Instrucción Operativa Nº 140/2014 La Circular 1/2001, prevé el establecimiento de rangos estáticos y dinámicos de cada valor que se negocie en el Sistema de Interconexión Bursátil. En atención a ello, la Comisión de Contratación y Supervisión ha establecido los rangos que se indican a continuación, aplicables a partir del próximo día 1 de noviembre de 2014, inclusive: RANGOS CONTRATACIÓN GENERAL Valor A3M ABE ABG ABG.P ACS ACX ADV ADZ AIR AISA ALB ALM AMP AMS ANA APAM APPS AXIA AZK BAY BBVA BDL BIO BKIA BKT BME CABK CAF CBAV CDR CIE CLEO COL CPL DGI DIA DIN EBRO ECR Nombre ATRESMEDIA CORPORACION DE MEDIOS DE COMUNICACION, S.A. ABERTIS INFRAESTRUCTURAS, S.A. ABENGOA, S.A. ABENGOA CLASE "B" ACS,ACTIVIDADES DE CONSTRUCCION Y SERVICIOS,S.A. ACERINOX, S.A. ADVEO GROUP INTERNATIONAL, S.A. ADOLFO DOMINGUEZ, S.A. AIRBUS GROUP, NV. FERGO AISA, S.A. CORPORACION FINANCIERA ALBA S.A. ALMIRALL S.A. AMPER, S.A. AMADEUS IT HOLDING, S.A. ACCIONA, S.A. APERAM, SOCIETE ANONYME APPLUS SERVICES, S.A. AXIA REAL ESTATE SOCIMI, S.A. AZKOYEN, S.A. BAYER, A.G. BANCO BILBAO VIZCAYA ARGENTARIA, S.A. BARON DE LEY,S.A. BIOSEARCH, S.A. BANKIA, S.A. BANKINTER, S.A. BOLSAS Y MERCADOS ESPAÑOLES, SOCIEDAD HOLDING DE MERCADOS Y SIST. FINANC. S.A. CAIXABANK, S.A. CONSTRUCCIONES Y AUXILIAR DE FERROCARRILES, S.A. CLINICA BAVIERA S.A. CODERE S.A. CIE AUTOMOTIVE, S.A. COMPAÑIA LEVANTINA EDIFICACION DE OBRAS PUBLICAS, S.A., CLEOP INMOBILIARIA COLONIAL, S.A. CEMENTOS PORTLAND VALDERRIVAS S.A. DOGI INTERNATIONAL FABRICS, S.A. DISTRIBUIDORA INTERNACIONAL DE ALIMENTACION, S.A. DINAMIA CAPITAL PRIVADO, SOCIEDAD DE CAPITAL RIESGO, S.A. EBRO FOODS, S.A. ERCROS, S.A. % Rango Estático % Rango Dinámico 7,0 5,0 7,0 7,0 7,0 5,0 8,0 10,0 6,0 50,0 7,0 6,0 10,0 6,0 7,0 10,0 8,0 8,0 10,0 8,0 6,0 8,0 10,0 8,0 7,0 3,0 2,0 2,5 2,5 2,5 2,5 4,0 8,0 3,0 50,0 4,0 3,0 8,0 2,5 2,0 8,0 4,0 4,0 8,0 4,0 2,5 4,0 8,0 4,0 2,5 5,0 2,5 6,0 7,0 6,0 10,0 8,0 2,5 3,0 4,0 8,0 4,0 10,0 8,0 8,0 8,0 10,0 7,0 8,0 6,0 8,0 8,0 8,0 10,0 3,0 4,0 2,0 8,0 Valor EDR EGPW ELE ENC ENG ENO EZE FAE FCC FDR FER FRS FUN GALQ GAM GAS GCO GRF GRF.P GSJ HIS IAG IBE IBG IDO IDR INY ITX JAZ LBK LOG LGT LRE MAP MCM MDF MEL MRL MTB MTF MTS NAT NEA NHH NTC NYE OHL OLE PAC POP PRM PRS PSG PVA QBT Nombre EDREAMS ODIGEO, S.A. ENEL GREEN POWER S.P.A. ENDESA,S.A. ENCE ENERGIA Y CELULOSA, S.A. ENAGAS,S.A. ELECNOR S.A. GRUPO EZENTIS, S.A. FAES FARMA, S.A. ACCIONES FOMENTO DE CONSTRUCCIONES Y