIN US26884L1098
EQT CORP (NY)
RDTE//20241106
XDTE//20241106
PAYD//20241202
GRSS//USD0,1575
Cash Dividend DEVON ENERGY CORP (NY)
NEWM
ISIN US25179M1036
DEVON ENERGY CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,22
Cash Dividend COMERICA INC (NY)
NEWM
ISIN US2003401070
COMERICA INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250101
GRSS//USD0,71
Cash Dividend PRUDENTIAL FINANCIAL INC (NY)
NEWM
ISIN US7443201022
PRUDENTIAL FINANCIAL INC (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241212
GRSS//USD1,3
Cash Dividend BRITISH AMERICAN TOB -SP ADR (NY)
NEWM
ISIN US1104481072
BRITISH AMERICAN TOB -SP ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241106
GRSS//USD0,762702
Cash Dividend CARDINAL HEALTH INC (NY)
NEWM
ISIN US14149Y1082
CARDINAL HEALTH INC (NY)
RDTE//20250102
XDTE//20250102
PAYD//20250115
GRSS//USD0,5056
Spin Off FOMENTO CONSTR CONTR (1EURO) (MA)
REPL
ISIN ES0122060314
FOMENTO CONSTR CONTR (1EURO) (MA)
RDTE//20241111
XDTE//20241108
ISIN ES0105836003
INMOCEMENTO SA (MA)
ADEX//1,/1,
PAYD//20241112
Cash Dividend COLOPLAST AS -B- (CO)
NEWM
ISIN DK0060448595
COLOPLAST AS -B- (CO)
XDTE//20241206
RDTE//20241209
PAYD//20241210
GRSS//DKK17,
Cash Dividend DIAMONDBACK ENERGY INC (NY)
NEWM
ISIN US25278X1090
DIAMONDBACK ENERGY INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241121
GRSS//USD0,9
Cash Dividend EMERSON ELECTRIC CO (NY)
NEWM
ISIN US2910111044
EMERSON ELECTRIC CO (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD0,5275
Reverse Stock Split SOS LIMITED-A ADR (NY)
REPL
ISIN US83587W2052
SOS LIMITED-A ADR (NY)
XDTE//UKWN
ISIN US83587W3043
SOS LIMITED ADR (NY)
NEWO//1,/150,
PAYD//UKWN
Redemption FARADAY FUTURE INTEL ELECTRIC (NY)
NEWM
ISIN US3073598852
FARADAY FUTURE INTEL ELECTRIC (NY)
XDTE//20241106
PAYD//20241106
OFFR//ACTU/USD2,020175
Cash Dividend WILLIAMS COMPANIES (NY)
NEWM
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,475
Cash Dividend 3M CO (NY)
NEWM
ISIN US88579Y1010
3M CO (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241212
GRSS//USD0,7
Cash Dividend VIATRIS INC (NY)
NEWM
ISIN US92556V1061
VIATRIS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241213
GRSS//USD0,12
Dividend Reinvestment ASSOCIATED BRITISH FOODS PLC (LO)
NEWM
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
RDTE//20241213
XDTE//20241212
PAYD//20250110
GRSS//GBP0,693
ISIN GB0006731235
ASSOCIATED BRITISH FOODS PLC (LO)
ADEX//UKWN
PAYD//20250110
Cash Dividend NINTENDO (FR)
NEWM
ISIN JP3756600007
NINTENDO (FR)
RDTE//20250331
XDTE//20250328
PAYD//20250630
GRSS//JPY94,
Cash Dividend MAIN STREET CAPITAL CORP
NEWM
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20250207
XDTE//20250207
PAYD//20250214
GRSS//USD0,25
Data: 5.11.2024
Cash Dividend TELIA COMPANY AB (ST)
NEWM
ISIN SE0000667925
TELIA COMPANY AB (ST)
XDTE//20241030
RDTE//20241031
PAYD//20241105
GRSS//SEK0,5
Cash Dividend WARRIOR MET COAL INC (NY)
REPE
ISIN US93627C1018
WARRIOR MET COAL INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241112
GRSS//USD0,08
Cash Dividend METLIFE INC (NY)
REPE
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241216
GRSS//USD0,545
Cash Dividend PNC FINANCIAL SERVICES GROUP (NY)
NEWM
ISIN US6934751057
PNC FINANCIAL SERVICES GROUP (NY)
RDTE//20241016
XDTE//20241016
PAYD//20241105
GRSS//USD1,6
Cash Dividend VAR ENERGI ASA (OS)
NEWM
ISIN NO0011202772
VAR ENERGI ASA (OS)
RDTE//20241029
XDTE//20241028
PAYD//20241105
GRSS//NOK1,18
Intrest Payment BOMBARDIER INC 21-26 7,125% REGS
NEWM
ISIN USC10602BJ59
BOMBARDIER INC 21-26 7,125 REGS
XDTE//20241215
RDTE//20241213
PAYD//20241215
INTP//3,5625
Intrest Payment JPMORGAN CHASE 14-26 4,125% GLOB
NEWM
ISIN US46625HJZ47
JPMORGAN CHASE 14-26 4,125 GLOB
XDTE//20241215
RDTE//20241213
PAYD//20241215
INTP//2,0625
Intrest Payment ROMANIA 18-48 5,125% REGS
NEWM
ISIN XS1837994794
ROMANIA 18-48 5,125 REGS
XDTE//20241215
RDTE//20241213
PAYD//20241215
INTP//2,5625
Intrest Payment BANK OF AMERI.CORP 97-27 8.05% SUB
NEWM
ISIN US06051GHP72
BANK OF AMERI.CORP 97-27 8.05 SUB
XDTE//20241215
RDTE//20241213
PAYD//20241215
INTP//4,025
Cash Dividend AFFILIATED MANAGERS GR. (NY)
NEWM
ISIN US0082521081
AFFILIATED MANAGERS GR. (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241129
GRSS//USD0,01
Cash Dividend YUM CHINA HOLDINGS INC (NY)
NEWM
ISIN US98850P1093
YUM CHINA HOLDINGS INC (NY)
RDTE//20241126
XDTE//20241125
PAYD//20241217
GRSS//USD0,16
Cash Dividend AMERICAN INTERNATIONAL GROUP INC(NY
NEWM
ISIN US0268747849
AMERICAN INTERNATIONAL GROUP INC(NY
RDTE//20241216
XDTE//20241216
PAYD//20241230
GRSS//USD0,4
Intrest Payment KRUK SA 23-28 VAR%
REPL
ISIN NO0012903444
KRUK SA 23-28 VAR
RDTE//20241108
XDTE//20241112
PAYD//20241112
INTP//UKWN
Rights Distribution HEXAGON PURUS ASA (OS)
NEWM
ISIN NO0010904923
HEXAGON PURUS ASA (OS)
RDTE//20241101
XDTE//20241031
/XX/1136658000
HEXAGON PURUS A.EX311024 (OS)
ADEX//UKWN
PAYD//UKWN
Cash Dividend BP PLC ADR (NY)
REPL
ISIN US0556221044
BP PLC ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241220
GRSS//USD0,48
Cash Dividend SIRIUS XM HOLDING INC (NY)
REPE
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241121
GRSS//USD0,27
Cash Dividend CONSTELLATION ENERGY CORP (NY)
NEWM
ISIN US21037T1097
CONSTELLATION ENERGY CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD0,3525
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
NEWM
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20241220
XDTE//20241219
PAYD//20250203
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20250203
Data: 4.11.2024
Change IRIS ENERGY LTD (NY)
NEWM
ISIN AU0000185993
IRIS ENERGY LTD (NY)
EFFD//UKWN
CHAN//NAME
Cash Dividend ADVANSIX INC (NY)
NEWM
ISIN US00773T1016
ADVANSIX INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241126
GRSS//USD0,16
Cash Dividend SIMON PROPERTY GROUP INC (NY)
NEWM
ISIN US8288061091
SIMON PROPERTY GROUP INC (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241230
GRSS//USD2,1
Cash Dividend MERCER INTL INC -SBI (NY)
NEWM
ISIN US5880561015
MERCER INTL INC -SBI (NY)
RDTE//20241218
XDTE//20241218
PAYD//20241226
GRSS//USD0,075
Intrest Payment TORONTO-DOM.BK22-29 3,631%13/12REGS
NEWM
ISIN XS2565831943
TORONTO-DOM.BK22-29 3,631 13/12REGS
XDTE//20241213
RDTE//20241212
PAYD//20241213
INTP//3,631
Cash Dividend T ROWE PRICE GROUP INC (NY)
NEWM
ISIN US74144T1088
T ROWE PRICE GROUP INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD1,24
Cash Dividend ABM INDUSTRIES INC (NY)
NEWM
ISIN US0009571003
ABM INDUSTRIES INC (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241104
GRSS//USD0,225
Cash Dividend BLACKSTONE INC (NY)
NEWM
ISIN US09260D1072
BLACKSTONE INC (NY)
RDTE//20241028
XDTE//20241028
PAYD//20241104
GRSS//USD0,86
Cash Dividend SYNCHRONY FINANCIAL (NY)
REPE
ISIN US87165B1035
SYNCHRONY FINANCIAL (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241115
GRSS//USD0,25
Cash Dividend BAKER HUGHES COMPANY(NY)
REPE
ISIN US05722G1004
BAKER HUGHES COMPANY(NY)
RDTE//20241104
XDTE//20241104
PAYD//20241114
GRSS//USD0,21
Cash Dividend KKR&CO INC (NY)
REPE
ISIN US48251W1045
KKR CO INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241119
GRSS//USD0,175
Cash Dividend NOKIA CORP-ADR UN.1SH (NY)
REPL
ISIN US6549022043
NOKIA CORP-ADR UN.1SH (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241105
GRSS//USD0,032601
Cash Dividend BRITISH AMERICAN TOB -SP ADR (NY)
REPL
ISIN US1104481072
BRITISH AMERICAN TOB -SP ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241106
GRSS//USD0,762702
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
REPL
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
RDTE//20241206
XDTE//20241209
PAYD//20241209
INTP//3,1875
Intrest Payment SYNTHOS SA 21-28 2,5% REGS
REPL
ISIN XS2348767836
SYNTHOS SA 21-28 2,5 REGS
RDTE//20241206
XDTE//20241207
PAYD//20241207
INTP//1,25
Cash Dividend APPLE INC (NY)
NEWM
ISIN US0378331005
APPLE INC (NY)
RDTE//20241111
XDTE//20241108
PAYD//20241114
GRSS//USD0,25
Cash Dividend COMCAST CORP CL-A (NY)
NEWM
ISIN US20030N1019
COMCAST CORP CL-A (NY)
RDTE//20250108
XDTE//20250108
PAYD//20250129
GRSS//USD0,31
Cash Dividend COTERRA ENERGY INC (NY)
NEWM
ISIN US1270971039
COTERRA ENERGY INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241127
GRSS//USD0,21
Cash Dividend EXXON MOBIL CORP (NY)
NEWM
ISIN US30231G1022
EXXON MOBIL CORP (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241210
GRSS//USD0,99
Cash Dividend EATON CORPORATION PUBLIC LTD C (NY)
REPE
ISIN IE00B8KQN827
EATON CORPORATION PUBLIC LTD C (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD0,94
Cash Dividend CITIGROUP INC (NY)
REPE
ISIN US1729674242
CITIGROUP INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD0,56
Rights Distribution APERAM SA (AS)
NEWM
ISIN LU0569974404
APERAM SA (AS)
RDTE//20241112
XDTE//20241111
ISIN NL0015002AY5
APERAM SA RIGHT EX111124/4 (AS)
ADEX//1,/1,
PAYD//20241111
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
NEWM
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241223
GRSS//USD0,36
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
NEWM
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20240927
XDTE//20240926
PAYD//20241101
GRSS//GBP0,5888
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPE
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241101
XDTE//20241101
PAYD//20241106
GRSS//USD0,0743
Rights Distribution SHELL PLC (AS)
NEWM
ISIN GB00BP6MXD84
SHELL PLC (AS)
RDTE//20241115
XDTE//20241114
ISIN NL0015002AR9
SHELL PLC RIGHT EX141124 (AS)
ADEX//1,/1,
PAYD//20241114
Cash Dividend GEN DIGITAL (NY)
NEWM
ISIN US6687711084
GEN DIGITAL (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241211
GRSS//USD0,125
Cash Dividend CHEVRON CORP (NY)
NEWM
ISIN US1667641005
CHEVRON CORP (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241210
GRSS//USD1,63
Cash Dividend OMEGA HEALTHCARE INV. (NY)
REPE
ISIN US6819361006
OMEGA HEALTHCARE INV. (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241115
GRSS//USD0,67
Reverse Stock Split FUELCELL ENERGY INC (NY)
REPL
ISIN US35952H6018
FUELCELL ENERGY INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/30,
PAYD//UKWN
Cash Dividend MAGNA INT. CL- A (NY)
NEWM
ISIN CA5592224011
MAGNA INT. CL- A (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,475
Cash Dividend INDUSTRIA DE DISENO TEXTIL (MA)
NEWM
ISIN ES0148396007
INDUSTRIA DE DISENO TEXTIL (MA)
RDTE//20241101
XDTE//20241031
PAYD//20241104
GRSS//EUR0,77
Data: 1.11.2024
Rights Distribution IDEX BIOMETRICS ASA (OS)
REPL
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
XX/1134663000
IDEX BIOMETRICS RIGHT EX170924 (OS)
ADEX//UKWN
PAYD//UKWN
Cash Dividend MORGAN STANLEY (NY)
REPE
ISIN US6174464486
MORGAN STANLEY (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,925
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
REPL
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20241231
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//UKWN
PAYD//20250106
Cash Dividend GARMIN LTD (NY)
REPL
ISIN CH0114405324
GARMIN LTD (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD0,75
Cash Dividend EXELON CORP (NY)
NEWM
ISIN US30161N1019
EXELON CORP (NY)
RDTE//20241111
XDTE//20241108
PAYD//20241213
GRSS//USD0,38
Cash Dividend GLOBAL PAYMENTS INC (NY)
NEWM
ISIN US37940X1028
GLOBAL PAYMENTS INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241227
GRSS//USD0,25
Cash Dividend GSK PLC - ADR (NY)
NEWM
ISIN US37733W2044
GSK PLC - ADR (NY)
RDTE//20241115
XDTE//20241115
PAYD//20250109
GRSS//USD0,389052
Cash Dividend IBM (NY)
NEWM
ISIN US4592001014
IBM (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241210
GRSS//USD1,67
Cash Dividend KLAVENESS COMBINATION CARRIERS (OS)
NEWM
ISIN NO0010833262
KLAVENESS COMBINATION CARRIERS (OS)
RDTE//20241106
XDTE//20241105
PAYD//20241120
GRSS//USD0,3
Cash Dividend MARATHON OIL CORP (NY)
NEWM
ISIN US5658491064
MARATHON OIL CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD0,11
Cash Dividend NATURGY ENERGY GROUP SA (MA)
NEWM
ISIN ES0116870314
NATURGY ENERGY GROUP SA (MA)
RDTE//20241105
XDTE//20241104
PAYD//20241106
GRSS//EUR0,5
Cash Dividend BOOKING HOLDINGS INC (NY)
NEWM
ISIN US09857L1089
BOOKING HOLDINGS INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241231
GRSS//USD8,75
Cash Dividend GENERAL MILLS INC (NY)
NEWM
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,6
Intrest Payment BOEING CO 20-50 5,805%
NEWM
ISIN US097023CW33
BOEING CO 20-50 5,805
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//2,9025
Intrest Payment GOLDMAN SACHS G 06-36 6.45% SUB
NEWM
ISIN US38143YAC75
GOLDMAN SACHS G 06-36 6.45 SUB
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//3,225
Cash Dividend LAMB WESTON HLDGS INC (NY)
REPE
ISIN US5132721045
LAMB WESTON HLDGS INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241129
GRSS//USD0,36
Cash Dividend ALLY FINANCIAL INC (NY)
REPE
ISIN US02005N1000
ALLY FINANCIAL INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD0,3
Cash Dividend PENTAIR PLC (NY)
NEWM
ISIN IE00BLS09M33
PENTAIR PLC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241101
GRSS//USD0,23
Cash Dividend BRISTOL-MYERS SQUIBB (NY)
NEWM
ISIN US1101221083
BRISTOL-MYERS SQUIBB (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241101
GRSS//USD0,6
Cash Dividend BANK OF NEW YORK MELLON CORP(NY)
NEWM
ISIN US0640581007
BANK OF NEW YORK MELLON CORP(NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,47
Cash Dividend LINCOLN NATIONAL (NY)
NEWM
ISIN US5341871094
LINCOLN NATIONAL (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,45
Cash Dividend RITHM CAPITAL CORP - REIT (NY)
NEWM
ISIN US64828T2015
RITHM CAPITAL CORP - REIT (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241101
GRSS//USD0,25
Cash Dividend NORFOLK SOUTHERN (NY)
REPE
ISIN US6558441084
NORFOLK SOUTHERN (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241120
GRSS//USD1,35
Cash Dividend CVS HEALTH CORP (NY)
NEWM
ISIN US1266501006
CVS HEALTH CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,665
Cash Dividend COSTCO WHOLESALE CORP (NY)
REPE
ISIN US22160K1051
COSTCO WHOLESALE CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD1,16
Cash Dividend DELL TECHNOLOGIES INC (NY)
NEWM
ISIN US24703L2025
DELL TECHNOLOGIES INC (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241101
GRSS//USD0,445
Cash Dividend AT&T INC (NY)
NEWM
ISIN US00206R1023
AT T INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,2775
Cash Dividend VERIZON COMMUNICATIONS INC (NY)
NEWM
ISIN US92343V1044
VERIZON COMMUNICATIONS INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,6775
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
NEWM
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241101
GRSS//USD0,15
Cash Dividend PBF ENERGY INC -A- (NY)
NEWM
ISIN US69318G1067
PBF ENERGY INC -A- (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD0,275
Cash Dividend POOL CORP (NY)
NEWM
ISIN US73278L1052
POOL CORP (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD1,2
Cash Dividend HF SINCLAIR CORPORATION (NY)
NEWM
ISIN US4039491000
HF SINCLAIR CORPORATION (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241204
GRSS//USD0,5
Cash Dividend WENDY'S CO/THE (NY)
NEWM
ISIN US95058W1009
WENDY'S CO/THE (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,25
Cash Dividend NCC AB-B (ST)
REPL
ISIN SE0000117970
NCC AB-B (ST)
XDTE//20241106
RDTE//20241107
PAYD//20241112
GRSS//SEK4,
Merger VOLUE ASA (OS)
REPL
ISIN NO0010894603
VOLUE ASA (OS)
RDTE//20241101
XDTE//20241105
PAYD//20241105
OFFR//ACTU/NOK42,
Intrest Payment UNITED STATES TREASURY 23-43 4,75%
REPL
ISIN US912810TW80
UNITED STATES TREASURY 23-43 4,75
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,375
Cash Dividend HAWKINS INC (NY)
NEWM
ISIN US4202611095
HAWKINS INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,18
Cash Dividend ONEOK INC (NY)
REPE
ISIN US6826801036
ONEOK INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241114
GRSS//USD0,99
Cash Dividend INTESA SANPAOLO (MI)
NEWM
ISIN IT0000072618
INTESA SANPAOLO (MI)
RDTE//20241119
XDTE//20241118
PAYD//20241120
GRSS//EUR0,17
Cash Dividend SHELL PLC - ADR (NY)
NEWM
ISIN US7802593050
SHELL PLC - ADR (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241219
GRSS//USD0,688
Cash Dividend ESTEE LAUDER COMPANIES INC 'A' (NY)
NEWM
ISIN US5184391044
ESTEE LAUDER COMPANIES INC 'A' (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,35
Cash Dividend ING GROEP N.V. (AS)
NEWM
ISIN NL0011821202
ING GROEP N.V. (AS)
RDTE//20250109
XDTE//20250108
PAYD//20250116
GRSS//UKWN
Cash Dividend ORGANON&CO (NY)
NEWM
ISIN US68622V1061
ORGANON CO (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241212
GRSS//USD0,28
Cash Dividend KIMCO REALTY CORP (NY)
NEWM
ISIN US49446R1095
KIMCO REALTY CORP (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
GRSS//USD0,25
Cash Dividend WK KELLOGG CO (NY)
NEWM
ISIN US92942W1071
WK KELLOGG CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,16
Cash Dividend UNITED STATES STEEL CORP (NY)
NEWM
ISIN US9129091081
UNITED STATES STEEL CORP (NY)
RDTE//20241111
XDTE//20241108
PAYD//20241211
GRSS//USD0,05
Cash Dividend AMCOR PLC (NY)
NEWM
ISIN JE00BJ1F3079
AMCOR PLC (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241211
GRSS//USD0,1275
Cash Dividend EBAY INC (NY)
NEWM
ISIN US2786421030
EBAY INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,27
Cash Dividend DOMINION ENERGY INC (NY)
NEWM
ISIN US25746U1097
DOMINION ENERGY INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241220
GRSS//USD0,6675
Cash Dividend CONOCOPHILLIPS (NY)
NEWM
ISIN US20825C1045
CONOCOPHILLIPS (NY)
RDTE//20241111
XDTE//20241108
PAYD//20241202
GRSS//USD0,78
Cash Dividend COGNIZANT TECHNOL.SOL. CORP -A (NY)
NEWM
ISIN US1924461023
COGNIZANT TECHNOL.SOL. CORP -A (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241127
GRSS//USD0,3
Cash Dividend AES CORP (NY)
REPE
ISIN US00130H1059
AES CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD0,1725
Cash Dividend HEXCEL CORP (NY)
REPE
ISIN US4282911084
HEXCEL CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241108
GRSS//USD0,15
Capital distribution REPSOL SA (MA)
NEWM
ISIN ES0173516115
REPSOL SA (MA)
RDTE//20250113
XDTE//20250110
PAYD//20250114
GRSS//EUR0,45
Cash Dividend TOTAL ENERGIES SE(PA)
NEWM
ISIN FR0000120271
TOTAL ENERGIES SE(PA)
RDTE//20250327
XDTE//20250326
PAYD//20250401
GRSS//EUR0,79
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPE
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241106
GRSS//USD0,310541
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPE
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241101
XDTE//20241101
PAYD//20241106
GRSS//USD0,165327
Cash Dividend CAIXABANK S.A. (MA)
NEWM
ISIN ES0140609019
CAIXABANK S.A. (MA)
RDTE//20241106
XDTE//20241105
PAYD//20241107
GRSS//EUR0,1488
Cash Dividend AGNICO-EAGLE MINES (NY)
NEWM
ISIN CA0084741085
AGNICO-EAGLE MINES (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,4
Intrest Payment BOMBARDIER 04-34 7,45% REGS
NEWM
ISIN USC10602AJ68
BOMBARDIER 04-34 7,45 REGS
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//3,725
Data: 31.10.2024
Cash Dividend NVENT ELECTRIC PLC (NY)
REPE
ISIN IE00BDVJJQ56
NVENT ELECTRIC PLC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241101
GRSS//USD0,19
Cash Dividend CLEARWAY ENERGY INC -C- (NY)
NEWM
ISIN US18539C2044
CLEARWAY ENERGY INC -C- (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,424
Capital distribution PROSUS N.V. (AS)
REPE
ISIN NL0013654783
PROSUS N.V. (AS)
RDTE//20241101
XDTE//20241031
PAYD//20241126
GRSS//EUR0,1
Cash Dividend ENBRIDGE INC (NY)
NEWM
ISIN CA29250N1050
ENBRIDGE INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241201
GRSS//USD0,915
Cash Dividend ELECTRONIC ARTS INC (NY)
NEWM
ISIN US2855121099
ELECTRONIC ARTS INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241218
GRSS//USD0,19
Change VOLUE ASA (OS)
NEWM
ISIN NO0010894603
VOLUE ASA (OS)
EFFD//UKWN
CHAN//NAME
ADTX//NAME CHANGE
NEW NAME: VOLUE AS.
