Renda variable
Semana del 09/09/2024 al 15/09/2024
Altas
Emisor | ISIN | Nombre del valor | Nº valores | Fecha emisión | Nominal | Moneda |
VIVENIO RESIDENCIAL SOCIMI, S.A. |
ES0105384103
| VIVENIO RES/ACNV 1.00 | 20.590.254 | 31/05/2024 | 1,00 | EUR |
VANADI COFFEE, S.A. |
ES0105716106
| VANADI COFFEE/ACNV 0.05 | 5.000.000 | | 0,05 | EUR |
TECHO HOGAR SOCIMI, S.A. |
ES0105775011
| TECHO HOGAR/ACNV 1.00 | 5.368.936 | 29/08/2024 | 1,00 | EUR |
DENALI EQUITY SICC, S.A. |
ES0167761008
| DENALI EQ SICC/AC | | 03/09/2024 | | EUR |
PILATUS CAPITAL SCR, S.A.U. |
ES0169864008
| PILATUS CAP SCR/AC | | 05/08/2024 | | EUR |
Q-IMPACT SOCIEDAD DE INVERSION II SCR, S.A. |
ES0170474003
| Q-IMPACT SDAD INV II SCR/AC | 1.200.000 | 06/10/2023 | 1,00 | EUR |
DUROSMENA INVEST SCR, S.A. |
ES0175317009
| DUROSMENA INVE SCR/AC | | 29/08/2024 | | EUR |
ARCANO PRIVATE EQUITY CO-INVESTMENTS 2024 SCR, S.A. |
ES0180714000
| ARCANO PVT EQ CO-INVT 2024 SCR/AC | | 27/08/2024 | | EUR |
VLDPNS PRIVATE EQUITY SCR, S.A. |
ES0184524009
| VLDPNS PVT EQ SCR/AC | 1.200.000 | 06/06/2024 | 1,00 | EUR |
Bajas
Emisor | ISIN | Nombre del valor | Nº valores | Fecha emisión | Nominal | Moneda |
HEINEKEN ESPAÑA, S.A. |
ES0107480131
| HEINEKEN ESP/AC 60.00 | 2.910.615 | | 60,00 | EUR |
HEINEKEN ESPAÑA, S.A. |
ES0107480131
| HEINEKEN ESP/AC 60.00 | 85 | | 60,00 | EUR |
DELTA CONSEJEROS, S.A. |
ES0125930018
| DELTA CONSE/AC | 92.000 | 09/03/1988 | 1.000,00 | ESP |
SPECTER INVESTMENTS, SICAV, S.A. |
ES0130127006
| SPECTER SICAV/AC | 4.800.000 | 10/02/2015 | 5,00 | EUR |
AYECO, S.A. |
ES0190301012
| AYECO SA/AC | 1.875 | 18/12/1973 | 10.000,00 | ESP |
Modificaciones
Emisor | ISIN | Nombre del valor | Nº valores | Fecha emisión | Nominal | Moneda |
GRENERGY RENOVABLES, S.A. |
ES0105079000
| GRE/AC 0.35 | 18.682.317 | 22/05/2015 | 0,35 | EUR |
GRENERGY RENOVABLES, S.A. |
ES0105079000
| GRE/AC 0.35 | 2.727.273 | 02/07/2015 | 0,35 | EUR |
GRENERGY RENOVABLES, S.A. |
ES0105079000
| GRE/AC 0.35 | 1.578.948 | 20/05/2016 | 0,35 | EUR |
GRENERGY RENOVABLES, S.A. |
ES0105079000
| GRE/AC 0.35 | 3.620.690 | 22/03/2021 | 0,35 | EUR |
GRENERGY RENOVABLES, S.A. |
ES0105079000
| GRE/AC 0.35 | 2.685.000 | 30/06/2022 | 0,35 | EUR |
ENERSIDE ENERGY, S.A. |
ES0105634010
| ENERSIDE NRGY/ACNV 0.01 | | | 0,01 | EUR |
HEINEKEN ESPAÑA, S.A. |
ES0107480008
| HEINEKEN ESP/AC 1200.00 | 145.552 | | 1.200,00 | EUR |
CAPITALZA, S.A. |
ES0115983035
| CAPITALZA/AC 6.01 | 2.000.000 | 30/09/1997 | 6,01 | EUR |
ONLYGAL SEGUROS Y REASEGUROS, S.A. |
ES0125861015
| ONLYGAL/AC 16.00 | 200.000 | | 16,00 | EUR |
DEUSTO CARTERA FINANCIERA, SICAV, S.A. |
ES0138196037
| DEUSTO CART FIN SICAV/AC | 5.814.000 | 27/04/1998 | 6,02 | EUR |
GOLF DE PALS, S.A. |
ES0142567033
| GOLF DE PALS/AC 30.05 | 700 | | 30,05 | EUR |
GOLF DE PALS, S.A. |
ES0142567033
| GOLF DE PALS/AC 30.05 | 700 | | 30,05 | EUR |
GOLF DE PALS, S.A. |
ES0142567033
| GOLF DE PALS/AC 30.05 | 1.100 | | 30,05 | EUR |
GOLF DE PALS, S.A. |
ES0142567033
