Top structured products
| Name Prefix | Suffix |
CCY | ISIN Valor number |
Bid Bid Size |
Ask Ask Size |
Maturity Date | Last Date/Time |
Day Change % Day Change |
Previous Month $ Turnover |
|---|---|---|---|---|---|---|---|---|
|
EUR | NLBNPIT1UT88
|
EUR |
NLBNPIT1UT88
129926189
|
157.15
900
|
160.45
100
|
01/02/2036 |
156.87
16:23:08
|
+5.09%
+7.60
|
4.94 M |
|
EUR | XS2842193687
|
EUR |
XS2842193687
136691277
|
1,149.29
100
|
1,148.95
5
|
07/31/2031 |
1,149.14
16:22:54
|
-0.06%
-0.69
|
3.704 M |
|
EUR | XS2767498467
|
EUR |
XS2767498467
133483257
|
1,005.88
240
|
1,011.93
20
|
03/30/2027 |
1,008.90
16:13:38
|
+0.14%
+1.39
|
3.636 M |
|
EUR | XS2651535341
|
EUR |
XS2651535341
129650330
|
1,024.93
23
|
-
-
|
09/14/2026 |
1,024.78
14:52:39
|
0.00%
0.00
|
3.048 M |
|
EUR | NLBNPIT23FO5
|
EUR |
NLBNPIT23FO5
135626628
|
34.30
4,000
|
35.15
400
|
01/04/2036 |
34.42
16:13:46
|
+5.52%
+1.80
|
2.738 M |
Market Overview
| Last | - |
|---|---|
| Day Change | - |
| Day Change % | - |
| Bid | - |
| Ask | - |
| YTD % Change | - |
| Exchange | FMCI |
Master data overview
| CCY | EUR |
|---|---|
| Shares outstanding | - |
| Sector | - |
| Share type | - |
Eusipa Categories
Yield Enhancement
| Title | Number |
|---|---|
| Express Certificate (1260) | 169 |
| Barrier Reverse Convertible (1230) | 39 |
| Express Certificate without Barriers (1255) | 7 |
| Reverse Convertible (1220) | 3 |
Participation
| Title | Number |
|---|---|
| Tracker Certificate (1300) | 5 |
| Bonus Certificate (1320) | 1 |
| Bonus Outperformance Certificate (1330) | 1 |
Leverage without Knock-Out
| Title | Number |
|---|---|
| Warrant (2100) | 779 |
Leverage with Knock-Out
| Title | Number |
|---|---|
| Mini-Future (2210) | 611 |
| Warrant Knock-Out (2200) | 533 |
| Open-End Knock-Out Warrant (2205) | 466 |