Cash Dividend GULF KEYSTONE PETROLEUM (LO)
REPE
ISIN BMG4209G2077
GULF KEYSTONE PETROLEUM (LO)
RDTE//20241018
XDTE//20241017
PAYD//20241031
GRSS//GBP0,07113
Cash Dividend XTR. EURO STXX.QUA.DIV.UC.ETF
NEWM
ISIN LU0292095535
XTR. EURO STXX.QUA.DIV.UC.ETF (MI)
RDTE//20241114
XDTE//20241113
PAYD//20241129
GRSS//EUR0,1371
Cash Dividend MAPFRE SA (MA)
NEWM
ISIN ES0124244E34
MAPFRE SA (MA)
RDTE//20241128
XDTE//20241127
PAYD//20241129
GRSS//EUR0,065
Cash Dividend EXPAND ENERGY CORPORATION (NY)
NEWM
ISIN US1651677353
EXPAND ENERGY CORPORATION (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241204
GRSS//USD0,575
Cash Dividend CINTAS CORP (NY)
NEWM
ISIN US1729081059
CINTAS CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241213
GRSS//USD0,39
Cash Dividend ALPHABET INC -C- (NY)
NEWM
ISIN US02079K1079
ALPHABET INC -C- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Cash Dividend CURIOSITYSTREAM INC -A- (NY)
NEWM
ISIN US23130Q1076
CURIOSITYSTREAM INC -A- (NY)
RDTE//20241012
XDTE//20241011
PAYD//20241031
GRSS//USD0,025
Intrest Payment US TREASURY N/B 23-30 4.875%
NEWM
ISIN US91282CJG78
US TREASURY N/B 23-30 4.875
RDTE//20241030
XDTE//20241031
PAYD//20241031
INTP//2,4375
Cash Dividend EOG RES. INC (NY)
NEWM
ISIN US26875P1012
EOG RES. INC (NY)
RDTE//20241017
XDTE//20241017
PAYD//20241031
GRSS//USD0,91
Cash Dividend EDISON INTERNATIONAL (NY)
NEWM
ISIN US2810201077
EDISON INTERNATIONAL (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241031
GRSS//USD0,78
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241031
GRSS//USD0,04
Cash Dividend DELTA AIR LINES INC -W/I (NY)
NEWM
ISIN US2473617023
DELTA AIR LINES INC -W/I (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241031
GRSS//USD0,15
Cash Dividend B2 IMPACT ASA (NO)
NEWM
ISIN NO0010633951
B2 IMPACT ASA (NO)
RDTE//20241024
XDTE//20241023
PAYD//20241031
GRSS//NOK0,6
Cash Dividend TARGA RESOURCES CORP (NY)
REPE
ISIN US87612G1013
TARGA RESOURCES CORP (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,75
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,123333
Cash Dividend TGS ASA (OS)
REPE
ISIN NO0003078800
TGS ASA (OS)
RDTE//20241101
XDTE//20241031
PAYD//20241114
GRSS//NOK1,53
Cash Dividend ZIMMER BIOMET HOLDINGS INC (NY)
NEWM
ISIN US98956P1021
ZIMMER BIOMET HOLDINGS INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241031
GRSS//USD0,24
Cash Dividend KINDER MORGAN INC (NY)
REPE
ISIN US49456B1017
KINDER MORGAN INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,2875
Cash Dividend TEXAS INSTRUMENTS (NY)
REPE
ISIN US8825081040
TEXAS INSTRUMENTS (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241112
GRSS//USD1,36
Cash Dividend ZOETIS INC (NY)
REPE
ISIN US98978V1035
ZOETIS INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241203
GRSS//USD0,432
Cash Dividend STRYKER CORP (NY)
NEWM
ISIN US8636671013
STRYKER CORP (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241031
GRSS//USD0,8
Cash Dividend MARVELL TECHNOLOGY INC (NY)
NEWM
ISIN US5738741041
MARVELL TECHNOLOGY INC (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241031
GRSS//USD0,06
Cash Dividend VERALTO CORPORATION (NY)
NEWM
ISIN US92338C1036
VERALTO CORPORATION (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241031
GRSS//USD0,09
Cash Dividend JPMORGAN CHASE & CO (NY)
NEWM
ISIN US46625H1005
JPMORGAN CHASE CO (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241031
GRSS//USD1,25
Cash Dividend ESSENTIAL UTILITIES INC (NY)
NEWM
ISIN US29670G1022
ESSENTIAL UTILITIES INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241202
GRSS//USD0,3255
Cash Dividend HUNTINGTON INGALLS INDUSTRIES (NY)
NEWM
ISIN US4464131063
HUNTINGTON INGALLS INDUSTRIES (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD1,35
Cash Dividend ONEMAIN HLDGS INC (NY)
NEWM
ISIN US68268W1036
ONEMAIN HLDGS INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241118
GRSS//USD1,04
Cash Dividend VISTRA CORP (NY)
NEWM
ISIN US92840M1027
VISTRA CORP (NY)
RDTE//20241220
XDTE//20241220
PAYD//20241231
GRSS//USD0,2215
Cash Dividend OSHKOSH CORP (NY)
NEWM
ISIN US6882392011
OSHKOSH CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,46
Cash Dividend ARES CAPITAL CORP (NY)
NEWM
ISIN US04010L1035
ARES CAPITAL CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20241230
GRSS//USD0,48
Cash Dividend THE KRAFT HEINZ COMPANY (NY)
NEWM
ISIN US5007541064
THE KRAFT HEINZ COMPANY (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241227
GRSS//USD0,4
Cash Dividend VALERO ENERGY CORP (NY)
NEWM
ISIN US91913Y1001
VALERO ENERGY CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241220
GRSS//USD1,07
Cash Dividend AKER BP ASA (NO)
NEWM
ISIN NO0010345853
AKER BP ASA (NO)
RDTE//20241105
XDTE//20241104
PAYD//20241113
GRSS//NOK6,5946
Cash Dividend ABBVIE INC (NY)
NEWM
ISIN US00287Y1091
ABBVIE INC (NY)
RDTE//20250115
XDTE//20250115
PAYD//20250214
GRSS//USD1,64
Cash Dividend ALPHABET --- SHS -A- (NY)
NEWM
ISIN US02079K3059
ALPHABET --- SHS -A- (NY)
RDTE//20241209
XDTE//20241209
PAYD//20241216
GRSS//USD0,2
Cash Dividend STEPHAN CO (NY)
NEWM
ISIN US8585861003
STEPHAN CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,385
Cash Dividend STURM RUGER AND CO (NY)
NEWM
ISIN US8641591081
STURM RUGER AND CO (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD0,11
Cash Dividend VISA INC -CL A (NY)
NEWM
ISIN US92826C8394
VISA INC -CL A (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241202
GRSS//USD0,59
Cash Dividend REDEIA CORPORACION S.A. (MA)
NEWM
ISIN ES0173093024
REDEIA CORPORACION S.A. (MA)
RDTE//20250106
XDTE//20250103
PAYD//20250107
GRSS//EUR0,2
Cash Dividend WOLTERS-KLUWER (AS)
NEWM
ISIN NL0000395903
WOLTERS-KLUWER (AS)
RDTE//20250827
XDTE//20250826
PAYD//20250918
GRSS//UKWN
Cash Dividend INTL FLAVORS FRAGRANC (NY)
NEWM
ISIN US4595061015
INTL FLAVORS FRAGRANC (NY)
RDTE//20241220
XDTE//20241220
PAYD//20250108
GRSS//USD0,4
Dividend Reinvestment GSK PLC (LO)
REPL
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20241115
XDTE//20241114
PAYD//20250109
GRSS//GBP0,15
ISIN GB00BN7SWP63
GSK PLC (LO)
ADEX//UKWN
PAYD//20250109
Data: 30.10.2024
Cash Dividend BANCO SANTANDER SA (MA)
REPE
ISIN ES0113900J37
BANCO SANTANDER SA (MA)
RDTE//20241031
XDTE//20241030
PAYD//20241101
GRSS//EUR0,1
Cash Dividend TELIA COMPANY AB (ST)
REPE
ISIN SE0000667925
TELIA COMPANY AB (ST)
XDTE//20241030
RDTE//20241031
PAYD//20241105
GRSS//SEK0,5
Cash Dividend AMER EAGLE OUTFITTERS (NY)
NEWM
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241030
GRSS//USD0,125
Cash Dividend B&G FOODS INC -A (NY)
NEWM
ISIN US05508R1068
B G FOODS INC -A (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241030
GRSS//USD0,19
Cash Dividend BANK OF NOVA SCOTIA (NY)
NEWM
ISIN CA0641491075
BANK OF NOVA SCOTIA (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241029
GRSS//USD0,761324
Redemption SIRIUS XM HOLDING INC (NY)
NEWM
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
XDTE//20241030
PAYD//20241030
OFFR//ACTU/USD23,510077
Merger CENTAMIN PLC (LO)
REPL
ISIN JE00B5TT1872
CENTAMIN PLC (LO)
XDTE//UKWN
PAYD//UKWN
ISIN GB00BRXH2664
ANGLOGOLD ASHANTI LIMITED (LO)
NEWO//0,06983/1,
PAYD//UKWN
Cash Dividend AMERICAN WATER WORKS CO INC (NY)
NEWM
ISIN US0304201033
AMERICAN WATER WORKS CO INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241203
GRSS//USD0,765
Cash Dividend MSCI INC-A (NY)
NEWM
ISIN US55354G1004
MSCI INC-A (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD1,6
Cash Dividend DR HORTON INC (NY)
NEWM
ISIN US23331A1097
DR HORTON INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241119
GRSS//USD0,4
Cash Dividend HSBC HOLDINGS PLC-SPONS ADR (NY)
NEWM
ISIN US4042804066
HSBC HOLDINGS PLC-SPONS ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241219
GRSS//USD0,5
Reverse Stock Split PROSHARES SHORT S&P500 ETF D
NEWM
ISIN US74347B4251
PROSHARES SHORT S P500 ETF D (NY)
XDTE//UKWN
PAYD//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Dividend Reinvestment BP PLC (LO)
NEWM
ISIN GB0007980591
BP PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241220
GRSS//UKWN
ISIN GB0007980591
BP PLC (LO)
ADEX//UKWN
PAYD//20241220
Cash Dividend BP PLC ADR (NY)
REPL
ISIN US0556221044
BP PLC ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241220
GRSS//USD0,48
Cash Dividend HSBC HOLD. PLC (LO)
REPL
ISIN GB0005405286
HSBC HOLD. PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241219
GRSS//USD0,1
Redemption 23ANDME HOLDING CO (NY)
NEWM
ISIN US90138Q3065
23ANDME HOLDING CO (NY)
XDTE//20241030
PAYD//20241030
OFFR//ACTU/USD5,001481
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
REPE
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20241018
XDTE//20241017
PAYD//20241030
GRSS//USD0,2852
Data: 29.10.2024
Redemption SCHAEFFLER AG (FR)
NEWM
ISIN DE000SHA0019
SCHAEFFLER AG (FR)
XDTE//20241029
PAYD//20241029
OFFR//ACTU/EUR4,863496
Intrest Payment ISTANBUL METROPOLI.20-25 6,375%REGS
NEWM
ISIN XS2010029234
ISTANBUL METROPOLI.20-25 6,375 REGS
XDTE//20241209
RDTE//20241206
PAYD//20241209
INTP//UKWN
Cash Dividend FORD MOTOR CO (NY)
NEWM
ISIN US3453708600
FORD MOTOR CO (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241202
GRSS//USD0,15
Cash Dividend ELI LILLY AND CY (NY)
NEWM
ISIN US5324571083
ELI LILLY AND CY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241210
GRSS//USD1,3+
Cash Dividend VF CORPORATION (NY)
NEWM
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20241210
XDTE//20241210
PAYD//20241218
GRSS//USD0,09
Cash Dividend LINDE PLC
NEWM
ISIN IE000S9YS762
LINDE PLC
RDTE//20241203
XDTE//20241203
PAYD//20241217
GRSS//USD1,39
Cash Dividend ASML HOLDING NY-REG. ADR (NY)
REPL
ISIN USN070592100
ASML HOLDING NY-REG. ADR (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241107
GRSS//USD1,655432
Cash Dividend TRYG A/S (CO)
CANC
ISIN DK0060636678
TRYG A/S (CO)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//DKK1,95
Cash Dividend ALBEMARLE CORP (NY)
NEWM
ISIN US0126531013
ALBEMARLE CORP (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250102
GRSS//USD0,405
Cash Dividend WELLTOWER INC (NY)
NEWM
ISIN US95040Q1040
WELLTOWER INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241121
GRSS//USD0,67
Cash Dividend PAYCOM SOFTWARE INC (NY)
NEWM
ISIN US70432V1026
PAYCOM SOFTWARE INC (NY)
RDTE//20241125
XDTE//20241125
PAYD//20241209
GRSS//USD0,375
Cash Dividend ASML HOLDING (AS)
REPE
ISIN NL0010273215
ASML HOLDING (AS)
RDTE//20241030
XDTE//20241029
PAYD//20241107
GRSS//EUR1,52
Cash Dividend ALCOA CORP.(NY)
REPE
ISIN US0138721065
ALCOA CORP.(NY)
RDTE//20241029
XDTE//20241029
PAYD//20241115
GRSS//USD0,1
Cash Dividend PROSPECT CAPITAL CORP (NY)
REPE
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241119
GRSS//USD0,06
Intrest Payment ROEMENIE 15-35 3,875% 29/10 EMTN
NEWM
ISIN XS1313004928
ROEMENIE 15-35 3,875 29/10 EMTN
RDTE//20241028
XDTE//20241029
PAYD//20241029
INTP//3,875
Cash Dividend CONAGRA BRANDS INC (NY)
NEWM
ISIN US2058871029
CONAGRA BRANDS INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241127
GRSS//USD0,35
Cash Dividend TELENOR ASA (OS)
NEWM
ISIN NO0010063308
TELENOR ASA (OS)
RDTE//20241018
XDTE//20241017
PAYD//20241029
GRSS//NOK4,5
Dividend Reinvestment UNILEVER PLC (LO)
NEWM
ISIN GB00B10RZP78
UNILEVER PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241206
GRSS//GBP0,3663
ISIN GB00B10RZP78
UNILEVER PLC (LO)
ADEX//UKWN
PAYD//20241206
Liquidation ESCROW AMYRIS INC (NY)
NEWM
ISIN US032ESC0149
ESCROW AMYRIS INC (NY)
PAYD//20241025
OFFR//ACTU/USD0,0089
Cash Dividend BLACKSTONE INC (NY)
REPE
ISIN US09260D1072
BLACKSTONE INC (NY)
RDTE//20241028
XDTE//20241028
PAYD//20241104
GRSS//USD0,86
Cash Dividend VERBIO SE (FR)
NEWM
ISIN DE000A0JL9W6
VERBIO SE (FR)
RDTE//20241210
XDTE//20241209
PAYD//20241211
GRSS//EUR0,2
Data: 28.10.2024
Cash Dividend WARRIOR MET COAL INC (NY)
NEWM
ISIN US93627C1018
WARRIOR MET COAL INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241112
GRSS//USD0,08
Cash Dividend OMEGA HEALTHCARE INV. (NY)
NEWM
ISIN US6819361006
OMEGA HEALTHCARE INV. (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241115
GRSS//USD0,67
Cash Dividend MACY'S INC (NY)
NEWM
ISIN US55616P1049
MACY'S INC (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250102
GRSS//USD0,1737
Cash Dividend CAMPBELL SOUP CY (NY)
NEWM
ISIN US1344291091
CAMPBELL SOUP CY (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241028
GRSS//USD0,37
Intrest Payment SYNTHOS SA 21-28 2,5% REGS
NEWM
ISIN XS2348767836
SYNTHOS SA 21-28 2,5 REGS
XDTE//20241207
RDTE//20241206
PAYD//20241207
INTP//1,25
Cash Dividend SANDSTORM GOLD LTD (NY)
NEWM
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241025
GRSS//USD0,014404
Cash Dividend UNILEVER PLC -SP ADR (NY)
NEWM
ISIN US9047677045
UNILEVER PLC -SP ADR (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241206
GRSS//USD0,4755
Intrest Payment GOODYEAR TIRE RUBBER 16-26 5%
REPL
ISIN US382550BF73
GOODYEAR TIRE RUBBER 16-26 5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//2,5
Intrest Payment GOODYEAR TIRE & RUBBER C 20-25 9,5%
REPL
ISIN US382550BH30
GOODYEAR TIRE RUBBER C 20-25 9,5
RDTE//20241129
XDTE//20241130
PAYD//20241130
INTP//4,75
Intrest Payment ROMANIA 20-40 2,625% 02/12 REGS
REPL
ISIN XS2258400162
ROMANIA 20-40 2,625 02/12 REGS
RDTE//20241129
XDTE//20241202
PAYD//20241202
INTP//2,625
Intrest Payment DEUTS. BANK 21-32 3.729%-VAR% ACH
REPL
ISIN US251526CF47
DEUTS. BANK 21-32 3.729 -VAR ACH
XDTE//20250114
RDTE//20250113
PAYD//20250114
INTP//1,8645
Intrest Payment KRUK SA 23-28 VAR%
REPL
ISIN NO0012903444
KRUK SA 23-28 VAR
RDTE//20241108
XDTE//20241112
PAYD//20241112
INTP//UKWN
Cash Dividend SPDR BARCL GL DIV ARISTOCR UCIT
NEWM
ISIN IE00B9CQXS71
SPDR BARCL GL DIV ARISTOCR UCIT(FR)
RDTE//20241104
XDTE//20241101
PAYD//20241112
GRSS//USD0,2885
Cash Dividend ENI SPA (MI)
NEWM
ISIN IT0003132476
ENI SPA (MI)
RDTE//20241119
XDTE//20241118
PAYD//20241120
GRSS//EUR0,25
Cash Dividend AMGEN INC (NY)
NEWM
ISIN US0311621009
AMGEN INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241209
GRSS//USD2,25
Cash Dividend KELLANOVA (NY)
NEWM
ISIN US4878361082
KELLANOVA (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241213
GRSS//USD0,57
Cash Dividend WALGREENS BOOTS ALLIANCE INC (NY)
NEWM
ISIN US9314271084
WALGREENS BOOTS ALLIANCE INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241212
GRSS//USD0,25
Merger ARCADIUM LITHIUM PLC (NY)
NEWM
ISIN JE00BM9HZ112
ARCADIUM LITHIUM PLC (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD5,85
Intrest Payment UNITED STATES TREASURY 24-54 4,625%
REPL
ISIN US912810UA42
UNITED STATES TREASURY 24-54 4,625
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,3125
Data: 25.10.2024
Cash Dividend KAINOS GROUP PLC (LO)
NEWM
ISIN GB00BZ0D6727
KAINOS GROUP PLC (LO)
RDTE//20241004
XDTE//20241003
PAYD//20241025
GRSS//GBP0,191
Cash Dividend HUSQVARNA AB -B- (ST)
NEWM
ISIN SE0001662230
HUSQVARNA AB -B- (ST)
XDTE//20241021
RDTE//20241022
PAYD//20241025
GRSS//SEK2,
Cash Dividend HUMANA INC (NY)
NEWM
ISIN US4448591028
HUMANA INC (NY)
RDTE//20241231
XDTE//20241231
PAYD//20250131
GRSS//USD0,885
Cash Dividend OGE ENERGY (NY)
NEWM
ISIN US6708371033
OGE ENERGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241025
GRSS//USD0,42125
Cash Dividend SYSCO CORP (NY)
NEWM
ISIN US8718291078
SYSCO CORP (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241025
GRSS//USD0,51
Cash Dividend CARRIER GLOBAL CORPORATION (NY)
REPE
ISIN US14448C1045
CARRIER GLOBAL CORPORATION (NY)
RDTE//20241025
XDTE//20241025
PAYD//20241118
GRSS//USD0,19
Cash Dividend GENERAL ELECTRIC CO (NY)
NEWM
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241025
GRSS//USD0,28
Intrest Payment TURKEY 18-28 6,125%
NEWM
ISIN US900123CQ19
TURKEY 18-28 6,125
RDTE//20241023
XDTE//20241024
PAYD//20241024
INTP//3,0625
Cash Dividend HOEGH AUTOLINERS ASA (OS)
NEWM
ISIN NO0011082075
HOEGH AUTOLINERS ASA (OS)
RDTE//20241210
XDTE//20241209
PAYD//20241218
GRSS//USD1,2843
Intrest Payment BOMBARDIER 04-34 7,45% REGS
REPL
ISIN USC10602AJ68
BOMBARDIER 04-34 7,45 REGS
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//3,725
Tender Offer CMB TECH(NY)
NEWM
ISIN BE0003816338
CMB TECH(NY)
PAYD//UKWN
OFFR//ACTU/USD12,66
Cash Dividend HUYA INC ADR (NY)
REPL
ISIN US44852D1081
HUYA INC ADR (NY)
RDTE//20241009
XDTE//20241009
PAYD//20241025
GRSS//USD1,08
Cash Dividend GULF KEYSTONE PETROLEUM (LO)
REPL
ISIN BMG4209G2077
GULF KEYSTONE PETROLEUM (LO)
RDTE//20241018
XDTE//20241017
PAYD//20241031
GRSS//GBP0,07113
Cash Dividend SYNCHRONY FINANCIAL (NY)
NEWM
ISIN US87165B1035
SYNCHRONY FINANCIAL (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241115
GRSS//USD0,25
Cash Dividend KKR&CO INC (NY)
NEWM
ISIN US48251W1045
KKR CO INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241119
GRSS//USD0,175
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,66
Cash Dividend NEWMONT CORPORATION (NY)
NEWM
ISIN US6516391066
NEWMONT CORPORATION (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241223
GRSS//USD0,25
Cash Dividend NASDAQ INC (NY)
NEWM
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,24
Cash Dividend EQUINOR ASA (OS)
NEWM
ISIN NO0010096985
EQUINOR ASA (OS)
RDTE//20250214
XDTE//20250213
PAYD//20250228
GRSS//USD0,7
Cash Dividend TGS ASA (OS)
NEWM
ISIN NO0003078800
TGS ASA (OS)
RDTE//20241101
XDTE//20241031
PAYD//20241114
GRSS//NOK1,53
Cash Dividend COMFORT SYS. USA INC (NY)
NEWM
ISIN US1999081045
COMFORT SYS. USA INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241125
GRSS//USD0,35
Cash Dividend JM SMUCKER CO/THE-NEW COM WI (NY)
NEWM
ISIN US8326964058
JM SMUCKER CO/THE-NEW COM WI (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241202
GRSS//USD1,08
Cash Dividend AGCO CORP (NY)
NEWM
ISIN US0010841023
AGCO CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD0,29
Cash Dividend MATSON INC (NY)
NEWM
ISIN US57686G1058
MATSON INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241205
GRSS//USD0,34
Cash Dividend HASBRO INC (NY)
NEWM
ISIN US4180561072
HASBRO INC (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241204
GRSS//USD0,7
Data: 24.10.2024
Tender Offer VOLUE ASA (OS)
REPL
ISIN NO0010894603
VOLUE ASA (OS)
PAYD//20241028
OFFR//ACTU/NOK42,
Cash Dividend B2 IMPACT ASA (NO)
REPE
ISIN NO0010633951
B2 IMPACT ASA (NO)
RDTE//20241024
XDTE//20241023
PAYD//20241031
GRSS//NOK0,6
Liquidation ESCROW AMYRIS INC (NY)
REPL
ISIN US032ESC0149
ESCROW AMYRIS INC (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD0,0089
Cash Dividend ORACLE CORP (NY)
NEWM
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241024
GRSS//USD0,4
Cash Dividend QUAD/GRAPHICS INC (NY)
NEWM
ISIN US7473011093
QUAD/GRAPHICS INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD0,05
Cash Dividend CITIGROUP INC (NY)
NEWM
ISIN US1729674242
CITIGROUP INC (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD0,56
Cash Dividend CIGNA GROUP/THE(NY)
NEWM
ISIN US1255231003
CIGNA GROUP/THE(NY)
RDTE//20241204
XDTE//20241204
PAYD//20241219
GRSS//USD1,4
Cash Dividend EQUINOR ASA - ADR (NY)
NEWM
ISIN US29446M1027
EQUINOR ASA - ADR (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241129
GRSS//USD0,7
Cash Dividend HILTON WORLDWIDE HOLDINGS INC (NY)
NEWM
ISIN US43300A2033
HILTON WORLDWIDE HOLDINGS INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241227
GRSS//USD0,15
Cash Dividend SERICA ENERGY PLC (LO)
REPE
ISIN GB00B0CY5V57
SERICA ENERGY PLC (LO)
RDTE//20241025
XDTE//20241024
PAYD//20241121
GRSS//GBP0,09
Cash Dividend AKZO NOBEL NV (AS)
NEWM
ISIN NL0013267909
AKZO NOBEL NV (AS)
RDTE//20241029
XDTE//20241028
PAYD//20241107
GRSS//EUR0,44
Cash Dividend AMER ELECTRIC POWER (NY)
NEWM
ISIN US0255371017
AMER ELECTRIC POWER (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241210
GRSS//USD0,93
Cash Dividend BALL CORP (NY)
NEWM
ISIN US0584981064
BALL CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD0,2
Dividend Reinvestment UNIVERSAL MUSIC GROUP N.V (AS)
REPL
SIN NL0015000IY2
UNIVERSAL MUSIC GROUP N.V (AS)
ISIN NL00150028M1
UNIVERSAL MUS.GR.RIGHTEX021024/2(AS
RDTE//20241003
XDTE//20241002
PAYD//20241025
ISIN NL0015000IY2
UNIVERSAL MUSIC GROUP N.V (AS)
NEWO//1,/117,152311
PAYD//20241025
Cash Dividend SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
NEWM
ISIN IE00BKVD2N49
SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
RDTE//20241215
XDTE//20241213
PAYD//20250106
GRSS//USD0,72
Cash Dividend TECHNIPFMC LIMITED (NY)
NEWM
ISIN GB00BDSFG982
TECHNIPFMC LIMITED (NY)
RDTE//20241119
XDTE//20241119
PAYD//20241204
GRSS//USD0,05
Cash Dividend STARBUCKS CORP (NY)
NEWM
ISIN US8552441094
STARBUCKS CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241129
GRSS//USD0,61
Cash Dividend SIRIUS XM HOLDING INC (NY)
NEWM
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241121
GRSS//USD0,27
Cash Dividend BAKER HUGHES COMPANY(NY)
NEWM
ISIN US05722G1004
BAKER HUGHES COMPANY(NY)
RDTE//20241104
XDTE//20241104
PAYD//20241114
GRSS//USD0,21
Data: 23.10.2024
Cash Dividend VAR ENERGI ASA (OS)
NEWM
ISIN NO0011202772
VAR ENERGI ASA (OS)
RDTE//20241029
XDTE//20241028
PAYD//20241105
GRSS//NOK1,18
Cash Dividend HEXCEL CORP (NY)
NEWM
ISIN US4282911084
HEXCEL CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241108
GRSS//USD0,15
Cash Dividend EATON CORPORATION PUBLIC LTD C (NY)
NEWM
ISIN IE00B8KQN827
EATON CORPORATION PUBLIC LTD C (NY)
RDTE//20241104
XDTE//20241104
PAYD//20241122
GRSS//USD1,88
Cash Dividend WELLS FARGO & CO (NY)
NEWM
ISIN US9497461015
WELLS FARGO CO (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241201
GRSS//USD0,4
Cash Dividend MOODY'S CORP (NY)
NEWM
ISIN US6153691059
MOODY'S CORP (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241213
GRSS//USD1,7
Cash Dividend STANLEY BLACK&DECKER INC (NY)
NEWM
ISIN US8545021011
STANLEY BLACK DECKER INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241217
GRSS//USD0,82
Cash Dividend INVESCO LTD (NY)
NEWM
ISIN BMG491BT1088
INVESCO LTD (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241203
GRSS//USD0,205
Reverse Stock Split MOMENTUS INC (NY)
NEWM
ISIN US60879E2000
MOMENTUS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend CISCO SYSTEMS INC (NY)
NEWM
ISIN US17275R1023
CISCO SYSTEMS INC (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241023
GRSS//USD0,4
Cash Dividend MICRON TECHNOLOGY (NY)
NEWM
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241023
GRSS//USD0,115
Cash Dividend LOWE'S COMPANIES (NY)
REPE
ISIN US5486611073
LOWE'S COMPANIES (NY)
RDTE//20241023
XDTE//20241023
PAYD//20241106
GRSS//USD1,15
Cash Dividend COMCAST CORP CL-A (NY)
NEWM
ISIN US20030N1019
COMCAST CORP CL-A (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241023
GRSS//USD0,31
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241011
XDTE//20241010
PAYD//20241023
GRSS//EUR0,046185
Cash Dividend KONGSBERG GRUPPEN ASA (OS)
NEWM
ISIN NO0003043309
KONGSBERG GRUPPEN ASA (OS)
RDTE//20241010
XDTE//20241009
PAYD//20241023
GRSS//NOK7,
Dividend Reinvestment AVIVA PLC (LO)
REPE
ISIN GB00BPQY8M80
AVIVA PLC (LO)
RDTE//20240906
XDTE//20240905
PAYD//20241017
GRSS//GBP0,119
:ISIN GB00BPQY8M80
AVIVA PLC (LO)
ADEX//1,/41,173866
PAYD//20241017
Data: 22.10.2024
Dividend Reinvestment DIAGEO PLC (LO)
REPE
ISIN GB0002374006
DIAGEO PLC (LO)
RDTE//20240830
XDTE//20240829
PAYD//20241017
GRSS//GBP0,4723
ISIN GB0002374006
DIAGEO PLC (LO)
ADEX//1,/56,58816
PAYD//20241017
Intrest Payment ERSTE GR BANK 14-25 4% 22/10 SUB
NEWM
ISIN AT0000A19NR2
ERSTE GR BANK 14-25 4 22/10 SUB
RDTE//20241021
XDTE//20241022
PAYD//20241022
INTP//4,
Cash Dividend ERIE INDEMNITY CO (NY)
NEWM
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241022
GRSS//USD1,275
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241022
GRSS//USD0,06
Cash Dividend DOLLAR GENERAL CORP
NEWM
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20241008
XDTE//20241008
PAYD//20241022
GRSS//USD0,59
Cash Dividend APA CORPORATION (NY)
REPE
ISIN US03743Q1085
APA CORPORATION (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241122
GRSS//USD0,25
Cash Dividend DELL TECHNOLOGIES INC (NY)
REPE
ISIN US24703L2025
DELL TECHNOLOGIES INC (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241101
GRSS//USD0,445
Cash Dividend GENERAL MOTORS CO (NY)
NEWM
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241219
GRSS//USD0,12
Cash Dividend HSBC ETFS PLCMSCI WORLD UC.ETF
REPL
ISIN IE00B4X9L533
HSBC ETFS PLCMSCI WORLD UC.ETF (FR
RDTE//20241025
XDTE//20241024
PAYD//20241114
GRSS//USD0,1233
Intrest Payment ROMANIA 20-40 2,625% 02/12 REGS
NEWM
ISIN XS2258400162
ROMANIA 20-40 2,625 02/12 REGS
XDTE//20241202
RDTE//20241129
PAYD//20241202
INTP//2,625
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241016
XDTE//20241015
PAYD//20241022
GRSS//NOK0,431
Rights Distribution OPTICEPT TECHNOLOGIES AB (ST)
NEWM
ISIN SE0005881786
OPTICEPT TECHNOLOGIES AB (ST)
RDTE//20241108
XDTE//20241107
ISIN SE0023261128
OPTICEPT TECHNOLO.RIGHT EX071124(ST
ADEX//1,/1,
PAYD//20241112
Redemption PORTUGAL REP. 14-24 5,125% REGS
NEWM
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//0,779
RATE//99,221
Data: 21.10.2024
Dividend Option GLOBALWORTH REAL ESTATE INV LTD(LO)
NEWM
ISIN GG00B979FD04
