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ISIN | Currency | Maturity | Product type | Status | Underlying | Capital Protection |
---|---|---|---|---|---|---|
IT0005634883 |
Currency
EUR
|
Maturity
06 Mar 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Assicurazioni Generali SpA, UniCredit SpA | Capital protection Conditional |
XS3000983554 |
Currency
EUR
|
Maturity
28 Feb 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying RWE AG | Capital protection Conditional |
XS3000981699 |
Currency
EUR
|
Maturity
28 Feb 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying BP P.L.C | Capital protection Conditional |
XS3000981855 |
Currency
EUR
|
Maturity
29 Feb 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Halliburton Co | Capital protection Conditional |
XS3018866320 |
Currency
USD
|
Maturity
28 Mar 28
|
Product type Protection (Cap) |
Status
Trading
|
Underlying SPDR Gold Shares ETF, S&P 500 | Capital protection Total |
IT0005644932 |
Currency
EUR
|
Maturity
12 May 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying ASML Holding NV, Eni SpA, Snam SpA | Capital protection Conditional |
IT0005646119 |
Currency
EUR
|
Maturity
12 May 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Caterpillar Inc, Colgate-Palmolive Company, Chevron Corp | Capital protection Conditional |
IT0005650681 |
Currency
EUR
|
Maturity
05 Jun 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Banco BPM SpA, Banca Monte dei Paschi di Siena S.p.A. | Capital protection Conditional |
IT0005651309 |
Currency
EUR
|
Maturity
31 May 27
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Assicurazioni Generali SpA, SAP SE | Capital protection Conditional |
IT0005655722 |
Currency
EUR
|
Maturity
01 Jul 27
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying BP P.L.C , TotalEnergies SE | Capital protection Conditional |
IT0005413833 |
Currency
EUR
|
Maturity
30 Jun 27
|
Product type Protection (Cap) |
Status
Trading
|
Underlying EURO STOXX Select Dividend 30 | Capital protection Total |
XS2324751374 |
Currency
EUR
|
Maturity
13 Apr 27
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX Banks, EURO STOXX Select Dividend 30 | Capital protection Conditional |
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