CONTRATAS, S.A. FLUIDRA, S.A. FERROVIAL, S.A. FERSA ENERGIAS RENOVABLES, S.A. FUNESPAÑA,S.A. GENERAL DE ALQUILER DE MAQUINARIA S.A. GAMESA CORPORACION TECNOLOGICA, S.A. GAS NATURAL SDG GRUPO CATALANA OCCIDENTE, S.A. GRIFOLS S.A. GRIFOLS S.A. CLASE B GRUPO EMPRESARIAL SAN JOSE, S.A. HISPANIA ACTIVOS INMOBILIARIOS, S. A. INTERNATIONAL CONSOLIDATED AIRLINES GROUP, S.A. ACCIONES IBERDROLA IBERPAPEL GESTION,S.A. INDO INTERNACIONAL, S.A. INDRA SISTEMAS S.A., SERIE A INYPSA, INFORMES Y PROYECTOS, S.A. INDUSTRIA DE DISEÑO TEXTIL S.A. INDITEXJAZZTEL PLC LIBERBANK, S.A. COMPAÑÍA DE DISTRIBUCIÓN INTEGRAL LOGISTA HOLDINGS S.A. LINGOTES ESPECIALES, S.A. LAR ESPAÑA REAL ESTATE, SOCIMI, S.A. MAPFRE, S.A. MIQUEL Y COSTAS & MIQUEL, S.A. DURO FELGUERA, S.A. MELIA HOTELS INTERNATIONAL, S.A. MERLIN PROPERTIES SOCIMI, S.A. MONTEBALITO, S.A. MARTINSA FADESA, S.A. ARCELORMITTAL NATRA,S.A. NICOLAS CORREA NH HOTELES, S.A. NATRACEUTICAL, S.A. NYESA VALORES CORPORACION S.A. OBRASCON HUARTE LAIN, S.A. DEOLEO, S.A. PAPELES Y CARTONES DE EUROPA, S.A. BANCO POPULAR ESPAÑOL S.A. PRIM, S.A. PROMOTORA DE INFORMACIONES S.A. PRISA PROSEGUR PESCANOVA,S.A. QUABIT INMOBILIARIA, S.A. % Rango Estático % Rango Dinámico 10,0 10,0 5,0 7,0 5,0 8,0 8,0 8,0 7,0 8,0 6,0 10,0 10,0 15,0 8,0 5,0 7,0 5,0 8,0 5,0 8,0 7,0 6,0 8,0 10,0 6,0 10,0 6,0 7,0 10,0 8,0 10,0 8,0 6,0 8,0 8,0 7,0 8,0 8,0 10,0 6,0 8,0 10,0 8,0 10,0 15,0 6,0 10,0 8,0 7,0 8,0 15,0 7,0 8,0 20,0 8,0 8,0 2,0 3,0 2,0 4,0 8,0 4,0 2,5 4,0 2,5 10,0 8,0 15,0 2,5 2,0 4,0 2,0 4,0 4,0 4,0 3,0 3,0 4,0 8,0 2,5 8,0 2,0 3,0 8,0 4,0 8,0 4,0 3,0 8,0 4,0 3,5 4,0 4,0 8,0 2,0 4,0 8,0 3,5 10,0 15,0 2,5 10,0 4,0 2,5 4,0 15,0 3,0 4,0 20,0 Valor R4 RDM REE REN REP REY RIO RLIA ROVI SAB SAN SCYR SED SLR SNC SPS TEC TEF TL5 TRE TRG TUB TVX UBS URA VER VID VIS VOC ZEL ZOT Nombre % Rango Estático % Rango Dinámico RENTA 4 BANCO, S.A. RENO DE MEDICI,S.P.A. SERIE A RED ELECTRICA CORPORACION, S.A. RENTA CORPORACION REAL ESTATE, S.A. REPSOL, S.A. REYAL URBIS S.A. BODEGAS RIOJANAS,S.A. REALIA BUSINESS, S.A. LABORATORIOS FARMACEUTICOS ROVI S.A. BANCO DE SABADELL BANCO SANTANDER S.A. SACYR, S.A. LA SEDA DE BARCELONA, S.A. SERIE B SOLARIA ENERGIA Y MEDIO AMBIENTE, S.A. SNIACE SERVICE POINT SOLUTIONS, S.A. TECNOCOM, TELECOMUNICACIONES Y ENERGIA TELEFONICA,S.A. MEDIASET ESPAÐA COMUNICACION, S.A. TECNICAS REUNIDAS S.A. TUBOS REUNIDOS S.A. TUBACEX, S.A. GRUPO TAVEX, S.A. URBAS GRUPO FINANCIERO, S.A. ACCIONES URALITA, S.A. VERTICE