GLOBALWORTH REAL ESTATE INV LTD(LO)
RDTE//20240913
XDTE//20240912
PAYD//20241018
GRSS//EUR0,1
Cash Dividend NORFOLK SOUTHERN (NY)
NEWM
ISIN US6558441084
NORFOLK SOUTHERN (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241120
GRSS//USD1,35
Cash Dividend PORTLAND GENERAL ELECTRIC CO (NY)
NEWM
ISIN US7365088472
PORTLAND GENERAL ELECTRIC CO (NY)
RDTE//20241224
XDTE//20241224
PAYD//20250115
GRSS//USD0,5
Cash Dividend NEXTERA ENERGY INC (NY)
NEWM
ISIN US65339F1012
NEXTERA ENERGY INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241216
GRSS//USD0,515
Cash Dividend HUSQVARNA AB -B- (ST)
REPE
ISIN SE0001662230
HUSQVARNA AB -B- (ST)
XDTE//20241021
RDTE//20241022
PAYD//20241025
GRSS//SEK2,
Cash Dividend FORTITUDE GOLD CORP (NY)
REPE
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241031
GRSS//USD0,04
Cash Dividend BANK OF NEW YORK MELLON CORP(NY)
REPE
ISIN US0640581007
BANK OF NEW YORK MELLON CORP(NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,47
Cash Dividend CVS HEALTH CORP (NY)
REPE
ISIN US1266501006
CVS HEALTH CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,665
Cash Dividend CATERPILLAR INC (NY)
REPE
ISIN US1491231015
CATERPILLAR INC (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241120
GRSS//USD1,41
Intrest Payment GOODYEAR TIRE RUBBER 16-26 5%
NEWM
ISIN US382550BF73
GOODYEAR TIRE RUBBER 16-26 5
XDTE//20241130
RDTE//20241129
PAYD//20241130
INTP//2,5
Intrest Payment GOODYEAR TIRE & RUBBER C 20-25 9,5%
NEWM
ISIN US382550BH30
GOODYEAR TIRE RUBBER C 20-25 9,5
XDTE//20241130
RDTE//20241129
PAYD//20241130
INTP//4,75
Cash Dividend HARMONY GOLD MINING - ADR (NY)
NEWM
ISIN US4132163001
HARMONY GOLD MINING - ADR (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241021
GRSS//USD0,053492
Intrest Payment SOC.GENERALE 15-25 4,75% REGS
REPL
ISIN USF8586CBS01
SOC.GENERALE 15-25 4,75 REGS
RDTE//20241122
XDTE//20241124
PAYD//20241124
INTP//2,375
Cash Dividend SLB (NY)
NEWM
ISIN AN8068571086
SLB (NY)
RDTE//20241204
XDTE//20241204
PAYD//20250109
GRSS//USD0,275
Intrest Payment BANK PEKAO 23-27 5,5-VAR% 23/11
REPL
ISIN XS2724428193
BANK PEKAO 23-27 5,5-VAR 23/11
RDTE//20241122
XDTE//20241123
PAYD//20241123
INTP//5,5
Intrest Payment ROMANIA 22-27 5,25% REGS
REPL
ISIN XS2485248806
ROMANIA 22-27 5,25 REGS
RDTE//20241122
XDTE//20241125
PAYD//20241125
INTP//2,625
Data: 18.10.2024
Dividend Reinvestment TESCO (LO)
REPL
ISIN GB00BLGZ9862
TESCO (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241122
GRSS//GBP0,0425
ISIN GB00BLGZ9862
TESCO (LO)
ADEX//UKWN
PAYD//20241122
Cash Dividend TELE2 -B- (ST)
NEWM
ISIN SE0005190238
TELE2 -B- (ST)
XDTE//20241014
RDTE//20241015
PAYD//20241018
GRSS//SEK3,45
Cash Dividend COLGATE PALMOLIVE CY (NY)
REPE
ISIN US1941621039
COLGATE PALMOLIVE CY (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD0,5
Cash Dividend IMMERSION CORP (NY)
NEWM
ISIN US4525211078
IMMERSION CORP (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241018
GRSS//USD0,045
Cash Dividend HP ENTERPRISE CO (NY)
NEWM
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241018
GRSS//USD0,13
Cash Dividend GE HEALTHCARE TECHNOLOGIES INC (NY)
REPE
ISIN US36266G1076
GE HEALTHCARE TECHNOLOGIES INC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD0,03
Cash Dividend NUTRIEN LTD (NY)
NEWM
ISIN CA67077M1086
NUTRIEN LTD (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241018
GRSS//USD0,54
Cash Dividend PROCTER & GAMBLE (NY)
REPE
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD1,0065
Cash Dividend PPG INDUSTRIES INC (NY)
NEWM
ISIN US6935061076
PPG INDUSTRIES INC (NY)
RDTE//20241112
XDTE//20241112
PAYD//20241212
GRSS//USD0,68
Cash Dividend SEALED AIR CORP (NEW) (NY)
NEWM
ISIN US81211K1007
SEALED AIR CORP (NEW) (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241220
GRSS//USD0,2
Cash Dividend ASML HOLDING NY-REG. ADR (NY)
NEWM
ISIN USN070592100
ASML HOLDING NY-REG. ADR (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241107
GRSS//USD1,655432
Cash Dividend NOKIA CORP-ADR UN.1SH (NY)
REPL
ISIN US6549022043
NOKIA CORP-ADR UN.1SH (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241105
GRSS//USD0,032436
Merger EXSCIENTIA PLC ADR (NY)
NEWM
ISIN US30223G1022
EXSCIENTIA PLC ADR (NY)
XDTE//UKWN
ISIN US75629V1044
RECURSION PHARMACEUTICALS INC -A(NY
NEWO//0,7729/1,
PAYD//UKWN
Cash Dividend PENTAIR PLC (NY)
REPE
ISIN IE00BLS09M33
PENTAIR PLC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241101
GRSS//USD0,23
Cash Dividend LEXINFINTECH HOLDINGS LTD ADR (NY)
NEWM
ISIN US5288771034
LEXINFINTECH HOLDINGS LTD ADR (NY)
RDTE//20240916
:XDTE//20240916
PAYD//20241018
GRSS//USD0,072
Reverse Stock Split BIORA THERAPEUTICS INC (NY)
REPE
ISIN US74319F3055
BIORA THERAPEUTICS INC (NY)
XDTE//20241018
ISIN US74319F4046
BIORA THERAPEUTICS INC (NY)
NEWO//1,/10,
PAYD//20241018
Cash Dividend WABTEC CORP (NY)
NEWM
ISIN US9297401088
WABTEC CORP (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241127
GRSS//USD0,2
Cash Dividend TRAVELERS COS INC /THE (NY)
NEWM
ISIN US89417E1091
TRAVELERS COS INC /THE (NY)
RDTE//20241210
XDTE//20241210
PAYD//20241231
GRSS//USD1,05
Cash Dividend THE SHERWIN-WILLIAMS (NY)
NEWM
ISIN US8243481061
THE SHERWIN-WILLIAMS (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD0,715
Intrest Payment BANK GOSPODARSTWA 23-33 5,375%REGS
REPL
ISIN XS2625207571
BANK GOSPODARSTWA 23-33 5,375 REGS
RDTE//20241121
XDTE//20241122
PAYD//20241122
INTP//2,688
Cash Dividend DUPONT DE NEMOURS INC (NY)
NEWM
ISIN US26614N1028
DUPONT DE NEMOURS INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,38
Cash Dividend QUALCOMM INC (NY)
:NEWM
ISIN US7475251036
QUALCOMM INC (NY)
RDTE//20241205
XDTE//20241205
PAYD//20241219
Cash Dividend BANK OF AMERICA CORP (NY)
NEWM
ISIN US0605051046
BANK OF AMERICA CORP (NY)
RDTE//20241206
XDTE//20241206
PAYD//20241227
GRSS//USD0,26
Cash Dividend BLACKSTONE INC (NY)
NEWM
ISIN US09260D1072
BLACKSTONE INC (NY)
RDTE//20241028
XDTE//20241028
PAYD//20241104
GRSS//USD0,86
Cash Dividend COSTCO WHOLESALE CORP (NY)
NEWM
ISIN US22160K1051
COSTCO WHOLESALE CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD1,16
Cash Dividend COCA COLA CO (NY)
NEWM
ISIN US1912161007
COCA COLA CO (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241216
GRSS//USD0,485
Cash Dividend HSBC HOLD. PLC (LO)
NEWM
ISIN GB0005405286
HSBC HOLD. PLC (LO)
RDTE//20241108
XDTE//20241107
PAYD//20241219
GRSS//UKWN
Data: 17.10.2024
Tender Offer OX2 AB (ST)
NEWM
ISIN SE0016075337
OX2 AB (ST)
PAYD//20241016
GRSS//SEK56400,
OFFR//ACTU/SEK60,
Cash Dividend ASML HOLDING (AS)
NEWM
ISIN NL0010273215
ASML HOLDING (AS)
RDTE//20241030
XDTE//20241029
PAYD//20241107
GRSS//EUR1,52
Redemption MICROCLOUD HOLOGRAM INCORPORAT (NY)
NEWM
ISIN KYG550321668
MICROCLOUD HOLOGRAM INCORPORAT (NY)
XDTE//20241016
PAYD//20241016
OFFR//ACTU/USD5,612581
Cash Dividend PNC FINANCIAL SERVICES GROUP (NY)
REPE
ISIN US6934751057
PNC FINANCIAL SERVICES GROUP (NY)
RDTE//20241016
XDTE//20241016
PAYD//20241105
GRSS//USD1,6
Cash Dividend ZTO EXPRESS (CAYMAN) INC ADR (NY)
NEWM
ISIN US98980A1051
ZTO EXPRESS (CAYMAN) INC ADR (NY)
RDTE//20240910
XDTE//20240910
PAYD//20241017
GRSS//USD0,35
Cash Dividend DIAGEO PLC - SPONS ADR (NY)
NEWM
ISIN US25243Q2057
DIAGEO PLC - SPONS ADR (NY)
RDTE//20240830
XDTE//20240830
PAYD//20241017
GRSS//USD2,5192
Cash Dividend EOG RES. INC (NY)
REPE
ISIN US26875P1012
EOG RES. INC (NY)
RDTE//20241017
XDTE//20241017
PAYD//20241031
GRSS//USD0,91
Cash Dividend VENTAS INC (NY)
NEWM
ISIN US92276F1003
VENTAS INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241017
GRSS//USD0,45
Cash Dividend TELENOR ASA (OS)
REPE
ISIN NO0010063308
TELENOR ASA (OS)
RDTE//20241018
XDTE//20241017
PAYD//20241029
GRSS//NOK4,5
Cash Dividend FMC CORP (NY)
NEWM
ISIN US3024913036
FMC CORP (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241017
GRSS//USD0,58
Cash Dividend ONEOK INC (NY)
NEWM
ISIN US6826801036
ONEOK INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241114
GRSS//USD0,99
Intrest Payment TURKEY 18-28 6,125%
REPL
ISIN US900123CQ19
TURKEY 18-28 6,125
RDTE//20241023
XDTE//20241024
PAYD//20241024
INTP//3,0625
Intrest Payment PORTUGAL REP. 14-24 5,125% REGS
NEWM
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,5625
Cash Dividend L3 HARRIS TECHNOLOGIES INC (NY)
NEWM
ISIN US5024311095
L3 HARRIS TECHNOLOGIES INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD1,16
Cash Dividend MORGAN STANLEY (NY)
NEWM
ISIN US6174464486
MORGAN STANLEY (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,925
Rights Distribution IDEX BIOMETRICS ASA (OS)
REPL
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
/XX/1134663000
BIOMETRICS RIGHT EX170924 (OS)
ADEX//UKWN
PAYD//UKWN
Cash Dividend DISCOVER FINANCIAL SERVICES (NY)
NEWM
ISIN US2547091080
DISCOVER FINANCIAL SERVICES (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241205
GRSS//USD0,7
Cash Dividend ALCOA CORP.(NY)
NEWM
ISIN US0138721065
ALCOA CORP.(NY)
RDTE//20241029
XDTE//20241029
PAYD//20241115
GRSS//USD0,1
Intrest Payment KERNEL HOLDING SA 19-24 6,5%
NEWM
ISIN XS2010040983
KERNEL HOLDING SA 19-24 6,5
RDTE//20241016
XDTE//20241017
PAYD//20241017
INTP//3,25
Reverse Stock Split BIORA THERAPEUTICS INC (NY)
REPL
ISIN US74319F3055
BIORA THERAPEUTICS INC (NY)
XDTE//20241024
UNKNOWN
NEWO//1,/10,
PAYD//20241024
Dividend Reinvestment DIAGEO PLC (LO)
NEWM
ISIN GB0002374006
DIAGEO PLC (LO)
RDTE//20240830
X DTE//20240829
PAYD//20241017
GRSS//GBP0,4723
Cash Dividend KINDER MORGAN INC (NY)
NEWM
ISIN US49456B1017
KINDER MORGAN INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,2875
Cash Dividend PERSIMMON (LO)
REPE
ISIN GB0006825383
PERSIMMON (LO)
RDTE//20241018
XDTE//20241017
PAYD//20241108
GRSS//GBP0,2
Dividend Reinvestment AVIVA PLC (LO)
NEWM
ISIN GB00BPQY8M80
AVIVA PLC (LO)
RDTE//20240906
XDTE//20240905
PAYD//20241017
GRSS//GBP0,119
Data: 16.10.2024
Cash Dividend INTL PAPER (NY)
NEWM
ISIN US4601461035
INTL PAPER (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD0,4625
Cash Dividend AES CORP (NY)
NEWM
ISIN US00130H1059
AES CORP (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD0,1725
Capital distribution NORAM DRILLING AS (OS)
REPL
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20241016
XDTE//20241015
PAYD//20241022
GRSS//NOK0,431
Cash Dividend SANDSTORM GOLD LTD (NY)
REPL
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241025
GRSS//UKWN
Cash Dividend TRYG A/S (CO)
NEWM
ISIN DK0060636678
TRYG A/S (CO)
RDTE//20241015
XDTE//20241014
PAYD//20241016
GRSS//DKK1,95
Dividend Reinvestment GSK PLC (LO)
REPL
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20241115
XDTE//20241114
PAYD//20250109
GRSS//UKWN
ISIN GB00BN7SWP63
GSK PLC (LO)
ADEX//UKWN
PAYD//20250109
Cash Dividend SOUTHERN COMPANY (NY)
NEWM
ISIN US8425871071
SOUTHERN COMPANY (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241206
GRSS//USD0,72
Cash Dividend CUMMINS INC (NY)
NEWM
ISIN US2310211063
CUMMINS INC (NY)
RDTE//20241122
XDTE//20241122
PAYD//20241205
GRSS//USD1,82
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
NEWM
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//3,9375
Reverse Stock Split 3X NVDIA ETC (LO)
NEWM
ISIN XS2706225427
3X NVDIA ETC (LO)
XDTE//UKWN
PAYD//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Reverse Stock Split 23ANDME HOLDING CO (NY)
NEWM
ISIN US90138Q1085
23ANDME HOLDING CO (NY)
XDTE//20241016
ISIN US90138Q3065
23ANDME HOLDING CO (NY)
NEWO//1,/20,
PAYD//20241016
Cash Dividend VINCI SA (PA)
REPE
ISIN FR0000125486
VINCI SA (PA)
RDTE//20241016
XDTE//20241015
PAYD//20241017
GRSS//EUR1,05
Cash Dividend HARMONY GOLD MINING - ADR (NY)
REPL
ISIN US4132163001
HARMONY GOLD MINING - ADR (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241021
GRSS//USD0,053492
Cash Dividend BCE INC (NY)
REPE
ISIN CA05534B7604
BCE INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241015
GRSS//USD0,722451
Cash Dividend WHIRLPOOL CORP (NY)
NEWM
ISIN US9633201069
WHIRLPOOL CORP (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241215
GRSS//USD1,75
Cash Dividend GOLDMAN SACHS GROUP INC (NY)
NEWM
ISIN US38141G1040
GOLDMAN SACHS GROUP INC (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241230
GRSS//USD3,
Cash Dividend JOHNSON & JOHNSON CO (NY)
NEWM
ISIN US4781601046
JOHNSON JOHNSON CO (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241210
GRSS//USD1,24
Cash Dividend PRIMO WATER CORPORATION CANADA (NY)
NEWM
ISIN CA74167P1080
PRIMO WATER CORPORATION CANADA (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241121
GRSS//USD0,82
Data: 15.10.2024
Intrest Payment REP.SOUTH AFRICA 16-26 4,875% GLOB
NEWM
ISIN US836205AT15
REP.SOUTH AFRICA 16-26 4,875 GLOB
RDTE//20241011
XDTE//20241014
PAYD//20241014
INTP//2,4375
Cash Dividend B2 IMPACT ASA (NO)
NEWM
ISIN NO0010633951
B2 IMPACT ASA (NO)
RDTE//20241024
XDTE//20241023
PAYD//20241031
GRSS//NOK0,6
Cash Dividend CURIOSITYSTREAM INC -A- (NY)
REPE
ISIN US23130Q1076
CURIOSITYSTREAM INC -A- (NY)
RDTE//20241012
XDTE//20241011
PAYD//20241031
GRSS//USD0,025
Cash Dividend PORTLAND GENERAL ELECTRIC CO (NY)
NEWM
ISIN US7365088472
PORTLAND GENERAL ELECTRIC CO (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241015
GRSS//USD0,5
Cash Dividend ENCOMPASS HEALTH CORPORATION (NY)
NEWM
ISIN US29261A1007
ENCOMPASS HEALTH CORPORATION (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241015
GRSS//USD0,17
Intrest Payment UBS GR 16-26 4,125% REGS
NEWM
ISIN USG91703AK72
UBS GR 16-26 4,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,0625
Intrest Payment UNITED STATES TREASURY 24-27 4,5%
NEWM
ISIN US91282CKJ98
UNITED STATES TREASURY 24-27 4,5
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,25
Redemption USA 21-24 0,625%
NEWM
ISIN US91282CDB46
USA 21-24 0,625
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//0,029669
RATE//99,970331
Intrest Payment FEDEX CORP 13-43 4.1%
NEWM
ISIN US31428XAU00
FEDEX CORP 13-43 4.1
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,05
Cash Dividend SEMPRA (NY)
NEWM
ISIN US8168511090
SEMPRA (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241015
GRSS//USD0,62
Cash Dividend MOTOROLA SOLUTIONS INC (NY)
NEWM
ISIN US6200763075
MOTOROLA SOLUTIONS INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241015
GRSS//USD0,98
Cash Dividend STAG INDUSTRIAL INC (NY)
NEWM
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,123333
Cash Dividend HORMEL FOODS CORP (NY)
REPE
ISIN US4404521001
HORMEL FOODS CORP (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD0,2825
Cash Dividend MAIN STREET CAPITAL CORP
NEWM
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20241008
XDTE//20241008
PAYD//20241015
GRSS//USD0,245
Cash Dividend ABBOTT LABOR. (NY)
REPE
ISIN US0028241000
ABBOTT LABOR. (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD0,55
Cash Dividend ABBVIE INC (NY)
REPE
ISIN US00287Y1091
ABBVIE INC (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD1,55
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
REPE
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241101
GRSS//USD0,15
Cash Dividend YORK WATER CO (NY)
NEWM
ISIN US9871841089
YORK WATER CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,2108
Cash Dividend CARDINAL HEALTH INC (NY)
NEWM
ISIN US14149Y1082
CARDINAL HEALTH INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241015
GRSS//USD0,5056
Cash Dividend US BANCORP NEW (NY)
NEWM
ISIN US9029733048
US BANCORP NEW (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,5
Cash Dividend OCCIDENTAL PETROLEUM (NY)
NEWM
ISIN US6745991058
OCCIDENTAL PETROLEUM (NY)
RDTE//20240910
XDTE//20240910
PAYD//20241015
GRSS//USD0,22
Cash Dividend FIRST INTERNET BANCORP (NQ)
NEWM
ISIN US3205571017
FIRST INTERNET BANCORP (NQ)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,06
Cash Dividend THERMO FISHER SCIENTIFIC (NY)
NEWM
ISIN US8835561023
THERMO FISHER SCIENTIFIC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241015
GRSS//USD0,39
Intrest Payment SOC.GENERALE 15-25 4,75% REGS
NEWM
ISIN USF8586CBS01
SOC.GENERALE 15-25 4,75 REGS
XDTE//20241124
RDTE//20241122
PAYD//20241124
INTP//2,375
Intrest Payment ERSTE GR BANK 14-25 4% 22/10 SUB
REPL
ISIN AT0000A19NR2
ERSTE GR BANK 14-25 4 22/10 SUB
RDTE//20241021
XDTE//20241022
PAYD//20241022
INTP//4,
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
REPL
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20241129
XDTE//20241128
PAYD//20241231
GRSS//GBP0,5426
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//UKWN
PAYD//20241231
Intrest Payment ROMANIA 22-27 5,25% REGS
NEWM
ISIN XS2485248806
ROMANIA 22-27 5,25 REGS
XDTE//20241125
RDTE//20241122
PAYD//20241125
INTP//UKWN
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
NEWM
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
RDTE//20241014
XDTE//20241015
PAYD//20241015
GRSS//EUR0,116777
Cash Dividend ISHARES STOXX GL SEL D100 DE A
CANC
ISIN DE000A0F5UH1
ISHARES STOXX GL SEL D100 DE A (FR)
RDTE//20241014
XDTE//20241015
PAYD//20241015
GRSS//EUR0,33540
Cash Dividend GULF KEYSTONE PETROLEUM (LO)
REPL
ISIN BMG4209G2077
GULF KEYSTONE PETROLEUM (LO)
RDTE//20241018
XDTE//20241017
PAYD//20241031
GRSS//UKWN
Cash Dividend ERICSSON (LM) ADR CLASS B (NY)
REPL
ISIN US2948216088
ERICSSON (LM) ADR CLASS B (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241016
GRSS//USD0,130227
Data: 14.10.2024
Cash Dividend TELE2 -B- (ST)
REPE
//DVCA
ISIN SE0005190238
TELE2 -B- (ST)
XDTE//20241014
RDTE//20241015
PAYD//20241018
GRSS//SEK3,45
Intrest Payment BANK PEKAO 23-27 5,5-VAR% 23/11
NEWM
//INTR
ISIN XS2724428193
BANK PEKAO 23-27 5,5-VAR 23/11
XDTE//20241123
RDTE//20241122
INTR//5,5
PAYD//20241123
INTP//UKWN
Cash Dividend BRP INC- SUB VOTING W/I (NY)
REPL
//DVCA
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,152618
Cash Dividend BANK OF NEW YORK MELLON CORP(NY)
NEWM
//DVCA
ISIN US0640581007
BANK OF NEW YORK MELLON CORP(NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,47
Intrest Payment SOCIETE GENERALE 22-27 4% 16/11REGS
REPL
//INTR
ISIN FR001400DZM5
SOCIETE GENERALE 22-27 4 16/11REGS
RDTE//20241115
XDTE//20241118
INPE//20231116/20241116
INTR//4,
PAYD//20241118
INTP//4,
Intrest Payment NETFLIX 18-28 4,875%
REPL
//INTR
ISIN US64110LAS51
NETFLIX 18-28 4,875
RDTE//20241014
XDTE//20241015
INPE//20240415/20241015
INTR//4,875
PAYD//20241015
INTP//2,4375
Intrest Payment UNITED STATES TREASURY 23-26 3,75%
REPL
//INTR
ISIN US91282CGV72
UNITED STATES TREASURY 23-26 3,75
RDTE//20241014
XDTE//20241015
INPE//20240415/20241015
INTR//3,75
PAYD//20241015
INTP//1,875
Cash Dividend BRP INC- SUB VOTING W/I (NY)
NEWM
//DVCA
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,152618
Cash Dividend HSBC ETFS PLCMSCI WORLD UC.ETF
NEWM
//DVCA
ISIN IE00B4X9L533
HSBC ETFS PLCMSCI WORLD UC.ETF (FR
RDTE//20241025
XDTE//20241024
PAYD//20241114
GRSS//USD0,1233
Cash Dividend PHILLIPS 66 (NY)
NEWM
//DVCA
ISIN US7185461040
PHILLIPS 66 (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241202
GRSS//USD1,15
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
//DVCA
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20241018
XDTE//20241017
PAYD//20241030
GRSS//USD0,2852
Reverse Stock Split CANOO INC -A- (NY)
NEWM
//SPLR
ISIN US13803R2013
CANOO INC -A- (NY)
XDTE//UKWN
PAYD//UKWN
NEWO//UKWN
Dividend Reinvestment CRODA INTERNATIONAL (LO)
GRSS//GBP0,47
Intrest Payment BANK GOSPODARSTWA 23-33 5,375%REGS
NEWM
//INTR
ISIN XS2625207571
BANK GOSPODARSTWA 23-33 5,375 REGS
XDTE//20241122
RDTE//20241121
INTR//5,375
PAYD//20241122
INTP//2,6875
Dividend Reinvestment CRODA INTERNATIONAL (LO)
REPE
//DRIP
ISIN GB00BJFFLV09
CRODA INTERNATIONAL (LO)
RDTE//20240906
XDTE//20240905
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
GRSS//GBP4,7
PAYD//20241008
CAON//002
CAOP//SECU
ADEX//1,/89,649881
PAYD//20241008
Redemption PORTUGAL REP. 14-24 5,125% REGS
REPL
//REDM
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
RATE//99,221
INTP//0,779
TAXR//35,
Data: 11.10.2024
Intrest Payment TURKCELL ILETISIM HI 18-28 5,8%REGS
REPE
ISIN XS1803215869
TURKCELL ILETISIM HI 18-28 5,8 REGS
RDTE//20241010
XDTE//20241011
PAYD//20241011
INTP//2,9
Cash Dividend TRYG A/S (CO)
NEWM
ISIN DK0060636678
TRYG A/S (CO)
RDTE//20241015
XDTE//20241014
PAYD//20241016
GRSS//DKK1,95
Reverse Stock Split 23ANDME HOLDING CO (NY)
REPL
ISIN US90138Q1085
23ANDME HOLDING CO (NY)
XDTE//20241016
ISIN US90138Q3065
23ANDME HOLDING CO (NY)
NEWO//1,/20,
PAYD//20241016
Cash Dividend TARGA RESOURCES CORP (NY)
NEWM
ISIN US87612G1013
TARGA RESOURCES CORP (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,75
Redemption AMS-OSRAM AG (GE)
NEWM
ISIN AT0000A3EPA4
AMS-OSRAM AG (GE)
XDTE//20241011
PAYD//20241011
OFFR//ACTU/CHF10,752021
Merger PRIMO WATER CORPORATION CANADA (NY)
REPL
ISIN CA74167P1080
PRIMO WATER CORPORATION CANADA (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Intrest Payment UNITED STATES TREASURY 24-54 4,625%
REPL
ISIN US912810UA42
UNITED STATES TREASURY 24-54 4,625
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,3125
Intrest Payment UNITED STATES TREASURY 23-43 4,75%
REPL
ISIN US912810TW80
UNITED STATES TREASURY 23-43 4,75
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,375
Intrest Payment UNITED GROUP BV 20-27 4% REGS
REPL
ISIN XS2010029317
UNITED GROUP BV 20-27 4 REGS
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,
Intrest Payment UNITED STATES TREASURY 24-44 4,625%
REPL
ISIN US912810UB25
UNITED STATES TREASURY 24-44 4,625
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,3125
Intrest Payment US TREAS. N/B 97-27 6,125%
REPL
ISIN US912810FB99
US TREAS. N/B 97-27 6,125
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//3,0625
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
NEWM
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241011
GRSS//USD0,875009
Intrest Payment UNITED STATES TREASURY 23-33 4,5%
REPL
ISIN US91282CJJ18
UNITED STATES TREASURY 23-33 4,5
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//2,25
Intrest Payment USA T-NOTE 15-25 2,25%
REPL
ISIN US912828M565
USA T-NOTE 15-25 2,25
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//1,125
Intrest Payment USA 00-30 6,25%
REPL
ISIN US912810FM54
USA 00-30 6,25
RDTE//20241114
XDTE//20241115
PAYD//20241115
INTP//3,125
Cash Dividend PAYCHEX INC (NY)
NEWM
ISIN US7043261079
PAYCHEX INC (NY)
RDTE//20241107
XDTE//20241107
PAYD//20241127
GRSS//USD0,98
Cash Dividend ZOETIS INC (NY)
NEWM
ISIN US98978V1035
ZOETIS INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241203
GRSS//USD0,432
Cash Dividend CARRIER GLOBAL CORPORATION (NY)
NEWM
ISIN US14448C1045
CARRIER GLOBAL CORPORATION (NY)
RDTE//20241025
XDTE//20241025
PAYD//20241118
GRSS//USD0,19
Cash Dividend DOW INC (NY)
NEWM
ISIN US2605571031
DOW INC (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,7
Cash Dividend EQT CORP (NY)
NEWM
ISIN US26884L1098
EQT CORP (NY)
RDTE//20241106
XDTE//20241106
PAYD//20241202
GRSS//USD0,1575
Cash Dividend MEDTRONIC PLC (NY)
NEWM
ISIN IE00BTN1Y115
MEDTRONIC PLC (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,7
Cash Dividend FRANKLIN RESOURCES (NY)
NEWM
ISIN US3546131018
FRANKLIN RESOURCES (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241011
GRSS//USD0,31
Cash Dividend RALPH LAUREN CORP -A- (NY)
NEWM
ISIN US7512121010
RALPH LAUREN CORP -A- (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,825
Cash Dividend QUANTA SERVICES INC (NY)
NEWM
ISIN US74762E1029
QUANTA SERVICES INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241011
GRSS//USD0,09
Cash Dividend GENERAL DYNAMICS (NY)
REPE
ISIN US3695501086
GENERAL DYNAMICS (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241115
GRSS//USD1,42
Cash Dividend MARVELL TECHNOLOGY INC (NY)
REPE
ISIN US5738741041
MARVELL TECHNOLOGY INC (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241031
GRSS//USD0,06
Cash Dividend AMER EAGLE OUTFITTERS (NY)
REPE
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241030
GRSS//USD0,125
Cash Dividend TORO CO (NY)
NEWM
ISIN US8910921084
TORO CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241011
GRSS//USD0,36
Cash Dividend STATE STREET CORP (NY)
NEWM
ISIN US8574771031
STATE STREET CORP (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241011
GRSS//USD0,76
Cash Dividend ROYAL CARIBBEAN GROUP LTD (NY)
NEWM
ISIN LR0008862868
ROYAL CARIBBEAN GROUP LTD (NY)
RDTE//20240920
XDTE//20240920
PAYD//20241011
GRSS//USD0,4
Cash Dividend GENERAL MILLS INC (NY)
REPE
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20241010
PAYD//20241101
GRSS//USD0,6
Cash Dividend PFIZER (NY)
NEWM
ISIN US7170811035
PFIZER (NY)
RDTE//20241108
XDTE//20241108
PAYD//20241202
GRSS//USD0,42
Cash Dividend CATERPILLAR INC (NY)
NEWM
ISIN US1491231015
CATERPILLAR INC (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241120
GRSS//USD1,41
Cash Dividend RTX CORPORATION (NY)
NEWM
ISIN US75513E1010
RTX CORPORATION (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241212
GRSS//USD0,63
Dividend Reinvestment GSK PLC (LO)
NEWM
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20241010
GRSS//GBP0,15
Merger TELLURIAN INC (NY)
NEWM
ISIN US87968A1043
TELLURIAN INC (NY)
XDTE//20241009
PAYD//20241009
OFFR//ACTU/USD1,
