GENERAL TRADING MARKET RANGES Code Name % Static Range
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1 Operating Instruction Nº 87/2013 Circular 1/2001 regards the establishment of static and dynamic ranges for each security traded on the Stock Exchange Interconnection System. In respect of these, the Trading and Supervisory Committee has established the ranges shown below, applicable starting on September 2, 2013, inclusive: GENERAL TRADING MARKET RANGES Code Name % Static % Dynamic A3M ATRESMEDIA CORPORACION DE MEDIOS DE COMUNICACION, S.A. 7,0 3,0 ABE ABERTIS INFRAESTRUCTURAS, S.A. 5,0 2,0 ABG ABENGOA, S.A. 7,0 2,5 ABG.P ABENGOA CLASE "B" 7,0 2,5 ACS ACS,ACTIVIDADES DE CONSTRUCCION Y SERVICIOS,S.A. 7,0 2,5 ACX ACERINOX, S.A. 5,0 2,5 ADV ADVEO GROUP INTERNATIONAL, S.A. 10,0 8,0 ADZ ADOLFO DOMINGUEZ, S.A. 10,0 8,0 AISA FERGO AISA, S.A. 50,0 50,0 ALB CORPORACION FINANCIERA ALBA S.A. 7,0 4,0 ALM ALMIRALL S.A. 6,0 3,0 AMP AMPER, S.A. 8,0 8,0 AMS AMADEUS IT HOLDING, S.A. 6,0 2,5 ANA ACCIONA, S.A. 7,0 2,0 APAM APERAM, SOCIETE ANONYME 10,0 8,0 AZK AZKOYEN, S.A. 10,0 8,0 BAY BAYER, A.G. 10,0 10,0 BBVA BANCO BILBAO VIZCAYA ARGENTARIA, S.A. 6,0 2,5 BDL BARON DE LEY,S.A. 8,0 8,0 BIO BIOSEARCH, S.A. 12,0 12,0 BKIA BANKIA, S.A. 10,0 10,0 BKT BANKINTER, S.A. 7,0 2,5 BME BOLSAS Y MERCADOS ESPAÑOLES,SOCIEDAD HOLDING DE MERCADOS Y SIST. FINANC. S.A. 5,0 2,5 CABK CAIXABANK, S.A. 6,0 2,5 CAF CONSTRUCCIONES Y AUXILIAR DE FERROCARRILES, S.A. 7,0 3,0 CBAV CLINICA BAVIERA S.A. 5,0 4,0 CDR CODERE S.A. 8,0 8,0 CFG CAMPOFRIO FOOD GROUP, S.A. CIE CIE AUTOMOTIVE, S.A. CLEO COMPAÑIA LEVANTINA EDIFICACION DE OBRAS PUBLICAS, S.A., CLEOP 10,0 8,0 COL INMOBILIARIA COLONIAL, S.A. 5,0 4,0 CPL CEMENTOS PORTLAND VALDERRIVAS S.A. 8,0 8,0 DGI DOGI INTERNATIONAL FABRICS, S.A. 10,0 8,0 DIA DISTRIBUIDORA INTERNACIONAL DE ALIMENTACION, S.A. 7,0 3,0 DIN DINAMIA CAPITAL PRIVADO, SOCIEDAD DE CAPITAL RIESGO, S.A. 8,0 8,0 EAD EUROPEAN AERONAUTIC DEFENCE AND SPACE COMPANY EADS NV. EBRO EBRO FOODS, S.A. 6,0 2,0
2 ECR ERCROS 8,0 8,0 EGPW ENEL GREEN POWER S.P.A. 10,0 8,0 ELE ENDESA,S.A. 5,0 2,0 ENC ENCE ENERGIA Y CELULOSA, S.A. 7,0 3,0 ENG ENAGAS,S.A. 5,0 2,0 ENO ELECNOR S.A. 10,0 8,0 EZE GRUPO EZENTIS, S.A. 20,0 20,0 FAE FAES FARMA, S.A. FCC ACCIONES FOMENTO DE CONSTRUCCIONES Y CONTRATAS, S.A. 7,0 2,5 FDR FLUIDRA, S.A. 8,0 8,0 FER FERROVIAL, S.A. 6,0 2,5 FRS FERSA ENERGIAS RENOVABLES, S.A. 10,0 10,0 FUN FUNESPAÑA,S.A. 10,0 8,0 GALQ GENERAL DE ALQUILER DE MAQUINARIA S.A. 15,0 15,0 GAM GAMESA CORPORACION TECNOLOGICA, S.A. 8,0 2,5 GAS GAS NATURAL SDG 5,0 2,0 GCO GRUPO CATALANA OCCIDENTE, S.A. 7,0 4,0 GRF GRIFOLS S.A. 5,0 2,0 GRF.P GRIFOLS S.A. CLASE B 10,0 8,0 GSJ GRUPO EMPRESARIAL SAN