Emissione fino a 15.000 Certificati denominati “Certificati Express legati all’Indice EURO STOXX® Banks (EUR, Price) con scadenza 23 febbraio 2026”

ISIN: IT0005479545

Product Type: Express

trend

BID

NaN

ASK

NaN

PERFORMANCE SINCE ISSUE DATE

NaN %

MAX

NaN

MIN

NaN

Listing market:
Underlying :

Product features

Issue Date: 16/02/2022
Status: Placed
Issue Price: NaN
Capital Protection: Condizionatamente protetto
Cap Level (%): NaN
Barrier Level (%): NaN
Callability:
Expiry Date : 23/02/2026
Currency: EUR
Strike date:
Initial Reference Level €: NaN
Protection level:
Barrier Level: NaN
Barrier Type:
Note:
Trading Data
Bid /Ask: NaN / NaN
Minimum number of certificates that can be acquired by each investor (usually 1)
Mininum Allotment:
Market on which the certificate is quoted
Listing market:
Highest price reached since day on which the product was first quoted
Maximum Price since Listing Date: NaN
Lowest price reached since day on which the product was first quoted
Minimum Price since Listing Date: NaN
Return on product, defined as current day’s closing price relative to closing price recorded at day t-1
Daily Performance %: NaN
Return on product, defined as current day’s closing price relative to closing price recorded at issue date
Performance since Issue Date %: NaN
Notes, if any, explaining the product
Note:
Underlying
Share, equity index, currency, commodity or any other financial asset on which the value of the certificate depends
Underlying :
Describes the type of underlying instrument, e.g. equal weight basket of shares/worst-off or best-off basket
Type:
Alphanumeric code which acts as unique identifier of a financial instrument
ISIN:

Attached documents

PRIIPS/KID PRIIPS/KID
IT0005479545