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You are here :   HomeREGULATION > Notices and announcements
REGULATION
Notices and announcements  
Year :  
Number Date Object
57/13 20/05/2013 To ordinary dividend payment of WAFA ASSURANCE security
56/13 17/05/2013 To ordinary dividend payment of BMCI security
55/13 10/05/2013 To optional dividend payment of ATTIJARIWAFA BANK security
53/13 08/05/2013 To ordinary and exceptional dividends payment of MINIERE TOUISSIT security
52/13 07/05/2013 The delisting of «SOFAC» security
50/13 06/05/2013 Payment of dividend of ITISSALAT AL-MAGHRIB security
49/13 02/05/2013 The volume requirements applied to share repurchase at the STOCK EXCHANGE
48/13 02/05/2013 Payment of dividend of LAFARGE CIMENTS security
47/13 26/04/2013 The program of repurchasing ITISSALAT AL-MAGHRIB (IAM) SHARES, with the view of making a market a program
46/13 17/04/2013 Resumption of quotation of COSUMAR 'CSR' security
45/13 15/04/2013 Stoppage of quotation of COSUMAR 'CSR' security
44/13 09/04/2013 The volume requirements applied to share repurchase at the stock exchange
43/13 05/04/2013 Payment of dividend of MAGHREB OXYGENE SECURITY
42/13 01/04/2013 The volume requirements applied to share repurchase at the stock exchange
41/13 29/03/2013 Dividend payment of AFRIQUIA GAZ security
37/13 11/03/2013 The resumption of quotation of DIAC SALAF security
35/13 08/03/2013 The resumption of quotation of CENTRALE LAITIERE (CLT) security
34/13 04/03/2013 The stoppage of quotation of DIAC SALAF ‘DIS’ security
33/13 04/03/2013 The volume requirements applied to share repurchase at the stock exchange
32/13 25/02/2013 The order stop
31/13 25/02/2013 The use of certain types of orders
30/13 25/02/2013 The “market order”
29/13 25/02/2013 The order book purge
28/13 22/02/2013 The stoppage of quotation of CENTRALE LAITIERE (CLT) security
27/13 22/02/2013 The resumption of quotation of DIAC SALAF security
26/13 21/02/2013 Program of repurchasing SNEP (SNP) shares, with the view of making a market a program
25/13 19/02/2013 the main provisions of the public repurchase offer on SOFAC securities
24/13 19/02/2013 Stoppage of quotation of DIAC SALAF ‘DIS’ security
23/13 18/02/2013 Resumption of quotation of SOFAC (SOF) security
22/13 12/02/2013 The stoppage of quotation of DIAC SALAF ‘DIS’ security
21/13 06/02/2013 The stoppage of quotation of SOFAC (SOF) security
20/13 05/02/2013 The stoppage of quotation of DIAC SALAF ‘DIS’ SECURITY
19/13 01/02/2013 The volume requirements applied to share repurchase at the stock exchange
18/13 31/01/2013 The stoppage of quotation of SOFAC ‘SOF’ SECURITY
17/13 28/01/2013 The stoppage of quotation of DIAC SALAF 'DIS'
16/13 28/01/2013 The disclosed quantity of an order
15/13 28/01/2013 The change of trading schedule
14/13 28/01/2013 Control of orders by brockerage companies
13/13 28/01/2013 Tick sizes
12/13 28/01/2013 The reservation process of the listed securities.
11/13 28/01/2013 The price variation thresholds of the listed securities
10/13 17/01/2013 The stoppage of quotation of DIAC SALAF ‘DIS’ security
09/13 10/01/2013 The stoppage of quotation of DIAC SALAF ‘DIS’ security
08/13 10/01/2013 The program of repurchasing SAMIR (SAM) shares, with the view of making a market a program
07/13 07/01/2013 To methods of calculating the modalities in practice to carry out the animation activity
06/13 07/01/2013 AUTO HALL capital reduction by cancellation of shares
05/13 07/01/2013 To updating block minimum size of listed securities
04/13 07/01/2013 The quotation groups of listed securities
03/13 07/01/2013 The updating of the quotation modes of listed securities
02/13 02/01/2013 The biannual revision of amounts corresponding to the initial contributions
01/13 02/01/2013 THe volume requirements applied to share repurchase at the stock exchange
169/12 28/12/2012 The book building paying-off the occasion of the delisting of BRANOMA
168/12 19/12/2012 The intial public offering of the subordinated bonds of bmce bank, tranche (A) and (B)
166/12 10/12/2012 Non working days of the year 2013
165/12 07/12/2012 The delisting of «BRANOMA» security
164/12 03/12/2012 The volume requirements applied to share repurchase at the stock exchange
161/12 19/11/2012 The resumption of quotation of ENNAKL security
160/12 12/11/2012 The stoppage of quotation of ENNAKL ‘NAKL’ security
159/12 09/11/2012 The issue by ALLIANCES DEVELOPPEMENT IMMOBILIER of a bond equity exchangeable into shares
157/12 05/11/2012 The stoppage of quotation of ENNAKL (NAKL) security
156/12 01/11/2012 The volume requirements applied to share repurchase at the stock exchange
154/12 24/10/2012 The Compulsory Public Repurchase offer initiated by SOCIETE DES BRASSERIES DU MAROC, targeting BRANOMA’'s stock exchange floating to be removed
153/12 09/10/2012 The Resumption of quotation of DIAC SALAF Security
152/12 08/10/2012 The stoppage of quotation of DIAC SALAF ‘DIS’ security
151/12 05/10/2012 THE MAIN PROVISIONS OF BRANOMA SECURITIES PUBLIC REPURCHASE OFFER
150/12 05/10/2012 The Resumption of quotation of BRANOMA (BNM) SECURITY
149/12 01/10/2012 The volume requirements applied to share reprurchase at the Stock Exchange
148/12 01/10/2012 The stoppage of quotation of DIAC SALAF ‘DIS’ Security
147/12 24/09/2012 THE STOPPAGE OF QUOTATION OF BRANOMA ‘BNM’ SECURITY
146/12 24/09/2012 THE STOPPAGE OF QUOTATION OF DIAC SALAF ‘DIS’ SECURITY
145/12 18/09/2012 THE STOPPAGE OF QUOTATION OF BRANOMA ‘BNM’ SECURITY
144/12 17/09/2012 THE STOPPAGE OF QUOTATION OF DIAC SALAF ‘DIS’ SECURITY
143/12 11/09/2012 THE STOPPAGE OF QUOTATION OF BRANOMA ‘BNM’ SECURITY
142/12 11/09/2012 DIVIDEND PAYMENT AND THE ASSIMILATION OF SHARES OF CARTIER SAADA ‘CRS’ SECURITY
141/12 10/09/2012 THE STOPPAGE OF QUOTATION OF DIAC SALAF SECURITY
140/12 07/09/2012 PAYMENT OF DIVIDEND OF S.M MONETIQUE ‘S2M’ SECURITY
139/12 03/09/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
137/12 27/08/2012 PAYMENT OF DIVIDEND OF ALLIANCES ‘ADI’ SECURITY
136/12 27/08/2012 PAYMENT OF DIVIDEND OF UNIMER ‘UMR’ SECURITY
135/12 13/08/2012 TRADING HOURS MODIFICATION
134/12 07/08/2012 PAYMENT OF DIVIDEND OF CTM SECURITY
133/12 07/08/2012 EXCEPTIONAL DIVIDEND PAYMENT OF CENTRALE LAITIERE SECURITY
132/12 06/08/2012 THE PUBLIC OFFERING OF ALLIANCES DARNA BONDS,TRANCHES (A) AND (B)
131/12 02/08/2012 PAYMENT OF DIVIDEND OF DOUJA PROM ADDOHA SECURITY
130/12 02/08/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
129/12 27/07/2012 TO EXCEPTIONAL DIVIDEND PAYMENT OF LAFARGE CIMENTS (LAC) SECURITY
128/12 27/07/2012 THE ANNUAL RECLASSIFICATION OF THE EQUITY SECURITIES IN THE COMPARTMENTS OF THE CASABLANCA STOCK EXCHANGE OFFICIAL LIST
127/12 25/07/2012 THE RISMA CAPITAL INCREASE THROUGH THE REDEMPTION OF ORA BONDS IN NEW RISMA SHARES
126/12 18/07/2012 THE UPDATE OF THE PRACTICAL ARRANGEMENTS FOR EXERCISING THE ANIMATION ACTIVITY OF S2M SECURITIES
125/12 16/07/2012 QUOTATION SCHEDULE
124/12 10/07/2012 PAYMENT OF DIVIDEND OF CGI SECURITY
123/12 09/07/2012 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
122/12 09/07/2012 THE QUOTATION GROUPS OF LISTED SECURITIES
121/12 09/07/2012 THE UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
120/12 09/07/2012 PAYMENT OF DIVIDEND OF NEXANS MAROC SECURITY
119/12 09/07/2012 PAYMENT OF DIVIDEND OF PROMOPHARM SECURITY
118/12 06/07/2012 PAYMENT OF DIVIDEND OF ENNAKL SECURITY
117/12 06/07/2012 PAYMENT OF DIVIDEND OF SCE SECURITY
116/12 06/07/2012 PAYMENT OF DIVIDEND OF ATLANTA SECURITY
115/12 05/07/2012 PAYMENT OF DIVIDEND OF LYDEC SECURITY
114/12 03/07/2012 PAYMENT OF DIVIDEND OF COLORADO SECURITY
113/12 03/07/2012 PAYMENT OF DIVIDEND OF DARI COUSPATE SECURITY
112/12 03/07/2012 PAYMENT OF DIVIDEND OF AUTO HALL SECURITY
111/12 03/07/2012 PAYMENT OF DIVIDEND OF CENTRALE LAITIERE SECURITY
110/12 02/07/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
109/12 02/07/2012 THE BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