Data: 10.10.2024
Cash Dividend THULE GROUP AB
NEWM
ISIN SE0006422390
THULE GROUP AB
XDTE//20241004
RDTE//20241007
PAYD//20241010
GRSS//SEK4,75
Cash Dividend LINCOLN NATIONAL (NY)
REPE
ISIN US5341871094
LINCOLN NATIONAL (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,45
Cash Dividend ALTRIA GROUP INC (NY)
NEWM
ISIN US02209S1033
ALTRIA GROUP INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241010
GRSS//USD1,02
Cash Dividend BEST BUY CO. (NY)
NEWM
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241010
GRSS//USD0,94
Cash Dividend DELTA AIR LINES INC -W/I (NY)
REPE
ISIN US2473617023
DELTA AIR LINES INC -W/I (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241031
GRSS//USD0,15
Cash Dividend AT&T INC (NY)
REPE
ISIN US00206R1023
AT T INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,2775
Cash Dividend ORACLE CORP (NY)
REPE
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241024
GRSS//USD0,4
Cash Dividend ALLY FINANCIAL INC (NY)
NEWM
ISIN US02005N1000
ALLY FINANCIAL INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241115
GRSS//USD0,3
Cash Dividend STAG INDUSTRIAL INC (NY)
NEWM
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241115
GRSS//USD0,123333
Intrest Payment KERNEL HOLDING SA 19-24 6,5%
REPL
ISIN XS2010040983
KERNEL HOLDING SA 19-24 6,5
RDTE//20241016
XDTE//20241017
PAYD//20241017
INTP//3,25
Reverse Stock Split NRX PHARMACEUTICALS INC (NY)
REPL
ISIN US6294442099
NRX PHARMACEUTICALS INC (NY)
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend HUSQVARNA AB -B- (ST)
REPL
ISIN SE0001662230
HUSQVARNA AB -B- (ST)
XDTE//20241021
RDTE//20241022
PAYD//20241025
GRSS//SEK2,
Dividend Reinvestment TAYLOR WIMPEY PLC (LO)
REPL
ISIN GB0008782301
TAYLOR WIMPEY PLC (LO)
:16R:ACCTINFO
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,048
ISIN GB0008782301
TAYLOR WIMPEY PLC (LO)
ADEX//UKWN
PAYD//20241115
Cash Dividend INDUSTRIA DE DISENO TEXTIL (MA)
REPL
ISIN ES0148396007
INDUSTRIA DE DISENO TEXTIL (MA)
RDTE//20241101
XDTE//20241031
PAYD//20241104
GRSS//EUR0,77
Cash Dividend VERIZON COMMUNICATIONS INC (NY)
REPE
ISIN US92343V1044
VERIZON COMMUNICATIONS INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,6775
Rights Distribution IDEX BIOMETRICS ASA (OS)
REPL
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
XX/1134663000
IDEX BIOMETRICS RIGHT EX170924 (OS)
ADEX//1,/1,
PAYD//UKWN
Cash Dividend ACCENTURE PLC CL A (NY)
REPE
ISIN IE00B4BNMY34
ACCENTURE PLC CL A (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241115
GRSS//USD1,48
Cash Dividend SLB (NY)
NEWM
ISIN AN8068571086
SLB (NY)
RDTE//20240904
XDTE//20240904
PAYD//20241010
GRSS//USD0,275
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
REPE
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241011
XDTE//20241010
PAYD//20241023
GRSS//EUR0,046185
Cash Dividend PHILIP MORRIS INT. (NY)
NEWM
ISIN US7181721090
PHILIP MORRIS INT. (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241010
GRSS//USD0,0675
Dividend Reinvestment TESCO (LO)
REPL
ISIN GB00BLGZ9862
TESCO (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241122
GRSS//GBP0,0425
ISIN GB00BLGZ9862
TESCO (LO)
ADEX//UKWN
PAYD//20241122
Data: 09.10.2024
Stock Split SONY GROUP CORPORATION ADR (NY)
REPL
ISIN US8356993076
SONY GROUP CORPORATION ADR (NY)
RDTE//20241009
XDTE//20241009
ISIN US8356993076
SONY GROUP CORPORATION ADR (NY)
ADEX//4,/1,
PAYD//20241008
Dividend Reinvestment CRODA INTERNATIONAL (LO)
REPE
ISIN GB00BJFFLV09
CRODA INTERNATIONAL (LO)
RDTE//20240906
XDTE//20240905
PAYD//20241008
GRSS//GBP0,47
ISIN GB00BJFFLV09
CRODA INTERNATIONAL (LO)
ADEX//UKWN
PAYD//20241008
Cash Dividend KONGSBERG GRUPPEN ASA (OS)
REPE
ISIN NO0003043309
KONGSBERG GRUPPEN ASA (OS)
RDTE//20241010
XDTE//20241009
PAYD//20241023
GRSS//NOK7,
Cash Dividend INTL FLAVORS FRAGRANC (NY)
NEWM
ISIN US4595061015
INTL FLAVORS FRAGRANC (NY)
RDTE//20240920
XDTE//20240920
PAYD//20241009
GRSS//USD0,4
Cash Dividend NXP SEMICONDUCTORS NV (NY)
NEWM
ISIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241009
GRSS//USD1,014
Cash Dividend MASTERCARD INC -CL A (NY)
REPE
ISIN US57636Q1040
MASTERCARD INC -CL A (NY)
RDTE//20241009
XDTE//20241009
PAYD//20241108
GRSS//USD0,66
Cash Dividend METLIFE INC (NY)
NEWM
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20241105
XDTE//20241105
PAYD//20241216
GRSS//USD0,545
Cash Dividend GSK PLC - ADR (NY)
REPL
ISIN US37733W2044
GSK PLC - ADR (NY)
RDTE//20240816
XDTE//20240816
PAYD//20241010
GRSS//USD0,392813
Redemption BANK OF CHINA 14-24 5% REGS SUB
REPL
ISIN US06120TAA60
BANK OF CHINA 14-24 5 REGS SUB
RDTE//20241112
XDTE//20241113
PAYD//20241113
RATE//99,588
INTP//0,412
Cash Dividend THUNGELA RESOURCES LTD (LO)
NEWM
ISIN ZAE000296554
THUNGELA RESOURCES LTD (LO)
RDTE//20240920
XDTE//20240919
PAYD//20241007
GRSS//GBP0,086
Intrest Payment PORTUGAL REP. 14-24 5,125% REGS
REPL
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,5625
Cash Dividend PROCTER & GAMBLE (NY)
NEWM
ISIN US7427181091
PROCTER GAMBLE (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD1,0065
Cash Dividend GULF KEYSTONE PETROLEUM (LO)
NEWM
ISIN BMG4209G2077
GULF KEYSTONE PETROLEUM (LO)
RDTE//20241018
XDTE//20241017
PAYD//20241031
GRSS//UKWN
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
NEWM
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240930
GRSS//GBP0,2245
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
ADEX//1,/98,799608
PAYD//20241003
Reverse Stock Split MICROCLOUD HOLOGRAM INCORPORAT (NY)
REPL
ISIN KYG550322088
MICROCLOUD HOLOGRAM INCORPORAT (NY)
XDTE//20241009
ISIN KYG550321668
MICROCLOUD HOLOGRAM INCORPORAT (NY)
NEWO//1,/20,
PAYD//20241009
Reverse Stock Split MAXEON SOLAR TECHNOLOGIES LIMI (NY)
NEWM
ISIN SGXZ25336314
MAXEON SOLAR TECHNOLOGIES LIMI (NY)
XDTE//20241009
ISIN SGXZ57724486
MAXEON SOLAR TECHNOLOGIES LIMI (NY)
NEWO//1,/100,
PAYD//20241009
Data: 08.10.2024
Redemption CTP N.V. (AS)
NEWM
ISIN NL00150006R6
CTP N.V. (AS)
XDTE//20241003
PAYD//20241003
OFFR//ACTU/EUR16,57905
Cash Dividend CANADIAN NATURAL RES (NY)
NEWM
ISIN CA1363851017
CANADIAN NATURAL RES (NY)
RDTE//20241213
XDTE//20241213
PAYD//20250103
GRSS//USD0,5625
Cash Dividend MAIN STREET CAPITAL CORP
REPE
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20241008
XDTE//20241008
PAYD//20241015
GRSS//USD0,245
Reverse Stock Split 23ANDME HOLDING CO (NY)
REPL
ISIN US90138Q1085
23ANDME HOLDING CO (NY)
XDTE//20241016
UNKNOWN
NEWO//1,/0,
PAYD//20241016
Merger TELLURIAN INC (NY)
REPL
ISIN US87968A1043
TELLURIAN INC (NY)
XDTE//UKWN
RDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD1,
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
REPL
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241011
GRSS//USD0,873937
Intrest Payment REP.SOUTH AFRICA 16-26 4,875% GLOB
REPL
ISIN US836205AT15
REP.SOUTH AFRICA 16-26 4,875 GLOB
RDTE//20241011
XDTE//20241014
PAYD//20241014
INTP//2,4375
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
REPL
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//3,9375
Cash Dividend DUKE ENERGY (NY)
NEWM
ISIN US26441C2044
DUKE ENERGY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241216
GRSS//USD1,045
Cash Dividend SALESFORCE INC (NY)
NEWM
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20240918
XDTE//20240918
PAYD//20241008
GRSS//USD0,4
Cash Dividend DOLLAR GENERAL CORP
REPE
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20241008
XDTE//20241008
PAYD//20241022
GRSS//USD0,59
Data: 07.10.2024
Cash Dividend CSX CORP (NY)
NEWM
ISIN US1264081035
CSX CORP (NY)
RDTE//20241129
XDTE//20241129
PAYD//20241213
GRSS//USD0,12
Redemption HYZON MOTORS INC-A (NY)
NEWM
ISIN US44951Y2019
HYZON MOTORS INC-A (NY)
XDTE//20241007
PAYD//20241007
OFFR//ACTU/USD2,097954
Cash Dividend OGE ENERGY (NY)
REPE
ISIN US6708371033
OGE ENERGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241025
GRSS//USD0,42125
Cash Dividend TAIWAN SEMICONDUCTOR-SP ADR (NY)
REPL
ISIN US8740391003
TAIWAN SEMICONDUCTOR-SP ADR (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241009
GRSS//USD0,624826
Intrest Payment USA 00-30 6,25%
NEWM
ISIN US912810FM54
USA 00-30 6,25
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//3,125
Intrest Payment USA T-NOTE 15-25 2,25%
NEWM
ISIN US912828M565
USA T-NOTE 15-25 2,25
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//1,125
Cash Dividend VINCI SA (PA)
REPL
ISIN FR0000125486
VINCI SA (PA)
RDTE//20241016
XDTE//20241015
PAYD//20241017
GRSS//EUR3,45
Intrest Payment US TREAS. N/B 97-27 6,125%
NEWM
ISIN US912810FB99
US TREAS. N/B 97-27 6,125
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//3,0625
Intrest Payment SOCIETE GENERALE 22-27 4% 16/11REGS
NEWM
ISIN FR001400DZM5
SOCIETE GENERALE 22-27 4 16/11REGS
XDTE//20241116
RDTE//20241115
PAYD//20241116
INTP//4,
Intrest Payment REPUBLIC OF POLAND 22-27 5,5%
NEWM
ISIN US857524AD47
REPUBLIC OF POLAND 22-27 5,5
XDTE//20241116
RDTE//20241115
PAYD//20241116
INTP//2,75
Intrest Payment POLAND 22-32 5,75% MTN
NEWM
ISIN US857524AE20
POLAND 22-32 5,75 MTN
XDTE//20241116
RDTE//20241115
PAYD//20241116
INTP//2,875
Cash Dividend MICRON TECHNOLOGY (NY)
REPE
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241023
GRSS//USD0,115
Cash Dividend MERCK AND CY INC
NEWM
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20240916
XDTE//20240916
PAYD//20241007
GRSS//USD0,77
Cash Dividend EASTMAN CHEMICAL CO (NY)
NEWM
ISIN US2774321002
EASTMAN CHEMICAL CO (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241007
GRSS//USD0,81
Cash Dividend ERICSSON (LM)-B- (ST)
NEWM
ISIN SE0000108656
ERICSSON (LM)-B- (ST)
XDTE//20241001
RDTE//20241002
PAYD//20241007
GRSS//SEK1,35
Cash Dividend EDISON INTERNATIONAL (NY)
REPE
ISIN US2810201077
EDISON INTERNATIONAL (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241031
GRSS//USD0,78
Cash Dividend ERIE INDEMNITY CO (NY)
REPE
ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241022
GRSS//USD1,275
Intrest Payment UNITED GROUP BV 20-27 4% REGS
NEWM
ISIN XS2010029317
UNITED GROUP BV 20-27 4 REGS
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//2,
Intrest Payment UNITED STATES TREASURY 24-54 4,625%
NEWM
ISIN US912810UA42
UNITED STATES TREASURY 24-54 4,625
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//2,3125
Intrest Payment UNITED STATES TREASURY 23-33 4,5%
NEWM
ISIN US91282CJJ18
UNITED STATES TREASURY 23-33 4,5
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//2,25
Intrest Payment UNITED STATES TREASURY 24-44 4,625%
NEWM
ISIN US912810UB25
UNITED STATES TREASURY 24-44 4,625
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//2,3125
Intrest Payment UNITED STATES TREASURY 23-43 4,75%
NEWM
ISIN US912810TW80
UNITED STATES TREASURY 23-43 4,75
XDTE//20241115
RDTE//20241114
PAYD//20241115
INTP//2,375
Intrest Payment WALMART INC 07-27 5,875%
REPE
ISIN US931142CH46
WALMART INC 07-27 5,875
RDTE//20241004
XDTE//20241005
PAYD//20241005
INTP//2,9375
Capital distribution PROSUS N.V. (AS)
REPL
ISIN NL0013654783
PROSUS N.V. (AS)
RDTE//20241101
XDTE//20241031
PAYD//20241126
GRSS//EUR0,1
Cash Dividend JPMORGAN CHASE & CO (NY)
REPE
ISIN US46625H1005
JPMORGAN CHASE CO (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241031
GRSS//USD1,25
Dividend Reinvestment DIAGEO PLC (LO)
REPL
ISIN GB0002374006
DIAGEO PLC (LO)
RDTE//20240830
XDTE//20240829
PAYD//20241017
GRSS//GBP0,4723
ISIN GB0002374006
DIAGEO PLC (LO)
ADEX//UKWN
PAYD//20241017
Data: 04.10.2024
Dividend Reinvestment TESCO (LO)
NEWM
ISIN GB00BLGZ9862
TESCO (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241122
GRSS//GBP0,0425
ISIN GB00BLGZ9862
TESCO (LO)
ADEX//UKWN
PAYD//20241122
Cash Dividend AMER EXPRESS (NY)
REPE
ISIN US0258161092
AMER EXPRESS (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241108
GRSS//USD0,7
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20241011
XDTE//20241010
PAYD//20241023
GRSS//EUR0,046185
Cash Dividend PNC FINANCIAL SERVICES GROUP (NY)
NEWM
ISIN US6934751057
PNC FINANCIAL SERVICES GROUP (NY)
RDTE//20241016
XDTE//20241016
PAYD//20241105
GRSS//USD1,6
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241031
GRSS//USD0,04
Intrest Payment POLEN 16-26 3,25%
REPL
ISIN US731011AU68
POLEN 16-26 3,25
RDTE//20241004
XDTE//20241006
PAYD//20241006
INTP//1,625
Intrest Payment PIAGGIO & C SPA 23-30 6,5%REGS
REPL
ISIN XS2696224315
PIAGGIO C SPA 23-30 6,5 REGS
RDTE//20241004
XDTE//20241005
PAYD//20241005
INTP//3,25
Cash Dividend SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
REPE
ISIN IE00BKVD2N49
SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
RDTE//20240923
XDTE//20240923
PAYD//20241007
GRSS//USD0,7
Cash Dividend BHP GROUP LIMITED (LO)
NEWM
ISIN AU000000BHP4
BHP GROUP LIMITED (LO)
RDTE//20240913
XDTE//20240912
PAYD//20241003
GRSS//GBP0,565792
Intrest Payment TURKCELL ILETISIM HI 18-28 5,8%REGS
REPL
ISIN XS1803215869
TURKCELL ILETISIM HI 18-28 5,8 REGS
RDTE//20241010
XDTE//20241011
PAYD//20241011
INTP//2,9
Cash Dividend BRISTOL-MYERS SQUIBB (NY)
REPE
ISIN US1101221083
BRISTOL-MYERS SQUIBB (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241101
GRSS//USD0,6
Cash Dividend SYSCO CORP (NY)
REPE
ISIN US8718291078
SYSCO CORP (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241025
GRSS//USD0,51
Cash Dividend IMMERSION CORP (NY)
REPE
ISIN US4525211078
IMMERSION CORP (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241018
GRSS//USD0,045
Cash Dividend CHUBB LIMITED (NY)
NEWM
ISIN CH0044328745
CHUBB LIMITED (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241004
GRSS//USD0,91
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
NEWM
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,1011
Cash Dividend THULE GROUP AB
REPE
ISIN SE0006422390
THULE GROUP AB
XDTE//20241004
RDTE//20241007
PAYD//20241010
GRSS//SEK4,75
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
NEWM
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,165454
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
NEWM
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,315755
Redemption BETSSON AB-B PREF SH (ST)
REPL
ISIN SE0022726469
BETSSON AB-B PREF SH (ST)
XDTE//20241003
RDTE//20240930
PAYD//20241003
OFFR//ACTU/SEK3,66
Redemption RIO TINTO PLC (LO)
NEWM
ISIN GB0007188757
RIO TINTO PLC (LO)
XDTE//20240926
PAYD//20240926
OFFR//ACTU/GBP52,60778
Merger VITESCO TECHNOLOGIES GRP AG (FR)
NEWM
ISIN DE000VTSC017
VITESCO TECHNOLOGIES GRP AG (FR)
XDTE//20241003
ISIN DE000SHA0019
SCHAEFFLER AG (FR)
NEWO//11,4/1,
PAYD//20241003
Dividend Reinvestment INTERNATIONAL PERSONAL FINAN (LO)
REPE
ISIN GB00B1YKG049
INTERNATIONAL PERSONAL FINAN (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240927
GRSS//GBP0,034
ISIN GB00B1YKG049
INTERNATIONAL PERSONAL FINAN (LO)
ADEX//1,/46,074638
PAYD//20240927
Data: 03.10.2024
Cash Dividend HONEYWELL INT. INC (NY)
NEWM
ISIN US4385161066
HONEYWELL INT. INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241206
GRSS//USD1,13
Dividend Reinvestment LEGAL & GENERAL GR. PLC (LO)
REPE
ISIN GB0005603997
LEGAL GENERAL GR. PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240927
GRSS//GBP0,06
ISIN GB0005603997
LEGAL GENERAL GR. PLC (LO)
ADEX//1,/38,76093
PAYD//20240927
Intrest Payment UNICREDIT 19-34 7,296-VAR% SUBREGS
REPE
ISIN XS1972731787
UNICREDIT 19-34 7,296-VAR SUBREGS
RDTE//20240926
XDTE//20241002
PAYD//20241002
INTP//3,648
Cash Dividend ABM INDUSTRIES INC (NY)
REPE
ISIN US0009571003
ABM INDUSTRIES INC (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241104
GRSS//USD0,225
Cash Dividend CAMPBELL SOUP CY (NY)
REPE
ISIN US1344291091
CAMPBELL SOUP CY (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241028
GRSS//USD0,37
Cash Dividend MERCER INTL INC -SBI (NY)
NEWM
ISIN US5880561015
MERCER INTL INC -SBI (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241003
GRSS//USD0,075
Cash Dividend SMITH AND WESSON BRANDS INC (NY)
NEWM
ISIN US8317541063
SMITH AND WESSON BRANDS INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241003
GRSS//USD0,13
Cash Dividend NVIDIA CORP (NY)
NEWM
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241003
GRSS//USD0,01
Intrest Payment UBS GROUP 22-26 4,488-VAR% REGS
NEWM
ISIN USH42097CZ86
UBS GROUP 22-26 4,488-VAR REGS
XDTE//20241112
RDTE//20241111
PAYD//20241112
INTP//UKWN
Cash Dividend CORNING INC (NY)
NEWM
ISIN US2193501051
CORNING INC (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241213
GRSS//USD0,28
Intrest Payment BANK OF CHINA 14-24 5% REGS SUB
NEWM
ISIN US06120TAA60
BANK OF CHINA 14-24 5 REGS SUB
XDTE//20241113
RDTE//20241029
PAYD//20241113
INTP//UKWN
Merger BLACKROCK INC (NY)
REPL
ISIN US09247X1019
BLACKROCK INC (NY)
XDTE//20241002
ISIN US09290D1019
BLACKROCK INC (NY)
NEWO//1,/1,
PAYD//20241002
Cash Dividend KAINOS GROUP PLC (LO)
REPE
ISIN GB00BZ0D6727
KAINOS GROUP PLC (LO)
RDTE//20241004
XDTE//20241003
PAYD//20241025
GRSS//GBP0,191
Cash Dividend BHP GROUP LIMITED ADR (NY)
NEWM
ISIN US0886061086
BHP GROUP LIMITED ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241003
GRSS//USD1,48
Cash Dividend WOODSIDE ENERGY GROUP LTD ADR (NY)
NEWM
ISIN US9802283088
WOODSIDE ENERGY GROUP LTD ADR (NY)
RDTE//20240906
XDTE//20240906
PAYD//20241003
GRSS//USD0,69
Merger KELLANOVA (NY)
CANC
ISIN US4878361082
KELLANOVA (NY)
XDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD83,5
Cash Dividend LOCKHEED MARTIN CORP (NY)
NEWM
ISIN US5398301094
LOCKHEED MARTIN CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241227
GRSS//USD3,3
Cash Dividend AFRICA OIL CORP (ST)
REPL
ISIN CA00829Q1019
AFRICA OIL CORP (ST)
RDTE//20240909
XDTE//20240906
PAYD//20241003
GRSS//SEK0,252611
Data: 02.10.2024
Merger SOUTHWESTERN ENERGY CO (NY)
NEWM
ISIN US8454671095
SOUTHWESTERN ENERGY CO (NY)
XDTE//20241001
ISIN US1651677353
EXPAND ENERGY CORPORATION (NY)
NEWO//0,0867/1,
PAYD//20241001
Cash Dividend ISHARES STOXX GL SEL D100 DE A
REPL
ISIN DE000A0F5UH1
ISHARES STOXX GL SEL D100 DE A (FR)
RDTE//20241014
XDTE//20241015
PAYD//20241015
GRSS//EUR0,335406
Dividend Reinvestment MONDI PLC (LO)
REPE
ISIN GB00BMWC6P49
MONDI PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240927
GRSS//GBP0,196901
ISIN GB00BMWC6P49
MONDI PLC (LO)
ADEX//1,/73,544167
PAYD//20241002
Dividend Reinvestment ANGLO AMERICAN PLC (LO)
REPE
ISIN GB00B1XZS820
ANGLO AMERICAN PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240927
GRSS//USD0,42
ISIN GB00B1XZS820
ANGLO AMERICAN PLC (LO)
ADEX//1,/77,880469
PAYD//20241002
Change EXPAND ENERGY CORPORATION (NY)
NEWM
ISIN US1651677353
EXPAND ENERGY CORPORATION (NY)
CHAN//NAME
ADTX//NAME CHANGE:
OLD NAME: Chesapeake Energy
Corporation
NEW NAME: Expand Energy Corporation
Cash Dividend WOODSIDE ENERGY GROUP LTD (LO)
REPL
ISIN AU0000224040
WOODSIDE ENERGY GROUP LTD (LO)
RDTE//20240906
XDTE//20240905
PAYD//20241003
GRSS//GBP0,526284
Cash Dividend PERNOD-RICARD SA (PA)
NEWM
ISIN FR0000120693
PERNOD-RICARD SA (PA)
RDTE//20241126
XDTE//20241125
PAYD//20241127
GRSS//EUR2,35
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
REPL
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
RDTE//20241014
XDTE//20241015
PAYD//20241015
GRSS//EUR0,116777
Repurchase Offer BANCO SANT SA 23-26 3,75% 16/1 REGS
REPL
ISIN XS2575952424
BANCO SANT SA 23-26 3,75 16/1 REGS
OFFO//BANCO SANTANDER
PAYD//20241002
OFFR//PRCT/101,36
Cash Dividend SANDSTORM GOLD LTD (NY)
REPL
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241025
GRSS//UKWN
Cash Dividend CISCO SYSTEMS INC (NY)
REPE
ISIN US17275R1023
CISCO SYSTEMS INC (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241023
GRSS//USD0,4
Cash Dividend COMCAST CORP CL-A (NY)
REPE
ISIN US20030N1019
COMCAST CORP CL-A (NY)
RDTE//20241002
XDTE//20241002
PAYD//20241023
GRSS//USD0,31
Cash Dividend KIMBERLY CLARK CORP (NY)
NEWM
ISIN US4943681035
KIMBERLY CLARK CORP (NY)
RDTE//20240906
XDTE//20240906
PAYD//20241002
GRSS//USD1,22
Cash Dividend HP INC (NY)
NEWM
ISIN US40434L1052
HP INC (NY)
RDTE//20240911
XDTE//20240911
PAYD//20241002
GRSS//USD0,2756
Cash Dividend PROSHARES ULTRAP.S.S&P500 ETF-D
NEWM
ISIN US74349Y8451
PROSHARES ULTRAP.S.S P500 ETF-D(NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,450481
Cash Dividend PROSHARES SHORT QQQ ETF
:NEWM
ISIN US74349Y8378
PROSHARES SHORT QQQ ETF (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,677534
Cash Dividend PROSHARES SHORT S&P500 ETF D
NEWM
ISIN US74347B4251
PROSHARES SHORT S P500 ETF D (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,140657
Cash Dividend PROSHARES ULTRASHORT S&P500 ETF
NEWM
ISIN US74347G4165
PROSHARES ULTRASHORT S P500 ETF(NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,340695
Rights Distribution UNIVERSAL MUSIC GROUP N.V (AS)
REPE
ISIN NL0015000IY2
UNIVERSAL MUSIC GROUP N.V (AS)
RDTE//20241003
XDTE//20241002
ISIN NL00150028M1
UNIVERSAL MUS.GR.RIGHTEX021024/2(AS
ADEX//1,/1,
PAYD//20241002
Cash Dividend SSGA SPDR ETFS S&P US DIV USD
NEWM
ISIN IE00B6YX5D40
SSGA SPDR ETFS S P US DIV USD (LO)
RDTE//20240924
XDTE//20240923
PAYD//20241001
GRSS//USD0,366
Cash Dividend SSGA SPDR S&P 500 UCITS ETF
NEWM
ISIN IE00B6YX5C33
SSGA SPDR S P 500 UCITS ETF (MI)
RDTE//20240924
XDTE//20240923
PAYD//20241001
GRSS//USD1,5176
Intrest Payment FORD MOTOR CO 98-28 6,625%
NEWM
ISIN US345370BY59
FORD MOTOR CO 98-28 6,625
RDTE//20240930
XDTE//20241001
PAYD//20241001
INTP//3,3125
Data: 01.10.2024
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPE
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,165454
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPE
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,315755
Dividend Option CTP N.V. (AS)
REPL
ISIN NL00150006R6
CTP N.V. (AS)
ISIN NL00150027M3
CTP N.V. RIGHT EX020924 /2 (AS)
RDTE//20240903
XDTE//20240902
:PAYD//20241003
:ISIN NL00150006R6
CTP N.V. (AS)
NEWO//1,/56,57
PAYD//20241003
Change SCHAEFFLER VORZ.AKTSTIMMRECHTLOS(FR
REPL
ISIN DE000SHA0159
SCHAEFFLER VORZ.AKTSTIMMRECHTLOS(FR
XDTE//UKWN
ISIN DE000SHA0019
SCHAEFFLER AG (FR)
NEWO//1,/1,
PAYD//UKWN
Cash Dividend STATE STREET CORP (NY)
REPE
ISIN US8574771031
STATE STREET CORP (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241011
GRSS//USD0,76
Dividend Reinvestment KINGFISHER PLC (LO)
REPL
ISIN GB0033195214
KINGFISHER PLC (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,038
ISIN GB0033195214
KINGFISHER PLC (LO)
ADEX//UKWN
PAYD//20241115
Rights Distribution IDEX BIOMETRICS ASA (OS)
NEWM
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
/XX/1134663000
IDEX BIOMETRICS RIGHT EX170924 (OS)
ADEX//1,/1,
PAYD//UKWN
Reverse Stock Split MICROCLOUD HOLOGRAM INCORPORAT (NY)
NEWM
ISIN KYG550322088
MICROCLOUD HOLOGRAM INCORPORAT (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/20,
PAYD//UKWN
Spin Off GENTOO MEDIA INC (OS)
REPE
ISIN US36467X2062
GENTOO MEDIA INC (OS)
XDTE//20240924
RDTE//20240925
ISIN NO0013326033
GIG SOFTWARE P.L.C. GDR (OS)
ADEX//1,/1,
PAYD//20241001
Cash Dividend HENNES & MAURITZ -B FRIA (ST)
REPL
ISIN SE0000106270
HENNES MAURITZ -B FRIA (ST)
XDTE//20241107
RDTE//20241108
PAYD//20241113
GRSS//SEK3,25
Reverse Stock Split LIFECARE ASA (OS)
REPE
ISIN NO0010591191
LIFECARE ASA (OS)
ISIN NO0013355859
LIFECARE ASA (OS)
NEWO//1,/13,
PAYD//20241001
Intrest Payment UNITED STATES TREASURY 23-26 3,75%
REPL
ISIN US91282CGV72
UNITED STATES TREASURY 23-26 3,75
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//1,875
Intrest Payment USA 21-24 0,625%
REPL
ISIN US91282CDB46
USA 21-24 0,625
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//0,3125
Cash Dividend BHP GROUP LIMITED (LO)
REPL
ISIN AU000000BHP4
BHP GROUP LIMITED (LO)
RDTE//20240913
XDTE//20240912
PAYD//20241003
GRSS//UKWN
Cash Dividend STMICROELECTRONICS NV -REG NY (NY)
NEWM
ISIN US8610121027
STMICROELECTRONICS NV -REG NY (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241001
GRSS//USD0,09
Cash Dividend PROSHARES ULTRAP.SH.S&P500
CANC
ISIN US74347B1109
PROSHARES ULTRAP.SH.S P500 (NY)ETF
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//UKWN
Cash Dividend TECK RESOURCES LTD CL B (NY)
REPL
ISIN CA8787422044
TECK RESOURCES LTD CL B (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//UKWN
Cash Dividend COCA COLA CO (NY)
NEWM
ISIN US1912161007
COCA COLA CO (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,485
Rights Distribution NORTHERN OCEAN LTD (OS)
NEWM
ISIN BMG6682J1036
NORTHERN OCEAN LTD (OS)
RDTE//20240621
XDTE//20240620
:/XX/1130998000
NORTHERN OCEAN RIGHT EX200624 (OS)
ADEX//UKWN
PAYD//UKWN
Cash Dividend NIKE INC B (NY)
NEWM
ISIN US6541061031
NIKE INC B (NY)
RDTE//20240903
XDTE//20240903
PAYD//20241001
GRSS//USD0,37
Cash Dividend ALBEMARLE CORP (NY)
NEWM
ISIN US0126531013
ALBEMARLE CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,405
Cash Dividend LAM RESEARCH CORP (NY)
NEWM
ISIN US5128071082
LAM RESEARCH CORP (NY)
RDTE//20240917
XDTE//20240917
PAYD//20241001
GRSS//USD2,3
Cash Dividend ERICSSON (LM)-B- (ST)
REPE
ISIN SE0000108656
ERICSSON (LM)-B- (ST)
XDTE//20241001
RDTE//20241002
PAYD//20241007
GRSS//SEK1,35
Cash Dividend UGI CORP (NY)
NEWM
ISIN US9026811052
UGI CORP (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241001
GRSS//USD0,375
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//USD0,1011
Cash Dividend RITHM CAPITAL CORP - REIT (NY)