TRESCIENTOS SESENTA GRADOS, S.A. VIDRALA, S.A. VISCOFAN, S.A. VOCENTO ZELTIA,S.A. ZARDOYA OTIS, S.A. 8,0 15,0 5,0 10,0 6,0 8,0 10,0 8,0 8,0 6,0 6,0 7,0 10,0 5,0 12,0 25,0 8,0 5,0 7,0 7,0 8,0 7,0 15,0 25,0 10,0 25,0 5,0 6,0 10,0 8,0 6,0 4,0 15,0 2,0 8,0 1,5 8,0 8,0 4,0 4,0 2,5 2,5 3,0 8,0 4,0 12,0 25,0 4,0 2,5 2,5 2,5 4,0 4,0 15,0 25,0 8,0 25,0 4,0 3,0 8,0 4,0 3,0 RANGOS FIXING Valor Nombre % Rango Estático % Rango Dinámico CGI COMPAÑIA GENERAL DE INVERSIONES S.A. SICAV 8,0 0,0 CUN CIA. VINICOLA DEL NORTE DE ESPAÑA,S.A. 8,0 0,0 ISUR INMOBILIARIA DEL SUR S.A. 8,0 0,0 RDM.Q RENO DE MEDICI, CONVERTIBLES EN ACCS. SERIE A 10,0 0,0 STG SOTOGRANDE, S.A. 8,0 0,0 TST TESTA INMUEBLES EN RENTA S.A. 8,0 0,0 RANGOS ETF Valor 2INVE AHJ ASI BBVAB BBVAE BBVAI BBVAL BNK BRAS BSX CEC CRB Nombre LYXOR UCITS ETF IBEX® 35 DOBLE INVERSO DIARIO LYXOR ETF FTSE EPRA/NAREIT ASIA EX-JAPAN LYXOR ETF CHINA ENTERPRISE (HSCEI) ACCION BRASIL ETF, FI COTIZADO (EN LIQUIDACION) ACCION DJ EUROSTOXX50 ETF,F.I. ACCION IBEX 35 ETF F.I. ACCIÓN LATAM TOP ETF FI (EN LIQUIDACION) LYXOR ETF STOXX EUROPE 600 BANKS LYXOR UCITS ETF BRASIL LYXOR ETF EUROSTOXX 50 DAILY SHORT LYXOR ETF EASTERN EUROPE (CECE EUR) LYXOR ETF COMMODITIES THOMSON REUTERS/JEFFERIES CRB TR LYXOR ETF COMMODITIES THOMSON REUTERS/JEFFERIES CRB EXCRN ENERGY TR CRP LYXOR ETF EURO CORPORATE BOND CSH LYXOR ETF EURO CASH DJE LYXOR ETF DOW JONES INDUSTRIAL AVERAGE DXD3E DB X-TRACKERS EURO STOXX SELECT DIVIDEND 30 UCITS ETF DXDAX DB X-TRACKERS DAX UCITS ETF DXEL2 DB X-TRACKERS EURO STOXX 50® LEVERAGED DAILY UCITS ETF DXESC DB X-TRACKERS EURO STOXX 50® UCITS ETF 1C DXESX DB X-TRACKERS EURO STOXX 50® UCITS ETF 1D DXIBD DB X-TRACKERS IBEX 35® UCITS ETF 1D DXIBX DB X-TRACKERS IBEX 35® UCITS ETF 1C DXLDX DB X-TRACKERS LEVDAX® DAILY UCITS ETF DXLPE DB X-TRACKERS LPX MM® PRIVATE EQUITY UCITS ETF DXMAS DB X-TRACKERS MSCI EM ASIA TRN INDEX UCITS ETF DXMBR DB X-TRACKERS MSCI BRAZIL INDEX UCITS ETF DXMEM DB X-TRACKERS MSCI EMERGING MARKETS INDEX UCITS ETF DXMEX DB X-TRACKERS MSCI MEXICO INDEX UCITS ETF DXMJP DB X-TRACKERS MSCI JAPAN INDEX UCITS ETF DXMLA DB X-TRACKERS MSCI EM LATAM INDEX UCITS ETF DXMRC DB X-TRACKERS MSCI RUSSIA CAPPED INDEX UCITS ETF DXMWO DB X-TRACKERS MSCI WORLD INDEX UCITS ETF DXS7R DB X-TRACKERS STOXX® EUROPE 600 BANKS UCITS ETF DB X-TRACKERS STOXX® EUROPE 600 BANKS SHORT DAILY UCITS DXS7S ETF DXSD2 DB X-TRACKERS SHORTDAX® x2 DAILY UCITS ETF DXSDX DB X-TRACKERS SHORTDAX® DAILY