108/12 02/07/2012 THE EXCHANGE OF MICRODATA SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 25 (SPLIT)
107/12 29/06/2012 THE RESUMPTION OF QUOTATION OF CENTRALE LAITIERE ‘CLT’ SECURITY
106/12 28/06/2012 PAYMENT OF DIVIDEND OF ALUMINIUM DU MAROC SECURITY
105/12 28/06/2012 PAYMENT OF DIVIDEND OF MICRODATA SECURITY
104/12 28/06/2012 THE STOPPAGE OF QUOTATION OF CENTRALE LAITIERE SECURITY
102/12 27/06/2012 PAYMENT OF DIVIDEND OF CDM SECURITY
101/12 27/06/2012 PAYMENT OF DIVIDEND OF DELATTRE LEVIVIER MAROC SECURITY
100/12 27/06/2012 PAYMENT OF DIVIDEND OF DELTA HOLDING SECURITY
99/12 25/06/2012 THE MAIN FEATURES OF THE ANIMATION AGREEMENT REGARDING THE DARI COUSPATE SHARES
98/12 25/06/2012 PAYMENT OF DIVIDEND OF BALIMA SECURITY
97/12 25/06/2012 PAYMENT OF DIVIDEND OF MAROC LEASING SECURITY
96/12 25/06/2012 PAYMENT OF DIVIDEND OF REALIS. MECANIQUES SECURITY
95/12 21/06/2012 CAPITAL INCREASE IN CASH OF ATTIJARIWAFA BANK INTENDED FOR THE SALARIED EMPLOYEES OF ATTIJARIWAFA BANK GROUP
94/12 21/06/2012 PAYMENT OF DIVIDEND OF BRASSERIES DU MAROC SECURITY
93/12 21/06/2012 PAYMENT OF DIVIDEND OF BRANOMA SECURITY
92/12 20/06/2012 PAYMENT OF DIVIDEND OF BMCE BANK SECURITY
91/12 19/06/2012 THE INTIAL PUBLIC OFFERING OF CIMENTS DE L’ATLAS CO., LISTED TRANCHE (B) and (E)
90/12 18/06/2012 PAYMENT OF DIVIDEND OF AUTO NEJMA SECURITY
89/12 15/06/2012 PAYMENT OF DIVIDEND OF DISWAY SECURITY
88/12 15/06/2012 PAYMENT OF DIVIDEND AND THE ASSIMILATION OF SHARES
87/12 14/06/2012 PAYMENT OF DIVIDEND OF FENIE BROSSETTE SECURITY
86/12 14/06/2012 PAYMENT OF DIVIDEND OF MAGHREBAIL SECURITY
85/12 14/06/2012 PAYMENT OF DIVIDEND OF SALAFIN SECURITY
84/12 12/06/2012 PAYMENT OF DIVIDEND AND THE ASSIMILATION OF SHARES OF ATTIJARIWAFA BANK SECURITY
83/12 12/06/2012 PAYMENT OF DIVIDEND OF ZELLIDJA SECURITY
82/12 12/06/2012 PAYMENT OF DIVIDEND OF CIH SECURITY
81/12 08/06/2012 THE RESUMPTION OF QUOTATION OF BCP SECURITY
80/12 07/06/2012 THE INTIAL PUBLIC OFFERING OF RESIDENCES DAR SAADA CO., (A) and (B) TRANCHE
79/12 07/06/2012 THE STOPPAGE OF QUOTATION OF BANQUE CENTRALE POPULAIRE ‘BCP’ SECURITY
78/12 07/06/2012 PAYMENT OF DIVIDENDOF SMI SECURITY
77/12 07/06/2012 PAYMENT OF DIVIDENDAND THE ASSIMILATION OF SHARES OF MANAGEM SECURITY
76/12 07/06/2012 PAYMENT OF DIVIDENDOF SOTHEMA SECURITY
75/12 05/06/2012 PAYMENT OF DIVIDEND OF AXA CREDIT SECURITY
74/12 04/06/2012 PAYMENT OF DIVIDEND OF JET ALU MAROC SECURITY
73/12 04/06/2012 PAYMENT OF DIVIDEND OF TASLIF SECURITY
72/12 01/06/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
71/12 31/05/2012 PAYMENT OF DIVIDEND OF EQDOM SECURITY
70/12 31/05/2012 PAYMENT OF DIVIDEND OF AFRIC INDUSTRIES SA SECURITY
69/12 29/05/2012 PAYMENT OF DIVIDEND OF HOLCIM MAROC SECURITY
68/12 29/05/2012 PAYMENT OF DIVIDEND OF AGMA LAHLOU-TAZI SECURITY
67/12 29/05/2012 PAYMENT OF DIVIDEND OF OULMES SECURITY
66/12 29/05/2012 PAYMENT OF DIVIDEND OF COSUMAR SECURITY
65/12 28/05/2012 PAYMENT OF DIVIDEND OF CIMENTS DU MAROC SECURITY
64/12 23/05/2012 PAYMENT OF DIVIDEND OF CNIA SAADA ASSURANCE SECURITY
63/12 22/05/2012 THE EARLY REDEMPTION OF RISMA BONDS REDEEMABLE IN SHARES
62/12 21/05/2012 PAYMENT OF DIVIDEND OF TTIMAR SECURITY
61/12 21/05/2012 PAYMENT OF DIVIDEND OF WAFA ASSURANCE SECURITY
60/12 16/05/2012 THE MODIFICATION OF THE CORPORATE NAME OF ACRED BY AXA ACRED
59/12 15/05/2012 PAYMENT OF DIVIDEND OF STROC INDUSTRIE SECURITY
57/12 11/05/2012 PROGRAM OF REPURCHASING BMCI (BCI) SHARES, WITH THE VIEW OF MAKING A MARKET A
56/12 08/05/2012 PAYMENT OF DIVIDEND OF BMCI SECURITY
55/12 08/05/2012 PAYMENT OF DIVIDEND OF MINIERE TOUISSIT SECURITY
54/12 08/05/2012 PAYMENT OF DIVIDEND OF ITISSALAT AL-MAGHRIB SECURITY
53/12 02/05/2012 PAYMENT OF DIVIDEND OF LAFARGE CIMENTS SECURITY
52/12 02/05/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
51/12 26/04/2012 PROGRAM OF REPURCHASING ITISSALAT AL-MAGHRIB (IAM) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
50/12 18/04/2012 THE INTIAL PUBLIC OFFERING OF CREDIT IMMOBILIER ET HOTELIER, (A) and (B) TRANCHE
49/12 18/04/2012 THE RESUMPTION OF QUOTATION BANQUE CENTRALE POPULAIRE (BCP) SECURITY
48/12 16/04/2012 TO CAPITAL INCREASE IN CASH OF ATTIJARIWAFA BANK INTENDED FOR THE SALARIED EMPLOYEES OF ATTIJARIWAFA BANK GROUP
47/12 13/04/2012 THE STOPPAGE OF QUOTATION OF BANQUE CENTRALE POPULAIRE ‘BCP’ SECURITY
46/12 09/04/2012 PAYMENT OF DIVIDEND OF MAGHREB OXYGENE SECURITY
45/12 06/04/2012 THE UPDATE OF THE PRACTICAL ARRANGEMENTS FOR EXERCISING THE ANIMATION ACTIVITY OF AFRIC INDUSTRIES S.A SECURITIES
44/12 05/04/2012 THE BLOCK MINIMUM SIZE OF AFRIC INDUSTRIES SA (AFI) SECURITY
43/12 02/04/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
42/12 02/04/2012 THE UPDATE OF THE PRACTICAL ARRANGEMENTS FOR EXERCISING THE ANIMATION ACTIVITY OF S2M SECURITIES
41/12 02/04/2012 PAYMENT OF DIVIDEND OF AFRIQUIA GAZ SECURITY
40/12 27/03/2012 THE BLOCK MINIMUM SIZE OF SOCIETE MAGHREBINE DE MONETIQUE (S2M) SECURITY
38/12 16/03/2012 THE RESUMPTION OF QUOTATION OF MED PAPER (MDP) SECURITY
37/12 12/03/2012 EXCEPTIONAL DIVIDEND PAYMENT OF S.M MONETIQUE ‘S2M’ SECURITY
36/12 09/03/2012 THE STOPPAGE OF QUOTATION OF MED PAPER ‘MED’ SECURITY
35/12 09/03/2012 THE BLOCK MINIMUM SIZE OF JET ALU MAROC SA (JALU) SECURITY
34/12 06/03/2012 THE PROGRAM OF REPURCHASING SALAFIN (SLF) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
32/12 05/03/2012 THE STOPPAGE OF QUOTATION OF MED PAPER ‘MED’ SECURITY
31/12 01/03/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
30/12 24/02/2012 RESUMPTION OF QUOTATION OF LESIEUR CRISTAL (LES) SECURITY
29/12 24/02/2012 THE MAIN PROVISIONS OF THE MANDATORY PUBLIC TENDER OFFER CONCERNING THE LESIEUR CRISTAL SECURITIES
28/12 20/02/2012 THE MANDATORY TENDER OFFER FOR THE SOFAC SHARES AT THE INITIATIVE OF THE CREDIT IMMOBILIER ET HOTELIER “CIH”
27/12 15/02/2012 THE STOPPAGE OF QUOTATION OF LESIEUR CRISTAL (LES) SECURITY
26/12 01/02/2012 THE VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
25/12 31/01/2012 THE PROGRAM OF REPURCHASING STOKVIS NORD AFRIQUE (SNA) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
24/12 30/01/2012 THE PROGRAM OF REPURCHASING ATLANTA (ATL) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
23/12 24/01/2012 THE RESUMPTION OF QUOTATION OF INVOLYS (INV) SECURITY
22/12 23/01/2012 THE RESUMPTION OF QUOTATION OF DIAC SALAF (DIS) SECURITY
21/12 23/01/2012 THE STOPPAGE OF QUOTATION OF INVOLYS ‘INV’ SECURITY
19/12 20/01/2012 THE RESUMPTION OF QUOTATION OF SOFAC (SOF) SECURITY
18/12 19/01/2012 RESUMPTION OF QUOTATION OF STOKVIS NORD-AFRIQUE (SNA) SECURITY
17/12 19/01/2012 STOPPAGE OF QUOTATION OF DIAC SALAF ‘DIS’ SECURITY
16/12 17/01/2012 STOPPAGE OF QUOTATION OF STOKVIS NORD-AFRIQUE ‘SNA’ SECURITY
12/12 12/01/2012 THE STOPPAGE OF QUOTATION OF DISWAY ‘DWAY’ SECURITY
11/12 10/01/2012 THE RESUMPTION OF QUOTATION OF HIGHTECH PAYMENT SYSTEMS ‘HPS’ SECURITY
10/12 10/01/2012 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
09/12 10/01/2012 THE QUOTATION GROUPS OF LISTED SECURITIES
08/12 10/01/2012 THE UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
07/12 06/01/2012 THE STOPPAGE OF QUOTATION OF HIGHTECH PAYMENT SYSTEMS ‘HPS’ SECURITY
06/12 05/01/2012 THE STOPPAGE OF QUOTATION OF SOFAC (SOF) SECURITY
05/12 04/01/2012 EXCEPTIONAL DIVIDEND PAYMENT OF LAFARGE CIMENTS (LAC) SECURITY
04/12 04/01/2012 THE CAPITAL DECREASE OF LAFARGE CIMENTS ‘LAC’ THROUGH THE REDUCTION OF THE NOMINAL VALUE FROM MAD 100 TO MAD 30
03/12 02/01/2012 THE INITIAL PUBLIC OFFERING OF BONDS OF THE IMMOLOG COMPANY, TRANCHES (A) and (B)
02/12 02/01/2012 THE BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
01/12 02/01/2012 VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
163/11 21/12/2011 THE BOOK BUILDING PAYING-OFF ON THE OCCASION OF THE DELISTING Of BERLIET MAROC
161/11 19/12/2011 THE BOOK BUILDING PAYING-OFF ON THE OCCASION OF THE DELISTING Of BERLIET MAROC
