Categoria Capitale Protetto Condizionato - sottostante Unicredit (42)


isin nome sottostante emittente strike scadenza
NL0012877088  ATHENA CERTIFICATE  Unicredit Bnp Paribas 15,164 09/08/2021
XS1638611605  FIXED PREMIUM ATHENA CRESCENDO  Unicredit Bnp Paribas 16,91 29/10/2021
XS1787681581  PHOENIX MEMORY  Unicredit Bnp Paribas 14,05 21/06/2021
XS1996181563  FIXED CASH COLLECT  Unicredit Bnp Paribas 10,804 02/10/2023
XS1996485519  CASH COLLECT AUTOCALLABLE  Unicredit Bnp Paribas 10,804 02/10/2023
XS2013029512  PHOENIX MEMORY  Unicredit Bnp Paribas 11,484 06/11/2023
XS2024898855  PHOENIX MEMORY  Unicredit Bnp Paribas 11,66 08/11/2021
XS1273322823  PHOENIX MEMORY  Unicredit Citigroup 10,69 10/10/2024
XS1520290476  RECOVERY BONUS CAP  Unicredit Credit Suisse 27,873 05/07/2021
DE000DC42KK5  PHOENIX MEMORY  Unicredit Deutsche Bank 10,75 04/07/2023
DE000DT7HZC6  PHOENIX MEMORY  Unicredit Deutsche Bank 18,1207 19/03/2021
DE000DT7HZD4  EXPRESS  Unicredit Deutsche Bank 18,1207 26/03/2021
XS1309732052  PHOENIX  Unicredit Deutsche Bank 17,05 06/12/2021
XS1623958151  EXPRESS  Unicredit Deutsche Bank 14,296 06/07/2023
GB00BJ4BFJ54  CASH COLLECT CALLABLE  Unicredit Goldman Sachs 10,656 26/07/2021
GB00BKD0VB43  PHOENIX MEMORY  Unicredit Goldman Sachs 11,484 06/11/2024
XS1907202847  PHOENIX MEMORY  Unicredit Societe Generale 11,6314 15/09/2022
DE000UY5C705  EXPRESS  Unicredit Ubs 10,02 14/06/2024
DE000UY5C705  EXPRESS  Unicredit Ubs 10,02 14/06/2024
DE000UY5C705  EXPRESS  Unicredit Ubs 10,02 14/06/2024