REPE
ISIN US64828T2015
RITHM CAPITAL CORP - REIT (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241101
GRSS//USD0,25
Cash Dividend FRANKLIN RESOURCES (NY)
REPE
ISIN US3546131018
FRANKLIN RESOURCES (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241011
GRSS//USD0,31
Dividend Reinvestment RIO TINTO PLC (LO)
NEWM
ISIN GB0007188757
RIO TINTO PLC (LO)
RDTE//20240816
XDTE//20240815
ADEX//1,/39,682706
PAYD//20240926
Cash Dividend DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF
NEWM
ISIN US25460G8318
DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF(NY
RDTE//20240924
XDTE//20240924
PAYD//20241001
GRSS//USD0,14596
Cash Dividend MACY'S INC (NY)
NEWM
ISIN US55616P1049
MACY'S INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,1737
Cash Dividend ENCOMPASS HEALTH CORPORATION (NY)
REPE
ISIN US29261A1007
ENCOMPASS HEALTH CORPORATION (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241015
GRSS//USD0,17
Cash Dividend COMERICA INC (NY)
NEWM
ISIN US2003401070
COMERICA INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,71
Cash Dividend ALLSTATE CORPORATION (NY)
NEWM
:ISIN US0200021014
ALLSTATE CORPORATION (NY)
:RDTE//20240830
XDTE//20240830
PAYD//20241001
GRSS//USD0,92
Cash Dividend BROWN FORMAN CORP 'B' (NY)
NEWM
ISIN US1156372096
BROWN FORMAN CORP 'B' (NY)
RDTE//20240903
XDTE//20240903
PAYD//20241001
GRSS//USD0,2178
Cash Dividend BAXTER INTERNAT INC (NY)
NEWM
ISIN US0718131099
BAXTER INTERNAT INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20241001
GRSS//USD0,29
Cash Dividend AIR PROD CHEMICALS (NY)
REPE
ISIN US0091581068
AIR PROD CHEMICALS (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241112
GRSS//USD1,77
Cash Dividend ROYAL UNIBREW A/S (CO)
REPE
ISIN DK0060634707
ROYAL UNIBREW A/S (CO)
RDTE//20241002
XDTE//20241001
PAYD//20241003
GRSS//DKK14,5
Cash Dividend GENUINE PARTS (NY)
NEWM
ISIN US3724601055
GENUINE PARTS (NY)
RDTE//20240906
XDTE//20240906
PAYD//20241001
GRSS//USD1,
Cash Dividend PPL CORP (NY)
NEWM
ISIN US69351T1060
PPL CORP (NY)
RDTE//20240910
XDTE//20240910
PAYD//20241001
GRSS//USD0,2575
Cash Dividend VENTAS INC (NY)
REPE
ISIN US92276F1003
VENTAS INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241017
GRSS//USD0,45
Cash Dividend QUANTA SERVICES INC (NY)
REPE
ISIN US74762E1029
QUANTA SERVICES INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241011
GRSS//USD0,09
Cash Dividend FEDEX CORP (NY)
NEWM
ISIN US31428X1063
FEDEX CORP (NY)
RDTE//20240909
XDTE//20240909
PAYD//20241001
GRSS//USD1,38
Data: 30.09.2024
Capital distribution PRAX EXPLORATION&PROD.DEF.CONS (LO)
NEWM
ISIN GB00BQS92151
PRAX EXPLORATION PROD.DEF.CONS (LO)
RDTE//20240628
XDTE//20240627
PAYD//20240930
GRSS//GBP0,00756
Cash Dividend PARAMOUNT GLOBAL -B- (NY)
NEWM
ISIN US92556H2067
PARAMOUNT GLOBAL -B- (NY)
RDTE//20241216
XDTE//20241216
PAYD//20250102
GRSS//USD0,05
Cash Dividend MICRON TECHNOLOGY (NY)
NEWM
ISIN US5951121038
MICRON TECHNOLOGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241023
GRSS//USD0,115
Intrest Payment USA 22-27 4,125%
NEWM
ISIN US91282CFM82
USA 22-27 4,125
RDTE//20240927
XDTE//20240930
PAYD//20240930
INTP//2,0625
Cash Dividend VANGUARD GROUP MID-CAP ETF DIV
NEWM
ISIN US9229086296
VANGUARD GROUP MID-CAP ETF DIV (NY)
RDTE//20240926
XDTE//20240926
PAYD//20240930
GRSS//USD0,9474
Cash Dividend ISHARES GLOBAL REIT ETF D
NEWM
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20240925
XDTE//20240925
PAYD//20240930
GRSS//USD0,252691
Cash Dividend MARRIOTT INTERNATIONAL A (NY)
NEWM
ISIN US5719032022
MARRIOTT INTERNATIONAL A (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240930
GRSS//USD0,63
Cash Dividend ARES CAPITAL CORP (NY)
NEWM
ISIN US04010L1035
ARES CAPITAL CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,48
Cash Dividend DEVON ENERGY CORP (NY)
NEWM
ISIN US25179M1036
DEVON ENERGY CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,22
Cash Dividend B&G FOODS INC -A (NY)
REPE
ISIN US05508R1068
B G FOODS INC -A (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241030
GRSS//USD0,19
Cash Dividend FMC CORP (NY)
REPE
ISIN US3024913036
FMC CORP (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241017
GRSS//USD0,58
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,123333
Cash Dividend HUMANA INC (NY)
:REPE
:ISIN US4448591028
HUMANA INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241025
GRSS//USD0,885
Cash Dividend AURELIUS EQ OPPORT SE & CO KGAA (FR
REPE
ISIN DE000A0JK2A8
AURELIUS EQ OPPORT SE CO KGAA (FR
RDTE//20241001
XDTE//20240930
PAYD//20241002
GRSS//EUR0,06
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,04
Cash Dividend ZIMMER BIOMET HOLDINGS INC (NY)
REPE
ISIN US98956P1021
ZIMMER BIOMET HOLDINGS INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241031
GRSS//USD0,24
Cash Dividend FIRST INTERNET BANCORP (NQ
REPE
ISIN US3205571017
FIRST INTERNET BANCORP (NQ)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,06
Cash Dividend TORO CO (NY)
REPE
ISIN US8910921084
TORO CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241011
GRSS//USD0,36
Cash Dividend DEERE & CO (NY)
REPE
ISIN US2441991054
DEERE CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241108
GRSS//USD1,47
Cash Dividend TRAVELERS COS INC /THE (NY)
NEWM
ISIN US89417E1091
TRAVELERS COS INC /THE (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240930
GRSS//USD1,05
Cash Dividend STRYKER CORP (NY)
REPE
ISIN US8636671013
STRYKER CORP (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241031
GRSS//USD0,8
Cash Dividend WESTERN UNION CO (NY)
NEWM
ISIN US9598021098
WESTERN UNION CO (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,235
Cash Dividend UNION PACIFIC CORP (NY)
NEWM
ISIN US9078181081
UNION PACIFIC CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240930
GRSS//USD1,34
Cash Dividend MONDELEZ INTERNATIONAL INC (NY)
REPE
ISIN US6092071058
MONDELEZ INTERNATIONAL INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241014
GRSS//USD0,47
Cash Dividend WILLIAMS COMPANIES (NY)
NEWM
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,475
Cash Dividend SIMON PROPERTY GROUP INC (NY)
NEWM
ISIN US8288061091
SIMON PROPERTY GROUP INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240930
GRSS//USD2,05
Cash Dividend M&T BANK CORP (NY)
NEWM
ISIN US55261F1049
M T BANK CORP (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240930
GRSS//USD1,35
Cash Dividend PROLOGIS INC (NY)
NEWM
ISIN US74340W1036
PROLOGIS INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,96
Cash Dividend BOOKING HOLDINGS INC (NY)
NEWM
ISIN US09857L1089
BOOKING HOLDINGS INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240930
GRSS//USD8,75
Cash Dividend EVERSOURCE ENERGY (NY)
NEWM
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20240923
XDTE//20240923
PAYD//20240930
GRSS//USD0,715
Cash Dividend PEPSICO INC (NY)
NEWM
ISIN US7134481081
PEPSICO INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240930
GRSS//USD1,355
Cash Dividend NEWMONT CORPORATION (NY)
NEWM
ISIN US6516391066
NEWMONT CORPORATION (NY)
RDTE//20240905
XDTE//20240905
PAYD//20240930
GRSS//USD0,25
Intrest Payment PIAGGIO & C SPA 23-30 6,5%REGS
REPL
ISIN XS2696224315
PIAGGIO C SPA 23-30 6,5 REGS
RDTE//20241004
XDTE//20241005
PAYD//20241005
INTP//3,25
Reverse Stock Split AMS-OSRAM AG (GE)
NEWM
ISIN AT0000A18XM4
AMS-OSRAM AG (GE)
:XDTE//20240930
ISIN AT0000A3EPA4
AMS-OSRAM AG (GE)
NEWO//1,/10,
PAYD//20240930
Stock Split SUPER MICRO COMPUTER INC (NY)
REPL
ISIN US86800U1043
SUPER MICRO COMPUTER INC (NY)
XDTE//20241001
ISIN US86800U3023
SUPER MICRO COMPUTER INC (NY)
NEWO//10,/1,
PAYD//20240930
Cash Dividend CENTAMIN PLC (LO)
NEWM
ISIN JE00B5TT1872
CENTAMIN PLC (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240927
GRSS//USD0,0225
Cash Dividend DRDGOLD LTD -SPON ADR (NY)
NEWM
ISIN US26152H3012
DRDGOLD LTD -SPON ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240926
GRSS//USD0,113275
Cash Dividend AMERICAN INTERNATIONAL GROUP INC(NY
NEWM
ISIN US0268747849
AMERICAN INTERNATIONAL GROUP INC(NY
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,4
Cash Dividend TOTAL ENERGIES SE(PA)
REPE
ISIN FR0000120271
TOTAL ENERGIES SE(PA)
RDTE//20240926
XDTE//20240925
PAYD//20241001
GRSS//EUR0,79
Cash Dividend BROADCOM INC (NY)
NEWM
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,53
Reverse Stock Split MAXEON SOLAR TECHNOLOGIES LIMI (NY)
NEWM
ISIN SGXZ25336314
MAXEON SOLAR TECHNOLOGIES LIMI (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend US BANCORP NEW (NY)
REPE
ISIN US9029733048
US BANCORP NEW (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,5
Cash Dividend YORK WATER CO (NY)
REPE
ISIN US9871841089
YORK WATER CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,2108
Dividend Reinvestment IMPERIAL BRANDS PLC (LO)
NEWM
ISIN GB0004544929
IMPERIAL BRANDS PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240930
GRSS//GBP0,2245
Cash Dividend AT&T INC (NY)
NEWM
ISIN US00206R1023
AT T INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,2775
Worthless ITERUM THERAP.PLC RIGHT EX150724
NEWM
ISIN USG63RGT0246
ITERUM THERAP.PLC RIGHT EX150724
XDTE//20240814
PAYD//20240814
Data: 27.09.2024
Dividend Reinvestment SHELL PLC (LO)
NEWM
ISIN GB00BR1WB003
SHELL PLC RIGHT EX150824 (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240923
ISIN GB00BP6MXD84
SHELL PLC (LO)
NEWO//1,/99,302505
PAYD//20240923
Cash Dividend BW LPG LIMITED (OS)
REPL
ISIN SGXZ69436764
BW LPG LIMITED (OS)
RDTE//20240910
XDTE//20240909
PAYD//20240930
GRSS//NOK6,03559
Dividend Reinvestment MONDI PLC (LO)
NEWM
ISIN GB00BMWC6P49
MONDI PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240927
GRSS//GBP0,196901
Dividend Reinvestment HALEON PLC (LO)
REPE
ISIN GB00BMX86B70
HALEON PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240919
GRSS//GBP0,02
ISIN GB00BMX86B70
HALEON PLC (LO)
ADEX//1,/199,65175
PAYD//20240924
Cash Dividend SEALED AIR CORP (NEW) (NY)
NEWM
ISIN US81211K1007
SEALED AIR CORP (NEW) (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,2
Cash Dividend GARMIN LTD (NY)
NEWM
ISIN CH0114405324
GARMIN LTD (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,75
Cash Dividend FERROGLOBE PLC (NY)
NEWM
ISIN GB00BYW6GV68
FERROGLOBE PLC (NY)
RDTE//20240920
XDTE//20240920
PAYD//20240927
GRSS//USD0,013
Intrest Payment ROMANIA 22-29 6,625% 27/09 REGS MTN
NEWM
ISIN XS2538441598
ROMANIA 22-29 6,625 27/09 REGS MTN
RDTE//20240926
XDTE//20240927
PAYD//20240927
INTP//6,625
Cash Dividend RANGE RESOURCES CORP (NY)
NEWM
ISIN US75281A1097
RANGE RESOURCES CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,08
Cash Dividend HSBC HOLD. PLC (LO)
NEWM
ISIN GB0005405286
HSBC HOLD. PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240927
GRSS//USD0,1
Cash Dividend CORNING INC (NY)
NEWM
ISIN US2193501051
CORNING INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD0,28
Cash Dividend NASDAQ INC (NY)
NEWM
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,24
Cash Dividend NUCOR CORP (NY)
REPE
ISIN US6703461052
NUCOR CORP (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241108
GRSS//USD0,54
Cash Dividend RALPH LAUREN CORP -A- (NY)
REPE
ISIN US7512121010
RALPH LAUREN CORP -A- (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,825
Cash Dividend BANCO DE SABADELL SA (MA)
REPE
ISIN ES0113860A34
BANCO DE SABADELL SA (MA)
RDTE//20240930
XDTE//20240927
PAYD//20241001
GRSS//EUR0,08
Cash Dividend HILTON WORLDWIDE HOLDINGS INC (NY)
NEWM
ISIN US43300A2033
HILTON WORLDWIDE HOLDINGS INC (NY)
RDTE//20240823
XDTE//20240823
PAYD//20240927
GRSS//USD0,15
Cash Dividend OVINTIV INC (NY)
NEWM
ISIN US69047Q1022
OVINTIV INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,3
Cash Dividend T ROWE PRICE GROUP INC (NY)
NEWM
ISIN US74144T1088
T ROWE PRICE GROUP INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD1,24
Cash Dividend TERADYNE (NY)
NEWM
ISIN US8807701029
TERADYNE (NY)
RDTE//20240905
XDTE//20240905
PAYD//20240927
GRSS//USD0,12
Cash Dividend GOLDMAN SACHS GROUP INC (NY)
NEWM
ISIN US38141G1040
GOLDMAN SACHS GROUP INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD3,
Cash Dividend LOCKHEED MARTIN CORP (NY)
NEWM
ISIN US5398301094
LOCKHEED MARTIN CORP (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240927
GRSS//USD3,15
Cash Dividend GLOBAL PAYMENTS INC (NY)
NEWM
ISIN US37940X1028
GLOBAL PAYMENTS INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,25
Cash Dividend GUESS INC (NY)
NEWM
ISIN US4016171054
GUESS INC (NY)
RDTE//20240911
XDTE//20240911
PAYD//20240927
GRSS//USD0,3
Cash Dividend GILEAD SCIENCES INC (NY)
NEWM
ISIN US3755581036
GILEAD SCIENCES INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,77
Cash Dividend THE KRAFT HEINZ COMPANY (NY)
NEWM
ISIN US5007541064
THE KRAFT HEINZ COMPANY (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD0,4
Cash Dividend JEFFERIES FINANCIAL GROUP INC (NY)
NEWM
ISIN US47233W1099
JEFFERIES FINANCIAL GROUP INC (NY)
RDTE//20241118
XDTE//20241118
PAYD//20241127
GRSS//USD0,35
Cash Dividend MCDONALDS CORP (NY)
NEWM
ISIN US5801351017
MCDONALDS CORP (NY)
RDTE//20241202
XDTE//20241202
PAYD//20241216
GRSS//USD1,77
Intrest Payment BOEING CO 20-50 5,805%
REPL
ISIN US097023CW33
BOEING CO 20-50 5,805
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//2,9025
Intrest Payment GOLDMAN SACHS G 06-36 6.45% SUB
REPL
ISIN US38143YAC75
GOLDMAN SACHS G 06-36 6.45 SUB
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//3,225
Intrest Payment BOMBARDIER 04-34 7,45% REGS
REPl
ISIN USC10602AJ68
BOMBARDIER 04-34 7,45 REGS
RDTE//20241031
XDTE//20241101
PAYD//20241101
INTP//3,725
Dividend Reinvestment HALEON PLC (LO)
NEWM
ISIN GB00BMX86B70
HALEON PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240919
GRSS//GBP0,02
ISIN GB00BMX86B70
HALEON PLC (LO)
ADEX//1,/199,65175
PAYD//20240924
Cash Dividend MAIN STREET CAPITAL CORP
NEWM
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20240920
XDTE//20240920
PAYD//20240927
GRSS//USD0,3
Cash Dividend LAMB WESTON HLDGS INC (NY)
NEWM
ISIN US5132721045
LAMB WESTON HLDGS INC (NY)
RDTE//20241101
XDTE//20241101
PAYD//20241129
GRSS//USD0,36
Cash Dividend SANDSTORM GOLD LTD (NY)
NEWM
ISIN CA80013R2063
SANDSTORM GOLD LTD (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241025
GRSS//USD0,02
Cash Dividend HSBC HOLDINGS PLC-SPONS ADR (NY)
NEWM
ISIN US4042804066
HSBC HOLDINGS PLC-SPONS ADR (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240927
GRSS//USD0,5
Cash Dividend ACCENTURE PLC CL A (NY)
NEWM
ISIN IE00B4BNMY34
ACCENTURE PLC CL A (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241115
GRSS//USD1,48
Cash Dividend MEDTRONIC PLC (NY)
REPE
ISIN IE00BTN1Y115
MEDTRONIC PLC (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,7
Cash Dividend BANK OF AMERICA CORP (NY)
NEWM
ISIN US0605051046
BANK OF AMERICA CORP (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240927
GRSS//USD0,26
Cash Dividend BANCO BILB.VIZCAYA (MA)
NEWM
ISIN ES0113211835
BANCO BILB.VIZCAYA (MA)
RDTE//20241009
XDTE//20241008
PAYD//20241010
GRSS//EUR0,29
Dividend Reinvestment INTERNATIONAL PERSONAL FINAN (LO)
NEWM
ISIN GB00B1YKG049
INTERNATIONAL PERSONAL FINAN (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240927
GRSS//GBP0,034
Cash Dividend T-MOBILE US INC (NY)
REPL
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD0,88
Dividend Reinvestment LEGAL & GENERAL GR. PLC (LO)
NEWM
ISIN GB0005603997
LEGAL GENERAL GR. PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240927
GRSS//GBP0,06
Dividend Reinvestment ANGLO AMERICAN PLC (LO)
NEWM
ISIN GB00B1XZS820
ANGLO AMERICAN PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240927
GRSS//USD0,42
Data: 26.09.2024
Dividend Reinvestment RIO TINTO PLC (LO)
NEWM
ISIN GB0007188757
RIO TINTO PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240926
GRSS//GBP1,342282
Reverse Stock Split LIFECARE ASA (OS)
REPL
ISIN NO0010591191
LIFECARE ASA (OS)
XDTE//20241001
UNKNOWN
NEWO//1,/13,
PAYD//20241001
Cash Dividend NVIDIA CORP (NY)
NEWM
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241003
GRSS//USD0,01
Cash Dividend GOLD FIELDS LTD SP-ADR (NY)
REPE
ISIN US38059T1060
GOLD FIELDS LTD SP-ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240926
GRSS//USD0,169246
Cash Dividend ANTOFAGASTA HOLDINGS PLC (LO)
REPE
ISIN GB0000456144
ANTOFAGASTA HOLDINGS PLC (LO)
RDTE//20240906
XDTE//20240905
PAYD//20240930
GRSS//GBP0,060653
Cash Dividend RIO TINTO PLC -SP ADR (NY)
NEWM
ISIN US7672041008
RIO TINTO PLC -SP ADR (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240926
GRSS//USD1,77
Cash Dividend NORDIC AMER TANKERS LTD (NY)
REPE
ISIN BMG657731060
NORDIC AMER TANKERS LTD (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241126
GRSS//USD0,12
Cash Dividend PROSPECT CAPITAL CORP (NY)
REPE
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241022
GRSS//USD0,06
Cash Dividend SEMPRA (NY)
REPE
ISIN US8168511090
SEMPRA (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241015
GRSS//USD0,62
Cash Dividend FREEPORT -MCMORAN INC -B (NY)
NEWM
ISIN US35671D8570
FREEPORT -MCMORAN INC -B (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241101
GRSS//USD0,15
Cash Dividend CIVITAS RESOURCES INC (NY)
NEWM
ISIN US17888H1032
CIVITAS RESOURCES INC (NY)
RDTE//20240912
XDTE//20240912
PAYD//20240926
GRSS//USD1,52
Merger BLACKROCK INC (NY)
REPL
ISIN US09247X1019
BLACKROCK INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/1,
PAYD//UKWN
Cash Dividend NUTRIEN LTD (NY)
REPL
ISIN CA67077M1086
NUTRIEN LTD (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241018
GRSS//USD0,54
Intrest Payment US TREASURY N/B 23-30 4.875%
REPL
ISIN US91282CJG78
US TREASURY N/B 23-30 4.875
RDTE//20241030
XDTE//20241031
PAYD//20241031
INTP//2,4375
Cash Dividend ISHARES STOXX EUROPE 600 BANKS
NEWM
ISIN DE000A0F5UJ7
ISHARES STOXX EUROPE 600 BANKS (FR)
XDTE//20241015
RDTE//UKWN
PAYD//20241015
GRSS//EUR0,116777
Cash Dividend ISHARES STOXX GL SEL D100 DE A
NEWM
ISIN DE000A0F5UH1
ISHARES STOXX GL SEL D100 DE A (FR)
XDTE//20241015
RDTE//UKWN
PAYD//20241015
GRSS//EUR0,335406
Cash Dividend VANGUARD INDEX FD VANG.S&P500-
REPL
ISIN US9229083632
VANGUARD INDEX FD VANG.S P500- (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241001
GRSS//USD1,6386
Cash Dividend SUNCOR ENERGY INC (NY)
NEWM
ISIN CA8672241079
SUNCOR ENERGY INC (NY)
RDTE//20240904
XDTE//20240904
PAYD//20240925
GRSS//USD0,404275
Cash Dividend AMER EAGLE OUTFITTERS (NY)
NEWM
ISIN US02553E1064
AMER EAGLE OUTFITTERS (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241030
GRSS//USD0,125
Cash Dividend S AND P GLOBAL INC (NY)
NEWM
ISIN US78409V1044
S AND P GLOBAL INC (NY)
RDTE//20241126
XDTE//20241126
PAYD//20241211
GRSS//USD0,91
Cash Dividend META PLATFORMS INC-SHS A (NY)
NEWM
ISIN US30303M1027
META PLATFORMS INC-SHS A (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240926
GRSS//USD0,5
Cash Dividend QUALCOMM INC (NY)
NEWM
ISIN US7475251036
QUALCOMM INC (NY)
RDTE//20240905
XDTE//20240905
PAYD//20240926
GRSS//USD0,85
Cash Dividend FRANCO-NEVADA CORP (NY)
NEWM
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20240926
GRSS//USD0,36
Cash Dividend GENERAL ELECTRIC CO (NY)
REPE
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241025
GRSS//USD0,28
Cash Dividend AMCOR PLC (NY)
NEWM
ISIN JE00BJ1F3079
AMCOR PLC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240926
GRSS//USD0,125
Cash Dividend XYLEM INC (NY)
NEWM
ISIN US98419M1009
XYLEM INC (NY)
RDTE//20240829
XDTE//20240829
PAYD//20240926
GRSS//USD0,36
Cash Dividend RHI MAGNESITA N.V. (LO)
NEWM
ISIN NL0012650360
RHI MAGNESITA N.V. (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240926
GRSS//EUR0,6
Data: 25.09.2024
Cash Dividend DEVON ENERGY CORP (NY)
REPE
ISIN US25179M1036
DEVON ENERGY CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,22
Dividend Reinvestment BARCLAYS PLC (LO)
REPE
ISIN GB0031348658
BARCLAYS PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240920
GRSS//GBP0,029
ISIN GB0031348658
BARCLAYS PLC (LO)
ADEX//1,/79,985586
PAYD//20240925
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,4298
Intrest Payment COCA-COLA 20-27 3.375%
NEWM
ISIN US191216CR95
COCA-COLA 20-27 3.375
RDTE//20240924
XDTE//20240925
PAYD//20240925
INTP//1,6875
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,045991
Cash Dividend MARKETWISE INC-A (NY)
NEWM
ISIN US57064P1075
MARKETWISE INC-A (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240925
GRSS//USD0,01
Cash Dividend VICTORY CAPITAL HOLDINGS INC (NY)
NEWM
ISIN US92645B1035
VICTORY CAPITAL HOLDINGS INC (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240925
GRSS//USD0,41
Cash Dividend SOUTHWEST AIRLINES (NY)
NEWM
ISIN US8447411088
SOUTHWEST AIRLINES (NY)
RDTE//20240904
XDTE//20240904
PAYD//20240925
GRSS//USD0,18
Cash Dividend MERCER INTL INC -SBI (NY)
REPE
ISIN US5880561015
MERCER INTL INC -SBI (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241003
GRSS//USD0,075
Cash Dividend HALLIBURTON CY (HOLDING) (NY)
NEWM
ISIN US4062161017
HALLIBURTON CY (HOLDING) (NY)
RDTE//20240904
XDTE//20240904
PAYD//20240925
GRSS//USD0,17
Cash Dividend CME GROUP INC (NY)
NEWM
ISIN US12572Q1058
CME GROUP INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240925
GRSS//USD1,15
Cash Dividend VANGUARD FDS V.FTSE250 U.ETF-PTG
NEWM
ISIN IE00BKX55Q28
VANGUARD FDS V.FTSE250 U.ETF-PTG(LO
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//GBP0,263268
Cash Dividend ISHARES PLC ISH.CHINA 50-USD-D
NEWM
ISIN IE00B02KXK85
ISHARES PLC ISH.CHINA 50-USD-D (LO)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD1,7039
Cash Dividend VANG.FDS PLC FTSE D.EUR.U.ETF-D
NEWM
ISIN IE00B945VV12
VANG.FDS PLC FTSE D.EUR.U.ETF-D (AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,16052
Cash Dividend VANGUARD FDS FTSE ALL WLD UC ETF
NEWM
ISIN IE00B3RBWM25
VANGUARD FDS FTSE ALL WLD UC ETF(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,485035
Cash Dividend ISHARES PLC EURO DIV UCI.ETF-D
NEWM
ISIN IE00B0M62S72
ISHARES PLC EURO DIV UCI.ETF-D (FR)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,2918
Cash Dividend VANGUARD FDS PLC ALL WLD HG DI
NEWM
ISIN IE00B8GKDB10
VANGUARD FDS PLC ALL WLD HG DI (AS)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,494725
Cash Dividend ISH.PLC C.S&P500 U.ETF EUR(DIST)
NEWM
ISIN IE0031442068
ISH.PLC C.S P500 U.ETF EUR(DIST)(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,151
Cash Dividend GENERAL MILLS INC (NY)
NEWM
ISIN US3703341046
GENERAL MILLS INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,6
Cash Dividend OGE ENERGY (NY)
NEWM
ISIN US6708371033
OGE ENERGY (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241025
GRSS//USD0,42125
Cash Dividend VERALTO CORPORATION (NY)
NEWM
ISIN US92338C1036
VERALTO CORPORATION (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241031
GRSS//USD0,09
Intrest Payment UNICREDIT 19-34 7,296-VAR% SUBREGS
REPL
ISIN XS1972731787
UNICREDIT 19-34 7,296-VAR SUBREGS
RDTE//20240926
XDTE//20241002
PAYD//20241002
INTP//3,648
Stock Split SUPER MICRO COMPUTER INC (NY)
REPL
ISIN US86800U1043
SUPER MICRO COMPUTER INC (NY)
XDTE//20241001
UNKNOWN
NEWO//10,/1,
PAYD//20240930
Dividend Reinvestment BP PLC (LO)
NEWM
ISIN GB0007980591
BP PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240920
GRSS//GBP0,060498
ISIN GB0007980591
BP PLC (LO)
ADEX//1,/68,795787
PAYD//20240920
Cash Dividend TELENOR ASA (OS)
REPL
ISIN NO0010063308
TELENOR ASA (OS)
RDTE//20241018
XDTE//20241017
PAYD//20241029
GRSS//NOK4,5
Cash Dividend PETROLEO BRASILEIRO -ADR (NY)
REPL
ISIN US71654V4086
PETROLEO BRASILEIRO -ADR (NY)
RDTE//20240613
XDTE//20240613
PAYD//20240927
GRSS//USD0,028821
Cash Dividend PROSHARES ULTRAP.S.S&P500 ETF-D
REPE
ISIN US74349Y8451
PROSHARES ULTRAP.S.S P500 ETF-D(NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,450481
Cash Dividend PROSHARES SHORT QQQ ETF
REPE
ISIN US74349Y8378
PROSHARES SHORT QQQ ETF (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,677534
Cash Dividend ENI SPA (MI)
REPE
ISIN IT0003132476
ENI SPA (MI)
RDTE//20240924
XDTE//20240923
PAYD//20240925
GRSS//EUR0,25
Stock Split LAM RESEARCH CORP (NY)
REPL
ISIN US5128071082
LAM RESEARCH CORP (NY)
XDTE//UKWN
UNKNOWN
NEWO//10,/1,
PAYD//UKWN
Cash Dividend CAMPBELL SOUP CY (NY)
REPL
ISIN US1344291091
CAMPBELL SOUP CY (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241028
GRSS//USD0,37
Dividend Reinvestment AEGON LTD (AS)
REPL
ISIN BMG0112X1056
AEGON LTD (AS)
:ISIN NL00150027X0
AEGON LIMITED RIGHT EX040924 (AS)
RDTE//20240905
XDTE//20240904
PAYD//20240926
ISIN BMG0112X1056
AEGON LTD (AS)
NEWO//1,/41,827198
PAYD//20240926
Cash Dividend VANGUARD GROUP MID-CAP ETF DIV
REPL
ISIN US9229086296
VANGUARD GROUP MID-CAP ETF DIV (NY)
RDTE//20240926
XDTE//20240926
PAYD//20240930
GRSS//USD0,9474
Merger VITESCO TECHNOLOGIES GRP AG (FR)
REPL
ISIN DE000VTSC017
VITESCO TECHNOLOGIES GRP AG (FR)
XDTE//20241003
ISIN DE000SHA0019
SCHAEFFLER AG (FR)
NEWO//11,4/1,
PAYD//20241003
Change GENTOO MEDIA INC (OS)
REPL
ISIN US36467X2062
GENTOO MEDIA INC (OS)
EFFD//20240925
CHAN//NAME
ADTX//PROPOSED NEW NAME TO BE APPROVED BY THE AGM.
NEW NAME: GENTOO MEDIA INC.
NO CHANGE IN ISIN CODE.