159/11 13/12/2011 BLOCK MINIMUM SIZE OF S.M MONETIQUE SECURITY
158/11 13/12/2011 BLOCK MINIMUM SIZE OF AFRIC INDUSTRIES SA SECURITY
153/11 05/12/2011 VOLUME REQUIREMENTS APPLIED TO SHARE REPURCHASE AT THE STOCK EXCHANGE
144/11 16/11/2011 INCREASE IN CAPITAL IN CASH BY “CREDIT IMMOBILIER ET HOTELIER” (CIH) CONCERNING 3,801,155 NEW SHARES AT THE PRICE OF 253 MADs EACH
146/11 10/11/2011 EXCEPTIONAL DIVIDEND PAYMENT OF AUTO HALL (ATH) SECURITY
145/11 01/11/2011 VOLUME REQUIREMENTS APPLIED TO BUYBACK PROGRAMS AT THE STOCK EXCHANGE
142/11 20/10/2011 DELISTING OF «BERLIET MAROC»SECURITY
136/11 18/10/2011 VOLUME REQUIREMENTS APPLIED TO BUYBACK PROGRAMS AT THE STOCK EXCHANGE
139/11 14/10/2011 THE RESUMPTION OF QUOTATION OF PROMOPHARM (PRO) SECURITY
138/11 05/10/2011 THE MAIN FEATURES OF THE ANIMATION AGREEMENT REGARDING THE SOCIETE DE REALISATIONS MECANIQUES (SRM) SHARES
137/11 04/10/2011 THE STOPPAGE OF QUOTATION OF PROMOPHARM (PRO) SECURITY
135 03/10/2011 THE INITIAL PUBLIC OFFERING OF “ONCF” ORDINARY BONDS, TRANCHES (A) and (C)
134/11 30/09/2011 THE BLOCK MINIMUM SIZE OF STROC INDUSTRIE (STR) SECURITY
131/11 14/09/2011 PAYMENT OF DIVIDEND OF IB MAROC.COM (IBMC) SECURITY
129/11 09/09/2011 PAYMENT OF DIVIDEND OF CARTIER SAADA (CRS) SECURITY
128/11 07/09/2011 PAYMENT OF DIVIDEND OF HPS SECURITY
121/11 05/09/2011 INCREASE OF CAPITAL OF THE TASLIF COMPANY BY INCORPORATION OF RESERVES SIMULTANEOUSLY TO THE REDUCTION OF CAPITAL BY ABSORPTION OF THE NEGATIVE RETAINED EARNINGS
126/11 02/09/2011 PROGRAM OF REPURCHASING DOUJA PROM ADDOHA (ADH) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
124/11 25/08/2011 TRADING HOURS MODIFICATION
123/11 23/08/2011 PAYMENT OF DIVIDEND OF UNIMER (UMR) SECURITY
122/11 23/08/2011 PROGRAM OF REPURCHASING ITISSALAT AL-MAGHRIB (IAM) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
120/11 15/08/2011 PAYMENT OF DIVIDEND OF ALLIANCES DEVELOPPEMENT IMMOBILIER (ADI) SECURITY
119/11 15/08/2011 PAYMENT OF DIVIDEND OF CTM (CTM) SECURITY
118/11 12/08/2011 EXCHANGE OF TASLIF SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
115/11 02/08/2011 ANNUAL RECLASSIFICATION OF THE EQUITY SECURITIES IN THE COMPARTMENTS OF THE CASABLANCA STOCK EXCHANGE OFFICIAL LIST
113/11 28/07/2011 RESUMPTION OF QUOTATION OF BERLIET MAROC (BER) SECURITY
110/11 25/07/2011 PAYMENT OF EXCEPTIONAL DIVIDEND OF LAFARGE CIMENTS (LAC) SECURITY
109/11 25/07/2011 QUOTATION SCHEDULE
108/11 22/07/2011 PAYEMENT OF DIVIDEND OF OF BALIMA (BAL) SECURITY
107/11 19/07/2011 PAYMENT OF DIVIDEND OF DARI COUSPATE (DARI) SECURITY
106/11 15/07/2011 PAYEMENT OF DIVIDEND OF ENNAKL AUTOMOBILES (NAKL)SECURITY
105/11 14/07/2011 STOPPAGE OF QUOTATION OF BERLIET MAROC (BER) SECURITY
104/11 13/07/2011 RESUMPTION OF QUOTATION OF LESIEUR CRISTAL (LES) SECURITY
103/11 13/07/2011 PAYEMENT OF DIVIDEND OF ACRED (ACR) SECURITY
101/11 13/07/2011 PAYEMENT OF DIVIDEND OF CREDIT DU MAROC (CDM) SECURITY
99/11 12/07/2011 STOPPAGE OF QUOTATION OF LESIEUR CRISTAL (LES) SECURITY
96/11 12/07/2011 QUOTATION GROUPS OF LISTED SECURITIES
95/11 12/07/2011 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
94/11 12/07/2011 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
100/11 12/07/2011 PAYEMENT OF DIVIDEND OF COMPAGNIE GENERALE IMMOBILIERE (CGI) SECURITY
98/11 11/07/2011 PAYEMENT OF DIVIDEND OF SOCIETE DE REALISATIONS MECANIQUES (SRM)SECURITY
97/11 11/07/2011 PAYEMENT OF DIVIDEND OF CNIA SAADA (CNIA) SECURITY
93/11 07/07/2011 STOPPAGE OF QUOTATION OF BERLIET MAROC “BER” SECURITY
92/11 06/07/2011 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
91/11 06/07/2011 PAYEMENT OF DIVIDEND OF COLORADO ‘COL’ SECURITY
90/11 06/07/2011 PAYMENT OF DIVIDEND OF THE PROMOPHARM ‘PRO’ SECURITY
89/11 04/07/2011 PAYEMENT OF DIVIDEND OF BERLIET (BER) SECURITY
87/11 01/07/2011 PAYEMENT OF DIVIDEND OF DOUJA PROM ADDOHA (ADH) SECURITY
86/11 01/07/2011 PAYEMENT OF DIVIDEND OF HOLCIM MAROC (HOL) SECURITY
85/11 28/06/2011 PAYMENT OF DIVIDEND OF THE NEXANS MAROC ‘NEX’ SECURITY
84/11 28/06/2011 PAYEMENT OF DIVIDEND OF DELTA HOLDING ‘DHO’ SECURITY
83/11 28/06/2011 PAYEMENT OF DIVIDEND OF MICRODATA ‘MIC’ SECURITY
82/11 24/06/2011 RESUMPTION OF QUOTATION OF DOUJA PROMOTION GROUPE ADDOHA (ADH) SECURITY
59/11 24/06/2011 MAIN FEATURES OF THE ANIMATION AGREEMENT REGARDING THE DARI COUSPATE SHARES
81/11 23/06/2011 STOPPAGE OF QUOTATION OF DOUJA PROMOTION GROUPE ADDOHA (ADH) SECURITY
80/11 22/06/2011 CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS “STROC INDUSTRIE” FIRM PRICE OFFER (FPO)
79/11 22/06/2011 PAYMENT OF DIVIDEND OF SCE ‘SCE’ SECURITY
78/11 22/06/2011 PAYMENT OF THE BMCE BANK ‘BCE’ SECURITY AND TO ASSIMILATION OF SHARES
76/11 20/06/2011 PAYMENT OF DIVIDEND OF BRASSERIES DU MAROC ‘SBM’ SECURITY
75/11 17/06/2011 PAYMENT OF DIVIDEND OF MAROC LEASING (MLE) SECURITY
74/11 16/06/2011 PAYMENT OF DIVIDEND OF AUTO NEJMA (NEJ) SECURITY
73/11 16/06/2011 PAYMENT OF DIVIDEND OF AUTO HALL (ATH) SECURITY
72/11 16/06/2011 PAYMENT OF DIVIDEND OF DISWAY (DWAY) SECURITY
71/11 15/06/2011 PAYEMENT OF DIVIDEND OF MAGHREBAIL (MAB) SECURITY
70/11 15/06/2011 PAYEMENT OF DIVIDEND OF ATTIJARIWAFA BANK (ATW) SECURITY
69/11 15/06/2011 PAYEMENT OF DIVIDEND OF SALAFIN (SLF) SECURITY
67/11 14/06/2011 PAYEMENT OF DIVIDEND OF LYDEC (LYD) SECURITY
66/11 14/06/2011 PAYEMENT OF DIVIDEND OF LESIEUR CRISTAL (LES) SECURITY
65/11 14/06/2011 PAYEMENT OF DIVIDEND OF SMI (SMI) SECURITY
64/11 14/06/2011 PAYEMENT OF DIVIDEND OF MANAGEM (MNG) SECURITY
63/11 14/06/2011 PAYEMENT OF DIVIDEND OF BCP (BCP) SECURITY
63/11 14/06/2011 PAYEMENT OF DIVIDEND OF CENTRALE LAITIERE (CLT) SECURITY
61/11 14/06/2011 PAYEMENT OF DIVIDEND OF CIH (CIH) SECURITY
60/11 14/06/2011 PAYEMENT OF DIVIDEND OF ATLANTA (ATL) SECURITY
57/11 13/06/2011 PAYMENT OF DIVIDEND OF FENIE BROSSETTE (FBR) SECURITY
56/11 10/06/2011 PAYMENT OF DIVIDEND OF THE SNEP -SNP- SECURITY
55/11 08/06/2011 PAYEMENT OF DIVIDEND OF OULMES (OUL) SECURITY
54/11 08/06/2011 PAYEMENT OF DIVIDEND
53/11 08/06/2011 PAYMENT OF DIVIDEND OF EQDOM (EQD) SECURITY
51/11 03/06/2011 PAYMENT OF DIVIDEND PAYMENT OF SOTHEMA (SOT) SECURITY
50/11 01/06/2011 PAYMENT OF DIVIDEND OF ZELLIDJA (ZDJ) SECURITY
48/11 27/05/2011 PAYMENT OF DIVIDEND OF DELATTRE LEVIVIER MAROC (DLM) SECURITY
47/11 27/05/2011 PAYMENT OF DIVIDEND OF CIMENTS DU MAROC (CMA) SECURITY
46/11 27/05/2011 PAYMENT OF DIVIDEND OF COSUMAR (CSR) SECURITY
45/11 27/05/2011 PAYEMENT OF DIVIDEND OF OF AGMA LAHLOU-TAZI (AGM) (WAA) SECURITY
43/11 27/05/2011 PROGRAM OF REPURCHASING BANQUE CENTRALE POPULAIRE (BCP) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
44/11 26/05/2011 PROGRAM OF REPURCHASING BMCI (BCI) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
41/11 25/05/2011 RESUMPTION OF QUOTATION OF BANQUE CENTRALE POPULAIRE (BCP) SECURITY
40/11 23/05/2011 PAYEMENT OF DIVIDEND OF WAFA ASSURANCE (WAA) SECURITY
39/11 23/05/2011 PAYMENT OF DIVIDENDE OF ALUMINIUM DU MAROC (ALM) SECURITY
38/11 20/05/2011 STOPPAGE OF QUOTATION OF BANQUE CENTRALE POPULAIRE (BCP) SECURITY
37/11 19/05/2011 PAYMENT OF DIVIDEND OF TIMAR (TIM) SECURITY
36/11 13/05/2011 PAYMENT OF DIVIDEND OF BMCI (BCI) SECURITY
35/11 10/05/2011 PAYMENT OF DIVIDEND OF MINIERE TOUISSIT (CMT) SECURITY
34/11 10/05/2011 PAYMENT OF DIVIDEND OF ITISSALAT AL-MAGHRIB (IAM) SECURITY
22/11 04/05/2011 INITIAL OFFERING OF THE CREDIT DU MAROC BONDS, TRANCHES (A) AND (B), MODIFYING THE TIMETABLE OF THE OPERATION
32/11 27/04/2011 PAYMENT OF DIVIDEND OF THE LAFARGE CIMENTS SECURITY
31/11 11/04/2011 PAYMENT OF DIVIDEND OF THE MAGHREB OXYGENE SECURITY
30/11 11/04/2011 DIVIDEND PAYMENT OF THE AFRIQUI GAZ (GAZ) SECURITY
28/11 28/03/2011 RESUMPTION OF QUOTATION OF MEDIACO MAROC (MED) SECURITY
27/11 28/03/2011 STOPPAGE OF QUOTATION OF MEDIACO MAROC (MED) SECURITY
26/11 21/03/2011 STOPPAGE OF QUOTATION OF MEDIACO MAROC (MED) SECURITY
25/11 21/03/2011 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS CREDIT DU MAROC SUBORDINATE BONDS