| GOLF DE PALS/AC 30.05 | 3.280 | | 30,05 | EUR |
LIVINGCENTER ACTIVOS INMOBILIARIOS, S.A. |
ES0143404038
| LIVINGCENTER/AC 301.00 | 457.000 | | 301,00 | EUR |
KLINGER SPAIN, S.A. |
ES0147353017
| KLINGER/AC 60.10 | 36.000 | | 60,10 | EUR |
CONSTRUCCIONES METALICAS COMANSA, S.A. |
ES0151509033
| CONST COMANSA/AC 9.00 | 234.892 | | 9,00 | EUR |
SAFIC ALCAN ESPAÑA, S.A. |
ES0156247019
| SAFIC ALCAN/AC 30.05 | 2.500 | | 30,05 | EUR |
LABORATORIOS FARMACEUTICOS ROVI, S.A. |
ES0157261019
| ROVI/AC 0.06 | 9.873.314 | 26/10/2007 | 0,06 | EUR |
LABORATORIOS FARMACEUTICOS ROVI, S.A. |
ES0157261019
| ROVI/AC 0.06 | 35.293.483 | 05/11/2007 | 0,06 | EUR |
LABORATORIOS FARMACEUTICOS ROVI, S.A. |
ES0157261019
| ROVI/AC 0.06 | 5.517.241 | 08/10/2018 | 0,06 | EUR |
LABORATORIOS FARMACEUTICOS ROVI, S.A. |
ES0157261019
| ROVI/AC 0.06 | 551.724 | 24/10/2018 | 0,06 | EUR |
LES ROTES INVERSIONES, S.A. |
ES0158226003
| LES ROTES INV/AC | 4.000.000 | 02/10/2015 | 6,00 | EUR |
ALEATICA LABS, S.A. |
ES0159177031
| ALEATICA LABS/AC 0.94 | 1.080.267 | | 0,94 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 99.590 | | 6,10 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 54.840 | | 6,10 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 69.878 | | 6,10 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 219.656 | | 6,10 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 1.752.592 | | 6,10 | EUR |
NORBOLSA, SOCIEDAD DE VALORES, S.A. |
ES0166412033
| NORBOLSA/AC 6.10 | 129.208 | | 6,10 | EUR |
MONBAKE GRUPO EMPRESARIAL, S.A. |
ES0167970039
| MONBAKE/AC 125.00 | 14.001 | | 125,00 | EUR |
MUNKSJO TOLOSA, S.A. |
ES0168213033
| MUNKSJO PAPER/AC | 78.000 | 14/10/1959 | 3.000,00 | ESP |
PINTUR, S.A. |
ES0170938015
| PINTUR/AC 6.01 | 20.000 | | 6,01 | EUR |
ARKONTE GESTION INTEGRAL, S.A. |
ES0172567010
| ARKONTE GTION/AC 12.02 | 5.161 | | 12,02 | EUR |
FULL TRADE FINANCE, S.A. |
ES0178194017
| FULL TRADE FIN/AC 6.01 | 129.523 | | 6,01 | EUR |
COMPAÑIA TRANVIAS DE SEVILLA, S.A. |
ES0180610000
| TRANVIAS DE SEV/AC 3.01 A | 59.200 | | 3,01 | EUR |
COMPAÑIA TRANVIAS DE SEVILLA, S.A. |
ES0180610059
| TRANVIAS SEV/AC 6.01 B | 101.000 | | 6,01 | ESP |
MOREDA-RIVIERE TREFILERIAS SA |
ES0180703037
| MOREDA-RIV TREF/AC 46.22 | 1.121.191 | | 46,22 | EUR |
CTLPACK VITORIA-GASTEIZ, S.A. |
ES0180825038
| CTLPACK/AC 6.01 | 21.743 | | 6,01 | EUR |
UNION QUIMICO FARMACEUTICA, S.A. |
ES0181940018
| UQUIFA/AC | 1 | | | ESP |
VIDEMOR, S.A. |
ES0183735010
| VIDEMOR/AC | 63.750 | 19/02/1987 | 1.000,00 | ESP |
ANIDA OPERACIONES SINGULARES, S.A. |
ES0184256016
| ANIDA OP/AC 6.01 | 14.000 | | 6,01 | EUR |
YBARRA Y COMPAÑIA, S.A. |
ES0184780031
| YBARRA/AC | 1 | | | ESP |
YBARRA Y COMPAÑIA, S.A. |
ES0184780056
| YBARRA/AC | 172.391 | | 0,40 | EUR |
PLADUR GYPSUM SA |
ES0184819037
| PLADUR GYPSUM/AC | 2.050.100 | 15/03/1989 | 1.000,00 | ESP |
COMPAÑIA INMOBILIARIA Y DE INVERSIONES S.A. |
ES0184920033
| CIA INMO Y INVS/AC | 800.053 | 27/06/1990 | 1.000,00 | ESP |