Express-Zertifikat
| Name Prefix | Suffix |
Währung | Valor ISIN |
Geld Geld Volumen |
Brief Brief Volumen |
Emittent Symbol |
Fälligkeit |
|---|---|---|---|---|---|---|
|
Reverse Convertible | 2025-03.09.26 (Exp.31.08.26) on Indices
|
USD |
147672348
CH1476723486
|
991.77
200
|
1'003.74
200
|
Leonteq Securities AG, Guernsey Branch
ADZVTQ
|
03.09.2026 |
|
Reverse Convertible | 2025-15.12.26 (Exp.09.12.26) on Indices
|
USD |
150655230
CH1506552301
|
100.40
500'000
|
101.20
500'000
|
Vontobel Financial Products Ltd
ZMAAHV
|
15.12.2026 |
|
Reverse Convertible | 2025-20.03.28 (Exp.15.03.28) on ESTXBnk EUR P
|
EUR |
142224128
CH1422241286
|
100.27
250'000
|
101.08
250'000
|
Banque Internationale a Luxembourg S.A.
AZTBIL
|
20.03.2028 |
|
Reverse Convertible | 2025-09.10.30 (Exp.02.10.30) on ESTXBnk EUR P
|
EUR |
145666929
FR00140132N5
|
-
-
|
-
-
|
Royal Bank of Canada, London Branch
AALQSP
|
09.10.2030 |
|
Reverse Convertible | 2025-05.12.30 (Exp.07.11.30) on ESTXBnk EUR P
|
EUR |
145666986
XS3151525188
|
-
-
|
-
-
|
Royal Bank of Canada, London Branch
AAM8SP
|
05.12.2030 |
|
Reverse Convertible | 2025-16.12.30 (Exp.02.12.30) on ESTXBnk EUR P
|
EUR |
147068519
FR0014011HA6
|
-
-
|
-
-
|
Royal Bank of Canada
AAJLSP
|
16.12.2030 |
|
Reverse Convertible | 2025-16.12.30 (Exp.02.12.30) on ESTXBnk EUR P
|
EUR |
147068520
FR0014011HB4
|
-
-
|
-
-
|
Royal Bank of Canada, London Branch
AAJOSP
|
16.12.2030 |
|
Reverse Convertible | 2025-26.12.30 (Exp.17.12.30) on ESTXBnk EUR P
|
USD |
151767462
CH1517674623
|
100.40
100'000
|
101.40
100'000
|
UBS AG Jersey Branch
CYPNSU
|
26.12.2030 |
|
Reverse Convertible | 2025-12.11.32 (Exp.29.10.32) on ESTXBnk EUR P
|
EUR |
145666945
XS3151509141
|
-
-
|
-
-
|
Royal Bank of Canada, London Branch
AAMGSP
|
12.11.2032 |