20/11 07/03/2011 RESUMPTION OF QUOTATION OF ENNAKL (NAKL) SECURITY
04/11 02/03/2011 LISTING OF THE MEDI TELECOM BONDS, SECTIONS (A) AND (B)
02/11 02/03/2011 MODIFICATION OF THE WORDING OF THE ONA BONDS LISTED ON THE CASABLANCA STOCK EXCHANGE
19/11 01/03/2011 STOPPAGE OF QUOTATION OF ENNAKL (NAKL) SECURITY
18/11 01/03/2011 RESUMPTION OF QUOTATION OF DOUJA PROMOTION GROUPE ADDOHA (ADH) SECURITY
16/11 28/02/2011 STOPPAGE OF QUOTATION OF DOUJA PROMOTION GROUPE ADDOHA (ADH) SECURITY
15/11 23/02/2011 BLOCK MINIMUM SIZE OF CNIA SAADA (CNIA) SECURITY
14/11 08/02/2011 EXCHANGE OF CENTRALE LAITIERE SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
13/11 08/02/2011 EXCHANGE OF LESIEUR CRISTAL SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
12/11 02/02/2011 RESUMPTION OF QUOTATION OF ENNAKL ‘NAKL’ SECURITY
11/11 25/01/2011 PROGRAM OF REPURCHASING SAMIR (SAM) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
10/11 18/01/2011 STOPPAGE OF QUOTATION OF ENNAKL (NAKL) SECURITY
09/11 14/01/2011 EXCHANGE OF UNIMER SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
08/11 14/01/2011 QUOTATION GROUPS OF LISTED SECURITIES
07/11 14/01/2011 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
06/11 14/01/2011 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
05/11 14/01/2011 METHODS OF CALCULATING THE MODALITIES IN PRACTICE TO CARRY OUT THE ANIMATION ACTIVITY
03/11 07/01/2011 PROGRAM OF REPURCHASING SOTHEMA (SOT) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
01/11 04/01/2011 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
181/10 28/12/2010 RESUMPTION OF QUOTATION OF DIAC SALAF (DIS) SECURITY
180/10 23/12/2010 RESUMPTION OF QUOTATION OF SNEP (SNP) SECURITY
178/10 21/12/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
177/10 21/12/2010 STOPPAGE OF QUOTATION OF SNEP (SNP) SECURITY
175/10 15/12/2010 WORKING DAYS OF THE YEAR 2011
174/10 14/12/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
173/10 08/12/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
171/10 30/11/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
169/10 23/11/2010 RESUMPTION OF QUOTATION OF LABEL VIE (LBV) SECURITY
168/10 23/11/2010 STOPPAGE OF QUOTATION OF DIAC SALAF SECURITY
167/10 16/11/2010 STOPPAGE OF QUOTATION OF LABEL VIE (LBV) SECURITY
165/10 16/11/2010 BLOCK MINIMUM SIZE OF CNIA SAADA (CNIA) SECURITY
164/10 11/11/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
163/10 04/11/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
162/10 03/11/2010 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS “CNIA SAADA Assurance” FIRM PRICE OFFER (OPF)
161/10 02/11/2010 THE PROGRAM OF REPURCHASING ALLIANCES DEVELOPPEMENT IMMOBILIER (ADI) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
160/10 02/11/2010 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DETACHMENT OF SUBSCRIPTION RIGHT OF RISMA
158/10 28/10/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
156/10 21/10/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
155/10 20/10/2010 PAYMENT OF DIVIDEND OF THE IBMAROC.COM (IBMC) SECURITY
154/10 15/10/2010 STOPPAGE OF QUOTATION OF DIAC SALAF (DIS) SECURITY
138/10 11/10/2010 RESALE SESSION WITHIN THE FRAMEWORK OF A CASH DEFAULT
151/10 27/09/2010 RESUMPTION OF QUOTATION OF BCP (BCP) SECURITY
150/10 27/09/2010 RESUMPTION OF QUOTATION OF CIH (CIH), SOFAC (SOF) ET MAROC LEASING (MLE) SECURITIES
149/10 24/09/2010 RESUMPTION OF QUOTATION OF BRASSERIES DU MAROC (SBM) AND BRANOMA (BNM) SECURITIES
148/10 23/09/2010 STOPPAGE OF QUOTATION OF BRASSERIES DU MAROC (SBM) AND BRANOMA (BNM) SECURITIES
147/10 23/09/2010 STOPPAGE OF QUOTATION OF CIH (CIH), BCP (BCP), MAROC LEASING (MLE) ET SOFAC (SOF) SECURITIES
144/10 17/09/2010 PAYMENT OF DIVIDEND OF THE UNIMER (UMR) SECURITY
143/10 16/09/2010 STOPPAGE OF QUOTATION OF BRASSERIES DU MAROC (SBM) AND BRANOMA (BNM) SECURITIES
133/10 14/09/2010 MODIFICATION OF THE REGULATORY REFERENCE OF NOTICES ISSUED BY THE CASABLANCA STOCK EXCHANGE
132/10 14/09/2010 GLOBAL ELIMINATION OF ORDERS
137/10 13/09/2010 REPURCHASE SESSION WITHIN THE FRAMEWORK OF A SECURITIES DEFAULT
136/10 13/09/2010 MODES OF CALCULATION AND ADJUSTMENT OF THE REGULAR CONTRIBUTION TO THE GUARANTEE SYSTEM
135/10 13/09/2010 TERMS OF RECYCLING OF A SUSPENSE
134/10 13/09/2010 SUSPENSION PROCEDURE WITHIN THE FRAMEWORK OF A CASH DEFAULT
142/10 08/09/2010 PAYMENT OF DIVIDEND OF TASLIF (TSF) SECURITY
141/10 08/09/2010 TRADING HOURS MODIFICATION
140/10 07/09/2010 PAYMENT OF DIVIDEND OF THE CARTIER SAADA (CRS)
139/10 07/09/2010 PPAYMENT OF DIVIDEND OF THE HIGHTECH PAYMENT SYSTEMS (HPS) SECURITY AND TO ASSIMILATION OF SHARES
131/10 02/09/2010 RECTIFYING OF THE NOTICE N°130/10 RELATIVE TO THE CAPITAL INCREASE OF BALIMA BY WAY OF INCORPORATION OF RESERVES FOLLOWED BY A SPLIT OF THE NOMINAL VALUE
130/10 02/09/2010 THE CAPITAL INCREASE OF BALIMA BY WAY OF INCORPORATION OF RESERVES FOLLOWED BY A SPLIT OF THE NOMINAL VALUE
129/10 25/08/2010 PAYMENT OF DIVIDEND OF THE DOUJA PRMOTION GROUPE ADDOHA (ADH) SECURITY AND TO ASSIMILATION OF SHARES
128/10 25/08/2010 PAYMENT OF DIVIDEND OF THE COMPAGNIE GENERALE IMMOBILIERE (CGI) SECURITY
127/10 25/08/2010 PROGRAM FOR REPURCHASE OF SNEP SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
126/10 10/08/2010 PAYMENT OF DIVIDEND OF THE ATLANTA (ATL) SECURITY
125/10 09/08/2010 PAYMENT OF DIVIDEND OF THE ALLIANCES (ADI) SECURITY
124/10 04/08/2010 QUOTATION SCHEDULE DURING RAMADAN
123/10 03/08/2010 PROGRAM FOR REPURCHASE OF SALAFIN SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
122/10 29/07/2010 EXCEPTIONAL DIVIDEND PAYMENT OF THE DISWAY ‘DWAY’ SECURITY
121/10 29/07/2010 EXCEPTIONAL DIVIDEND PAYMENT OF THE LAFARGE CIMENTS ‘LAC’ SECURITY
120/10 27/07/2010 PROGRAM OF REPURCHASING LABEL VIE (LBV) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
115/10 21/07/2010 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
114/10 21/07/2010 THE UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
113/10 21/07/2010 THE QUOTATION GROUPS OF LISTED SECURITIES
116/10 20/07/2010 PAYMENT OF DIVIDEND OF THE OULMES ‘OUL’ SECURITY
112/10 14/07/2010 PAYMENT OF DIVIDEND OF THE THE CTM SECURITY
111/10 08/07/2010 PAYMENT OF DIVIDEND OF THE LABEL VIE (LBV) SECURITY
110/10 07/07/2010 PAYMENT OF DIVIDEND OF THE DARI COUSPATE (DARI) SECURITY
109/10 07/07/2010 PAYMENT OF DIVIDEND OF THE SNI (SNI) SECURITY
108/10 07/07/2010 PAYMENT OF DIVIDEND OF THE ONA (ONA) SECURITY
107/10 02/07/2010 PAYMENT OF DIVIDEND OF THE ACRED (ACR) SECURITY
99/10 01/07/2010 PAYMENT OF DIVIDEND OF THE SOCIETE CHERIFIENNE D’ENGRAIS ET DE PRODUITS CHIMIQUES (SCE) SECURITY
98/10 01/07/2010 PAYMENT OF DIVIDEND OF THE SOCIETE DE REALISATIONS MECANIQUES (SRM) SECURITY
97/10 01/07/2010 PAYMENT OF DIVIDEND OF THE COLORADO -COL- SECURITY
96/10 01/07/2010 THE PROGRAM OF REPURCHASING AUTO HALL (ATH) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
100/10 01/07/2010 THE BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
94/10 29/06/2010 PAYMENT OF DIVIDEND OF THE SNEP -SNP- SECURITY
93/10 29/06/2010 PAYMENT OF DIVIDEND OF THE LESIEUR CRISTAL -LES- SECURITY
92/10 29/06/2010 PAYMENT OF DIVIDEND OF THE AUTO HALL -ATH- SECURITY
90/10 28/06/2010 PAYMENT OF DIVIDEND OF THE MICRODATA -MIC- SECURITY
89/10 28/06/2010 THE EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS ENNAKL AUTOMOBILES S.A FIRM PRICE OFFER (OPF)
88/10 24/06/2010 PAYMENT OF DIVIDEND OF THE BERLIET MAROC (BER) SECURITY
87/10 24/06/2010 PAYMENT OF DIVIDEND OF THE NEXANS MAROC (NEX) SECURITY
86/10 23/06/2010 PROGRAM OF REPURCHASING ATLANTA (ATL) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
85/10 23/06/2010 PAYMENT OF DIVIDEND OF THE PROMOPHARM (PRO) SECURITY
84/10 23/06/2010 PAYMENT OF DIVIDEND OF THE DELTA HOLDING (DHO) SECURITY
83/10 22/06/2010 PAYMENT OF DIVIDEND OF THE SOTHEMA (SOT) SECURITY
82/10 21/06/2010 PAYMENT OF DIVIDEND OF THE MAGHERBAIL (MAB) SECURITY
81/10 21/06/2010 PAYMENT OF DIVIDEND OF THE SOCIETE DES BRASSERIES DU MAROC (SBM) SECURITY
