Disclaimer Mediobanca

The information on financial products contained on this website (the “Information”) does not constitute a recommendation or invitation to acquire or sell any financial product or investment advice. The financial products to which the Information refers may not be suitable for your investment objectives. In order to understand the risks involved in the transactions and take an appropriate investment decision it will be necessary to consider the information in the light of your knowledge and experience, resources, financial situation and investment objectives. If you are interested in receiving further information on the financial products described in this website, read the prospectus prepared for each financial product and consult your financial advisor.

The information contained in this website is exclusively for the use of visitors to this website, and it is forbidden to copy, transfer, transcribe, distribute or reproduce the information, or create a link to this website, without prior agreement from Mediobanca.

Mediobanca declines all responsibility for the accuracy of contents of other websites which contain links to this website or which can be reached through a link to such websites. If there are links to any external websites, these should not be construed as having been checked or reviewed by Mediobanca, even only for purposes of completeness.

The financial products to which the information refers have not been and will not be registered under the United States Securities Act of 1933, and accordingly may not be offered, sold, resold or delivered directly or indirectly in the United States or on behalf or for the benefit of “US persons”, or to other parties in order to be offered or resold in the United States or to “US persons”.

Furthermore, the information may not be transmitted, disclosed or otherwise distributed in Canada, Australia, Japan or in other countries in which the offering of the financial products to which the information refers or the invitation to offer or promotional activity in respect of such products is not permitted without specific exemptions or authorizations from the competent authorities.

If you have read and understood the above disclaimer in full you may proceed to view the following pages. However, before taking any investment decisions you are advised to read the information prospectus prepared for each financial product again carefully.

 

I CONFIRM THAT TERMS AND CONDITIONS HAVE BEEN READ AND ACCEPTED

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.

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Recent issuance

ISIN Currency Maturity Product Type Status Underlying Capital Protection
IT0005720088 Currency
EUR
Maturity
16 Sep 31
Product type Protection (Cap) Status
Placement
Underlying EURO STOXX Select Dividend 30 GG Capital protection
Total
IT0005723777 Currency
EUR
Maturity
02 Sep 30
Product type Phoenix Autocallable Status
Placement
Underlying Commerzbank AG, Societe Generale SA, UniCredit SpA Capital protection
Conditional
IT0005720757 Currency
EUR
Maturity
25 Aug 32
Product type Express Status
Placement
Underlying EURO STOXX 50, EURO STOXX Banks Capital protection
Conditional
XS3453597455 Currency
EUR
Maturity
11 Feb 30
Product type Phoenix Autocallable Status
Placement
Underlying Bayer AG, Novartis AG, Sanofi SA Capital protection
Conditional
XS3445031845 Currency
EUR
Maturity
20 Dec 30
Product type Credit Linked Status
Placement
Underlying Markit iTraxx Europe Crossover Index S44 Capital protection
None
XS3445031332 Currency
USD
Maturity
20 Dec 30
Product type Credit Linked Status
Placement
Underlying Markit iTraxx Europe Main Index S44 Capital protection
None
IT0005722837 Currency
EUR
Maturity
19 Aug 31
Product type Phoenix Autocallable Status
Placement
Underlying EURO STOXX Banks, EURO STOXX® Technology Capital protection
Conditional
XS3231411003 Currency
EUR
Maturity
20 Dec 32
Product type Credit Linked Status
Placement
Underlying Debito Subordinato di UniCredit S.p.A. Capital protection
None
IT0005723629 Currency
EUR
Maturity
09 Aug 32
Product type Express Status
Placed
Underlying EURO STOXX 50, EURO STOXX Banks Capital protection
Conditional
XS3439304372 Currency
EUR
Maturity
27 Jul 29
Product type Phoenix Autocallable Status
Placed
Underlying Commerzbank AG, Banco Santander SA Capital protection
Conditional
IT0005719593 Currency
EUR
Maturity
05 Aug 30
Product type Phoenix Status
Placed
Underlying Amazon.com Inc, Meta Platforms Inc, NVIDIA Corp Capital protection
Conditional
IT0005709487 Currency
EUR
Maturity
30 Jun 31
Product type Phoenix Autocallable Status
Placed
Underlying EURO STOXX 50, MSCI Emerging Markets, S&P 500 Equal Weighted Capital protection
Conditional
IT0005719585 Currency
EUR
Maturity
05 Aug 30
Product type Phoenix Autocallable Status
Placed
Underlying Broadcom Inc., Microsoft Corp., Oracle Corp Capital protection
Conditional
XS3435297166 Currency
EUR
Maturity
22 Jan 29
Product type Phoenix Autocallable Status
Placed
Underlying Banca Mediolanum S.p.A., Poste Italiane SpA Capital protection
Conditional
IT0005719957 Currency
EUR
Maturity
31 Jul 28
Product type Phoenix Autocallable Status
Placed
Underlying EURO STOXX Banks, Nikkei 225, S&P 500 Capital protection
Conditional
IT0005723025 Currency
EUR
Maturity
24 Jul 29
Product type Phoenix Autocallable Status
Trading
Underlying Prysmian S.p.A., Ferrari NV, UniCredit SpA Capital protection
Conditional
IT0005717787 Currency
EUR
Maturity
28 Jan 30
Product type Bonus (Cap) Status
Trading
Underlying Eni SpA, UniCredit SpA Capital protection
Conditional
IT0005717522 Currency
EUR
Maturity
24 Jul 31
Product type Phoenix Autocallable Status
Trading
Underlying EURO STOXX Europe 600 Basic Resources Price EUR, EURO STOXX Europe 600 Health Care (EUR, Price) Capital protection
Conditional
XS3422163231 Currency
EUR
Maturity
10 Jul 31
Product type Phoenix Autocallable Status
Trading
Underlying BPER Banca, Poste Italiane SpA, UniCredit SpA Capital protection
Conditional
XS3430521891 Currency
EUR
Maturity
17 Jul 28
Product type Phoenix Autocallable Status
Trading
Underlying Intesa Sanpaolo SpA, UniCredit SpA Capital protection
Conditional
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