Effective As Of Changes Indices Concerned
June 2026
06/09/2026 POZAVAROVALNICA SAVA
SI0021110513
Net-Dividend Markdown: 2.3375 EUR

SETX NTR EUR
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
06/09/2026 FLUGHAFEN WIEN AG
AT00000VIE62
Gross-Dividend Markdown: 1.65 EUR

ATX PC8 TR
06/09/2026 FLUGHAFEN WIEN AG
AT00000VIE62
Net-Dividend Markdown: 1.19625 EUR

ATX PC8 NTR
06/09/2026 POZAVAROVALNICA SAVA
SI0021110513
Gross-Dividend Markdown: 2.75 EUR

SETX TR EUR
EETX 10/40 TR EUR
EETX 10/40 TR USD
06/09/2026 OPUS
HU0000110226
Net-Dividend Markdown: 20.11 HUF

CECE NTR EUR
CECE NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
06/09/2026 OPUS
HU0000110226
Gross-Dividend Markdown: 20.11 HUF

CECE TR EUR
CECE TR USD
CECE EUR DVP
EETX 10/40 TR EUR
EETX 10/40 TR USD
06/08/2026 OMV AG
AT0000743059
Net-Dividend Markdown: 3.19 EUR

ATX NTR
ATX TD NTR
ATX DSTB
ATX TD DSTB
ATX PC8 NTR
ATX FIVE NTR
06/08/2026 OMV AG
AT0000743059
Gross-Dividend Markdown: 4.4 EUR

ATX TR
ATX TD TR
ATX PC8 TR
ATX FIVE TR
06/08/2026 OMV AG
AT0000743059
Special Dividend: 1.25 EUR

NTX EUR
ATX FIVE
ATX PRIME
ATX
WBI
ATX FND
ATX BI
ATX TD
ATX PC8
06/08/2026 POLYTEC HOLDING AG
AT0000A00XX9
Gross-Dividend Markdown: 0.2 EUR

ATX PC8 TR
ATX FMLY TR
06/08/2026 OMV AG
AT0000743059
Gross-Dividend Markdown: 3.15 EUR

ATX DVP
06/08/2026 POLYTEC HOLDING AG
AT0000A00XX9
Net-Dividend Markdown: 0.145 EUR

ATX PC8 NTR
ATX FMLY NTR
06/05/2026 PHILIP MORRIS
CS0008418869
Net-Dividend Markdown: 935 CZK

CECE NTR EUR
CECE NTR USD
CECE TD NTR EUR
CECE TD NTR USD
06/05/2026 PHILIP MORRIS
CS0008418869
Gross-Dividend Markdown: 1,100 CZK

CECE TR EUR
CECE TR USD
CECE EUR DVP
CECE TD TR EUR
CECE TD TR USD
06/04/2026 CEZ
CZ0005112300
Gross-Dividend Markdown: 42 CZK

CECE TR EUR
CECE TR USD
CECE EUR DVP
EETX 10/40 TR EUR
EETX 10/40 TR USD
06/04/2026 LONDONMETRIC PROPERTY
GB00B4WFW713
Gross-Dividend Markdown: 0.038188 EUR

ROSINGER INDEX EUR
06/04/2026 CEZ
CZ0005112300
Net-Dividend Markdown: 35.7 CZK

CECE NTR EUR
CECE NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
06/03/2026 HIDROELECTRICA
RO4Q0Z5RO1B6
Gross-Dividend Markdown: 7.348365 RON

SETX TR EUR
EETX 10/40 TR EUR
EETX 10/40 TR USD
ROTX TR EUR
ROTX TR RON
06/03/2026 RICHTER GEDEON
HU0000123096
Net-Dividend Markdown: 655.4545 HUF

CECE NTR EUR
CECE NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
06/03/2026 HRVATSKI TELEKOM
HRHT00RA0005
Net-Dividend Markdown: 1.521 EUR

SETX NTR EUR
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
06/03/2026 RICHTER GEDEON
HU0000123096
Special Dividend: 127.813628 HUF

NTX EUR
HTX EUR
CECE EUR
HTX HUF
HTX USD
CECE USD
CECEXT EUR
CECEXT USD
CECE HCA EUR
CECE SRI EUR
CECE FND EUR
CECE FND USD
EETX 10/40 USD
EETX 10/40 EUR
CECE RESH EUR
06/03/2026 HIDROELECTRICA
RO4Q0Z5RO1B6
Net-Dividend Markdown: 6.172627 RON

SETX NTR EUR
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
ROTX NTR EUR
ROTX NTR RON
06/03/2026 HRVATSKI TELEKOM
HRHT00RA0005
Gross-Dividend Markdown: 1.69 EUR

SETX TR EUR
EETX 10/40 TR EUR
EETX 10/40 TR USD
06/03/2026 RICHTER GEDEON
HU0000123096
Gross-Dividend Markdown: 655.4545 HUF

CECE TR EUR
CECE TR USD
EETX 10/40 TR EUR
EETX 10/40 TR USD
06/03/2026 RICHTER GEDEON
HU0000123096
Gross-Dividend Markdown: 527.640872 HUF

CECE EUR DVP
06/02/2026 ELECTRICA
ROELECACNOR5
Net-Dividend Markdown: 0.24738 RON