80/10 21/06/2010 PAYMENT OF DIVIDEND OF THE BMCE BANK (BCE) SECURITY
79/10 21/06/2010 PAYMENT OF DIVIDEND OF THE BRANOMA (BNM) SECURITY
77/10 16/06/2010 THE DELISTING OF «ONA» SECURITY
76/10 16/06/2010 THE DELISTING OF «SNI» SECURITY
75/10 16/06/2010 PAYMENT OF DIVIDEND OF THE AUTO NEJMA (NEJ) SECURITY
73/10 15/06/2010 PAYMENT OF DIVIDEND OF THE SALAFIN (SLF) SECURITY
72/10 14/06/2010 PAYMENT OF DIVIDEND OF THE ATTIJARIWAFA BANK (ATW) SECURITY
71/10 14/06/2010 PAYMENT OF DIVIDEND OF THE CENTRALE LAITIERE (CLT) SECURITY
70/10 14/06/2010 PAYMENT OF DIVIDEND OF THE CREDIT IMMOBILIER ET HÔTELIER (CIH) SECURITY
69/10 14/06/2010 PAYMENT OF DIVIDEND OF THE ALLUMINIUM DU MAROC (ALM) SECURITY
67/10 11/06/2010 PAYMENT OF DIVIDEND OF THE BANQUE CENTRALE POPULAIRE -BCP- SECURITY
66/10 11/06/2010 PAYMENT OF DIVIDEND OF THE MAROC LEASING -MLE- SECURITY
65/10 10/06/2010 PAYMENT OF DIVIDEND OF THE HOLCIM MAROC -HOL- SECURITY
64/10 09/06/2010 PAYMENT OF DIVIDEND OF THE CREDIT DU MAROC SECURITY
60/10 03/06/2010 PAYMENT OF DIVIDEND OF THE ZELLIDJA SECURITY
59/10 03/06/2010 PAYMENT OF DIVIDEND OF THE REBAB COMPANY SECURITY
58/10 01/06/2010 PAYMENT OF DIVIDEND OF THE LYDEC SECURITY
57/10 28/05/2010 PAYMENT OF DIVIDEND OF THE TIMAR ‘TIM’ SECURITY
56/10 28/05/2010 PAYMENT OF DIVIDEND OF THE SOCIETE METALLURGIQUE D’IMITER ‘SMI’ SECURITY
54/10 26/05/2010 PAYMENT OF DIVIDEND OF THE AGMA LAHLOU-TAZI (AGM) SECURITY
53/10 26/05/2010 PAYMENT OF DIVIDEND OF THE COSUMAR (CSR) SECURITY
52/10 26/05/2010 PAYMENT OF DIVIDEND OF THE FENIE BROSSETTE (FBR) SECURITY
51/10 26/05/2010 PAYMENT OF DIVIDEND OF THE SONASID (SID) SECURITY
50/10 26/05/2010 PAYMENT OF DIVIDEND OF THE WAFA ASSURANCE (WAA) SECURITY
49/10 20/05/2010 PAYMENT OF DIVIDEND OF THE STOKVIS NORD AFRIQUE (SNA) SECURITY
48/10 19/05/2010 PAYMENT OF DIVIDEND OF THE BMCI ‘BCI’ SECURITY AND TO ASSIMILATION OF SHARES
47/10 19/05/2010 THE EXCHANGE OF COLORADO SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
44/10 14/05/2010 PROGRAM OF REPURCHASING BMCI (BCI) SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
41/10 13/05/2010 MODIFICATION OF THE FORM OF THE ATTIJARIWAFA Bank SHARES
37/10 13/05/2010 RESUMPTION OF QUOTATION OF MATEL PC MARKET SECURITYUNDER ITS NEW CORPORATE NAME ¨DISWAY
36/10 13/05/2010 THE MODIFICATION OF THE CORPORATE NAME OF MATEL PC MARKET BY DISWAY
33/1 13/05/2010 THE DELISTING OF THE DISTRISOFT MAROC AND MATEL PC MARKET SECURITIES
43/10 12/05/2010 DIVIDEND PAYMENT OF THE ITISSALAT AL-MAGHRIB (IAM) SECURITY
42/10 11/05/2010 DIVIDEND PAYMENT OF THE EQDOM (EQD) SECURITY
40/10 07/05/2010 DIVIDEND PAYMENT OF THE LAFARGE CIMENTS (LAC) SECURITY
39/10 05/05/2010 THE CANCELLATION OF THE TRANSACTIONS ON THE ALLOTMENT RIGHTS ‘SOTC’
35/10 03/05/2010 DIVIDEND PAYMENT OF THE CIMENTS DU MAROC (CMA) SECURITY
34/10 27/04/2010 TO DIVIDEND PAYMENT OF THE COMPAGNIE MINIERE DE TOUISSIT (CMT) SECURITY
30/10 16/04/2010 RESUMPTION OF QUOTATION OF ONA AND SNI SECURITIES
29/10 13/04/2010 RESUMED QUOTATION FOR THE AUTO HALL SECURITY
28/10 13/04/2010 THE DELISTING OF «LGMC» SECURITY
27/10 09/04/2010 STOPPAGE OF QUOTATION OF AUTO HALL SECURITY
26/10 06/04/2010 RESUMPTION OF QUOTATION OF CENTRALE LAITIERE, COSUMAR AND LESIEUR CRISTAL SECURITIES
25/10 05/04/2010 PAYMENT OF DIVIDEND OF THE AFRIQUIA GAZ -GAZ- SECURITY
24/10 05/04/2010 PAYMENT OF DIVIDEND OF THE MAGHREB OXYGENE -MOX- SECURITY
23/10 02/04/2010 THE STOPPAGE OF QUOTATION OF CENTRALE LAITIERE, COSUMAR, AND LESIEUR CRISTAL SECURITIES
22/10 02/04/2010 THE STOPPAGE OF QUOTATION OF SNI AND ONA
21/10 30/03/2010 NOTICE N°21/10 RELATING TO THE RESUMPTION OF QUOTATION OF ATTIJARIWAFA BANK WAFA ASSURANCE SMI MANAGEM LAFARGE CIMENTS and SONASID SECURITIES
20/10 26/03/2010 STOPPAGE OF QUOTATION OF SNI, ONA, CENTRALE LAITIERE, COSUMAR, LESIEUR CRISTAL, ATTIJARIWAFA BANK, WAFA ASSURANCE, SMI, MANAGEM, LAFARGE CIMENTS AND SONASIDSECURITIES
18/10 16/03/2010 RESUMED QUOTATION FOR THE TASLIF SECURITY
16/10 12/03/2010 HALT OF TRADING AS FOR THE TASLIF SECURITY
13/10 16/02/2010 PROGRAM FOR REPURCHASE OF SAMIR SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
11/10 15/01/2010 THE MODIFICATION OF THE CORPORATE NAME OF PAPELERA DE TETUAN (PDT) BY MED PAPER (MDP)
09/10 15/01/2010 THE UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
08/10 15/01/2010 THE QUOTATION GROUPS OF LISTED SECURITIES
07/10 15/01/2010 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITES
10/10 14/01/2010 METHODS OF CALCULATING THE MODALITIES IN PRACTICE TO CARRY OUT THE ANIMATION ACTIVITY
06/10 12/01/2010 PROGRAM FOR REPURCHASE OF BMCE BANK SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
04/10 12/01/2010 THE MAIN FEATURES OF THE ANIMATION AGREEMENT REGARDING THE MEDIACO MAROC SHARES
02/10 07/01/2010 THE MAIN PROVISIONS OF THE PUBLIC OFFERING OF WITHDARAWAL ON THE LGMC SECURITIES
03/10 05/01/2010 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
01/10 04/01/2010 RESUMED QUOTATION FOR THE LGMC SECURITY
155/09 22/12/2009 PROGRAM FOR REPURCHASE OF TIMAR SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
154/09 21/12/2009 HALT OF TRADING FOR THE LGMC SECURITY
150/09 07/12/2009 THE TAKEOVER BID DIRECTED AT THE MAROC LEASING SHARES ON THE INITIATIVE OF CDG ET BCP
152/09 04/12/2009 PROGRAM FOR REPURCHASE OF ITISSALAT AL-MAGHRIB SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
151/09 01/12/2009 PAYMENT OF EXCEPTIONAL DIVIDEND OF THE LGMC SECURITY
147/09 24/11/2009 PROCEDURE OF RESERVATION REGARDING LISTED SECURITIES
149/09 20/11/2009 PROGRAM FOR REPURCHASE OF CARTIER SAADA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
148/09 13/11/2009 RESUMED QUOTATION FOR THE DISTRISOFT MAROC AND MATEL PC MARKET SECURITIES
146/09 09/11/2009 HALT OF TRADING FOR THE DISTRISOF MAROC AND MATEL PC MARKET SECURITIES
145/09 05/11/2009 PAYMENT OF EXCEPTIONAL DIVIDEND OF THE SONASID SECURITY
144/09 05/11/2009 PAYMENT OF DIVIDEND OF THE IB MAROC.COM SECURITY
143/09 28/10/2009 TRADING HOURS
142/09 28/10/2009 THE LAST PRICE QUOTE PHASE
141/09 28/10/2009 THE MAIN PROVISIONS OF THE TEKEOVER BID MADE ON THE MAROC LEASING SECURITY
140/09 16/10/2009 RESUMED QUOTATION OF THE MAROC LEASING SECURITY
136/09 14/10/2009 TAKEOVER BID DIRECTED AT THE PDT SHARES ON THEINITIATIVE OF THE SEFRIOUI FAMILY CDG DEVELOPPMENT SA AND CELLULOSE DU MAROC SA
139/09 12/10/2009 RESUMED QUOTATION OF THE IB MAROC.COM SECURITY
138/09 08/10/2009 HALT OF TRADING FOR THE IB MAROC.COM SECURITY
137/09 06/10/2009 HALT OF TRADING FOR THE MAROC LEASING SECURITY
135/09 01/10/2009 RESUMED QUOTATION OF THE UNIMER SECURITY
134/09 28/09/2009 HALT OF TRADING FOR THE UNIMER SECURITY
133/09 23/09/2009 PAYMENT OF DIVIDEND OF THE UNIMER SECURITY
132/09 17/09/2009 TRADING HOURS MODIFICATION
131/09 14/09/2009 EXCEPTIONAL DIVIDEND PAYMENT OF THE LAFARGE CIMENT SECURITY
130/09 10/09/2009 PAYMENT OF DIVIDEND OF THE M2M GROUP SECURITY
129/09 08/09/2009 PAYMENT OF DIVIDEND OF THE ALLIANCES DEVELOPPEMENT SECURITY
128/09 08/09/2009 PAYMENT OF DIVIDEND OF THE CARTIER SAADA SECURITY
127/09 02/09/2009 PAYMENT OF DIVIDEND OF THE HIGHTECH PAYMENT SYSTEMS SECURITY
124/09 17/08/2009 PAYMENT OF DIVIDEND OF THE CTM SECURITY
123/09 13/08/2009 QUOTATION SCHDULE DURING RAMADAN
122/09 06/08/2009 PAYMENT OF DIVIDEND OF THE BALIMA SECURITY
120/09 05/08/2009 INCREASE IN CIH CAPITAL TROUGH CONVERSION OF THE 2008 DIVIDENDS
119/09 03/08/2009 OPTIONAL DIVIDEND PAYMENT OF THE CIH SECURITY
121/09 31/07/2009 PAYMENT OF DIVIDEND OF THE INVOLYS SECURITY
117/09 28/07/2009 ANNUAL RECLASSIFICATION OF THE EQUITY SECURITIES IN THE COMPARTMENTS OF THE CASABLANCA STOCK EXHANGE OFFICIAL LIST
114/09 15/07/2009 INCREASE IN CAPITAL OF THE SALAFIN COMPANY
116/09 13/07/2009 PAYMENT OF DIVIDEND OF THE ACRED SECURITY
113/09 09/07/2009 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
112/09 09/07/2009 QUOTATION GROUPS OF LISTED SECURITIES