Rights Distribution UNIVERSAL MUSIC GROUP N.V (AS)
NEWM
ISIN NL0015000IY2
UNIVERSAL MUSIC GROUP N.V (AS)
RDTE//20241003
XDTE//20241002
ISIN NL00150028M1
UNIVERSAL MUS.GR.RIGHTEX021024/2(AS
ADEX//1,/1,
PAYD//20241002
Cash Dividend NVENT ELECTRIC PLC (NY)
NEWM
ISIN IE00BDVJJQ56
NVENT ELECTRIC PLC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241101
GRSS//USD0,19
Cash Dividend HORMEL FOODS CORP (NY)
NEWM
ISIN US4404521001
HORMEL FOODS CORP (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD0,2825
Cash Dividend EDISON INTERNATIONAL (NY)
NEWM
ISIN US2810201077
EDISON INTERNATIONAL (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241031
GRSS//USD0,78
Cash Dividend AMER EXPRESS (NY)
NEWM
ISIN US0258161092
AMER EXPRESS (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241108
GRSS//USD0,7
Cash Dividend BANCO SANTANDER SA (MA)
NEWM
ISIN ES0113900J37
BANCO SANTANDER SA (MA)
RDTE//20241031
XDTE//20241030
PAYD//20241101
GRSS//EUR0,1
Cash Dividend ISHARES GLOBAL REIT ETF D
REPE
ISIN US46434V6478
ISHARES GLOBAL REIT ETF D (NY)
RDTE//20240925
XDTE//20240925
PAYD//20240930
GRSS//USD0,252691
Cash Dividend PROSHARES SHORT S&P500 ETF D
REPE
ISIN US74347B4251
PROSHARES SHORT S P500 ETF D (NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,140657
Reverse Stock Split AMS-OSRAM AG (GE)
NEWM
ISIN AT0000A18XM4
AMS-OSRAM AG (GE)
XDTE//20240930
UNKNOWN
NEWO//1,/10,
PAYD//20240930
Cash Dividend PROSHARES TRUST PROSH.SH.QQQ-ETF
CANC
ISIN US74347B7148
PROSHARES TRUST PROSH.SH.QQQ-ETF(NY
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//UKWN
Cash Dividend PROSHARES ULTRASHORT S&P500 ETF
REPE
ISIN US74347G4165
PROSHARES ULTRASHORT S P500 ETF(NY)
RDTE//20240925
XDTE//20240925
PAYD//20241002
GRSS//USD0,340695
Data: 24.09.2024
Cash Dividend MPC CONTAINER SHIPS ASA(OS)
NEWM
ISIN NO0010791353
MPC CONTAINER SHIPS ASA(OS)
RDTE//20240918
XDTE//20240917
PAYD//20240924
GRSS//NOK1,0583
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20240927
XDTE//20240926
PAYD//20241101
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20241101
Dividend Reinvestment SHELL PLC (LO)
NEWM
ISIN GB00BR1WB003
SHELL PLC RIGHT EX150824 (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240923
GRSS//GBP0,2615
Intrest Payment ASTANA FIN 15-28 0%
NEWM
ISIN XS1056732214
ASTANA FIN 15-28 0
XDTE//20240922
RDTE//20240920
GRSS//USD0,
PAYD//20240922
Cash Dividend PENTAIR PLC (NY)
NEWM
ISIN IE00BLS09M33
PENTAIR PLC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241101
GRSS//USD0,23
Cash Dividend IS.PLC CORE FTSE100 UC.ETF(DIST)
REPE
ISIN IE0005042456
IS.PLC CORE FTSE100 UC.ETF(DIST)(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//GBP0,0837
Intrest Payment ROEMENIE 15-35 3,875% 29/10 EMTN
REPL
ISIN XS1313004928
ROEMENIE 15-35 3,875 29/10 EMTN
RDTE//20241028
XDTE//20241029
PAYD//20241029
INTP//3,875
Intrest Payment FORD MOTOR CO 98-28 6,625%
REPL
ISIN US345370BY59
FORD MOTOR CO 98-28 6,625
RDTE//20240930
XDTE//20241001
PAYD//20241001
INTP//3,3125
Cash Dividend DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF
REPE
ISIN US25460G8318
DIREX.DA.JU.G.MIN.I.BUL.2X S.ETF(NY
RDTE//20240924
XDTE//20240924
PAYD//20241001
GRSS//USD0,14596
Cash Dividend UNITEDHEALTH GROUP INC (NY)
NEWM
ISIN US91324P1021
UNITEDHEALTH GROUP INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240924
GRSS//USD2,1
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
NEWM
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240924
GRSS//USD0,36
Cash Dividend VANGUARD FTSE PACIFIC ETF D
NEWM
ISIN US9220428661
VANGUARD FTSE PACIFIC ETF D (NY)
RDTE//20240920
XDTE//20240920
PAYD//20240924
GRSS//USD0,5072
Cash Dividend PORTLAND GENERAL ELECTRIC CO (NY)
REPE
ISIN US7365088472
PORTLAND GENERAL ELECTRIC CO (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241015
GRSS//USD0,5
Cash Dividend FIDELITY NASDAQ COMPOS.INDEX ETF
NEWM
ISIN US3159128087
FIDELITY NASDAQ COMPOS.INDEX ETF(NY
RDTE//20240920
XDTE//20240920
PAYD//20240924
GRSS//USD0,113
Data: 23.09.2024
Merger AFRICA OIL CORP (ST)
NEWM
ISIN CA00829Q1019
AFRICA OIL CORP (ST)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Reverse Stock Split LUMINAR TECHNOLOGIES INC-A- (NY)
NEWM
ISIN US5504241051
LUMINAR TECHNOLOGIES INC-A- (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/0,
PAYD//UKWN
Redemption BLACKSKY TECHNOLOGY INC-A (NY)
NEWM
ISIN US09263B2079
BLACKSKY TECHNOLOGY INC-A (NY)
XDTE//20240923
PAYD//20240923
OFFR//ACTU/USD5,5488
Redemption BETSSON AB-B PREF SH (ST)
NEWM
ISIN SE0022726469
BETSSON AB-B PREF SH (ST)
RDTE//20240930
XDTE//UKWN
PAYD//20241003
OFFR//ACTU/SEK3,66
Cash Dividend EVERSOURCE ENERGY (NY)
REPE
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20240923
XDTE//20240923
PAYD//20240930
GRSS//USD0,715
Cash Dividend SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
REPL
ISIN IE00BKVD2N49
SEAGATE TECHNOLOGY HOLDINGS PLC(NY)
RDTE//20240923
XDTE//20240923
PAYD//20241007
GRSS//USD0,7
Cash Dividend LOGITECH INTERNATIONAL -REG (GE)
REPE
ISIN CH0025751329
LOGITECH INTERNATIONAL -REG (GE)
RDTE//20240924
XDTE//20240923
PAYD//20240925
GRSS//CHF1,16
Bankruptcy SILVERGATE CAPITAL CORPORATION-A(NY
NEWM
ISIN US82837P4081
SILVERGATE CAPITAL CORPORATION-A(NY
EFFD//UKWN
Cash Dividend DRDGOLD LTD -SPON ADR (NY)
REPL
ISIN US26152H3012
DRDGOLD LTD -SPON ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240926
GRSS//USD0,113275
Reverse Stock Split ORGANOVO HLDGS INC (NY)
NEWM
ISIN US68620A2033
ORGANOVO HLDGS INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Intrest Payment BOMBARDIER 04-34 7,45% REGS
NEWM
ISIN USC10602AJ68
BOMBARDIER 04-34 7,45 REGS
XDTE//20241101
RDTE//20241031
PAYD//20241101
INTP//3,725
Cash Dividend RITHM CAPITAL CORP - REIT (NY)
NEWM
ISIN US64828T2015
RITHM CAPITAL CORP - REIT (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241101
GRSS//USD0,25
Cash Dividend SHELL PLC - ADR (NY)
NEWM
ISIN US7802593050
SHELL PLC - ADR (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240923
GRSS//USD0,688
Cash Dividend TEXAS INSTRUMENTS (NY)
NEWM
ISIN US8825081040
TEXAS INSTRUMENTS (NY)
RDTE//20241031
XDTE//20241031
PAYD//20241112
GRSS//USD1,36
Cash Dividend LEAR CORP (NY)
NEWM
ISIN US5218652049
LEAR CORP (NY)
RDTE//20240904
XDTE//20240904
PAYD//20240923
GRSS//USD0,77
Cash Dividend BLACKROCK INC (NY)
NEWM
ISIN US09247X1019
BLACKROCK INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240923
GRSS//USD5,1
Cash Dividend AMKOR TECHNOL. INC (NY)
NEWM
ISIN US0316521006
AMKOR TECHNOL. INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240923
GRSS//USD0,07875
Intrest Payment GOLDMAN SACHS G 06-36 6.45% SUB
NEWM
ISIN US38143YAC75
GOLDMAN SACHS G 06-36 6.45 SUB
XDTE//20241101
RDTE//20241031
PAYD//20241101
INTP//3,225
Intrest Payment BOEING CO 20-50 5,805%
NEWM
ISIN US097023CW33
BOEING CO 20-50 5,805
XDTE//20241101
RDTE//20241031
PAYD//20241101
INTP//2,9025
Intrest Payment US TREASURY N/B 23-30 4.875%
NEWM
ISIN US91282CJG78
US TREASURY N/B 23-30 4.875
XDTE//20241031
RDTE//20241030
PAYD//20241031
INTP//2,4375
Intrest Payment CREDIT AGRICOLE SA 14-24 3%
NEWM
ISIN FR0012304459
CREDIT AGRICOLE SA 14-24 3
RDTE//20240920
XDTE//20240923
PAYD//20240923
INTP//0,75
Shares Premium Dividend GLENCORE PLC (LO)
NEWM
ISIN JE00B4T3BW64
GLENCORE PLC (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240920
GRSS//USD0,065
Data: 20.09.2024
Dividend Reinvestment BP PLC (LO)
NEWM
ISIN GB0007980591
BP PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240920
GRSS//GBP0,060498
Rights Issue IDEX BIOMETRICS ASA (OS)
REPL
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
UNKNOWN
:PAYD//UKWN
Cash Dividend NETEASE INC ADR REPR 5 SHS (NY)
REPE
ISIN US64110W1027
NETEASE INC ADR REPR 5 SHS (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240920
GRSS//USD0,435
Dividend Reinvestment BARCLAYS PLC (LO)
NEWM
ISIN GB0031348658
BARCLAYS PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240920
GRSS//GBP0,029
Dividend Reinvestment INFORMA PLC -NEW- (LO)
NEWM
ISIN GB00BMJ6DW54
INFORMA PLC -NEW- (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240920
GRSS//GBP0,064
Cash Dividend DELTA AIR LINES INC -W/I (NY)
NEWM
ISIN US2473617023
DELTA AIR LINES INC -W/I (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241031
GRSS//USD0,15
Reverse Stock Split BLUEBIRD BIO INC (NY)
NEWM
ISIN US09609G1004
BLUEBIRD BIO INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend ABBOTT LABOR. (NY)
NEWM
ISIN US0028241000
ABBOTT LABOR. (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD0,55
Cash Dividend CVS HEALTH CORP (NY)
NEWM
ISIN US1266501006
CVS HEALTH CORP (NY)
RDTE//20241021
XDTE//20241021
PAYD//20241101
GRSS//USD0,665
Cash Dividend CAMPBELL SOUP CY (NY)
NEWM
ISIN US1344291091
CAMPBELL SOUP CY (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241028
GRSS//USD0,37
Cash Dividend KROGER CY (NY)
NEWM
ISIN US5010441013
KROGER CY (NY)
RDTE//20241115
XDTE//20241115
PAYD//20241201
GRSS//USD0,32
Merger G1 THERAPEUTICS IN (NY)
REPE
ISIN US3621LQ1099
G1 THERAPEUTICS IN (NY)
EFFD//20240917
XDTE//20240919
PAYD//20240919
OFFR//ACTU/USD7,15
Cash Dividend FIDELITY NASDAQ COMPOS.INDEX ETF
REPE
ISIN US3159128087
FIDELITY NASDAQ COMPOS.INDEX ETF(NY
RDTE//20240920
XDTE//20240920
PAYD//20240924
GRSS//USD0,113
Cash Dividend FERROGLOBE PLC (NY)
REPE
ISIN GB00BYW6GV68
FERROGLOBE PLC (NY)
RDTE//20240920
XDTE//20240920
PAYD//20240927
GRSS//USD0,013
Cash Dividend MAIN STREET CAPITAL CORP
REPL
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20240920
XDTE//20240920
PAYD//20240927
GRSS//USD0,3
Cash Dividend INTL FLAVORS FRAGRANC (NY)
REPE
ISIN US4595061015
INTL FLAVORS FRAGRANC (NY)
RDTE//20240920
XDTE//20240920
PAYD//20241009
GRSS//USD0,4
Cash Dividend T-MOBILE US INC (NY)
NEWM
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20241127
XDTE//20241127
PAYD//20241212
GRSS//USD0,88
Cash Dividend BP PLC ADR (NY)
NEWM
ISIN US0556221044
BP PLC ADR (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240920
GRSS//USD0,48
Intrest Payment ASTANA FIN 15-28 0%
REPL
ISIN XS1056732214
ASTANA FIN 15-28 0
XDTE//20240922
RDTE//20240920
PAYD//20240922
INTP//UKWN
Cash Dividend GE HEALTHCARE TECHNOLOGIES INC (NY)
NEWM
ISIN US36266G1076
GE HEALTHCARE TECHNOLOGIES INC (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD0,03
Cash Dividend DELL TECHNOLOGIES INC (NY)
NEWM
ISIN US24703L2025
DELL TECHNOLOGIES INC (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241101
GRSS//USD0,445
Cash Dividend ROYAL CARIBBEAN GROUP LTD (NY)
REPE
ISIN LR0008862868
ROYAL CARIBBEAN GROUP LTD (NY)
RDTE//20240920
XDTE//20240920
PAYD//20241011
GRSS//USD0,4
Cash Dividend HIKMA PHARMACEUTICALS PLC (LO)
NEWM
ISIN GB00B0LCW083
HIKMA PHARMACEUTICALS PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240920
GRSS//USD0,32
Cash Dividend L3 HARRIS TECHNOLOGIES INC (NY)
NEWM
ISIN US5024311095
L3 HARRIS TECHNOLOGIES INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240920
GRSS//USD1,16
Cash Dividend DOMINION ENERGY INC (NY)
NEWM
ISIN US25746U1097
DOMINION ENERGY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240920
GRSS//USD0,6675
Dividend Option SSE PLC (LO)
NEWM
ISIN GB0007908733
SSE PLC (LO)
RDTE//20240726
XDTE//20240725
PAYD//20240919
GRSS//GBP0,4
Dividend Reinvestment SHELL PLC (LO)
REPL
:ISIN GB00BP6MXD84
SHELL PLC (LO)
ISIN GB00BR1WB003
SHELL PLC RIGHT EX150824 (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240923
GRSS//GBP0,2615
ISIN GB00BP6MXD84
SHELL PLC (LO)
NEWO//UKWN
PAYD//20240923
Data: 19.09.2024
Cash Dividend TJX COMPANIES INC (NY)
NEWM
ISIN US8725401090
TJX COMPANIES INC (NY)
RDTE//20241114
XDTE//20241114
PAYD//20241205
GRSS//USD0,375
Dividend Reinvestment HALEON PLC (LO)
NEWM
ISIN GB00BMX86B70
HALEON PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240919
GRSS//GBP0,02
Intrest Payment CENT. BK.OF TUNISIA 97-27 8,25%
REPE
ISIN US066716AB78
CENT. BK.OF TUNISIA 97-27 8,25
RDTE//20240918
XDTE//20240919
PAYD//20240919
INTP//4,125
Cash Dividend TARGET CORP (NY)
NEWM
ISIN US87612E1064
TARGET CORP (NY)
RDTE//20241120
XDTE//20241120
PAYD//20241210
GRSS//USD1,12
Dividend Option GLOBALWORTH REAL ESTATE INV LTD(LO)
REPL
ISIN GG00B979FD04
GLOBALWORTH REAL ESTATE INV LTD(LO)
RDTE//20240913
XDTE//20240912
PAYD//20241018
GRSS//EUR0,1
:ISIN GG00B979FD04
GLOBALWORTH REAL ESTATE INV LTD(LO)
ADEX//1,/20,8
PAYD//20241018
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20240917
XDTE//20240916
PAYD//20240919
GRSS//NOK0,426
Cash Dividend THUNGELA RESOURCES LTD (LO)
NEWM
ISIN ZAE000296554
THUNGELA RESOURCES LTD (LO)
RDTE//20240920
XDTE//20240919
PAYD//20241007
GRSS//GBP0,086
Cash Dividend FIRST INTERNET BANCORP (NQ)
NEWM
ISIN US3205571017
FIRST INTERNET BANCORP (NQ)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,06
Cash Dividend HP ENTERPRISE CO (NY)
REPE
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241018
GRSS//USD0,13
Merger G1 THERAPEUTICS IN (NY)
REPL
ISIN US3621LQ1099
G1 THERAPEUTICS IN (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD7,15
Dividend Reinvestment RIO TINTO PLC (LO)
REPL
ISIN GB0007188757
RIO TINTO PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240926
GRSS//GBP1,342282
ISIN GB0007188757
RIO TINTO PLC (LO)
ADEX//UKWN
PAYD//20240926
Cash Dividend VANGUARD FTSE PACIFIC ETF D
REPL
ISIN US9220428661
VANGUARD FTSE PACIFIC ETF D (NY)
RDTE//20240920
XDTE//20240920
PAYD//20240924
GRSS//USD0,5072
Cash Dividend BROADCOM INC (NY)
REPE
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,53
Cash Dividend RYANAIR HOLDINGS PLC (DU)
NEWM
ISIN IE00BYTBXV33
RYANAIR HOLDINGS PLC (DU)
RDTE//20240809
XDTE//20240808
PAYD//20240919
GRSS//EUR0,178
Cash Dividend GENERAL MOTORS CO (NY)
NEWM
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240919
GRSS//USD0,12
Cash Dividend CIGNA GROUP/THE(NY)
NEWM
ISIN US1255231003
CIGNA GROUP/THE(NY)
RDTE//20240904
XDTE//20240904
PAYD//20240919
GRSS//USD1,4
Cash Dividend MOSAIC CO (THE) (NY)
NEWM
ISIN US61945C1036
MOSAIC CO (THE) (NY)
RDTE//20240905
XDTE//20240905
PAYD//20240919
GRSS//USD0,21
Cash Dividend BEST BUY CO. (NY)
REPE
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20240919
XDTE//20240919
:PAYD//20241010
GRSS//USD0,94
Cash Dividend SMITH AND WESSON BRANDS INC (NY)
REPE
ISIN US8317541063
SMITH AND WESSON BRANDS INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241003
GRSS//USD0,13
Cash Dividend FORTITUDE GOLD CORP (NY)
REPE
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,04
Cash Dividend KIMCO REALTY CORP (NY)
NEWM
ISIN US49446R1095
KIMCO REALTY CORP (NY)
RDTE//20240905
XDTE//20240905
PAYD//20240919
GRSS//USD0,24
Cash Dividend PROSPECT CAPITAL CORP (NY)
NEWM
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20240828
:XDTE//20240828
PAYD//20240919
GRSS//USD0,06
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20240927
XDTE//20240926
PAYD//20241101
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20241101
Dividend Reinvestment BAE SYSTEMS Plc (LO)
REPL
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20241025
XDTE//20241024
PAYD//20241202
GRSS//GBP0,124
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
ADEX//UKWN
PAYD//20241205
Dividend Reinvestment KINGFISHER PLC (LO)
NEWM
ISIN GB0033195214
KINGFISHER PLC (LO)
RDTE//20241011
XDTE//20241010
PAYD//20241115
GRSS//GBP0,038
ISIN GB0033195214
KINGFISHER PLC (LO)
ADEX//UKWN
PAYD//20241115
Dividend Reinvestment RECKITT BENCKISER GROUP PLC (LO)
REPE
ISIN GB00B24CGK77
RECKITT BENCKISER GROUP PLC (LO)
RDTE//20240802
XDTE//20240801
PAYD//20240913
GRSS//GBP0,804
ISIN GB00B24CGK77
RECKITT BENCKISER GROUP PLC (LO)
ADEX//1,/58,028214
PAYD//20240913
Cash Dividend CIE FIN RICHEMONT -NAMEN AKT. (VX)
REPL
ISIN CH0210483332
CIE FIN RICHEMONT -NAMEN AKT. (VX)
RDTE//20240920
XDTE//20240919
PAYD//20240923
GRSS//CHF2,75
Intrest Payment TURKEY 18-28 6,125%
REPL
ISIN US900123CQ19
TURKEY 18-28 6,125
RDTE//20241023
XDTE//20241024
PAYD//20241024
INTP//3,0625
Data: 18.09.2024
Cash Dividend ELECTRONIC ARTS INC (NY)
NEWM
ISIN US2855121099
ELECTRONIC ARTS INC (NY)
RDTE//20240828
XDTE//20240828
PAYD//20240918
GRSS//USD0,19
Cash Dividend NORTHROP GRUMMAN (NY)
NEWM
ISIN US6668071029
NORTHROP GRUMMAN (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240918
GRSS//USD2,06
Cash Dividend VF CORPORATION (NY)
NEWM
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240918
GRSS//USD0,09
Cash Dividend SALESFORCE INC (NY)
REPE
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20240918
XDTE//20240918
PAYD//20241008
GRSS//USD0,4
Merger BLACKROCK INC (NY)
NEWM
ISIN US09247X1019
BLACKROCK INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Reverse Stock Split TONIX PHARMACEUTICALS HOLDING (NY)
NEWM
ISIN US8902608475
TONIX PHARMACEUTICALS HOLDING (NY)
XDTE//UKWN
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend VENTAS INC (NY)
NEWM
ISIN US92276F1003
VENTAS INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241017
GRSS//USD0,45
Cash Dividend TORO CO (NY)
NEWM
ISIN US8910921084
TORO CO (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241011
GRSS//USD0,36
Cash Dividend MPC CONTAINER SHIPS ASA(OS)
REPL
ISIN NO0010791353
MPC CONTAINER SHIPS ASA(OS)
RDTE//20240918
XDTE//20240917
PAYD//20240924
GRSS//NOK1,0583
Cash Dividend DRDGOLD LTD -SPON ADR (NY)
REPL
ISIN US26152H3012
DRDGOLD LTD -SPON ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240926
GRSS//USD0,113275
Cash Dividend GOLD FIELDS LTD SP-ADR (NY)
REPL
ISIN US38059T1060
GOLD FIELDS LTD SP-ADR (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240926
GRSS//USD0,169246
Cash Dividend APA CORPORATION (NY)
NEWM
ISIN US03743Q1085
APA CORPORATION (NY)
RDTE//20241022
XDTE//20241022
PAYD//20241122
GRSS//USD0,25
Intrest Payment ROEMENIE 15-35 3,875% 29/10 EMTN
NEWM
ISIN XS1313004928
ROEMENIE 15-35 3,875 29/10 EMTN
XDTE//20241029
RDTE//20241028
PAYD//20241029
INTP//3,875
Cash Dividend JPMORGAN CHASE & CO (NY)
NEWM
ISIN US46625H1005
JPMORGAN CHASE CO (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241031
GRSS//USD1,25
Intrest Payment BK MILLEN 23-27 9.875%-VAR%18/9REGS
REPE
ISIN XS2684974046
BK MILLEN 23-27 9.875 -VAR 18/9REGS
RDTE//20240917
XDTE//20240918
PAYD//20240918
INTP//9,875
Cash Dividend MICROSOFT CORP (NY)
NEWM
ISIN US5949181045
MICROSOFT CORP (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,83
Change SCHAEFFLER VORZ.AKTSTIMMRECHTLOS(FR
NEWM
ISIN DE000SHA0159
SCHAEFFLER VORZ.AKTSTIMMRECHTLOS(FR
XDTE//UKWN
UNKNOWN
NEWO//1,/1,
PAYD//UKWN
Dividend Reinvestment VESUVIUS PLC (LO)
REPE
ISIN GB00B82YXW83
VESUVIUS PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240913
GRSS//GBP0,071
ISIN GB00B82YXW83
VESUVIUS PLC (LO)
ADEX//1,/56,459155
PAYD//20240918
Merger VITESCO TECHNOLOGIES GRP AG (FR)
NEWM
ISIN DE000VTSC017
VITESCO TECHNOLOGIES GRP AG (FR)
RDTE//20241002
UNKNOWN
NEWO//11,4/1,
PAYD//UKWN
Data: 17.09.2024
Cash Dividend RALPH LAUREN CORP -A- (NY)
NEWM
ISIN US7512121010
RALPH LAUREN CORP -A- (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,825
Cash Dividend EVERSOURCE ENERGY (NY)
NEWM
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20240923
XDTE//20240923
PAYD//20240930
GRSS//USD0,715
Cash Dividend GENERAL ELECTRIC CO (NY)
NEWM
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241025
GRSS//USD0,28
Cash Dividend APPLIED MATERIALS (NY)
REPL
ISIN US0382221051
APPLIED MATERIALS (NY)
RDTE//20241121
XDTE//20241121
PAYD//20241212
GRSS//USD0,4
Merger KELLANOVA (NY)
NEWM
ISIN US4878361082
KELLANOVA (NY)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
OFFR//UKWN
Dividend Reinvestment BT GROUP PLC (LO)
REPE
ISIN GB0030913577
BT GROUP PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240911
GRSS//GBP0,0569
ISIN GB0030913577
BT GROUP PLC (LO)
ADEX//1,/25,952511
PAYD//20240916
Dividend Reinvestment MONDI PLC (LO)
REPL
ISIN GB00BMWC6P49
MONDI PLC (LO)
RDTE//20240823
XDTE//20240822
PAYD//20240927
GRSS//GBP0,196901
ISIN GB00BMWC6P49
MONDI PLC (LO)
ADEX//UKWN
PAYD//20241002
Cash Dividend FRESNILLO PLC (LO)
NEWM
ISIN GB00B2QPKJ12
FRESNILLO PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240917
GRSS//GBP0,050063
Cash Dividend QUANTA SERVICES INC (NY)
NEWM
ISIN US74762E1029
QUANTA SERVICES INC (NY)
RDTE//20241001
XDTE//20241001
PAYD//20241011
GRSS//USD0,09
Cash Dividend BALL CORP (NY)
NEWM
ISIN US0584981064
BALL CORP (NY)
RDTE//20240903
:XDTE//20240903
PAYD//20240917
GRSS//USD0,2
Cash Dividend ANALOG DEVICES INC (NY)
NEWM
ISIN US0326541051
ANALOG DEVICES INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240917
GRSS//USD0,92
Cash Dividend STANLEY BLACK&DECKER INC (NY)
NEWM
ISIN US8545021011
STANLEY BLACK DECKER INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240917
GRSS//USD0,82
Cash Dividend WENDY'S CO/THE (NY)
NEWM
ISIN US95058W1009
WENDY'S CO/THE (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240917
GRSS//USD0,25
Cash Dividend MCDONALDS CORP (NY)
NEWM
ISIN US5801351017
MCDONALDS CORP (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240917
GRSS//USD1,67
Cash Dividend LAM RESEARCH CORP (NY)
REPE
ISIN US5128071082
LAM RESEARCH CORP (NY)
RDTE//20240917
XDTE//20240917
PAYD//20241001
GRSS//USD2,3
Cash Dividend YUM CHINA HOLDINGS INC (NY)
NEWM
ISIN US98850P1093
YUM CHINA HOLDINGS INC (NY)
RDTE//20240827
XDTE//20240827
PAYD//20240917
GRSS//USD0,16
Intrest Payment GOODY TIRE RUB 98-28 7%
REPE
ISIN US382550AD35
GOODY TIRE RUB 98-28 7
RDTE//20240913
XDTE//20240915
PAYD//20240915
INTP//3,5
Cash Dividend HALEON PLC ADR (NY)
REPL
ISIN US4055521003
HALEON PLC ADR (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240919
GRSS//USD0,052721
Cash Dividend ERICSSON (LM) ADR CLASS B (NY)
REPL
ISIN US2948216088
ERICSSON (LM) ADR CLASS B (NY)
RDTE//20241002
XDTE//20241002
PAYD//UKWN
GRSS//USD0,132572
Reverse Stock Split MULLEN AUTOMOTIVE INC (NY)
NEWM
ISIN US62526P4063
MULLEN AUTOMOTIVE INC (NY)
XDTE//20240917
ISIN US62526P5052
MULLEN AUTOMOTIVE INC (NY)
NEWO//1,/100,
PAYD//20240917
Cash Dividend LINDE PLC
REPE
ISIN IE000S9YS762
LINDE PLC
RDTE//20240904
XDTE//20240904
PAYD//20240918
GRSS//USD1,39
Dividend Reinvestment WOLTERS-KLUWER (AS)
REPL
ISIN NL0000395903
WOLTERS-KLUWER (AS)
ISIN NL00150026X2
WOLTERS-KLUWER RIGHT EX270824/2(AS)
RDTE//20240828
XDTE//20240827
PAYD//20240919
GRSS//EUR0,83
ISIN NL0000395903
WOLTERS-KLUWER (AS)
NEWO//1,/221,929021
PAYD//20240919
Intrest Payment ERSTE GR BANK 14-25 4% 22/10 SUB
REPL
ISIN AT0000A19NR2
ERSTE GR BANK 14-25 4 22/10 SUB
RDTE//20241021
XDTE//20241022
PAYD//20241022
INTP//4,
Cash Dividend MASTERCARD INC -CL A (NY)
NEWM
ISIN US57636Q1040
MASTERCARD INC -CL A (NY)
RDTE//20241009
XDTE//20241009
PAYD//20241108
GRSS//USD0,66
Cash Dividend SSGA SPDR ETFS SPDR S P US DIV
NEWM
ISIN IE00B6YX5D40
SSGA SPDR ETFS SPDR S P US DIV (MI)
RDTE//20240924
XDTE//20240923
PAYD//20241001
GRSS//USD0,366
Cash Dividend SSGA SPDR S&P 500 UCITS ETF
NEWM
ISIN IE00B6YX5C33
SSGA SPDR S P 500 UCITS ETF (MI)
RDTE//20240924
XDTE//20240923
PAYD//20241001
GRSS//USD1,5176
Rights Distribution IDEX BIOMETRICS ASA (OS)
NEWM
ISIN NO0013107490
IDEX BIOMETRICS ASA (OS)
RDTE//20240918
XDTE//20240917
UNKNOWN
ADEX//UKWN
PAYD//UKWN
Data: 16.09.2024
Cash Dividend ANTOFAGASTA HOLDINGS PLC (LO)
REPL
ISIN GB0000456144
ANTOFAGASTA HOLDINGS PLC (LO)
RDTE//20240906
XDTE//20240905
PAYD//20240930
GRSS//GBP0,060653
Cash Dividend PHILIP MORRIS INT. (NY)
NEWM
ISIN US7181721090
PHILIP MORRIS INT. (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241010
GRSS//USD0,0675
Cash Dividend ERIE INDEMNITY CO (NY)
NEWM
:ISIN US29530P1021
ERIE INDEMNITY CO (NY)
RDTE//20241007
XDTE//20241007
PAYD//20241022
GRSS//USD1,275
Intrest Payment TURKEY 18-28 6,125%
NEWM
ISIN US900123CQ19
TURKEY 18-28 6,125
XDTE//20241024
RDTE//20241023
PAYD//20241024
Cash Dividend WHIRLPOOL CORP (NY)
NEWM
ISIN US9633201069
WHIRLPOOL CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240915
GRSS//USD1,75
Cash Dividend WHIRLPOOL CORP (NY)
NEWM
ISIN US9633201069
WHIRLPOOL CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240915
GRSS//USD1,75
Cash Dividend INTL PAPER (NY)
NEWM
ISIN US4601461035
INTL PAPER (NY)
RDTE//20240815
XDTE//20240815
:PAYD//20240916
GRSS//USD0,4625
Cash Dividend HERSHEY CO /THE (NY)
NEWM
ISIN US4278661081
HERSHEY CO /THE (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240916
GRSS//USD1,37
Cash Dividend AGCO CORP (NY)
NEWM
ISIN US0010841023
AGCO CORP (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240916
GRSS//USD0,29
Cash Dividend DUKE ENERGY (NY)
NEWM
ISIN US26441C2044
DUKE ENERGY (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240916
GRSS//USD1,045
Cash Dividend POLARIS INC (NY)
NEWM
ISIN US7310681025
POLARIS INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240916
GRSS//USD0,66
Cash Dividend NEXTERA ENERGY INC (NY)
NEWM
ISIN US65339F1012
NEXTERA ENERGY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,515
Cash Dividend WESTERN UNION CO (NY)
REPE
ISIN US9598021098
WESTERN UNION CO (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,235
Cash Dividend STAG INDUSTRIAL INC (NY)
NEWM
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,123333
Cash Dividend BORGWARNER INC (NY)
NEWM
ISIN US0997241064
BORGWARNER INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240916
GRSS//USD0,11
Cash Dividend DUPONT DE NEMOURS INC (NY)
NEWM
ISIN US26614N1028
DUPONT DE NEMOURS INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,38
Cash Dividend EASTMAN CHEMICAL CO (NY)
REPE
ISIN US2774321002
EASTMAN CHEMICAL CO (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241007
GRSS//USD0,81
Cash Dividend AMERICAN INTERNATIONAL GROUP INC(NY
REPE
ISIN US0268747849
