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>> Menu Principal: Sistema de Difusão de Informação: Emitentes

Emitentes

Informação Privilegiada e Outras Informações

A informação é divulgada ao abrigo dos deveres previstos na legislação e regulamentação em vigor e é da exclusiva responsabilidade das sociedades a que respeita.

24/04/2014

Hora 
14:56 Banco Espírito Santo, S.A. informa sobre pagamento de juros do cupão nº9 das Obrigações BES Guaranteed Notes fevereiro 2012 Pagamento de Juros
14:54 BES AUTOCALLABLE PAISES PERIFERICOS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by Banco Espírito Santo de Investimento, S.A. (ISIN: XS1060348007)- Final Terms Outros Anúncios Relativos à Oferta
14:53 BES AUTOCALLABLE PAISES PERIFERICOS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by Banco Espírito Santo de Investimento, S.A. (ISIN: XS1060348007)- Sumário Prospecto
14:53 BES AUTOCALLABLE PAISES PERIFERICOS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by Banco Espírito Santo de Investimento, S.A. (ISIN: XS1060348007) Prospecto
12:06 EUR BES DUAL GRANDES MARCAS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by BANCO ESPÍRITO SANTO DE INVESTIMENTO, S.A. (ISIN: XS1060347967)- Final Terms Outros Anúncios Relativos à Oferta
12:05 EUR BES DUAL GRANDES MARCAS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by BANCO ESPÍRITO SANTO DE INVESTIMENTO, S.A. (ISIN: XS1060347967)- Sumário Prospecto
12:05 EUR BES DUAL GRANDES MARCAS 2014-2019 issued pursuant to the €2,500,000,000 Euro Medium Term Note Programme with the benefit of a Keep Well Agreement provided by BANCO ESPÍRITO SANTO DE INVESTIMENTO, S.A. (ISIN: XS1060347967) Prospecto
11:46 Banco Santander Totta, SA informa sobre pagamento do cupão nº 10 das Obrigações Banco Santander Totta Covered Bonds - Série 7-1ª Tranche. Pagamento de Juros
11:44 Banco Santander Totta, SA informa sobre pagamento do cupão nº 10 das Obrigações Banco Santander Totta Covered Bonds - Série 6-1ª Tranche. Pagamento de Juros
11:42 Issue of up to USD 15,000,000 Autocallable Notes (with Instalment Redemption) at USD 2,000 each with an aggregate nominal amount of up to USD 15,000,000 relating to a Basket of Shares (the "Securities") under its Programme for the issuance of Certificates, Warrants and Notes (ISIN: XS0461198359)(versão portuguesa) Resultado da oferta
11:41 Issue of up to USD 15,000,000 Autocallable Notes (with Instalment Redemption) at USD 2,000 each with an aggregate nominal amount of up to USD 15,000,000 relating to a Basket of Shares (the "Securities") under its Programme for the issuance of Certificates, Warrants and Notes (ISIN: XS0461198359) Resultado da oferta
11:03 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005)- Final Terms (versão portuguesa) Outros Anúncios Relativos à Oferta
11:03 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005)- Final Terms Outros Anúncios Relativos à Oferta
11:03 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005)- Sumário em resultado da 1ª Adenda Prospecto
11:02 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005)- 1ª Adenda Adendas ao prospecto
11:02 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005)- Sumário Prospecto
11:02 Issue of up to EUR 80,000,000 Autocallable Notes (with Instalment Redemption) at EUR 1,000 each with an aggregate nominal amount of up to EUR 80,000,000 relating to a Basket of Shares (the "Securities") under its x-markets Programme for the issuance of Certificates, Warrants and Notes (ISIN: PTDEUSOM0005) Prospecto