111/09 09/07/2009 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
110/09 07/07/2009 PAYMENT OF DIVIDEND OF THE DOUJA PROMOTION GROUPE ADDOHA SECURITY
109/09 07/07/2009 PAYMENT OF DIVIDEND OF THE DARI COUSPATE SECURITY
108/09 06/07/2009 PAYMENT OF DIVIDEND OF THE SOCIETE NATIONALE D'INVESTISSEMENT SECURITY
107/09 06/07/2009 PAYMENT OF DIVIDEND OF THE ONA SECURITY
99/09 03/07/2009 INCREASE IN CAPITAL OF THE SALAFIN COMPANY
106/09 03/07/2009 PAYMENT OF DIVIDEND OF THE SOCIETE DE REALISATIONS MECANIQUES SECURITY
104/09 02/07/2009 PAYMENT OF DIVIDEND OF THE BERLIET MAROC SECURITY
103/09 01/07/2009 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
102/09 01/07/2009 PAYMENT OF DIVIDEND OF THE NEXANS MAROC SECURITY
101/09 30/06/2009 PAYMENT OF DIVIDEND OF THE CGI SECURITY
100/09 30/06/2009 PAYMENT OF DIVIDEND OF THE LESIEUR CRISTAL SECURITY
98/09 29/06/2009 PAYMENT OF DIVIDEND OF THE MICRODATA SECURITY
97/09 26/06/2009 PAYMENT OF DIVIDEND OF THE AUTO NEJMA SECURITY
66/09 26/06/2009 OPTIONAL PAYMENT OF THE BMCI SECURITY DIVIDEND
96/09 25/06/2009 PAYMENT OF DIVIDEND OF THE WAFA ASSURANCE SECURITY
86/09 24/06/2009 LISTING OF ATTIJARIWAFA BANK SUBORDINATED A AND B
95/09 23/06/2009 PAYMENT OF DIVIDEND OF THE ALUMINIUM DU MAROC SECURITY
94/09 19/06/2009 PAYMENT OF DIVIDEND OF THE LABEL VIE SECURITY
93/09 18/06/2009 PAYMENT OF DIVIDEND OF THE MAGHREBAIL SECURITY
92/09 18/06/2009 PAYMENT OF DIVIDEND OF THE BMCE BANK SECURITY
91/09 18/06/2009 PAYMENT OF DIVIDEND OF THE SALAFIN SECURITY
90/09 18/06/2009 PAYMENT OF DIVIDEND OF THE BRASSERIES DU MAROC SECURITY
89/09 18/06/2009 PAYMENT OF DIVIDEND OF THE SOFAC CREDIT SECURITY
88/09 18/06/2009 PAYMENT OF DIVIDEND OF THE PROMOPHARM SECURITY
87/09 18/06/2009 PROGRAM FOR THE REPURCHASE OF DOUJA PROMOTION GROUPE ADDOHA SHARES WITH THE VIEW OF MAKING A MAKET A PROGRAM
79/09 18/06/2009 INCREASE IN CAPITAL OF THE REINSURANCE AND INSURANCE COMPANY ATLANTA TROUGHT CONVERSION OF THE 2008 DIVIDENDS
85/09 15/06/2009 PAYMENT OF DIVIDEND OF THE ATTIJARIWAFA BANK SECURITY
84/09 15/06/2009 PAYMENT OF DIVIDEND OF THE MATEL SECURITY
83/09 10/06/2009 PAYMENT OF DIVIDEND OF THE CENTRALE LAITIERE SECURITY
82/09 10/06/2009 PAYMENT OF DIVIDEND OF THE LYDEC SECURITY
81/09 10/06/2009 PAYMENT OF DIVIDEND OF THE BCP SECURITY
80/09 10/06/2009 PAYMENT OF DIVIDEND OF THE CDM SECURITY
74/09 10/06/2009 INCREASE IN BMCI CAPITAL TROUGH CONVERSION OF THE 2008 DIVIDENDS
78/09 08/06/2009 PAYMENT OF DIVIDEND OF THE SNEP SECURITY
77/09 08/06/2009 PAYMENT OF DIVIDEND OF THE SOTHEMA SECURITY
76/09 08/06/2009 PAYMENT OF DIVIDEND OF THE TASLIF SECURITY
75/09 08/06/2009 PAYMENT OF DIVIDEND OF THE MAROC LEASING SECURITY
73/09 02/06/2009 PAYMENT OF DIVIDEND OF THE BRANOMA SECURITY
57/09 02/06/2009 OPTIONAL DIVIDEND PAYMENT OF THE ATLANTA SECURITY
72/09 01/06/2009 PAYMENT OF DIVIDEND OF THE REBAB COMPANY SECURITY
71/09 01/06/2009 PAYMENT OF DIVIDEND OF THE ZELLIDJA SECURITY
70/09 29/05/2009 PAYMENT OF DIVIDEND OF THE EQDOM SECURITY
69/09 28/05/2009 PAYMENT OF DIVIDEND OF THE TIMAR SECURITY
68/09 27/05/2009 RESUMED OF QUOTATION OF ALLIANCES SECURITY
67/09 27/05/2009 PROGRAM FOR REPURCHASE OF BMCI SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
65/09 27/05/2009 PAYMENT OF DIVIDEND OF THE FENIE BROSSETTE SECURITY
64/09 25/05/2009 PAYMENT OF DIVIDEND OF THE AGMA LAHLOU-TAZI SECURITY
63/09 25/05/2009 HALT OF TRADING FOR THE ALLIANCES DEVELOPPEMENT IMMOBILER SECURITY
61/09 22/05/2009 PAYMENT OF DIVIDEND OF THE COSUMAR SECURITY
60/09 22/05/2009 PAYMENT OF DIVIDEND OF THE AUTO HALL SECURITY
59/09 22/05/2009 PAYMENT OF DIVIDEND OF THE STOKVIS NORD AFRIQUE SECURITY
58/09 22/05/2009 PAYMENT OF DIVIDEND OF THE CIMENTS DU MAROC SECURITY
56/09 21/05/2009 PAYMENT OF DIVIDEND OF THE CIMENTS DU MAROC SECURITY
55/09 21/05/2009 PAYMENT OF DIVIDEND OF THE DELTA HOLDING SECURITY
54/09 20/05/2009 PROGRAM FOR REPURCHASE OF STOKVIS NORD AFRIQUE SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
46/09 20/05/2009 COMPULSORY TAKEOVER BID DIRECTED AT FERTIMA SHARES ON THE COMPANY CHARAF CORPORATION SA
52/09 15/05/2009 THE PERIOD OF VALIDITY OF AN ORDER WITH A ‘‘REVOCATION’’
44/09 14/05/2009 APPLICATION OF DAMAGES WITHIN THE GARANTEE SYSTEM
51/09 13/05/2009 PAYMENT OF DIVIDEND OF THE SCE SECURITY
50/09 13/05/2009 PAYMENT OF DIVIDEND OF THE DISTRISOF MAROC SECURITY
49/09 13/05/2009 PAYMENT OF DIVIDEND OF THE ITISSALAT AL-MAGHRIB SECURITY
48/09 11/05/2009 PAYMENT OF DIVIDEND OF THE AFRIQUIA GAZ SECURITY
47/09 11/05/2009 PAYMENT OF DIVIDEND OF THE MAGHREB OXYGENE SECURITY
45/09 11/05/2009 PAYMENT OF DIVIDEND OF THE LAFARGE CIMENTS SECURITY
43/09 30/04/2009 RESUMED QUOTATION OF BCP AND MAROC LEASING SECURITIES
42/09 30/04/2009 PAYMENT OF DIVIDEND OF THE HOLCIM MAROC SECURITY
41/09 29/04/2009 HALT OF TRADING FOR THE BCP AND MAROC LEASING SECURITES
40/09 28/04/2009 RESUMED QUOTATION OF LGMC SECURITY
38/09 27/04/2009 PAYMENT OF DIVIDEND OF THE CMT SECURITY
12/09 27/04/2009 THE REGISTRATION IN THE STOCK EXCHANGE OF LISTED SECURITIES BROUGHT IN TO OPERATIONS OF CONTRIBUTIONS
39/09 24/04/2009 HALT OF TRADING FOR THE LGMC SECURITY
37/09 02/04/2009 RESUMED QUOTATION FOR THE LABEL VIE SECURITY
36/09 31/03/2009 HALT OF TRADING FOR THE LA BEL VIE SECURITY
31/09 25/03/2009 APPLICATION OF FINES WITHIN THE GURANTEE SYSTEM
34/09 18/03/2009 DEMOSTING OF LA MAROCAINE VIE SECURITY
33/09 16/03/2009 PROGRAM FOR THE REPURCHASE OF SAMIR SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
29/09 09/03/2009 MAIN PROVISIONS OF THE TAKEOVER BID MADE ON THE PAPELERA DE TETUAN "PDT" SECURITY
23/09 02/03/2009 INCREASE IN CASH OF BCP CAPITAL RESERVED TO OCP
28/09 23/02/2009 RESUMED QUOTATION OF PAPELERA DE TETUAN SECURITY
24/09 20/02/2009 CONDITIONS OF RECLASSIFICATION OF LISTED COMPANIES
26/09 19/02/2009 UTILIZATION OF THE AUTOMATIC ORDER ROUTING PLATFORM
25/09 19/02/2009 HALT OF TRADING FOR THE HITECH PAYMENT SYSTEMS SECURITY
22/09 11/02/2009 PROGRAM FOR THE REPURCHASE OF AUTO HALL SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
21/09 10/02/2009 PROGRAM FOR THE REPURCHASE OF ALLIANCES DEVELOPPEMENT IMMOBILIER SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
20/09 10/02/2009 RESUMED QUOTATION OF THE LABEL VIE
19/09 09/02/2009 HALT OF TRADING FOR THE PAPELERA DE TETUAN SECURITY
18/09 09/02/2009 HALT OF TRADING FOR THE “LABEL VIE” “LBV” SECURITY
17/09 09/02/2009 PROGRAM FOR THE REPURCHASE OF SALAFIN SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
16/09 21/01/2009 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
15/09 21/01/2009 PROGRAM FOR THE REPURCHASE OF BANQUE CENTRALE POPULAIRE SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
14/09 21/01/2009 EXCHANGE OF BCP SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
11/09 21/01/2009 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
10/09 21/01/2009 QUOTATION GROUPS OF LISTED SECURITIES
09/09 21/01/2009 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
08/09 21/01/2009 METHODS OF CALCULATING THE MODALITIES IN PRACTICE TO CARRY OUT THE ANIMATION ACTIVITY
07/09 14/01/2009 RESUMED QUOTATION OF THE MANAGEM SECURITY
06/09 13/01/2009 RESUMED QUOTATION OF THE BANQUE CENTRALE POPULAIRE SECURITY
05/09 13/01/2009 HALT OF TRADING FOR THE MANAGEM SECURITY
03/09 07/01/2009 HALT OF TRADING FOR THE BANQUE CENTRALE POPULAIRE SECURITY
02/09 02/01/2009 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
01/09 02/01/2009 RESUMED QUOTATION OF THE BMCE Bank SECURITY
242/08 31/12/2008 HALT OF TRADING FOR THE BMCE BANK SECURITY
234/08 26/12/2008 LISTING OF THE HOLCIM (MOROCCO) DEBENTURE LOAN, TRANCHE ¨A ¨ OF DECEMBER 12th 2008
183/08 23/12/2008 PERIOD OF VALIDITY OF AN ORDER WITH A ‘‘REVOCATION’’
182/08 23/12/2008 CONDITIONS OF RECLASSIFYING LISTED COMPANIES
17/12/2008 17/12/2008 LISTING OF THE ONA DEBENTURE LOAN, TRANCHE ¨A ¨ OF DECEMBER 2nd 2008
236/08 05/12/2008 RESUMED QUOTATION FOR THE LA MAROCAINE VIE SECURITY
235/08 05/12/2008 CASES OF PROHIBITION ON BLOCK TRANSACTIONS