AMERICAN INTERNATIONAL GROUP INC(NY
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,4
Cash Dividend CLEARWAY ENERGY INC -C- (NY)
NEWM
ISIN US18539C2044
CLEARWAY ENERGY INC -C- (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240916
GRSS//USD0,4171
Cash Dividend DOVER CORP (NY)
NEWM
ISIN US2600031080
DOVER CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,515
Cash Dividend PARAMOUNT GLOBAL -B- (NY)
REPE
ISIN US92556H2067
PARAMOUNT GLOBAL -B- (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241001
GRSS//USD0,05
Cash Dividend PROLOGIS INC (NY)
REPE
ISIN US74340W1036
PROLOGIS INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,96
Cash Dividend UNITEDHEALTH GROUP INC (NY)
REPE
ISIN US91324P1021
UNITEDHEALTH GROUP INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240924
GRSS//USD2,1
Cash Dividend BARRICK GOLD CORP (NY)
NEWM
ISIN CA0679011084
BARRICK GOLD CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,1
Cash Dividend ALTRIA GROUP INC (NY)
REPE
ISIN US02209S1033
ALTRIA GROUP INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241010
GRSS//USD1,02
Cash Dividend MERCK AND CY INC
REPE
ISIN US58933Y1055
MERCK AND CY INC
RDTE//20240916
XDTE//20240916
PAYD//20241007
GRSS//USD0,77
Cash Dividend ESTEE LAUDER COMPANIES INC 'A' (NY)
NEWM
ISIN US5184391044
ESTEE LAUDER COMPANIES INC 'A' (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,66
Cash Dividend AGNICO-EAGLE MINES (NY)
NEWM
ISIN CA0084741085
AGNICO-EAGLE MINES (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,4
Cash Dividend ALPHABET INC -C- (NY)
NEWM
ISIN US02079K1079
ALPHABET INC -C- (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240916
GRSS//USD0,2
Cash Dividend ALPHABET --- SHS -A- (NY)
NEWM
ISIN US02079K3059
ALPHABET --- SHS -A- (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240916
GRSS//USD0,2
Cash Dividend META PLATFORMS INC-SHS A (NY)
REPE
ISIN US30303M1027
META PLATFORMS INC-SHS A (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240926
GRSS//USD0,5
Cash Dividend BCE INC (NY)
REPL
ISIN CA05534B7604
BCE INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241015
GRSS//UKWN
Intrest Payment PANAMA REP 16-28 3,875%
REPL
ISIN US698299BF03
PANAMA REP 16-28 3,875
XDTE//20240917
RDTE//20240916
PAYD//20240917
INTP//1,9375
Intrest Payment ASTANA FIN 15-28 0%
REPL
ISIN XS1056732214
ASTANA FIN 15-28 0
XDTE//20240922
RDTE//20240920
PAYD//20240922
INTP//UKWN
Dividend Reinvestment 4IMPRINT GROUP PLC (LO)
REPE
ISIN GB0006640972
4IMPRINT GROUP PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20240916
GRSS//GBP0,627
ISIN GB0006640972
4IMPRINT GROUP PLC (LO)
ADEX//UKWN
PAYD//20240916
Cash Dividend UGI CORP (NY)
REPE
ISIN US9026811052
UGI CORP (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241001
GRSS//USD0,375
Cash Dividend EVERSOURCE ENERGY (NY)
NEWM
ISIN US30040W1080
EVERSOURCE ENERGY (NY)
RDTE//20240923
XDTE//20240923
PAYD//20240930
GRSS//USD0,715
Cash Dividend GENERAL ELECTRIC CO (NY)
NEWM
ISIN US3696043013
GENERAL ELECTRIC CO (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241025
GRSS//USD0,28
Data: 13.09.2024
Cash Dividend ISH.PLC C.S&P500 U.ETF EUR(DIST)
REPE
ISIN IE0031442068
ISH.PLC C.S P500 U.ETF EUR(DIST)(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,151
Cash Dividend ISHARES PLC ISH.CHINA 50-USD-D
REPE
ISIN IE00B02KXK85
ISHARES PLC ISH.CHINA 50-USD-D (LO)
RDTE//20240913
SXDT//20240829
PAYD//20240925
GRSS//USD1,7039
Cash Dividend ISHARES PLC EURO DIV UCI.ETF-D
REPE
ISIN IE00B0M62S72
ISHARES PLC EURO DIV UCI.ETF-D (FR)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,2918
Cash Dividend CLAS OHLSON AB-B (ST)
NEWM
ISIN SE0000584948
CLAS OHLSON AB-B (ST)
XDTE//20240909
RDTE//20240910
PAYD//20240913
GRSS//SEK2,13
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20240927
XDTE//20240926
PAYD//20241101
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20241101
Cash Dividend TYSON FOODS CL A (NY)
NEWM
ISIN US9024941034
TYSON FOODS CL A (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,49
Intrest Payment BNP PARIBAS 17-27 4,625%
NEWM
ISIN US05581LAC37
BNP PARIBAS 17-27 4,625
RDTE//20240912
XDTE//20240913
PAYD//20240913
INTP//2,3125
Cash Dividend KEYCORP (NY)
NEWM
ISIN US4932671088
KEYCORP (NY)
RDTE//20240827
XDTE//20240827
PAYD//20240913
GRSS//USD0,205
Cash Dividend EBAY INC (NY)
NEWM
ISIN US2786421030
EBAY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,27
Cash Dividend ARCH RESOURCES INC (NY)
NEWM
ISIN US03940R1077
ARCH RESOURCES INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,25
Cash Dividend SEALED AIR CORP (NEW) (NY)
REPE
ISIN US81211K1007
SEALED AIR CORP (NEW) (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,2
Cash Dividend MAIN STREET CAPITAL CORP
NEWM
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20240906
XDTE//20240906
PAYD//20240913
GRSS//USD0,245
Cash Dividend KELLANOVA (NY)
NEWM
ISIN US4878361082
KELLANOVA (NY)
RDTE//20240903
:XDTE//20240903
PAYD//20240913
GRSS//USD0,57
Cash Dividend HUNTINGTON INGALLS INDUSTRIES (NY)
NEWM
ISIN US4464131063
HUNTINGTON INGALLS INDUSTRIES (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD1,3
Cash Dividend COMERICA INC (NY)
REPE
ISIN US2003401070
COMERICA INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,71
Cash Dividend COMERICA INC (NY)
REPE
ISIN US2003401070
COMERICA INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,71
Cash Dividend CSX CORP (NY)
NEWM
ISIN US1264081035
CSX CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,12
Cash Dividend EXELON CORP (NY)
:NEWM
ISIN US30161N1019
EXELON CORP (NY)
RDTE//20240812
XDTE//20240812
PAYD//20240913
GRSS//USD0,38
Cash Dividend WK KELLOGG CO (NY)
NEWM
ISIN US92942W1071
WK KELLOGG CO (NY)
RDTE//20240829
XDTE//20240829
PAYD//20240913
GRSS//USD0,16
Cash Dividend WILLIAMS COMPANIES (NY)
REPE
ISIN US9694571004
WILLIAMS COMPANIES (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,475
Cash Dividend THERMO FISHER SCIENTIFIC (NY)
REPE
ISIN US8835561023
THERMO FISHER SCIENTIFIC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241015
GRSS//USD0,39
Cash Dividend T ROWE PRICE GROUP INC (NY)
REPE
ISIN US74144T1088
T ROWE PRICE GROUP INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD1,24
Cash Dividend NASDAQ INC (NY)
REPE
ISIN US6311031081
NASDAQ INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,24
Cash Dividend GLOBAL PAYMENTS INC (NY)
REPE
ISIN US37940X1028
GLOBAL PAYMENTS INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,25
Cash Dividend DOW INC (NY)
NEWM
ISIN US2605571031
DOW INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,7
Cash Dividend DEVON ENERGY CORP (NY)
REPE
ISIN US25179M1036
DEVON ENERGY CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,44
Cash Dividend OVINTIV INC (NY)
REPE
ISIN US69047Q1022
OVINTIV INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,3
Cash Dividend MOTOROLA SOLUTIONS INC (NY)
REPE
ISIN US6200763075
MOTOROLA SOLUTIONS INC (NY)
RDTE//20240913
XDTE//20240913
:PAYD//20241015
GRSS//USD0,98
Cash Dividend GILEAD SCIENCES INC (NY)
REPE
ISIN US3755581036
GILEAD SCIENCES INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,77
Cash Dividend ALBEMARLE CORP (NY)
REPE
ISIN US0126531013
ALBEMARLE CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,405
Cash Dividend RANGE RESOURCES CORP (NY)
REPE
ISIN US75281A1097
RANGE RESOURCES CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,08
Cash Dividend MACY'S INC (NY)
REPE
ISIN US55616P1049
MACY'S INC (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,1737
Cash Dividend COCA COLA CO (NY)
REPE
ISIN US1912161007
COCA COLA CO (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241001
GRSS//USD0,485
Cash Dividend US BANCORP NEW (NY)
NEWM
ISIN US9029733048
US BANCORP NEW (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241015
GRSS//USD0,5
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20241001
XDTE//20241001
PAYD//20241004
GRSS//UKWN
Cash Dividend TAKEDA PHARMACEUTIC -SP ADR (NY)
NEWM
ISIN US8740602052
TAKEDA PHARMACEUTIC -SP ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//UKWN
GRSS//UKWN
Cash Dividend VIATRIS INC (NY)
NEWM
ISIN US92556V1061
VIATRIS INC (NY)
RDTE//20240823
XDTE//20240823
PAYD//20240913
GRSS//USD0,12
Spin Off GAMING INNOVATION GROUP LTD (OS)
REPL
ISIN US36467X2062
GAMING INNOVATION GROUP LTD (OS)
XDTE//20240924
RDTE//20240925
UNKNOWN
ADEX//1,/1,
PAYD//20240930
Cash Dividend CHUBB LIMITED (NY)
REPE
ISIN CH0044328745
CHUBB LIMITED (NY)
RDTE//20240913
XDTE//20240913
PAYD//20241004
GRSS//USD0,91
Cash Dividend COLGATE PALMOLIVE CY (NY)
NEWM
ISIN US1941621039
COLGATE PALMOLIVE CY (NY)
RDTE//20241018
XDTE//20241018
PAYD//20241115
GRSS//USD0,5
Cash Dividend NUCOR CORP (NY)
NEWM
ISIN US6703461052
NUCOR CORP (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241108
GRSS//USD0,54
Dividend Reinvestment VESUVIUS PLC (LO)
NEWM
ISIN GB00B82YXW83
VESUVIUS PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240913
GRSS//GBP0,071
Dividend Reinvestment RECKITT BENCKISER GROUP PLC (LO)
NEWM
ISIN GB00B24CGK77
RECKITT BENCKISER GROUP PLC (LO)
RDTE//20240802
XDTE//20240801
PAYD//20240913
GRSS//GBP0,804
Cash Dividend GARMIN LTD (NY)
REPE
ISIN CH0114405324
GARMIN LTD (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,75
Cash Dividend ARES CAPITAL CORP (NY)
REPE
ISIN US04010L1035
ARES CAPITAL CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240930
GRSS//USD0,48
Data: 12.09.2024
Merger CENTAMIN PLC (LO)
NEWM
ISIN JE00B5TT1872
CENTAMIN PLC (LO)
XDTE//UKWN
ISIN GB00BRXH2664
ANGLOGOLD ASHANTI LIMITED
NEWO//0,06983/1,
PAYD//UKWN
Cash Dividend ELEKTA AB -B- FRIA (ST)
NEWM
ISIN SE0000163628
ELEKTA AB -B- FRIA (ST)
XDTE//20240906
RDTE//20240909
PAYD//20240912
GRSS//SEK1,2
Cash Dividend PPG INDUSTRIES INC (NY)
NEWM
ISIN US6935061076
PPG INDUSTRIES INC (NY)
RDTE//20240812
XDTE//20240812
PAYD//20240912
GRSS//USD0,68
Cash Dividend T-MOBILE US INC (NY)
NEWM
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240912
GRSS//USD0,65
Cash Dividend PRUDENTIAL FINANCIAL INC (NY)
NEWM
ISIN US7443201022
PRUDENTIAL FINANCIAL INC (NY)
RDTE//20240820
XDTE//20240820
PAYD//20240912
GRSS//USD1,3
Cash Dividend ORGANON&CO (NY)
NEWM
ISIN US68622V1061
ORGANON CO (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240912
GRSS//USD0,28
Cash Dividend LOGITECH INTERNATIONAL -REG (GE)
REPE
ISIN CH0025751329
LOGITECH INTERNATIONAL -REG (GE)
RDTE//20240724
XDTE//20240924
PAYD//20240925
GRSS//USD1,368658
Cash Dividend NXP SEMICONDUCTORS NV (NY)
REPE
SIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241009
GRSS//USD1,014
Cash Dividend WALGREENS BOOTS ALLIANCE INC (NY)
NEWM
SIN US9314271084
WALGREENS BOOTS ALLIANCE INC (NY)
RDTE//20240821
XDTE//20240821
PAYD//20240912
GRSS//USD0,25
Cash Dividend APPLIED MATERIALS (NY)
NEWM
ISIN US0382221051
APPLIED MATERIALS (NY)
RDTE//20240822
XDTE//20240822
PAYD//20240912
GRSS//USD0,4
Cash Dividend 3M CO (NY)
NEWM
ISIN US88579Y1010
3M CO (NY)
RDTE//20240826
XDTE//20240826
PAYD//20240912
GRSS//USD0,7
Cash Dividend HOME DEPOT INC (NY)
NEWM
ISIN US4370761029
HOME DEPOT INC (NY)
:RDTE//20240829
XDTE//20240829
PAYD//20240912
GRSS//USD2,25
Cash Dividend MICROSOFT CORP (NY)
NEWM
ISIN US5949181045
MICROSOFT CORP (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240912
GRSS//USD0,75
Cash Dividend NVIDIA CORP (NY)
REPE
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241003
GRSS//USD0,01
Cash Dividend STMICROELECTRONICS NV -REG NY (NY)
REPL
ISIN US8610121027
STMICROELECTRONICS NV -REG NY (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241001
GRSS//USD0,09
Dividend Reinvestment UNILEVER PLC (LO)
NEWM
:ISIN GB00B10RZP78
UNILEVER PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240906
GRSS//GBP0,3696
ISIN GB00B10RZP78
UNILEVER PLC (LO)
ADEX//1,/136,16609
PAYD//20240906
Cash Dividend SONY GROUP CORPORATION ADR (NY)
NEWM
ISIN US8356993076
SONY GROUP CORPORATION ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//UKWN
GRSS//UKWN
Capital distribution PRAX EXPLORATION&PROD.DEF.CONS (LO)
NEWM
ISIN GB00BQS92151
PRAX EXPLORATION PROD.DEF.CONS (LO)
RDTE//20240628
XDTE//UKWN
PAYD//20240930
GRSS//GBP0,00756
Reverse Stock Split MULLEN AUTOMOTIVE INC (NY)
REPL
ISIN US62526P4063
MULLEN AUTOMOTIVE INC (NY)
XDTE//UKWN
UNKNOWN
NEWO//1,/100,
PAYD//UKWN
Reverse Stock Split BIORA THERAPEUTICS INC (NY)
NEWM
ISIN US74319F3055
BIORA THERAPEUTICS INC (NY)
UNKNOWN
NEWO//UKWN
PAYD//UKWN
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
NEWM
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20240930
XDTE//20240930
PAYD//UKWN
GRSS//UKWN
Intrest Payment CENT. BK.OF TUNISIA 97-27 8,25%
REPL
ISIN US066716AB78
CENT. BK.OF TUNISIA 97-27 8,25
RDTE//20240918
XDTE//20240919
PAYD//20240919
INTP//4,125
Dividend Reinvestment APERAM SA (AS)
NEWM
ISIN NL00150027I1
APERAM S.A. RIGHT EX160824 (AS)
RDTE//20240819
XDTE//20240816
PAYD//20240912
GRSS//EUR0,5
Cash Dividend FRANCO-NEVADA CORP (NY)
REPE
ISIN CA3518581051
FRANCO-NEVADA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20240926
GRSS//USD0,36
Cash Dividend PACCAR INC (NY)
NEWM
ISIN US6937181088
PACCAR INC (NY)
RDTE//20241113
XDTE//20241113
PAYD//20241204
GRSS//USD0,3
Cash Dividend BRISTOL-MYERS SQUIBB (NY)
NEWM
ISIN US1101221083
BRISTOL-MYERS SQUIBB (NY)
RDTE//20241004
XDTE//20241004
PAYD//20241101
GRSS//USD0,6
Stock Split CINTAS CORP (NY)
NEWM
ISIN US1729081059
CINTAS CORP (NY)
RDTE//20240912
XDTE//20240912
ISIN US1729081059
CINTAS CORP (NY)
ADEX//3,/1,
PAYD//20240911
Data: 11.09.2024
Cash Dividend HONDA MOTOR CO LTD ADR (NY)
NEWM
ISIN US4381283088
HONDA MOTOR CO LTD ADR (NY)
RDTE//20240927
XDTE//20240927
PAYD//UKWN
GRSS//UKWN
Cash Dividend ORACLE CORP (NY)
NEWM
ISIN US68389X1054
ORACLE CORP (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241024
GRSS//USD0,4
Cash Dividend UNITED STATES STEEL CORP (NY)
NEWM
ISIN US9129091081
UNITED STATES STEEL CORP (NY)
RDTE//20240812
XDTE//20240812
PAYD//20240911
GRSS//USD0,05
Cash Dividend S AND P GLOBAL INC (NY)
NEWM
ISIN US78409V1044
S AND P GLOBAL INC (NY)
RDTE//20240827
XDTE//20240827
PAYD//20240911
GRSS//USD0,91
Cash Dividend GUESS INC (NY)
REPE
ISIN US4016171054
GUESS INC (NY)
RDTE//20240911
XDTE//20240911
PAYD//20240927
GRSS//USD0,3
Cash Dividend ARCHER DANIELS MIDL (NY)
NEWM
ISIN US0394831020
ARCHER DANIELS MIDL (NY)
RDTE//20240821
XDTE//20240821
PAYD//20240911
GRSS//USD0,5
Cash Dividend GEN DIGITAL (NY)
NEWM
ISIN US6687711084
GEN DIGITAL (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240911
GRSS//USD0,125
Intrest Payment BK MILLEN 23-27 9.875%-VAR%18/9REGS
REPL
ISIN XS2684974046
BK MILLEN 23-27 9.875 -VAR 18/9REGS
RDTE//20240917
XDTE//20240918
PAYD//20240918
INTP//9,875
Spin Off BETSSON AB -B (ST)
REPE
ISIN SE0021626777
BETSSON AB -B (ST)
XDTE//20240909
RDTE//20240910
ISIN SE0022726469
BETSSON AB-B PREF SH (ST)
ADEX//1,/1,
PAYD//20240911
Pari Passu BETSSON AB -B (ST)
NEWM
ISIN SE0021626777
BETSSON AB -B (ST)
XDTE//20240911
ISIN SE0022726485
BETSSON AB -B (ST)
NEWO//1,/1,
PAYD//20240911
Cash Dividend VALE SA SP ADR (NY)
NEWM
ISIN US91912E1055
VALE SA SP ADR (NY)
RDTE//20240805
XDTE//20240805
PAYD//20240911
GRSS//USD0,371313
Cash Dividend THUNGELA RESOURCES LTD (LO)
REPL
ISIN ZAE000296554
THUNGELA RESOURCES LTD (LO)
RDTE//20240920
XDTE//20240919
PAYD//20241007
GRSS//GBP0,086
Cash Dividend KLAVENESS COMBINATION CARRIERS (OS)
REPE
ISIN NO0010833262
KLAVENESS COMBINATION CARRIERS (OS)
RDTE//20240829
XDTE//20240828
PAYD//20240912
GRSS//NOK3,182
Cash Dividend ANGLOGOLD ASHANTI LIMITED (NY)
REPE
ISIN GB00BRXH2664
ANGLOGOLD ASHANTI LIMITED (NY)
FDAT//20240823
GUPA//20240827
PAYD//20240913
GRSS//USD0,22
Merger SIRIUS XM HOLDINGS INC (NY)
NEWM
ISIN US82968B1035
SIRIUS XM HOLDINGS INC (NY)
XDTE//20240910
ISIN US8299331004
SIRIUS XM HOLDING INC (NY)
NEWO//1,/10,
PAYD//20240910
Cash Dividend TOYOTA MOTOR CORP- SPON.ADR (NY)
NEWM
ISIN US8923313071
TOYOTA MOTOR CORP- SPON.ADR (NY)
RDTE//20240930
XDTE//20240930
PAYD//UKWN
GRSS//UKWN
Intrest Payment ERSTE GR BANK 14-25 4% 22/10 SUB
NEWM
ISIN AT0000A19NR2
ERSTE GR BANK 14-25 4 22/10 SUB
XDTE//20241022
RDTE//20241021
PAYD//20241022
INTP//4,
Dividend Reinvestment BT GROUP PLC (LO)
NEWM
ISIN GB0030913577
BT GROUP PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240911
GRSS//GBP0,0569
Cash Dividend HP INC (NY)
REPE
ISIN US40434L1052
HP INC (NY)
RDTE//20240911
XDTE//20240911
PAYD//20241002
GRSS//USD0,2756
Capital distribution GLENCORE PLC (LO)
REPL
ISIN JE00B4T3BW64
GLENCORE PLC (LO)
RDTE//20240830
XDTE//20240829
PAYD//20240920
GRSS//UKWN
Capital distribution NORAM DRILLING AS (OS)
NEWM
ISIN NO0010360019
NORAM DRILLING AS (OS)
RDTE//20240917
XDTE//20240916
PAYD//20240923
GRSS//UKWN
Cash Dividend BW LPG LIMITED (OS)
REPL
ISIN SGXZ69436764
BW LPG LIMITED (OS)
RDTE//20240910
XDTE//20240909
PAYD//20240930
GRSS//UKWN
Intrest Payment MBANK 23-27 8,375-VAR% 11/09
NEWM
ISIN XS2680046021
MBANK 23-27 8,375-VAR 11/09
RDTE//20240910
XDTE//20240911
PAYD//20240911
INTP//8,375
Data: 10.09.2024
Cash Dividend META PLATFORMS INC-SHS A (NY)
NEWM
ISIN US30303M1027
META PLATFORMS INC-SHS A (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240926
GRSS//USD0,5
Cash Dividend TARGET CORP (NY)
NEWM
ISIN US87612E1064
TARGET CORP (NY)
RDTE//20240821
XDTE//20240821
PAYD//20240910
GRSS//USD1,12
Cash Dividend VICTORY CAPITAL HOLDINGS INC (NY)
REPE
ISIN US92645B1035
VICTORY CAPITAL HOLDINGS INC (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240925
GRSS//USD0,41
Cash Dividend TRAVELERS COS INC /THE (NY)
REPE
ISIN US89417E1091
TRAVELERS COS INC /THE (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240930
GRSS//USD1,05
Cash Dividend FIDELITY NATIONAL INFORMATION (NY)
REPE
ISIN US31620M1062
FIDELITY NATIONAL INFORMATION (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240924
GRSS//USD0,36
Cash Dividend AMER ELECTRIC POWER (NY)
NEWM
ISIN US0255371017
AMER ELECTRIC POWER (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240910
GRSS//USD0,88
Cash Dividend CSP INC (NY)
NEWM
ISIN US1263891053
CSP INC (NY)
RDTE//20240823
XDTE//20240823
PAYD//20240910
GRSS//USD0,03
Cash Dividend METLIFE INC (NY)
NEWM
ISIN US59156R1086
METLIFE INC (NY)
RDTE//20240806
XDTE//20240806
PAYD//20240910
GRSS//USD0,545
Cash Dividend PPL CORP (NY)
REPE
ISIN US69351T1060
PPL CORP (NY)
RDTE//20240910
XDTE//20240910
PAYD//20241001
GRSS//USD0,2575
Cash Dividend VF CORPORATION (NY)
REPE
ISIN US9182041080
VF CORPORATION (NY)
RDTE//20240910
XDTE//20240910
PAYD//20240918
GRSS//USD0,09
Cash Dividend EMERSON ELECTRIC CO (NY)
NEWM
ISIN US2910111044
EMERSON ELECTRIC CO (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240910
GRSS//USD0,525
Cash Dividend MARATHON OIL CORP (NY)
NEWM
ISIN US5658491064
MARATHON OIL CORP (NY)
RDTE//20240821
XDTE//20240821
PAYD//20240910
GRSS//USD0,11
Cash Dividend SKYWORKS SOLUTIONS INC (NY)
NEWM
ISIN US83088M1027
SKYWORKS SOLUTIONS INC (NY)
RDTE//20240820
XDTE//20240820
PAYD//20240910
GRSS//USD0,7
Cash Dividend RANA GRUBER ASA(OS)
NEWM
ISIN NO0010907389
RANA GRUBER ASA(OS)
RDTE//20240830
XDTE//20240829
PAYD//20240910
GRSS//NOK2,23
Cash Dividend CHEVRON CORP (NY)
NEWM
ISIN US1667641005
CHEVRON CORP (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240910
GRSS//USD1,63
Cash Dividend OCCIDENTAL PETROLEUM (NY)
REPE
ISIN US6745991058
OCCIDENTAL PETROLEUM (NY)
RDTE//20240910
XDTE//20240910
PAYD//20241015
GRSS//USD0,22
Cash Dividend EXXON MOBIL CORP (NY)
NEWM
ISIN US30231G1022
EXXON MOBIL CORP (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240910
GRSS//USD0,95
Cash Dividend ELI LILLY AND CY (NY)
NEWM
ISIN US5324571083
ELI LILLY AND CY (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240910
GRSS//USD1,3
Cash Dividend JOHNSON & JOHNSON CO (NY)
NEWM
ISIN US4781601046
JOHNSON JOHNSON CO (NY)
RDTE//20240827
XDTE//20240827
PAYD//20240910
GRSS//USD1,24
Intrest Payment UNITED STATES TREASURY 24-27 4,5%
REPL
ISIN US91282CKJ98
UNITED STATES TREASURY 24-27 4,5
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,25
Redemption USA 21-24 0,625%
REPL
RDTE//20241014
XDTE//20241015
PAYD//20241015
RATE//99,970331
INTP//0,029669
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
REPL
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
PAYD//20241015
INTP//3,9375
Intrest Payment PORTUGAL REP. 14-24 5,125% REGS
REPL
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,5625
Intrest Payment NETFLIX 18-28 4,875%
REPL
ISIN US64110LAS51
NETFLIX 18-28 4,875
RDTE//20241014
XDTE//20241015
PAYD//20241015
INTP//2,4375
Cash Dividend BROADCOM INC (NY)
REPL
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,53
Cash Dividend BHP GROUP LIMITED (LO)
REPL
ISIN AU000000BHP4
BHP GROUP LIMITED (LO)
RDTE//20240913
XDTE//20240912
PAYD//20241003
GRSS//UKWN
Cash Dividend GLENCORE PLC (LO)
REPL
PREV//000113017413
ISIN JE00B4T3BW64
GLENCORE PLC (LO)
RDTE//UKWN
XDTE//UKWN
PAYD//UKWN
GRSS//UKWN
Change HANETF HAN-GINS I.H.M.EQ.W.ETF
NEWM
ISIN IE00BJQTJ848
HANETF HAN-GINS I.H.M.EQ.W.ETF (FR)
CHAN//NAME
ADTX//NAME CHANGE
OLD NAME: HANETF HAN-GINS
I.H.M.EQ.W.ETF-A-K
NEW NAME: Harbor Health Care UCITS
ETF
ISIN WILL REMAIN THE SAME.
Cash Dividend IBM (NY)
NEWM
ISIN US4592001014
IBM (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240910
RSS//USD1,67
Dividend Reinvestment APERAM SA (AS)
REPL
ISIN LU0569974404
APERAM SA (AS)
:ISIN NL00150027I1
APERAM S.A. RIGHT EX160824 (AS)
:RDTE//20240819
XDTE//20240816
PAYD//20240912
GRSS//EUR0,5
ISIN LU0569974404
APERAM SA (AS)
NEWO//1,/55,742951
PAYD//20240912
Change MARA HOLDINGS INC (NY)
NEWM
ISIN US5657881067
MARA HOLDINGS INC (NY)
CHAN//NAME
ADTX//NAME CHANGE
OLD NAME: MARATHON DIGITAL HOLDINGS
INC
NEW NAME: MARA HOLDINGS INC
THE ISIN REMAINS THE SAME.
Reverse Stock Split HYZON MOTORS INC-A- (NY)
REPL
ISIN US44951Y1029
HYZON MOTORS INC-A- (NY)
XDTE//20240911
ISIN US44951Y2019
HYZON MOTORS INC-A (NY)
NEWO//1,/50,
PAYD//20240911
Redemption WT NAT GAS 3X DLY LVRGD ETC USD (LO
NEWM
ISIN XS2819843900
WT NAT GAS 3X DLY LVRGD ETC USD (LO
XDTE//20240910
PAYD//20240910
OFFR//ACTU/USD32,770873
Cash Dividend BRP INC- SUB VOTING W/I (NY)
NEWM
ISIN CA05577W2004
BRP INC- SUB VOTING W/I (NY)
RDTE//20240927
XDTE//20240927
PAYD//20241011
GRSS//USD0,21
Dividend Reinvestment LLOYDS BANKING GROUP PLC (LO)
NEWM
ISIN GB0008706128
LLOYDS BANKING GROUP PLC (LO)
RDTE//20240802
XDTE//20240801
PAYD//20240910
GRSS//GBP0,0106
Data: 09.09.2024
Cash Dividend ISHARES II JPMORG ETF EM MKT USD
NEWM
ISIN IE00B2NPKV68
ISHARES II JPMORG ETF EM MKT USD(LO
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,4298
Cash Dividend ISHARES PLC EURO DIV UCI.ETF-D
NEWM
ISIN IE00B0M62S72
ISHARES PLC EURO DIV UCI.ETF-D (FR)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,2918
Spin Off GAMING INNOVATION GROUP LTD (OS)
NEWM
ISIN US36467X2062
GAMING INNOVATION GROUP LTD (OS)
XDTE//UKWN
RDTE//UKWN
UNKNOWN
ADEX//1,/1,
PAYD//UKWN
Cash Dividend ANTOFAGASTA HOLDINGS PLC (LO)
REPL
ISIN GB0000456144
ANTOFAGASTA HOLDINGS PLC (LO)
RDTE//20240906
XDTE//20240905
PAYD//20240930
GRSS//UKWN
Dividend Reinvestment GSK PLC (LO)
REPL
ISIN GB00BN7SWP63
GSK PLC (LO)
RDTE//20240816
XDTE//20240815
PAYD//20241010
GRSS//GBP0,15
ISIN GB00BN7SWP63
GSK PLC (LO)
ADEX//UKWN
PAYD//20241015
Cash Dividend SMITH AND WESSON BRANDS INC (NY)
NEWM
ISIN US8317541063
SMITH AND WESSON BRANDS INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241003
GRSS//USD0,13
Dividend Reinvestment BRIT. AMER TOBACCO PLC (LO)
REPL
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
RDTE//20240927
XDTE//20240926
PAYD//20241101
GRSS//GBP0,5888
ISIN GB0002875804
BRIT. AMER TOBACCO PLC (LO)
ADEX//UKWN
PAYD//20241101
Intrest Payment CITIGROUP INC 16-26 4,6% 09/03
NEWM
ISIN US172967KJ96
CITIGROUP INC 16-26 4,6 09/03
RDTE//20240906
XDTE//20240909
PAYD//20240909
INTP//2,3
Redemption KERNEL HOLDING SA 19-24 6,5%
NEWM
ISIN XS2010040983
KERNEL HOLDING SA 19-24 6,5
XDTE//20241017
PAYD//20241017
RATE//99,475
INTP//0,525
Cash Dividend ABM INDUSTRIES INC (NY)
NEWM
ISIN US0009571003
ABM INDUSTRIES INC (NY)
RDTE//20241003
XDTE//20241003
PAYD//20241104
GRSS//USD0,225
Cash Dividend ABBVIE INC (NY)
NEWM
ISIN US00287Y1091
ABBVIE INC (NY)
RDTE//20241015
XDTE//20241015
PAYD//20241115
GRSS//USD1,55
Cash Dividend BROADCOM INC (NY)
NEWM
ISIN US11135F1012
BROADCOM INC (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,53
Cash Dividend INTL CONSOLID. AIRLINES GROUP SA(LO
NEWM
ISIN ES0177542018
INTL CONSOLID. AIRLINES GROUP SA(LO
RDTE//20240906
XDTE//20240905
PAYD//20240909
GRSS//EUR0,03
Cash Dividend CME GROUP INC (NY)
REPE
ISIN US12572Q1058
CME GROUP INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240925
GRSS//USD1,15
Cash Dividend FEDEX CORP (NY)
REPE
ISIN US31428X1063
FEDEX CORP (NY)
RDTE//20240909
XDTE//20240909
PAYD//20241001
GRSS//USD1,38
Cash Dividend SIMON PROPERTY GROUP INC (NY)
REPE
ISIN US8288061091
SIMON PROPERTY GROUP INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240930
GRSS//USD2,05
Cash Dividend UBIQUITI INC (NY)
NEWM
ISIN US90353W1036
UBIQUITI INC (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240909
GRSS//USD0,6
Cash Dividend PAYCOM SOFTWARE INC (NY)
NEWM
ISIN US70432V1026
PAYCOM SOFTWARE INC (NY)
RDTE//20240826
XDTE//20240826
PAYD//20240909
GRSS//USD0,375
Cash Dividend MOWI ASA (OS)
NEWM
ISIN NO0003054108
MOWI ASA (OS)
RDTE//20240902
XDTE//20240830
PAYD//20240909
GRSS//NOK1,7
Cash Dividend BLACKROCK INC (NY)
REPE
ISIN US09247X1019
BLACKROCK INC (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240923
GRSS//USD5,1
Cash Dividend ASTRAZENECA PLC (LO)
NEWM
ISIN GB0009895292
ASTRAZENECA PLC (LO)
