Mediobanca Certificates
Mediobanca Certificates
Mediobanca Certificates is the division of Mediobanca that operates in the market of securitized derivative products to offer investors flexible tools suitable for meeting various investment needs and in different market scenarios.
Recent issuance
| ISIN | Currency | Maturity | Product Type | Status | Underlying | Capital Protection | 
|---|---|---|---|---|---|---|
| IT0005675365 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  27 Dec 29
 
           | 
                                                                                        Product type Cash Collect | 
Status
 
  Placement
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005676512 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  10 Dec 29
 
           | 
                                                                                        Product type Express | 
Status
 
  Placement
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005674590 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  28 Nov 30
 
           | 
                                                                                        Product type Protection (Cap) | 
Status
 
  Placement
 
           | 
                                                                                        Underlying EURO STOXX Banks, EURO STOXX Insurance | 
Capital protection
 
  Total
 
           | 
              
| XS3225125114 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  17 Nov 26
 
           | 
                                                                                        Product type Cash Collect | 
Status
 
  Placement
 
           | 
                                                                                        Underlying Ferrari NV | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005675134 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  27 Nov 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placement
 
           | 
                                                                                        Underlying Enel SpA, Intesa Sanpaolo SpA, Ferrari NV | 
Capital protection
 
  Conditional
 
           | 
              
| XS3218616871 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  20 Dec 35
 
           | 
                                                                                        Product type Credit Linked | 
Status
 
  Placement
 
           | 
                                                                                        Underlying Commerzbank AG | 
Capital protection
 
  None
 
           | 
              
| XS3216967086 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  12 Nov 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placement
 
           | 
                                                                                        Underlying LVMH Moet Hennessy Louis Vuitton SE, Ferrari NV | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005674277 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  14 Nov 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placement
 
           | 
                                                                                        Underlying Banco BPM SpA, Banco Bilbao Vizcaya Argentaria SA, Commerzbank AG | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005671331 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  10 Nov 31
 
           | 
                                                                                        Product type Express | 
Status
 
  Placement
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005671281 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  27 Dec 29
 
           | 
                                                                                        Product type Cash Collect | 
Status
 
  Placement
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| XS3211895803 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  07 May 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying Banca Mediolanum, Poste Italiane SpA | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005672511 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  12 Nov 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying AXA SA, RWE AG, UniCredit SpA | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005671992 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  07 Nov 29
 
           | 
                                                                                        Product type Cash Collect Autocallable | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying BNP Paribas SA, Engie SA, LVMH Moet Hennessy Louis Vuitton SE | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005674541 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  03 Nov 31
 
           | 
                                                                                        Product type Express | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005674632 | 
Currency
 
  USD
 
           | 
                                                                                        
Maturity
 
  03 Nov 31
 
           | 
                                                                                        Product type Express | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005674533 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  23 Dec 31
 
           | 
                                                                                        Product type Protection (Cap) | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Total
 
           | 
              
| XS3194916436 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  05 Nov 29
 
           | 
                                                                                        Product type Protection (Cap) | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying Eni SpA | 
Capital protection
 
  Total
 
           | 
              
| XS3198980180 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  20 Apr 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying Rheinmetall AG | 
Capital protection
 
  Conditional
 
           | 
              
| XS3198981311 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  20 Apr 29
 
           | 
                                                                                        Product type Phoenix Autocallable | 
Status
 
  Placed 
 
           | 
                                                                                        Underlying Kering SA | 
Capital protection
 
  Conditional
 
           | 
              
| IT0005669830 | 
Currency
 
  EUR
 
           | 
                                                                                        
Maturity
 
  27 Dec 29
 
           | 
                                                                                        Product type Phoenix | 
Status
 
  Trading
 
           | 
                                                                                        Underlying EURO STOXX 50, EURO STOXX Banks | 
Capital protection
 
  Conditional
 
           | 
              