233/08 28/11/2008 PROGRAM FOR REPURCHASE OF SOTHEMA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
232/08 28/11/2008 RESUMED QUOTATION FOR THE HIGHTECH PAYMENT SYSTEMS SECURITY
231/08 28/11/2008 RESUMED QUOTATION FOR THE CREDIT DU MAROC SECURITY
212/08 27/11/2008 BUY-IN SESSION DUE TO A SECURITIES SHORTFALL
230/08 26/11/2008 HALT OF TRADING FOR THE HIGHTECH PAYEMENT SYSTEMS SECURITY
229/08 25/11/2008 HALT OF TRADING FOR THE CREDIT DU MAROC SECURITY
228/08 25/11/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
227/08 25/11/2008 PROGRAM FOR REPURCHASE OF LABEL VIE SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
226/08 25/11/2008 HALT OF TRADING FOR THE LA MAROCAINE-VIE SECURITY
159/08 25/11/2008 QUOTATION BY FIXING
224/08 24/11/2008 PROGRAM FOR REPURCHASE OF BMCE BANKSHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
223/08 24/11/2008 BMCI CAPITAL INCREASE IN CASH REGARDING 2,139,319 NEW SHARES AT THE PRICE OF MAD 701.15
211/08 13/11/2008 METHODS OF CALCULATION AND ADJUSTMENT OF THE REGULAR CONTRIBUTION TO THE GUARANTEE SYSTEM
214/08 11/11/2008 FILE CONTENT AS FOR THE OPERATION OF CAPITAL INCREASE IN CASH
222/08 10/11/2008 PROGRAM FOR REPURCHASE OF TIMAR SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
221/08 10/11/2008 PROGRAM FOR REPURCHASE OF CARTIER SAADA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
220/08 10/11/2008 MODIFICATION OF CARTIER SAADA BLOCK MINIMUM SIZE
219/08 10/11/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
217/08 31/10/2008 RESUMED QUOTATION FOR THE BANQUE CENTRALE POPULAIRE SECURITY
216/08 29/10/2008 HALT OF TRADING FOR THE BANQUE CENTRALE POPULAIRE SECURITY
197/08 29/10/2008 TRADING HOURS MODIFICATION
209/08 28/10/2008 DIVIDEND PAYMENT OF THE IB MAROC.COM SECURITY
181/08 28/10/2008 CONDITIONS OF STAY ON THE OFFICIAL LIST
167/08 24/10/2008 LIQUIDITY CALCULATION METHODS
172/08 22/10/2008 PROCEDURES OF TRANSACTION (S) CANCELLATION
163/08 22/10/2008 MARKET ORDER
195/08 21/10/2008 METHODS OF CALCULATING THE BLOCK MINIMUM SIZE
185/08 20/10/2008 COMMISSIONS CHARGED BY THE CASABLANCA STOCK EXCHANGE
196/08 17/10/2008 REGARD TO PRICE CONDITIONS APPLIED TO BLOCK VERSION TRANSACTIONS
187/08 16/10/2008 QUOTATION OF PROOFS OF DEBT
171/08 16/10/2008 METHODOLOGY OF CALCULATING PRACTICAL MODES AS REGARDS THE EXERCISING OF THE ANIMATION ACTIVITY
154/08 15/10/2008 RESERVATION PROCEDURE OF LISTED SECURITIES
153/08 15/10/2008 USE OF SOME TYPES OF ORDERS
152/08 15/10/2008 REPEAL OF NOTICES
206/08 13/10/2008 THEORETICAL SETTLEMENT PERIOD OF TRANSACTIONS IN THE STOCK EXCHANGE
205/08 13/10/2008 CALCULATION AND ADJUSTMENT METHODS AS FOR THE INITIAL CONTRIBUTION TO THE GUARANTEE SYSTEM
204/08 13/10/2008 FIXING METHODS AS FOR THE EXCEPTIONAL CONTRIBUTION TO THE GUARANTEE SYSTEM
203/08 13/10/2008 CANCELLATION CLAUSE IN THE EVENT OF SHORTAGE OF SECURITIES
202/08 13/10/2008 CLEARING SYSTEM
218/08 10/10/2008 EXCHANGE OF CARTIER SAADA SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
193/08 10/10/2008 ANONYMITY OF ORDERS AND TRANSACTIONS
192/08 10/10/2008 METHODS OF TRANSFER DECLARATIONS AS REGARDS LISTED SECURITIES
191/08 09/10/2008 QUANTITY DISCLOSED OF AN ORDER
186/08 09/10/2008 QUOTATION STEPS
179/08 09/10/2008 RECTIFICATION IN THE PARAMETERS OF A TRANSACTION
174/08 09/10/2008 METHODS OF CALCULATING THE MODALITIES IN PRACTICE TO CARRY OUT THE ANIMATION ACTIVITY
194/08 08/10/2008 LISTING OF BMCE BANK PERPETUAL SUBORDINATE DEBENTURES
168/08 08/10/2008 ORGANIZATION OF EQUALIZATION SESSIONS REGARDING SUBSCRIPTION RIGHTS
166/08 08/10/2008 ORDERS INCLUDED WITHIN REPURCHASING PROGRAMS IN THE STOCK EXCHANGE
165/08 08/10/2008 ORDERS PLACED ON OPERATIONS WITH TRIANGULAR SETTLEMENT
164/08 07/10/2008 ANIMATION ORDERS
162/08 07/10/2008 MODIFICATION OF THE AUTO HALL BLOCK MINIMUM SIZE
161/08 07/10/2008 MODIFICATION OF THE ATLANTA BLOCK MINIMUM SIZE
160/08 07/10/2008 MODIFICATION OF THE DOUJA PROM ADDOHA BLOCK MINIMUM SIZE
169/08 06/10/2008 DECLARATION PROCEDURES OF BLOCK TRANSACTIONS
158/08 06/10/2008 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
157/08 06/10/2008 QUOTATION GROUPS OF LISTED SECURITIES
156/08 06/10/2008 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
155/08 06/10/2008 QUOTATION SCHEDULE DURING RAMADAN
198/08 03/10/2008 RECTIFYING OF THE NOTICE N°127/08 RELATING TO PUBLIC OFFERING OF 297 755 BCP SHARES
190_08_An 25/09/2008 MODIFICATION OF THE DELTA HOLDING BLOCK MINIMUM SIZE
189/08 25/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
188/08 25/09/2008 EXCHANGE OF ¨DELTA HOLDING¨ SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
175/08 24/09/2008 EXCHANGE OF STOKVIS NORD AFRIQUE SECURITIES FURTHER TO THE NOMINAL VALUE DIVISION FROM MAD 100 TO MAD 10 (SPLIT)
184/08 23/09/2008 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
177/08 19/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
176/08 19/09/2008 MODIFICATION OF THE STOKVIS NORD AFRIQUE BLOCK MINIMUM SIZE
151/08 15/09/2008 CANCELLATION OF “CARTIER SAADA”TRANSACTIONS DURING THE SESSION OF SEPTEMBER 12th 2008
150/08 12/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
149/08 12/09/2008 MODIFICATION OF THE BMCE BANK BLOCK MINIMUM SIZE
148/08 12/09/2008 PROGRAM FOR REPURCHASE OF BMCE BANK SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
147/08 11/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
146/08 11/09/2008 MODIFICATION OF THE ATTIJARIWAFA BANK BLOCK MINIMUM SIZE
145/08 10/09/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
144/08 09/09/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
142/08 08/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
141/08 08/09/2008 MODIFICATION OF THE AUTO HALL BLOCK MINIMUM SIZE
143/08 05/09/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
140/08 04/09/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
139/08 04/09/2008 PROGRAM FOR REPURCHASE OF DOUJA PROM ADDOHA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
138/08 04/09/2008 PROGRAM FOR REPURCHASE OF ATLANTA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
137/08 04/09/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
136/08 04/09/2008 MODIFICATION OF THE ATLANTA BLOCK MINIMUM SIZE
127/08 03/09/2008 PUBLIC OFFERING OF 297 755 BCP SHARES RESERVED TO STAFF MEMBERS EMPLOYED BY CREDIT POPULAIRE DU MAROC
135/08 01/09/2008 RESUMED QUOTATION FOR THE ALLIANCES SECURITY
134/08 29/08/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
132/08 29/08/2008 ORDER BOOK PURGING FURTHER TO STOCK SPLIT
131/08 29/08/2008 MODIFICATION OF « DOUJA PROM ADDOHA » BLOCK MINIMUM SIZE
133/08 28/08/2008 HALT OF TRADING AS FOR THE “ALLIANCES ” SECURITY
130/08 26/08/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
129/08 26/08/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
128/08 26/08/2008 QUOTATION SCHEDULE DURING RAMADAN
126/08 05/08/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
124/08 28/07/2008 RESUMED QUOTATION OF THE MAROC LEASING SECURITY
123/08 28/07/2008 RESUMED QUOTATION OF THE ATTIJARIWAFA BANK SECURITY
120/08 24/07/2008 HALT OF TRADING FOR THE MAROC LEASING SECURITY
119/08 23/07/2008 RESUMED QUOTATION OF THE PAPELERA DE TETUAN SECURITY
118/08 23/07/2008 HALT OF TRADING FOR THE ATTIJARIWAFA BANK SECURITY
115/09 18/07/2008 HALT OF TRADING FOR THE PAPELERA DE TETUAN SECURITY
114/08 18/07/2008 RESUMED QUOTATION FOR THE DIAC SALAF SECURITY
113/08 15/07/2008 HALT OF TRADING FOR THE DIAC SALAF SECURITY
112/08 15/07/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DETACHEMENT OF ALLOCATIONS RIGHTS
111/08 14/07/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DETACHEMENT OF ALLOCATIONS RIGHTS
110/08 14/07/2008 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
110/08 14/07/2008 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
109/08 14/07/2008 QUOTATION GROUPS OF LISTED SECURITIES
99/08 04/07/2008 RECTIFYING OF THE NOTICE N°95/08 RELATING TO LISTING OF THE ALLIANCES
