Express-Zertifikat
| Name Prefix | Suffix |
Währung | Valor ISIN |
Geld Geld Volumen |
Brief Brief Volumen |
Emittent Symbol |
Fälligkeit |
|---|---|---|---|---|---|---|
|
Reverse Convertible | 2025-06.10.26 (Exp.29.09.26) on Indices
|
USD |
149047131
CH1490471310
|
102.50
500'000
|
103.300003
500'000
|
Vontobel Financial Products Ltd
ZMAGHV
|
06.10.2026 |
|
Reverse Convertible | 2025-06.01.27 (Exp.30.12.26) on Indices
|
USD |
151620195
CH1516201956
|
101.50
100'000
|
102.300003
100'000
|
Vontobel Financial Products Ltd
ZMAEKV
|
06.01.2027 |
|
Reverse Convertible | 2026-20.01.27 (Exp.13.01.27) on Indices
|
USD |
151622271
CH1516222713
|
100.900002
100'000
|
101.699997
100'000
|
Vontobel Financial Products Ltd
ZMAHEV
|
20.01.2027 |
|
Reverse Convertible | 2026-21.01.27 (Exp.14.01.27) on Indices
|
USD |
151622668
CH1516226680
|
103.00
500'000
|
103.800003
500'000
|
Vontobel Financial Products Ltd
ZMAHIV
|
21.01.2027 |
|
Reverse Convertible | 2025-26.01.27 (Exp.19.01.27) on Indices
|
USD |
146634236
CH1466342362
|
103.80
100'000
|
104.80
100'000
|
UBS AG, London Branch
IIIIUU
|
26.01.2027 |
|
Reverse Convertible | 2026-12.02.27 (Exp.05.02.27) on Indices
|
USD |
152797850
CH1527978501
|
100.50
500'000
|
101.300003
500'000
|
Vontobel Financial Products Ltd
ZMAGPV
|
12.02.2027 |
|
Reverse Convertible | 2026-26.02.27 (Exp.22.02.27) on Indices
|
USD |
153459740
CH1534597401
|
99.900002
500'000
|
100.699997
500'000
|
Vontobel Financial Products Ltd
ZMAAOV
|
26.02.2027 |
|
Reverse Convertible | 2026-26.02.27 (Exp.22.02.27) on Indices
|
USD |
154941573
CH1549415730
|
100.300003
100'000
|
101.099999
100'000
|
Vontobel Financial Products Ltd
ZMAI3V
|
26.02.2027 |
|
Reverse Convertible | 2025-01.03.27 (Exp.22.02.27) on Basket
|
USD |
146102430
CH1461024304
|
98.699997
500'000
|
99.50
500'000
|
Vontobel Financial Products Ltd
ZMAF7V
|
01.03.2027 |
|
Reverse Convertible | 2024-02.04.27 (Exp.19.03.27) on Indices
|
CHF |
133621819
CH1336218198
|
100.11
150'000
|
-
-
|
EFG International Finance (Guernsey) Limited
HXPEFG
|
02.04.2027 |
|
Reverse Convertible | 2026-08.04.27 (Exp.02.04.27) on Indices
|
USD |
154938933
CH1549389331
|
102.50
100'000
|
103.300003
100'000
|
Vontobel Financial Products Ltd
ZMAI8V
|
08.04.2027 |
|
Reverse Convertible | 2026-29.04.27 (Exp.23.04.27) on Indices
|
USD |
154942620
CH1549426208
|
100.699997
500'000
|
101.699997
500'000
|
Vontobel Financial Products Ltd
ZMAJ5V
|
29.04.2027 |
|
Reverse Convertible | 2026-11.05.27 (Exp.05.05.27) on Indices
|
USD |
155969113
CH1559691139
|
100.800003
500'000
|
101.599999
500'000
|
Vontobel Financial Products Ltd
ZMAANV
|
11.05.2027 |
|
Reverse Convertible | 2026-14.05.27 (Exp.10.05.27) on Indices
|
USD |
155970275
CH1559702753
|
100.800003
500'000
|
101.599999
500'000
|
Vontobel Financial Products Ltd
ZMAF8V
|
14.05.2027 |
|
Reverse Convertible | 2025-23.08.27 (Exp.17.08.27) on Indices
|
USD |
150651524
CH1506515241
|
100.50
500'000
|
101.300003
500'000
|
Vontobel Financial Products Ltd
ZMAGXV
|
23.08.2027 |
|
Reverse Convertible | 2025-08.08.28 (Exp.01.08.28) auf Indizes
|
USD |
145341924
DE000VK90L33
|
100.00
500'000
|
101.00
500'000
|
Vontobel Financial Products GmbH
ZMAFPV
|
08.08.2028 |
|
Reverse Convertible | 2025-28.02.30 (Exp.21.02.30) on Indices
|
USD |
140337443
CH1403374437
|
-
-
|
-
-
|
UBS AG Jersey Branch
UUUUUU
|
28.02.2030 |