RDTE//20240809
XDTE//20240808
PAYD//20240909
GRSS//GBP0,776
Cash Dividend ALPHABET INC -C- (NY)
REPE
ISIN US02079K1079
ALPHABET INC -C- (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240916
GRSS//USD0,2
Cash Dividend ALPHABET --- SHS -A- (NY)
REPE
ISIN US02079K3059
ALPHABET --- SHS -A- (NY)
RDTE//20240909
XDTE//20240909
PAYD//20240916
GRSS//USD0,2
Cash Dividend HARMONY GOLD MINING - ADR (NY)
NEWM
ISIN US4132163001
HARMONY GOLD MINING - ADR (NY)
RDTE//20241011
XDTE//20241011
PAYD//20241021
GRSS//USD0,052461
Cash Dividend VANGUARD FDS V.FTSE250 U.ETF-PTG
NEWM
ISIN IE00BKX55Q28
VANGUARD FDS V.FTSE250 U.ETF-PTG(LO
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//GBP0,263268
Cash Dividend VAN.F.EUR EUROZ.GOV.BON.UCI.ETF
NEWM
ISIN IE00BZ163H91
VAN.F.EUR EUROZ.GOV.BON.UCI.ETF(FR)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,045991
Cash Dividend VANGUARD FDS FTSE ALL WLD UC ETF
NEWM
ISIN IE00B3RBWM25
VANGUARD FDS FTSE ALL WLD UC ETF(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,485035
Cash Dividend VANG.FDS PLC FTSE D.EUR.U.ETF-D
NEWM
ISIN IE00B945VV12
VANG.FDS PLC FTSE D.EUR.U.ETF-D (AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//EUR0,16052
Cash Dividend QUIMICA Y MINERA CHIL-SP ADR (NY)
NEWM
ISIN US8336351056
QUIMICA Y MINERA CHIL-SP ADR (NY)
RDTE//20231207
XDTE//20231206
PAYD//20240105
GRSS//USD0,109247
Cash Dividend VANGUARD FDS PLC ALL WLD HG DI
NEWM
ISIN IE00B8GKDB10
VANGUARD FDS PLC ALL WLD HG DI (AS)
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,494725
Cash Dividend SALESFORCE INC (NY)
NEWM
ISIN US79466L3024
SALESFORCE INC (NY)
RDTE//20240918
XDTE//20240918
PAYD//20241008
GRSS//USD0,4
Pari Passu BETSSON AB -B (ST)
REPL
ISIN SE0021626777
BETSSON AB -B (ST)
XDTE//20240911
ISIN SE0022726485
BETSSON AB -B (ST)
NEWO//1,/1,
PAYD//20240911
Spin Off BETSSON AB -B (ST)
REPL
ISIN SE0021626777
BETSSON AB -B (ST)
XDTE//20240909
RDTE//20240910
ISIN SE0022726469
BETSSON AB-B PREF SH (ST)
ADEX//1,/1,
PAYD//20240911
Intrest Payment GOODY TIRE RUB 98-28 7%
REPL
ISIN US382550AD35
GOODY TIRE RUB 98-28 7
RDTE//20240913
XDTE//20240915
INTP//3,5
Reverse Stock Split BLACKSKY TECHNOLOGY INC-A (NY)
REPL
ISIN US09263B1089
BLACKSKY TECHNOLOGY INC-A (NY)
XDTE//20240909
ISIN US09263B2079
BLACKSKY TECHNOLOGY INC-A (NY)
NEWO//1,/8,
PAYD//20240909
Cash Dividend CLAS OHLSON AB-B (ST)
REPE
ISIN SE0000584948
CLAS OHLSON AB-B (ST)
XDTE//20240909
RDTE//20240910
PAYD//20240913
GRSS//SEK2,13
Worthless SAN LEON ENERGY PLC (LO)
REPE
ISIN IE00BWVFTP56
SAN LEON ENERGY PLC (LO)
XDTE//20240909
ISIN IE00BWVFTP56
SAN LEON ENERGY PLC (LO)
PAYD//20240909
Cash Dividend ASTRAZENECA PLC-SPONS ADR (NY)
NEWM
ISIN US0463531089
ASTRAZENECA PLC-SPONS ADR (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240909
GRSS//USD0,5
Dividend Reinvestment ABN AMRO BANK NV CVA (AS)
REPL
ISIN NL0011540547
ABN AMRO BANK NV CVA (AS)
ISIN NL00150027H3
ABN AMRO BANK NV RIGHT EX140824(AS)
RDTE//20240815
XDTE//20240814
PAYD//20240911
ISIN NL0011540547
ABN AMRO BANK NV CVA (AS)
NEWO//1,/30,359898
PAYD//20240911
Dividend Reinvestment SHELL PLC (AS)
REPL
ISIN GB00BP6MXD84
SHELL PLC (AS)
ISIN NL00150026Z7
SHELL PLC RIGHT EX150824 (AS)
RDTE//20240816
XDTE//20240815
PAYD//20240923
ISIN GB00BP6MXD84
SHELL PLC (AS)
NEWO//UKWN
PAYD//20240923
Cash Dividend AFRICA OIL CORP (ST)
REPL
ISIN CA00829Q1019
AFRICA OIL CORP (ST)
RDTE//20240909
XDTE//20240906
PAYD//20241002
GRSS//UKWN
Data: 06.09.2024
Intrest Payment REP.SOUTH AFRICA 16-26 4,875% GLOB
REPL
ISIN US836205AT15
REP.SOUTH AFRICA 16-26 4,875 GLOB
XDTE//20241015
RDTE//20241014
PAYD//20241015
INTP//2,4375
Cash Dividend KIMCO REALTY CORP (NY)
REPE
ISIN US49446R1095
KIMCO REALTY CORP (NY)
RDTE//20240905
PAYD//20240919
GRSS//USD0,24
Cash Dividend XTR. EURO STXX.QUA.DIV.UC.ETF
NEWM
ISIN LU0292095535
XTR. EURO STXX.QUA.DIV.UC.ETF (MI)
RDTE//20240822
XDTE//20240821
PAYD//20240905
GRSS//EUR0,7255
Cash Dividend TOTAL ENERGIES SE-ADR (NY)
NEWM
ISIN US89151E1091
TOTAL ENERGIES SE-ADR (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241011
GRSS//USD0,873938
Cash Dividend TOTAL ENERGIES SE(PA)
REPL
ISIN FR0000120271
TOTAL ENERGIES SE(PA)
RDTE//20240926
XDTE//20240925
PAYD//20241001
GRSS//EUR0,79
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
NEWM
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,312782
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
NEWM
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,1146
Cash Dividend FRESH DEL MONTE PRODUCE INC (NY)
NEWM
ISIN KYG367381053
FRESH DEL MONTE PRODUCE INC (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240906
GRSS//USD0,25
Cash Dividend STAR BULK CARRIERS CORP (NY)
NEWM
ISIN MHY8162K2046
STAR BULK CARRIERS CORP (NY)
RDTE//20240827
XDTE//20240827
PAYD//20240906
GRSS//USD0,7
Cash Dividend KIMBERLY CLARK CORP (NY)
REPE
ISIN US4943681035
KIMBERLY CLARK CORP (NY)
RDTE//20240906
XDTE//20240906
PAYD//20241002
GRSS//USD1,22
Cash Dividend AMGEN INC (NY)
NEWM
ISIN US0311621009
AMGEN INC (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240906
GRSS//USD2,25
Cash Dividend PEPSICO INC (NY)
REPE
ISIN US7134481081
PEPSICO INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240930
GRSS//USD1,355
Cash Dividend THE SHERWIN-WILLIAMS (NY)
NEWM
ISIN US8243481061
THE SHERWIN-WILLIAMS (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240906
GRSS//USD0,715
Cash Dividend MOODY'S CORP (NY)
NEWM
ISIN US6153691059
MOODY'S CORP (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240906
GRSS//USD0,85
Cash Dividend SOUTHERN COMPANY (NY)
NEWM
ISIN US8425871071
SOUTHERN COMPANY (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240906
GRSS//USD0,72
Cash Dividend MATERION CORP (NY)
NEWM
ISIN US5766901012
MATERION CORP (NY)
RDTE//20240823
XDTE//20240823
PAYD//20240906
GRSS//USD0,135
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
NEWM
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,163213
Cash Dividend GENERAL MOTORS CO (NY)
REPE
ISIN US37045V1008
GENERAL MOTORS CO (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240919
GRSS//USD0,12
Cash Dividend BOOKING HOLDINGS INC (NY)
REPE
ISIN US09857L1089
BOOKING HOLDINGS INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240930
GRSS//USD8,75
Cash Dividend BANK OF AMERICA CORP (NY)
REPE
ISIN US0605051046
BANK OF AMERICA CORP (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240927
GRSS//USD0,26
Cash Dividend L3 HARRIS TECHNOLOGIES INC (NY)
REPE
ISIN US5024311095
L3 HARRIS TECHNOLOGIES INC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240920
GRSS//USD1,16
Cash Dividend GENUINE PARTS (NY)
REPE
ISIN US3724601055
GENUINE PARTS (NY)
RDTE//20240906
XDTE//20240906
PAYD//20241001
GRSS//USD1,
Cash Dividend CONSTELLATION ENERGY CORP (NY)
NEWM
ISIN US21037T1097
CONSTELLATION ENERGY CORP (NY)
RDTE//20240812
XDTE//20240812
PAYD//20240906
GRSS//USD0,3525
Cash Dividend AMCOR PLC (NY)
REPE
ISIN JE00BJ1F3079
AMCOR PLC (NY)
RDTE//20240906
XDTE//20240906
PAYD//20240926
GRSS//USD0,125
Cash Dividend HONEYWELL INT. INC (NY)
NEWM
ISIN US4385161066
HONEYWELL INT. INC (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240906
GRSS//USD1,08
Cash Dividend KINROSS GOLD CORP (NY)
NEWM
ISIN CA4969024047
KINROSS GOLD CORP (NY)
RDTE//20240822
XDTE//20240822
PAYD//20240906
GRSS//USD0,03
Cash Dividend UNILEVER PLC -SP ADR (NY)
NEWM
ISIN US9047677045
UNILEVER PLC -SP ADR (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240906
GRSS//USD0,4773
Intrest Payment POLAND 15-25 1,50% 09/09
REPL
ISIN XS1288467605
POLAND 15-25 1,50 09/09
RDTE//20240906
XDTE//20240909
PAYD//20240909
INTP//1,5
Cash Dividend KLAVENESS COMBINATION CARRIERS (OS)
REPL
ISIN NO0010833262
KLAVENESS COMBINATION CARRIERS (OS)
RDTE//20240829
XDTE//20240828
PAYD//20240912
GRSS//NOK3,182
Intrest Payment TURKCELL ILETISIM HI 18-28 5,8%REGS
REPL
ISIN XS1803215869
TURKCELL ILETISIM HI 18-28 5,8 REGS
RDTE//20241010
XDTE//20241011
PAYD//20241011
INTP//2,9
Cash Dividend ISHARES PLC ISH.CHINA 50-USD-D
NEWM
ISIN IE00B02KXK85
ISHARES PLC ISH.CHINA 50-USD-D (LO)
RDTE//20240913
SXDT//20240829
PAYD//20240925
GRSS//USD1,7039
Cash Dividend ISH.PLC C.S&P500 U.ETF EUR(DIST)
NEWM
ISIN IE0031442068
ISH.PLC C.S P500 U.ETF EUR(DIST)(AS
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//USD0,151
Cash Dividend ELEKTA AB -B- FRIA (ST)
REPE
ISIN SE0000163628
ELEKTA AB -B- FRIA (ST)
XDTE//20240906
RDTE//20240909
PAYD//20240912
GRSS//SEK1,2
Cash Dividend SEMPRA (NY)
NEWM
ISIN US8168511090
SEMPRA (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241015
GRSS//USD0,62
Cash Dividend IS.PLC CORE FTSE100 UC.ETF(DIST)
NEWM
ISIN IE0005042456
IS.PLC CORE FTSE100 UC.ETF(DIST)(LO
RDTE//20240913
XDTE//20240912
PAYD//20240925
GRSS//GBP0,0837
Cash Dividend MAIN STREET CAPITAL CORP
REPE
ISIN US56035L1044
MAIN STREET CAPITAL CORP
RDTE//20240906
XDTE//20240906
PAYD//20240913
GRSS//USD0,245
Cash Dividend VERIZON COMMUNICATIONS INC (NY)
NEWM
ISIN US92343V1044
VERIZON COMMUNICATIONS INC (NY)
RDTE//20241010
XDTE//20241010
PAYD//20241101
GRSS//USD0,6775
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20240919
XDTE//20240919
PAYD//20240930
GRSS//USD0,04
Cash Dividend AGNICO-EAGLE MINES (NY)
REPE
ISIN CA0084741085
AGNICO-EAGLE MINES (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,4
Data: 05.09.2024
Intrest Payment DEUTSCHE BANK AG 22-30 5-VAR% REGS
NEWM
//INTR
ISIN DE000A30VT06
DEUTSCHE BANK AG 22-30 5-VAR REGS
RDTE//20240904
XDTE//20240905
INPE//20230905/20240905
INTR//5,
PAYD//20240905
INTP//5,
Intrest Payment UNITED STATES TREASURY 24-27 4,5%
NEWM
//INTR
ISIN US91282CKJ98
UNITED STATES TREASURY 24-27 4,5
XDTE//20241015
RDTE//20241014
INTR//4,5
PAYD//20241015
INTP//2,25
Intrest Payment UNITED STATES TREASURY 23-26 3,75%
NEWM
//INTR
ISIN US91282CGV72
UNITED STATES TREASURY 23-26 3,75
XDTE//20241015
RDTE//20241014
INTR//3,75
PAYD//20241015
INTP//1,875
Intrest Payment UBS GR 16-26 4,125% REGS
NEWM
//INTR
ISIN USG91703AK72
UBS GR 16-26 4,125 REGS
XDTE//20241015
RDTE//20241014
INTR//4,125
PAYD//20241015
INTP//2,0625
Intrest Payment FEDEX CORP 13-43 4.1%
NEWM
//INTR
ISIN US31428XAU00
FEDEX CORP 13-43 4.1
XDTE//20241015
RDTE//20241014
INTR//4,1
PAYD//20241015
INTP//2,05
Intrest Payment USA 21-24 0,625%
NEWM
//INTR
ISIN US91282CDB46
USA 21-24 0,625
XDTE//20241015
RDTE//20241014
INTR//0,625
PAYD//20241015
INTP//0,3125
Cash Dividend PROLOGIS INC (NY)
//DVCA
ISIN US74340W1036
PROLOGIS INC (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,96
Cash Dividend ERICSSON (LM) ADR CLASS B (NY)
NEWM
//DVCA
ISIN US2948216088
ERICSSON (LM) ADR CLASS B (NY)
RDTE//20241002
XDTE//20241002
PAYD//UKWN
GRSS//USD0,132572
Cash Dividend VALE SA SP ADR (NY)
REPL
//DVCA
ISIN US91912E1055
VALE SA SP ADR (NY)
RDTE//20240805
XDTE//20240805
PAYD//20240911
GRSS//USD0,371313
Cash Dividend ECORA RESOURCES PLC (LO)
NEWM
//DVCA
ISIN GB0006449366
ECORA RESOURCES PLC (LO)
RDTE//20250103
XDTE//20250102
PAYD//20250131
GRSS//UKWN
Cash Dividend HESS CORP (NY)
NEWM
//DVCA
ISIN US42809H1077
HESS CORP (NY)
RDTE//20240916
XDTE//20240916
PAYD//20240930
GRSS//USD0,5
Cash Dividend HP ENTERPRISE CO (NY)
NEWM
//DVCA
ISIN US42824C1099
HP ENTERPRISE CO (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241018
GRSS//USD0,13
Cash Dividend STMICROELECTRONICS NV -REG NY (NY)
NEWM
//DVCA
ISIN US8610121027
STMICROELECTRONICS NV -REG NY (NY)
RDTE//20240924
XDTE//20240924
PAYD//20241001
GRSS//USD0,09
Cash Dividend STMICROELECTRONICS NV -REG NY (NY)
NEWM
//DVCA
ISIN US8610121027
STMICROELECTRONICS NV -REG NY (NY)
RDTE//20241217
XDTE//20241217
PAYD//20241227
GRSS//USD0,09
Reverse Stock Split LIFECARE ASA (OS)
NEWM
//SPLR
ISIN NO0010591191
LIFECARE ASA (OS)
XDTE//UKWN
PAYD//UKWN
NKNOWN
NEWO//1,/13,
PAYD//UKWN
Merger SIRIUS XM HOLDINGS INC (NY)
REPL
//MRGR
ISIN US82968B1035
SIRIUS XM HOLDINGS INC (NY)
EFFD//20240910
XDTE//UKWN
PAYD//UKWN
UNKNOWN
NEWO//1,/10,
PAYD//UKWN
ADTX//STOCK MERGER
CREDITED ISIN: US8299331004
SIRIUS XM HOLDINGS
INC. NEW NPV
Data: 04.09.2024
Intrest Payment PORTUGAL REP. 14-24 5,125% REGS
NEWM
//INTR
ISIN XS1085735899
PORTUGAL REP. 14-24 5,125 REGS
XDTE//20241015
RDTE//20241014
INTR//5,125
PAYD//20241015
INTP//UKWN
Intrest Payment BOMBARDIER INC 19-27 7,875% REGS
NEWM
//INTR
ISIN USC10602BG11
BOMBARDIER INC 19-27 7,875 REGS
XDTE//20241015
RDTE//20240930
INTR//7,875
PAYD//20241015
INTP//UKWN
Intrest Payment NETFLIX 18-28 4,875%
NEWM
//INTR
ISIN US64110LAS51
NETFLIX 18-28 4,875
XDTE//20241015
RDTE//20240930
INTR//4,875
PAYD//20241015
INTP//UKWN
Cash Dividend ROYAL UNIBREW A/S (CO)
NEWM
//DVCA
ISIN DK0060634707
ROYAL UNIBREW A/S (CO)
RDTE//20241002
XDTE//20241001
PAYD//20241003
GRSS//DKK14,5
Dividend Reinvestment UNILEVER PLC (AS)
REPL
//REOR
ISIN GB00B10RZP78
UNILEVER PLC (AS)
ISIN NL00150026R4
UNILEVER PLC RIGHT EX080824 (AS)
RTUN//1,/1,
EXPI//20240906
POST//20240808
RDTE//20240809
XDTE//20240808
CAON//001
CAOP//CASH
OPTN//EUR
DFLT//Y
PAYD//20240906
GRSS//EUR0,4396
CAON//002
CAOP//SECU
ISIN NL00150026R4
UNILEVER PLC RIGHT EX080824 (AS)
PAYD//20240906
SECMOVE
CRDB//CRED
ISIN GB00B10RZP78
UNILEVER PLC (AS)
NEWO//1,/133,201508
PAYD//20240906
Cash Dividend QUIMICA Y MINERA CHIL-SP ADR (NY)
//DVCA
ISIN US8336351056
QUIMICA Y MINERA CHIL-SP ADR (NY)
RDTE//20231207
XDTE//20231206
PAYD//20240105
GRSS//USD0,109247
Dividend Reinvestment BP PLC (LO)
REPL
//DRIP
ISIN GB0007980591
BP PLC (LO)
RDTE//20240809
XDTE//20240808
CAON//001
CAOP//CASH
OPTN//GBP
DFLT//Y
PAYD//20240920
GRSS//GBP0,060498
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20240920
Data: 03.09.2024
Dividend Option GLOBALWORTH REAL ESTATE INV LTD(LO)
REPL
//DVOP
ISIN GG00B979FD04
GLOBALWORTH REAL ESTATE INV LTD(LO)
RDTE//20240913
XDTE//20240912
CAON//001
CAOP//CASH
OPTN//EUR
DFLT//Y
PAYD//20241018
GRSS//EUR0,1
CAON//002
CAOP//SECU
ADEX//UKWN
PAYD//20241018
SECMOVE
Cash Dividend LOCKHEED MARTIN CORP (NY)
REPE
//DVCA
ISIN US5398301094
LOCKHEED MARTIN CORP (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240927
GRSS//USD3,15
Worthless SAS AB -NEW- (ST)
REPE
//REOR
//WRTH
ISIN SE0003366871
SAS AB -NEW- (ST)
XDTE//20240903
PAYD//20240903
ADDINFO
ADTX//WORTHLESS
Cash Dividend LOWE'S COMPANIES (NY)
NEWM
//DVCA
ISIN US5486611073
LOWE'S COMPANIES (NY)
RDTE//20241023
XDTE//20241023
PAYD//20241106
GRSS//USD1,15
Cash Dividend LEXINFINTECH HOLDINGS LTD ADR (NY)
NEWM
//DVCA
ISIN US5288771034
LEXINFINTECH HOLDINGS LTD ADR (NY)
RDTE//20240916
XDTE//20240916
PAYD//20241018
GRSS//USD0,072
Cash Dividend LAM RESEARCH CORP (NY)
NEWM
//DVCA
ISIN US5128071082
LAM RESEARCH CORP (NY)
RDTE//20240917
XDTE//20240917
PAYD//20241001
GRSS//USD2,3
Merger TELLURIAN INC (NY)
NEWM
//MRGR
ISIN US87968A1043
TELLURIAN INC (NY)
XDTE//UKWN
RDTE//UKWN
PAYD//UKWN
OFFR//ACTU/USD1,
Cash Dividend NXP SEMICONDUCTORS NV (NY)
NEWM
//DVCA
ISIN NL0009538784
NXP SEMICONDUCTORS NV (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241009
GRSS//USD1,014
Data: 02.09.2024
Cash Dividend CONOCOPHILLIPS (NY)
REPE
ISIN US20825C1045
CONOCOPHILLIPS (NY)
RDTE//20240812
XDTE//20240812
PAYD//20240903
GRSS//USD0,58
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPL
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,312782
Cash Dividend INTEL CORP (NY)
NEWM
ISIN US4581401001
INTEL CORP (NY)
RDTE//20240807
XDTE//20240807
PAYD//20240901
GRSS//USD0,125
Reverse Stock Split 23ANDME HOLDING CO (NY)
REPL
ISIN US90138Q1085
23ANDME HOLDING CO (NY)
XDTE//UKWN
PAYD//UKWN
:16S:SECMOVE
NEWO//1,/0,
PAYD//UKWN
Cash Dividend SAMSUNG ELECTRON. GDR-UNTY (LO)
NEWM
ISIN US7960508882
SAMSUNG ELECTRON. GDR-UNTY (LO)
RDTE//20240628
XDTE//20240627
PAYD//20240830
GRSS//USD6,775627
Intrest Payment PANAMA REP 16-28 3,875%
REPL
ISIN US698299BF03
PANAMA REP 16-28 3,875
XDTE//20240917
RDTE//20240916
PAYD//20240917
INTP//1,9375
Intrest Payment PIAGGIO & C SPA 23-30 6,5%REGS
REPL
ISIN XS2696224315
PIAGGIO C SPA 23-30 6,5 REGS
RDTE//20241004
XDTE//20241005
PAYD//20241005
INTP//3,25
Intrest Payment POLEN 16-26 3,25%
REPL
ISIN US731011AU68
POLEN 16-26 3,25
RDTE//20241004
XDTE//20241006
PAYD//20241006
INTP//1,625
Intrest Payment WALMART INC 07-27 5,875%
REPL
ISIN US931142CH46
WALMART INC 07-27 5,875
RDTE//20241004
XDTE//20241005
PAYD//20241005
INTP//2,9375
Cash Dividend PROSPECT CAPITAL CORP (NY)
REPL
ISIN US74348T1025
PROSPECT CAPITAL CORP (NY)
RDTE//20241029
XDTE//20241029
PAYD//20241119
GRSS//USD0,06
Cash Dividend VANECK PREFERRED SEC.EX FIN.ETF
REPL
ISIN US92189F4292
VANECK PREFERRED SEC.EX FIN.ETF(NY)
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,1146
Cash Dividend ISHARES BARCLAYS 20+ YEAR TR
REPL
ISIN US4642874329
ISHARES BARCLAYS 20+ YEAR TR (NY)
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,312782
Cash Dividend ISHARES PREFERR.&INCOME SECU.ETF
REPL
ISIN US4642886877
ISHARES PREFERR. INCOME SECU.ETF(NY
RDTE//20240903
XDTE//20240903
PAYD//20240906
GRSS//USD0,163213
Rights Distribution CTP N.V. (AS)
REPE
ISIN NL00150006R6
CTP N.V. (AS)
RDTE//20240903
XDTE//20240902
ISIN NL00150027M3
CTP N.V. RIGHT EX020924 /2 (AS)
ADEX//1,/1,
PAYD//20240902
Capital distribution BUNGE GLOBAL LTD (NY)
NEWM
ISIN CH1300646267
BUNGE GLOBAL LTD (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240902
GRSS//USD0,68
Cash Dividend WELLS FARGO & CO (NY)
NEWM
ISIN US9497461015
WELLS FARGO CO (NY)
RDTE//20240809
XDTE//20240809
PAYD//20240901
GRSS//USD0,4
Cash Dividend EQT CORP (NY)
NEWM
ISIN US26884L1098
EQT CORP (NY)
RDTE//20240807
XDTE//20240807
PAYD//20240901
GRSS//USD0,1575
Cash Dividend KROGER CY (NY)
NEWM
ISIN US5010441013
KROGER CY (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240901
GRSS//USD0,32
Intrest Payment TURKCELL ILETISIM HI 18-28 5,8%REGS
NEWM
ISIN XS1803215869
TURKCELL ILETISIM HI 18-28 5,8 REGS
XDTE//20241011
RDTE//20241010
PAYD//20241011
INTP//2,9
Cash Dividend RANGE RESOURCES CORP (NY)
NEWM
ISIN US75281A1097
RANGE RESOURCES CORP (NY)
RDTE//20240913
XDTE//20240913
PAYD//20240927
GRSS//USD0,08
Intrest Payment BNP PARIBAS SA 22-29 3.625% 1/9REGS
NEWM
ISIN FR001400CFW8
BNP PARIBAS SA 22-29 3.625 1/9REGS
RDTE//20240830
XDTE//20240902
PAYD//20240902
INTP//3,625
Intrest Payment STARBUCK CORP 18-28 3,5%
NEWM
ISIN US855244AP46
STARBUCK CORP 18-28 3,5
RDTE//20240830
XDTE//20240901
PAYD//20240901
INTP//1,75
Intrest Payment UNITED STATES TREASURY 23-25 4,625%
REPE
ISIN US91282CGN56
UNITED STATES TREASURY 23-25 4,625
RDTE//20240830
XDTE//20240831
PAYD//20240831
INTP//2,3125
Intrest Payment UNITED STATES TREASURY 24-31 4,25%
REPE
ISIN US91282CKC46
UNITED STATES TREASURY 24-31 4,25
RDTE//20240830
XDTE//20240831
PAYD//20240831
INTP//2,125
Cash Dividend TAIWAN SEMICONDUCTOR-SP ADR (NY)
REPL
ISIN US8740391003
TAIWAN SEMICONDUCTOR-SP ADR (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241009
GRSS//USD0,625999
Cash Dividend ZIMMER BIOMET HOLDINGS INC (NY)
NEWM
ISIN US98956P1021
ZIMMER BIOMET HOLDINGS INC (NY)
RDTE//20240930
XDTE//20240930
PAYD//20241031
GRSS//USD0,24
Data: 30.08.2024
Cash Dividend NVIDIA CORP (NY)
NEWM
ISIN US67066G1040
NVIDIA CORP (NY)
RDTE//20240912
XDTE//20240912
PAYD//20241003
GRSS//USD0,01
Cash Dividend JEFFERIES FINANCIAL GROUP INC (NY)
NEWM
ISIN US47233W1099
JEFFERIES FINANCIAL GROUP INC (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240830
GRSS//USD0,35
Cash Dividend DNO ASA (OS)
NEWM
ISIN NO0003921009
DNO ASA (OS)
RDTE//20240823
XDTE//20240822
PAYD//20240830
GRSS//NOK0,3125
Cash Dividend ATKORE INC (NY)
NEWM
ISIN US0476491081
ATKORE INC (NY)
RDTE//20240820
XDTE//20240820
PAYD//20240830
GRSS//USD0,32
Cash Dividend CSX CORP (NY)
REPE
ISIN US1264081035
CSX CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,12
Cash Dividend STAG INDUSTRIAL INC (NY)
REPE
ISIN US85254J1025
STAG INDUSTRIAL INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,123333
Cash Dividend ALLSTATE CORPORATION (NY)
REPE
ISIN US0200021014
ALLSTATE CORPORATION (NY)
RDTE//20240830
XDTE//20240830
PAYD//20241001
GRSS//USD0,92
Cash Dividend DUPONT DE NEMOURS INC (NY)
REPE
:ISIN US26614N1028
DUPONT DE NEMOURS INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,38
Cash Dividend STURM RUGER AND CO (NY)
NEWM
ISIN US8641591081
STURM RUGER AND CO (NY)
RDTE//20240815
XDTE//20240815
PAYD//20240830
GRSS//USD0,19
Cash Dividend LAMB WESTON HLDGS INC (NY)
NEWM
ISIN US5132721045
LAMB WESTON HLDGS INC (NY)
RDTE//20240802
XDTE//20240802
PAYD//20240830
GRSS//USD0,36
Cash Dividend T-MOBILE US INC (NY)
REPE
ISIN US8725901040
T-MOBILE US INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240912
GRSS//USD0,65
Cash Dividend STEPHAN CO (NY)
REPE
ISIN US8585861003
STEPHAN CO (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,375
Cash Dividend FIRST MAJESTIC SILVER CORP (NY)
NEWM
ISIN CA32076V1031
FIRST MAJESTIC SILVER CORP (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240830
GRSS//USD0,0046
Cash Dividend HUNTINGTON INGALLS INDUSTRIES (NY)
REPE
ISIN US4464131063
HUNTINGTON INGALLS INDUSTRIES (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD1,3
Cash Dividend OSHKOSH CORP (NY)
NEWM
ISIN US6882392011
OSHKOSH CORP (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240830
GRSS//USD0,46
Cash Dividend BAXTER INTERNAT INC (NY)
REPE
ISIN US0718131099
BAXTER INTERNAT INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20241001
GRSS//USD0,29
Cash Dividend CORNING INC (NY)
REPE
ISIN US2193501051
CORNING INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD0,28
Cash Dividend EXP WORLD HOLDINGS INC (NY)
NEWM
ISIN US30212W1009
EXP WORLD HOLDINGS INC (NY)
RDTE//20240814
XDTE//20240814
PAYD//20240830
GRSS//USD0,05
Cash Dividend EBAY INC (NY)
REPE
ISIN US2786421030
EBAY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,27
Cash Dividend MSCI INC-A (NY)
NEWM
ISIN US55354G1004
MSCI INC-A (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240830
GRSS//USD1,6
Cash Dividend MAGNA INT. CL- A (NY)
NEWM
ISIN CA5592224011
MAGNA INT. CL- A (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240830
GRSS//USD0,475
Cash Dividend DOW INC (NY)
REPE
ISIN US2605571031
DOW INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,7
Cash Dividend FORTITUDE GOLD CORP (NY)
NEWM
ISIN US34962K1007
FORTITUDE GOLD CORP (NY)
RDTE//20240819
XDTE//20240819
PAYD//20240830
GRSS//USD0,04
Cash Dividend WHIRLPOOL CORP (NY)
REPE
ISIN US9633201069
WHIRLPOOL CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240915
GRSS//USD1,75
Cash Dividend DOVER CORP (NY)
REPE
ISIN US2600031080
DOVER CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,515
Cash Dividend HSBC ETFS PLC HSBC MSCI CHINA
NEWM
ISIN IE00B44T3H88
HSBC ETFS PLC HSBC MSCI CHINA (FR)
RDTE//20240809
XDTE//20240808
PAYD//20240830
GRSS//USD0,0688
Cash Dividend GOLDMAN SACHS GROUP INC (NY)
REPE
ISIN US38141G1040
GOLDMAN SACHS GROUP INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD3,
Cash Dividend DHT HOLDINGS INC (NY)
NEWM
ISIN MHY2065G1219
DHT HOLDINGS INC (NY)
RDTE//20240823
XDTE//20240823
PAYD//20240830
GRSS//USD0,27
Cash Dividend THE KRAFT HEINZ COMPANY (NY)
REPE
ISIN US5007541064
THE KRAFT HEINZ COMPANY (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240927
GRSS//USD0,4
Cash Dividend ESTEE LAUDER COMPANIES INC 'A' (NY)
REPE
ISIN US5184391044
ESTEE LAUDER COMPANIES INC 'A' (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,66
Cash Dividend STARBUCKS CORP (NY)
NEWM
ISIN US8552441094
STARBUCKS CORP (NY)
RDTE//20240816
XDTE//20240816
PAYD//20240830
GRSS//USD0,57
Cash Dividend MOWI ASA (OS)
REPE
ISIN NO0003054108
MOWI ASA (OS)
RDTE//20240902
XDTE//20240830
PAYD//20240909
GRSS//NOK1,7
Cash Dividend NORDIC AMER TANKERS LTD (NY)
NEWM
ISIN BMG657731060
NORDIC AMER TANKERS LTD (NY)
RDTE//20240926
XDTE//20240926
PAYD//20241126
GRSS//USD0,12
Cash Dividend DOLLAR GENERAL CORP
NEWM
ISIN US2566771059
DOLLAR GENERAL CORP
RDTE//20241008
XDTE//20241008
PAYD//20241022
GRSS//USD0,59
Cash Dividend JINKOSOLAR HOLDING COMP.LTD ADR(NY)
NEWM
ISIN US47759T1007
JINKOSOLAR HOLDING COMP.LTD ADR(NY)
RDTE//20240815
XDTE//20240815
PAYD//20240830
GRSS//USD1,5
Cash Dividend DOUYU INTERNATIONAL HO. LTD ADR (NY
REPE
ISIN US25985W2044
DOUYU INTERNATIONAL HO. LTD ADR (NY
RDTE//20240821
XDTE//20240903
PAYD//20240830
GRSS//USD9,76
Cash Dividend BEST BUY CO. (NY)
NEWM
ISIN US0865161014
BEST BUY CO. (NY)
RDTE//20240919
XDTE//20240919
PAYD//20241010
GRSS//USD0,94
Redemption USA 21-24 0,625%
NEWM
ISIN US91282CDB46
USA 21-24 0,625
XDTE//20241015
PAYD//20241015
RATE//99,970331
INTP//0,029669
Stock Split LAM RESEARCH CORP (NY)
NEWM
ISIN US5128071082
LAM RESEARCH CORP (NY)
RDTE//UKWN
XDTE//UKWN
ISIN US5128071082
LAM RESEARCH CORP (NY)
ADEX//9,/1,
PAYD//UKWN
Cash Dividend DOMINION ENERGY INC (NY)
REPE
ISIN US25746U1097
DOMINION ENERGY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240920
GRSS//USD0,6675
Cash Dividend NEXTERA ENERGY INC (NY)
REPE
ISIN US65339F1012
NEXTERA ENERGY INC (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,515
Cash Dividend TYSON FOODS CL A (NY)
REPE
ISIN US9024941034
TYSON FOODS CL A (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240913
GRSS//USD0,49
Dividend Option VOLEX PLC (LO)
REPE
ISIN GB0009390070
VOLEX PLC (LO)
RDTE//20240726
XDTE//20240725
PAYD//20240830
GRSS//GBP0,028
ISIN GB0009390070
VOLEX PLC (LO)
ADEX//1,/125,392857
PAYD//20240830
Cash Dividend BARRICK GOLD CORP (NY)
REPE
ISIN CA0679011084
BARRICK GOLD CORP (NY)
RDTE//20240830
XDTE//20240830
PAYD//20240916
GRSS//USD0,1
Dividend Reinvestment BAE SYSTEMS Plc (LO)
REPL
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
RDTE//20241025
XDTE//20241024
PAYD//20241202
GRSS//GBP0,124
ISIN GB0002634946
BAE SYSTEMS Plc (LO)
ADEX//UKWN
PAYD//20241205