ROTX NTR EUR
ROTX NTR RON
06/02/2026 ELECTRICA
ROELECACNOR5
Gross-Dividend Markdown: 0.2945 RON

ROTX TR EUR
ROTX TR RON
06/01/2026 FACC AG
AT00000FACC2
Net-Dividend Markdown: 0.0725 EUR

ATX PC8 NTR
06/01/2026 FACC AG
AT00000FACC2
Gross-Dividend Markdown: 0.1 EUR

ATX PC8 TR
May 2026
05/28/2026 RHI MAGNESITA
NL0012650360
Gross-Dividend Markdown: 1.2 EUR

ATX TD TR
ATX PC8 TR
05/28/2026 RHI MAGNESITA
NL0012650360
Net-Dividend Markdown: 0.87 EUR

ATX TD NTR
ATX TD DSTB
ATX PC8 NTR
05/26/2026 VIENNA INSURANCE GROUP AG
AT0000908504
Gross-Dividend Markdown: 41.956825 CZK

CECE TR EUR
CECE TR USD
CECE EUR DVP
EETX 10/40 TR EUR
EETX 10/40 TR USD
05/26/2026 VIENNA INSURANCE GROUP AG
AT0000908504
Net-Dividend Markdown: 35.663301 CZK

CECE NTR EUR
CECE NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
05/26/2026 VIENNA INSURANCE GROUP AG
AT0000908504
Gross-Dividend Markdown: 1.73 EUR

ATX TR
ATX DVP
ATX PC8 TR
05/26/2026 VIENNA INSURANCE GROUP AG
AT0000908504
Net-Dividend Markdown: 1.25425 EUR

ATX NTR
ATX DSTB
ATX PC8 NTR
05/21/2026 OTP BANK
HU0000061726
Net-Dividend Markdown: 1,129.084912 HUF

CECE NTR EUR
CECE NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
05/21/2026 OTP BANK
HU0000061726
Gross-Dividend Markdown: 1,129.084912 HUF

CECE TR EUR
CECE TR USD
CECE EUR DVP
EETX 10/40 TR EUR
EETX 10/40 TR USD
05/19/2026 ONE UNITED PROPERTIES
ROJ8YZPDHWW8
Net-Dividend Markdown: 0.3696 RON

ROTX NTR EUR
ROTX NTR RON
05/19/2026 ONE UNITED PROPERTIES
ROJ8YZPDHWW8
Gross-Dividend Markdown: 0.44 RON

ROTX TR EUR
ROTX TR RON
05/18/2026 BRD-GROUPE SG
ROBRDBACNOR2
Net-Dividend Markdown: 0.903168 RON

SETX NTR EUR
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
ROTX NTR EUR
ROTX NTR RON
05/18/2026 BRD-GROUPE SG
ROBRDBACNOR2
Gross-Dividend Markdown: 1.0752 RON

SETX TR EUR
EETX 10/40 TR EUR
EETX 10/40 TR USD
ROTX TR EUR
ROTX TR RON
05/14/2026 OMV PETROM
ROSNPPACNOR9
Special Dividend: 0.0112 RON

NTX EUR
SETX EUR
SETX USD
ROTX RON
ROTX EUR
ROTX USD
CECEXT EUR
CECEXT USD
CECE OIL EUR
EETX 10/40 USD
EETX 10/40 EUR
CECE CMDTY EUR
05/14/2026 OMV PETROM
ROSNPPACNOR9
Net-Dividend Markdown: 0.048552 RON

SETX NTR EUR
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
ROTX NTR EUR
ROTX NTR RON
05/14/2026 OMV PETROM
ROSNPPACNOR9
Gross-Dividend Markdown: 0.0578 RON

SETX TR EUR
EETX 10/40 TR EUR
EETX 10/40 TR USD
ROTX TR EUR
ROTX TR RON
05/12/2026 ERSTE BANK POLSKA
PLBZ00000044
Net-Dividend Markdown: 40.4838 PLN

CECE NTR EUR
CECE NTR USD
CECE TD NTR EUR
CECE TD NTR USD
EETX 10/40 NTR EUR
EETX 10/40 NTR USD
05/12/2026 WIENERBERGER AG
AT0000831706
Net-Dividend Markdown: 0.68875 EUR

ATX NTR
ATX DSTB
ATX PC8 NTR
05/12/2026 WIENERBERGER AG
AT0000831706
Gross-Dividend Markdown: 0.95 EUR

ATX TR
ATX DVP
ATX PC8 TR
05/12/2026 ERSTE BANK POLSKA
PLBZ00000044
Gross-Dividend Markdown: 49.98 PLN

CECE TR EUR
CECE TR USD
CECE EUR DVP
CECE TD TR EUR
CECE TD TR USD
EETX 10/40 TR EUR
EETX 10/40 TR USD
05/08/2026 CA IMMOBILIEN ANLAGEN AG
AT0000641352
Net-Dividend Markdown: 0.6525 EUR

ATX NTR
ATX TD NTR
ATX DSTB
ATX TD DSTB
ATX PC8 NTR
05/08/2026 MAGYAR TELEKOM
HU0000073507
Gross-Dividend Markdown: 154 HUF

CECE TR EUR
CECE TR USD
CECE EUR DVP
CECE TD TR EUR
CECE TD TR USD
EETX 10/40 TR EUR
EETX 10/40 TR USD