For security reasons, only alphanumeric characters can be used. Please change your input.
Error 503 - Technical error. Please try again. If the problem persists, please contact customer service.
Master data
Issuer
NATIXIS
Product
INDX/NATIXIS 25
Domicile
FR
Issue Date
-
Maturity Date
12/29/2025
Last Listing Date
-
Issue Volume
-
Issue Price
100.00
Instr. Unit
Nominal (par value/face value)
CCY
EUR
ISIN
FR0012799211
Valor
28570365
Symbol
0039N
Call by Holder
No
Call by Issuer
No
Important data
Strike
-
Ratio
Instrument type
Structured instruments
Main data
Last
-
17:27:05
+134.87%
Close
-
06/19/2025
+132.79%
Day Change %
-
-
+0.16%
Day Change
-
-
+0.21
Volume
-
-
-
Turnover
-
-
1,195,110.00
Previous year close
-
12/31/2024
+130.43%
YTD %
-
-
-
Eusipa coding
Eusipa Category
EUSIPA Class
Product Class
-
Difference trading
Open
-
-
-
Bid
-
-
-
Bid Size
-
-
-
Ask
-
-
-
Ask Size
-
-
-
Difference price
Previous Day High
132.79 %
Previous Day Low
132.79 %