Mediobanca Certificates
A SINGLE DESTINATION
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 issues
ISIN | Currency | Maturity | Product Type | Status | Underlying | Capital Protection |
---|---|---|---|---|---|---|
IT0005628000 |
Currency
USD
|
Maturity
09 Jan 29
|
Product type Protection (Cap) |
Status
Placement
|
Underlying NASDAQ 100 |
Capital protection
Total
|
XS2963548560 |
Currency
EUR
|
Maturity
20 Dec 27
|
Product type Credit Linked |
Status
Placement
|
Underlying BNP Paribas SA |
Capital protection
None
|
IT0005626756 |
Currency
EUR
|
Maturity
31 Dec 27
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying Eni SpA |
Capital protection
Conditional
|
IT0005626749 |
Currency
EUR
|
Maturity
31 Dec 27
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying EURO STOXX® 600 Basic Resources (EUR, Price) , EURO STOXX® 600 Insurance (EUR, Price) , STOXX 600 Oil & Gas |
Capital protection
Conditional
|
IT0005625519 |
Currency
EUR
|
Maturity
15 Jan 29
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying EURO STOXX 50, EURO STOXX Banks, S&P 500 |
Capital protection
Conditional
|
XS2963540237 |
Currency
EUR
|
Maturity
30 Jun 28
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying BNP Paribas SA, Societe Generale SA, Banco Santander SA |
Capital protection
Conditional
|
IT0005625295 |
Currency
EUR
|
Maturity
10 Jan 29
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying BNP Paribas SA, ING Groep NV, Banco Santander SA |
Capital protection
Conditional
|
IT0005624181 |
Currency
USD
|
Maturity
20 Dec 28
|
Product type Protection (Cap) |
Status
Placed
|
Underlying S&P 500 |
Capital protection
Total
|
XS2956100775 |
Currency
EUR
|
Maturity
23 Jun 28
|
Product type Phoenix Autocallable |
Status
Placed
|
Underlying ING Groep NV, Banco Santander SA |
Capital protection
Conditional
|
XS2961454910 |
Currency
USD
|
Maturity
28 Dec 27
|
Product type Protection (Cap) |
Status
Placed
|
Underlying QQQ UQ Equity |
Capital protection
Total
|
XS2957343531 |
Currency
EUR
|
Maturity
19 Jun 28
|
Product type Phoenix Autocallable |
Status
Placed
|
Underlying Banco BPM SpA |
Capital protection
Conditional
|
IT0005623357 |
Currency
EUR
|
Maturity
27 Dec 30
|
Product type Express |
Status
Placed
|
Underlying EURO STOXX 50, EURO STOXX Banks |
Capital protection
Conditional
|
IT0005625451 |
Currency
EUR
|
Maturity
23 Mar 29
|
Product type Cash Collect |
Status
Placed
|
Underlying EURO STOXX 50, EURO STOXX Banks |
Capital protection
Conditional
|
IT0005625469 |
Currency
EUR
|
Maturity
23 Dec 30
|
Product type Express |
Status
Placed
|
Underlying EURO STOXX 50, EURO STOXX Banks |
Capital protection
Conditional
|
IT0005622987 |
Currency
EUR
|
Maturity
02 Jan 30
|
Product type Express |
Status
Placed
|
Underlying Hang Seng China Enterprises |
Capital protection
Conditional
|
IT0005622193 |
Currency
EUR
|
Maturity
06 Dec 27
|
Product type Bonus (Cap) |
Status
Placed
|
Underlying Intel Corp |
Capital protection
Conditional
|
IT0005621674 |
Currency
EUR
|
Maturity
06 Dec 27
|
Product type Bonus (Cap) |
Status
Placed
|
Underlying Engie SA |
Capital protection
Conditional
|
XS2962982471 |
Currency
EUR
|
Maturity
30 Jun 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying BNP Paribas SA, Banco Santander SA |
Capital protection
Conditional
|
XS2943571732 |
Currency
USD
|
Maturity
07 Dec 26
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Synopsys Inc, Exxon Mobil Corp |
Capital protection
Conditional
|
XS2947871864 |
Currency
EUR
|
Maturity
12 Jun 28
|
Product type Phoenix Autocallable |
Status
Trading
|
Underlying Eni SpA, Repsol SA |
Capital protection
Conditional
|