JOSE, S.A. 5,0 4,0 IAG INTERNATIONAL CONSOLIDATED AIRLINES GROUP, S.A. 7,0 3,0 IBE ACCIONES IBERDROLA 6,0 3,0 IBG IBERPAPEL GESTION,S.A. 10,0 8,0 IDO INDO INTERNACIONAL, S.A. 10,0 8,0 IDR INDRA SISTEMAS S.A., SERIE A 6,0 2,5 INY INYPSA, INFORMES Y PROYECTOS, S.A. 10,0 8,0 ITX INDUSTRIA DE DISE\O TEXTIL S.A. INDITEX- 6,0 2,0 JAZ JAZZTEL PLC 7,0 3,0 LBK LIBERBANK, S.A. 10,0 8,0 LGT LINGOTES ESPECIALES, S.A. 10,0 8,0 MAP MAPFRE, S.A. 6,0 3,0 MCM MIQUEL Y COSTAS & MIQUEL, S.A. 8,0 8,0 MDF DURO FELGUERA, S.A. 7,0 3,0 MEL MELIA HOTELS INTERNATIONAL, S.A. 7,0 3,5 MTB MONTEBALITO, S.A. 7,0 4,0 MTF MARTINSA FADESA, S.A. 10,0 8,0 MTS ARCELORMITTAL 6,0 2,0 NAT NATRA,S.A. 8,0 8,0 NEA NICOLAS CORREA 10,0 8,0 NHH NH HOTELES, S.A. 8,0 3,5 NTC NATRACEUTICAL, S.A. 20,0 20,0 NYE NYESA VALORES CORPORACION S.A. 15,0 15,0 OHL OBRASCON HUARTE LAIN, S.A. 6,0 2,5 OLE DEOLEO, S.A. 10,0 10,0 PAC PAPELES Y CARTONES DE EUROPA, S.A. 8,0 8,0 POP BANCO POPULAR ESPAÑOL S.A. 6,0 2,5 PRM PRIM, S.A. 8,0 8,0 PRS PROMOTORA DE INFORMACIONES S.A. PRISA 15,0 15,0 PRS.P PROMOTORA DE INFORMACIONES S.A. PRISA CLASE B CONVERTIBLES SIN VOTO 15,0 15,0 PSG PROSEGUR 7,0 3,0 PVA PESCANOVA,S.A. QBT QUABIT INMOBILIARIA, S.A. 30,0 30,0 R4 RENTA 4 BANCO, S.A. RDM RENO DE MEDICI,S.P.A. SERIE A 25,0 25,0 REE RED ELECTRICA CORPORACION, S.A. 5,0 2,0
3 REN RENTA CORPORACION REAL ESTATE, S.A. 5,0 4,0 REP REPSOL, S.A. 6,0 1,5 REY REYAL URBIS S.A. 8,0 8,0 RIO BODEGAS RIOJANAS,S.A. 10,0 8,0 RLIA REALIA BUSINESS, S.A. 10,0 8,0 ROVI LABORATORIOS FARMACEUTICOS ROVI S.A. 8,0 8,0 SAB BANCO DE SABADELL 6,0 2,5 SAN BANCO SANTANDER S.A. 6,0 2,5 SED LA SEDA DE BARCELONA, S.A. SERIE B 10,0 8,0 SLR SOLARIA ENERGIA Y MEDIO AMBIENTE, S.A. 5,0 4,0 SNC SNIACE 12,0 12,0 SPS SERVICE POINT SOLUTIONS, S.A. 25,0 25,0 SYV SACYR VALLEHERMOSO, S.A. 7,0 3,0 TEC TECNOCOM, TELECOMUNICACIONES Y ENERGIA 10,0 8,0 TEF TELEFONICA,S.A. 5,0 2,5 TL5 MEDIASET ESPAÐA COMUNICACION, S.A. 7,0 2,5 TRE TECNICAS REUNIDAS S.A. 7,0 2,5 TRG TUBOS REUNIDOS S.A. 8,0 8,0 TUB TUBACEX, S.A. 7,0 4,0 TVX GRUPO TAVEX, S.A. 15,0 15,0 UBS URBAS GRUPO FINANCIERO, S.A. 50,0 50,0 URA ACCIONES URALITA, S.A. 10,0 10,0 VER VERTICE TRESCIENTOS SESENTA GRADOS, S.A. 25,0 25,0 VID VIDRALA, S.A. 7,0 4,0 VIS VISCOFAN, S.A. 6,0 3,0 VOC VOCENTO 10,0 8,0 ZEL ZELTIA,S.A. ZOT ZARDOYA OTIS, S.A. 6,0 3,0 FIXING MARKET RANGES Code Name % Static % Dynamic 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 ETF RANGES Code Name % Static % Dynamic 2INVE LYXOR ETF IBEX 35 DOBLE INVERSO DIARIO 10,0 4,0 AHJ LYXOR ETF FTSE EPRA/NAREIT ASIA EX-JAPAN ASI LYXOR ETF CHINA ENTERPRISE (HSCEI)
