2025
- 2025.01.10 Next Day Disclosure Return
- 2025.01.10 DATE OF BOARD MEETING
- 2025.01.09 Next Day Disclosure Return
- 2025.01.08 COMPLETION OF THE POST-REDEMPTION CANCELLATION OF EUR1,000,000,000 ZERO COUPON GUARANTEED CONVERTIBLE BONDS DUE 2025
- 2025.01.08 Next Day Disclosure Return
- 2025.01.08 OPERATIONAL UPDATE FOR THE FOURTH QUARTER AND FULL YEAR OF 2024
- 2025.01.08 Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 December 2024
- 2025.01.07 Next Day Disclosure Return
- 2025.01.06 Next Day Disclosure Return
- 2025.01.03 Next Day Disclosure Return
- 2025.01.02 Next Day Disclosure Return