UCITS ETF DXSL2 DB X-TRACKERS S&P 500 2x LEVERAGED DAILY UCITS ETF DXSPS DB X-TRACKERS S&P 500 INVERSE DAILY UCITS ETF DXSPX DB X-TRACKERS S&P 500 UCITS ETF DXSSX DB X-TRACKERS EURO STOXX 50® SHORT DAILY UCITS ETF DXSX6 DB X-TRACKERS STOXX® EUROPE 600 UCITS ETF DXT21 DB X-TRACKERS S&P 500 2x INVERSE DAILY UCITS ETF DXX25 DB X-TRACKERS FTSE CHINA 25 UCITS ETF ENER LYXOR ETF NEW ENERGY ES10 LYXOR UCITS ETF BONO 10Y MTS SPAIN GOVERNMENT BOND GWT LYXOR ETF MSCI EMU GROWTH HLT LYXOR ETF STOXX EUROPE 600 HEALTH CARE IBEXA LYXOR UCITS ETF IBEX® 35 DOBLE APALANCADO DIARIO C-EUR IBXM LYXOR UCITS ETF IBEX® MID INR LYXOR UCITS ETF MSCI INDIA INVEX LYXOR UCITS ETF IBEX 35 INVERSO % Rango Estático % Rango Dinámico 10,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 8,0 4,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 8,0 4,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 10,0 8,0 8,0 8,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 Valor JPN LEM LEV LTM LYXIB MAA MEU MMS MSE MUA OIL RUSS SEL SP5 TEL UST UTI VALU WAT WLD Nombre % Rango Estático % Rango Dinámico LYXOR UCITS ETF JAPAN (TOPIX) LYXOR ETF MSCI EMERGING MARKETS LYXOR ETF EURO STOXX 50 DAILY LEVERAGE LYXOR ETF MSCI EM LATIN AMERICA LYXOR ETF IBEX 35 LYXOR ETF EUROMTS HIGHEST RATED MACRO-WEIGHTED GOVT BONDS LYXOR ETF MSCI EUROPE LYXOR ETF MSCI EMU SMALL CAP LYXOR UCITS ETF EURO STOXX 50 LYXOR ETF FTSE EPRA/NAREIT UNITED STATES LYXOR ETF STOXX EUROPE 600 OIL & GAS LYXOR ETF RUSSIA (DOW JONES RUSSIA GDR) LYXOR ETF STOXX EUROPE SELECT DIVIDEND 30 LYXOR ETF S&P 500 CLASE A LYXOR ETF STOXX EUROPE 600 TELECOMUNICATIONS LYXOR ETF NASDAQ-100 LYXOR ETF STOXX EUROPE 600 UTILITIES LYXOR ETF MSCI EMU VALUE LYXOR ETF WORLD WATER LYXOR ETF MSCI WORLD 8,0 8,0 8,0 8,0 8,0 4,0 4,0 4,0 4,0 4,0 8,0 4,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 8,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 4,0 RANGOS DERECHOS DE SUSCRIPCIÓN Los derechos de suscripción sólo van a llevar asociado rango estático que variará en función de su precio de referencia, de tal modo que: - Si el precio de referencia del derecho de suscripción es igual o inferior a 0,10 €, el rango estático será del 500%. - Si el precio de referencia del derecho de suscripción es superior a 0,10 € el rango estático será del 100%. Madrid, 30 de octubre de 2014 Comisión de Contratación y Supervisión COORDINADORA Fdo: Beatriz Alonso-Majagranzas Cenamor
© Copyright 2024