4 BBVAB ACCION BRASIL ETF, FI COTIZADO (EN LIQUIDACION) BBVAD AFI BONOS MEDIO PLAZO EURO ETF FI (EN LIQUIDACION) BBVAE ACCION DJ EUROSTOXX50 ETF,F.I. BBVAI ACCION IBEX 35 ETF F.I. BBVAL ACCIÓN LATAM TOP ETF FI (EN LIQUIDACION) BBVAM AFI MONETARIO EURO ETF FI (EN LIQUIDACION) BNK LYXOR ETF STOXX EUROPE 600 BANKS BRAS LYXOR ETF BRAZIL (IBOVESPA) BSX LYXOR ETF EUROSTOXX 50 DAILY SHORT CEC LYXOR ETF EASTERN EUROPE (CECE EUR) CRB LYXOR ETF COMMODITIES THOMSON REUTERS/JEFFERIES CRB TR CRN LYXOR ETF COMMODITIES THOMSON REUTERS/JEFFERIES CRB EX- 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 DXIBX DB X-TRACKERS IBEX 35 UCITS ETF 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 DXS7S DB X-TRACKERS STOXX EUROPE 600 BANKS SHORT DAILY UCITS 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 ETF MTS SPAIN GOVERNMENT BOND ALL-MATURITY (SICAV MULTI UNITS FRANCE) GWT LYXOR ETF MSCI EMU GROWTH HLT LYXOR ETF STOXX EUROPE 600 HEALTH CARE IBEXA LYXOR ETF IBEX 35 DOBLE APALANCADO DIARIO C-EUR 10,0 4,0 IBEXI ACCION IBEX 35 INVERSO ETF (EN LIQUIDACION) IBOXI BBVA IBOXX EURO SOV.3-5 AÑOS SHORT INDEX ETF (EN LIQUIDACION) INR LYXOR ETF MSCI INDIA INVEX LYXOR ETF IBEX 35 INVERSO JPN LYXOR ETF JAPAN (TOPIX) LEM LYXOR ETF MSCI EMERGING MARKETS
5 LEV LYXOR ETF EURO STOXX 50 DAILY LEVERAGE LTM LYXOR ETF MSCI EM LATIN AMERICA LYXIB LYXOR ETF IBEX 35 MAA LYXOR ETF EUROMTS HIGHEST RATED MACRO-WEIGHTED GOVT BONDS MEU LYXOR ETF MSCI EUROPE MMS LYXOR ETF MSCI EMU SMALL CAP MSE LYXOR ETF EURO STOXX 50 MUA LYXOR ETF FTSE EPRA/NAREIT UNITED STATES OIL LYXOR ETF STOXX EUROPE 600 OIL & GAS RUSS LYXOR ETF RUSSIA (DOW JONES RUSSIA GDR) SEL LYXOR ETF STOXX EUROPE SELECT DIVIDEND 30 SP5 LYXOR ETF S&P 500 CLASE A TEL LYXOR ETF STOXX EUROPE 600 TELECOMUNICATIONS UST LYXOR ETF NASDAQ-100 UTI LYXOR ETF STOXX EUROPE 600 UTILITIES VALU LYXOR ETF MSCI EMU VALUE WAT LYXOR ETF WORLD WATER WLD LYXOR ETF MSCI WORLD SUBSCRIPTION RIGHTS RANGES Subscription rights shall only have an associated static range which shall fluctuate depending on the reference price, so that: - If the reference price of the subscription right is equal to or less than 0.10, the static range shall be 500%. - If the reference price of the subscription right is above 0.10, the static range shall be 100%. Madrid, August 29, 2013 Trading and Supervisory Committee COORDINATOR Signed: Beatriz Alonso-Majagranzas Cenamor The English translation is for the convenience of English-speaking readers. However, only the Spanish text has any legal value. Consequently, the translation may not be relied upon to sustain any legal claim, nor should it be used as the basis of any legal opinion. Sociedad de Bolsas, S.A. expressly disclaims all liability for any inaccuracy herein.
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