23/04/2014

Hora 
20:06 Banco BPI, S.A. informs about Members of the Governing Bodies and of the Executive Committee for the 2014/2016 period Titulares de Órgãos Sociais
20:04 Banco BPI, S.A., informa sobre os Membros dos Órgãos Sociais e da Comissão Executiva para o triénio 2014/2016 Titulares de Órgãos Sociais
19:12 ZON OPTIMUS, SGPS, S.A. informa sobre deliberações da Assembleia Geral de Acionistas - versão inglesa Informação Privilegiada
19:11 ZON OPTIMUS, SGPS, S.A. informa sobre deliberações da Assembleia Geral de Acionistas - versão portuguesa Informação Privilegiada
19:11 Banco BPI, S.A. informs about first quarter 2014 consolidated results Informação Privilegiada
19:11 EDP - Energias de Portugal, SA informa: Dados operacionais previsionais relativos ao 1º trimestre 2014 - Versão Inglês Informação Privilegiada
19:10 EDP Renováveis, S.A. informs about a new PPA in the US Informação Privilegiada
19:10 EDP - Energias de Portugal, SA informa: Dados operacionais previsionais relativos ao 1º trimestre 2014 Informação Privilegiada
19:10 Banco BPI, S.A. informa sobre Resultados Consolidados no 1.º trimestre de 2014 Informação Privilegiada
19:09 EDP Renováveis, S.A. informa sobre novo contrato de venda de energia nos EUA Informação Privilegiada
18:52 IMPRESA informa sobre Assembleia Geral realizada Informação Privilegiada
18:51 Portucel informa sobre resultados do 1ºTrimestre de 2014 - versão em inglês Informação Privilegiada
18:46 Portucel S.A. informa sobre resultados do 1ºTrimestre de 2014 Informação Privilegiada
17:02 Admissão à Negociação na Euronext Lisbon de EUR 140.000.000 Valores Mobiliários de Dívida de Curto Prazo designados por papel comercial com Taxa de Juro Fixa- com vencimento em 22 de Julho de 2014 ao abrigo do Programa de Emissão de Valores Mobiliários Representativos de Dívida até ao montante de € 12.500.000.000 Outros Documentos Relativos à Admissão
17:01 Inapa - Investimentos, Participações e Gestão, SA informa sobre atribuição de direito de voto a acções preferenciais Informação Privilegiada
16:56 Glintt - Global Intelligent Technologies, S.A. informa sobre proposta relativa ao ponto sexto da ordem de trabalhos da AG - declaração da Comissão de Vencimentos - Convocatórias
15:37 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- Final Terms Outros Anúncios Relativos à Oferta
15:37 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- Final Terms (versão em Português) Outros Anúncios Relativos à Oferta
15:36 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- sumário em resultado da 7ª Adenda Prospecto
15:36 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 7ª Adenda Adendas ao prospecto
15:35 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 3ª Adenda Adendas ao prospecto
15:35 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 2ª Adenda Adendas ao prospecto
15:35 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 4ª Adenda Adendas ao prospecto
15:35 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 5ª Adenda Adendas ao prospecto
15:35 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 6ª Adenda Adendas ao prospecto
15:34 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- Sumário Prospecto
15:34 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560) Prospecto
15:34 Issue of Up to USD 100,000,000 Basket Zero Recovery Principal Amount Reduction Securities linked to a Basket of Reference Entities (the "Securities") under its x-markets Programme for the issuance of credit linked securities (ISIN: XS0461351560)- 1ª Adenda Adendas ao prospecto
13:52 Banco BPI, S.A. informs about resolutions passed at the Shareholders General Meeting of 23 April 2014 Informação Privilegiada
13:52 Banco BPI, S.A. informa sobre deliberações da Assembleia Geral de Accionistas de 23 de Abril de 2014 Informação Privilegiada
12:35 Sonae Indústria, SGPS, SA informa sobre pagamento de juros relativos ao 8º cupão e da 1ª prestação de reembolso do empréstimo obrigacionista Sonae Indústria 2010/2017 - Versão em Inglês Pagamento de Juros
12:33 Sonae Indústria, SGPS, SA informa sobre pagamento de juros relativos ao 8º cupão e da 1ª prestação de reembolso do empréstimo obrigacionista Sonae Indústria 2010/2017 Pagamento de Juros
12:27 Caixa Económica Montepio Geral informa sobre o pagamento de juros e o reembolso da emissão de Papel Comercial MONTEPIO 364D 08-05-2013 3.5% Pagamento de Juros
12:25 Caixa Económica Montepio Geral informa sobre o pagamento de juros referentes ao cupão n.º 14 da emissão das Obrigações EUR 500,000,000 Floating Rate Covered Bonds due November 2015 Pagamento de Juros
10:41 Banco Comercial Português, S.A., informa sobre o Pagamento de Juros do Cupão nº 18 de BCP MILL REND TRIMESTRAL NOV 2009/2014-retificativo Pagamento de Juros