98/09 04/07/2008 RECTIFYING OF THE NOTICE N°95/08 RELATING TO LISTING OF THE ALLIANCES
107_08_An 04/07/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
106/08 03/07/2008 EARLY CLOSE OF THE SUBSCRIPTION PERIOD ALLIANCES DEVELOPPEMENT IMMOBILIER
105/08 03/07/2008 BOOKS BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
95/08 02/07/2008 LISTING OF THE ALLIANCES
104/08 02/07/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
103/08 02/07/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
102/08 01/07/2008 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
101/08 30/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
100/08 30/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
87/08 25/06/2008 RECTIFYING OF THE NOTICE N°74/08 RELATING TO LISTING OF THE LABEL VIE
97/08 24/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
96/08 24/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
94/08 20/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
93/08 20/06/2008 PROGRAM FOR THE REPURCHAE OF IB MAROC.COM SHARES WITH THE VIEW OF MAKING A MARKET A PROGRAM
92/08 19/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
74/08 19/06/2008 LISTING OF LABEL VIE THROUGH CAPITAL INCREASE IN CASH ISSUING OF 458,150 SHARES
91/08 18/06/2008 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARD HYPER S.A (LABEL VIE) OPEN PRICE OFFER (OPO)
90/08 17/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
89/08 16/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
88/08 16/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
86/08 13/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
85/08 13/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
84/08 12/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
83/08 12/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
82/08 12/06/2008 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
81/08 11/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
80/08 11/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
79/08 11/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
78/08 09/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
77/08 09/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
76/08 09/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
75/08 06/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
73/08 02/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
72/08 02/06/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
71/08 30/05/2008 PROGRAM FOR REPURCHASE OF BMCI SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
30/05/2008 30/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
69/08 28/05/2008 BOOKS BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
68/08 28/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
67/08 26/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
66/08 26/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
65/08 23/05/2008 RESUMED QUOTATION FOR THE DIAC SALAF SECURITY
64/08 23/05/2008 RESUMED QUOTATION FOR THE LA MAROCAINE VIE SECURITY
63/08 23/05/2008 BOOKS BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
62/08 22/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
61/08 22/05/2008 HALT OF TRADING FOR THE DIAC SALAF SECURITY
58/08 22/05/2008 CANCELLATION OF TRANSACTIONS FOR THE “SNEP” SECURITY DURING THE SESSION OF MAY 20th 2008
60/08 21/05/2008 HALT OF TRADING FOR THE LA MAROCAINE-VIE SECURITY
59/08 21/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
57/08 20/05/2008 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS COMPAGNIE MINIERE DE TOUISSIT
56/08 19/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
55/08 19/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
54/08 19/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
50/08 19/05/2008 LISTING OF CMT (COMPAGNIE MINIÈRE DE TOUISSIT) ON THE CASABLANCA STOCK EXCHANGE
53/08 14/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
52/08 12/05/2008 RESUMED QUOTATION FOR THE FERTIMA SECURITY
51/08 09/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
49/08 06/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
48/08 05/05/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
47/08 30/04/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
46/08 30/04/2008 DELISTING OF “LE CARTON” SECURITY
45/08 28/04/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
44/08 25/04/2008 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS DELTA HOLDING
43/08 25/04/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DIVIDEND PAYMENT
42/08 25/04/2008 HALT OF TRADING FOR THE FERTIMA SECURITY
41/08 25/04/2008 LISTING OF DELTA HOLDING S.A. THROUGH TRANSFER OF 640,000 SHARES AND CAPITAL INCREASE IN CASH BY ISSUING 380,000 SHARES
40/08 15/04/2008 EARLY CLOSE OF THE SUBSCRIPTION PERIOD AS REGARDS DELATTRE LEVIVIER MAROC “DLM” FIRM PRICE OFFER (FPO)
37/08 15/04/2008 LISTING OF THE DELATTRE LEVIVIER MAROC
39/08 14/04/2008 RESUMED QUOTATION FOR THE ONA SECURITY
38/08 14/04/2008 HALT OF TRADING FOR THE ONA SECURITY
32/08 02/04/2008 PROGRAM FOR REPURCHASE OF DOUJA PROM ADDOHA SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
36/08 01/04/2008 TRADING HOURS MODIFICATION
35/08 01/04/2008 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DETACHMENT OF SUBSCRIPTION RIGHT
34/08 31/03/2008 PROGRAM FOR REPURCHASE OF DISTRISOFT SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
33/08 31/03/2008 PROGRAM FOR REPURCHASE OF SNEP SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
31/08 25/03/2008 RESUMED QUOTATION FOR THE FERTIMA SECURITY
30/08 25/03/2008 RESUMED QUOTATION FOR THE BMCE BANK SECURITY
29/08 19/03/2008 RESUMED QUOTATION FOR THE SONASID SECURITY
28/08 19/03/2008 HALT OF TRADING FOR THE BMCE BANK SECURITY
27/08 18/03/2008 HALT OF TRADING FOR THE SONASID SECURITY
26/08 17/03/2008 HALT OF TRADING FOR THE FERTIMA SECURITY
25/08 07/03/2008 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DETACHMENT OF SUBSCRIPTION RIGHT
21/08 04/03/2008 COMPULSORY PUBLIC OFFER OF WITHDRAW ON LE CARTON SHARES INITIATED AND PRESENTED BY GROUPE HOLMARCOM
24/08 29/02/2008 ORDERS INCLUDED WITHIN REPURCHASING PROGRAMS IN THE STOCK EXCHANGE
23/08 29/02/2008 ORDERS PLACED ON OPERATIONS WITH TRIANGULAR SETTLEMENT
22/08 29/02/2008 ANIMATION ORDERS
18/08 26/02/2008 DEFERMENT OF THE COMING –INTO- EFFECT DATES AS REGARDS NOTICES N°10/08, 11/08, 12/08,13/08, 14/08, 15/08 AND 16/08
16/08 26/02/2008 PAYING-OFF OF ORDER BOOKS AS FOR LISTED SECURITIES
15/08 26/02/2008 CLEARING ON THE CENTRAL MARKET OF TWO ORDERS OF OPPOSITE SENSES ISSUED BY THE SAME BROKERAGE FIRM
14/08 26/02/2008 ORDER EXECUTION CONDITION « EXECUTED OR DELETED »
13/08 26/02/2008 REMOVAL OF THE TAKING OUT- OF- LIMITS PRINCIPLE
12/08 26/02/2008 ANONYMITY OF ORDERS AND TRANSACTIONS
11/08 26/02/2008 RESERVATION PROCEDURE ON LISTED SECURITIES
10/08 26/02/2008 IMPLEMENTATION OF A NEW ORDER CALLED “MARKET ORDER “
20/08 25/02/2008 COMING –INTO- EFFECT AS REGARDS NOTICES N°10/08, 11/08, 12/08, 13/08, 14/08, 15/08 AND 16/08
19/08 21/02/2008 PROGRAM FOR REPURCHASE OF AFRIQUIA GAZ SHARES, WITH THE VIEW OF MAKING A MARKET A PROGRAM
17/08 21/02/2008 LISTING OF BMCE BANK SUBORDINA TE BONDS ¨A ¨
09/08 01/02/2008 RESUMED QUOTATION FOR THE SNI SECURITY
08/08 30/01/2008 HALT OF TRADING AS FOR THE SNI SECURITY
07/08 18/01/2008 BOOK BUILLING PAYING-OFF ON THE OCCASION OF DETACHEMENT OF ALLOCATIONS RIGHTS
06/08 17/01/2008 METHODS OF CALCULATING THE MODALITIES IN PRACTICE TO CARRY OUT THE ANIMATION ACTIVITY
05/08 17/01/2008 QUOTATION GROUPS OF LISTED SECURITIES
04/08 17/01/2008 UPDATING BLOCK MINIMUM SIZE OF LISTED SECURITIES
03/08 17/01/2008 UPDATING OF THE QUOTATION MODES OF LISTED SECURITIES
02/08 07/01/2008 BOOK BUILDING PAYING-OFF ON THE OCCASION OF DETACHMENT OF SUBSCRIPTION RIGHT
01/08 02/01/2008 BIANNUAL REVISION OF AMOUNTS CORRESPONDING TO THE INITIAL CONTRIBUTIONS
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