Mediobanca Certificates
A SINGLE DESTINATION
Mediobanca Certificates
Mediobanca Certificates is the division of Mediobanca that operates in the market of securitized derivative products to offer investors flexible tools suitable for meeting various investment needs and in different market scenarios.
Highlighted certificates
ISIN | Currency | Maturity | Product Type | Status | Underlying | Capital Protection |
---|---|---|---|---|---|---|
IT0005592800 |
Currency
EUR
|
Maturity
23 May 28
|
Product type Express |
Status
Placement
|
Underlying EURO STOXX Utilities |
Capital protection
Conditional
|
IT0005595639 |
Currency
EUR
|
Maturity
29 Nov 27
|
Product type Phoenix |
Status
Placement
|
Underlying A2A SpA, Hera SpA, Italgas SpA |
Capital protection
Conditional
|
IT0005593816 |
Currency
EUR
|
Maturity
05 Jun 28
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying AXA SA, Eni SpA, FinecoBank Banca Fineco SpA |
Capital protection
Conditional
|
XS2822506320 |
Currency
EUR
|
Maturity
29 May 28
|
Product type Phoenix Autocallable |
Status
Placement
|
Underlying Enel SpA, Intesa Sanpaolo SpA |
Capital protection
Conditional
|
IT0005595142 |
Currency
EUR
|
Maturity
18 Jun 29
|
Product type Protection (Cap) |
Status
Placement
|
Underlying FTSE MIB |
Capital protection
Total
|
XS2802602669 |
Currency
EUR
|
Maturity
08 Nov 27
|
Product type Phoenix Autocallable |
Status
Placed
|
Underlying BNP Paribas SA, Intesa Sanpaolo SpA |
Capital protection
Conditional
|
XS2804490915 |
Currency
EUR
|
Maturity
15 Nov 27
|
Product type Phoenix Autocallable |
Status
Placed
|
Underlying Renault SA, Stellantis NV |
Capital protection
Conditional
|
XS2803391726 |
Currency
EUR
|
Maturity
08 Nov 27
|
Product type Phoenix Autocallable |
Status
Placed
|
Underlying Assicurazioni Generali SpA, Poste Italiane SpA |
Capital protection
Conditional
|
IT0005593022 |
Currency
EUR
|
Maturity
15 May 26
|
Product type Protection (Cap) |
Status
Placed
|
Underlying Euribor 3m |
Capital protection
Total
|
IT0005592354 |
Currency
USD
|
Maturity
03 Nov 25
|
Product type Protection (Cap) |
Status
Placed
|
Underlying Nvidia Corporation |
Capital protection
Partial
|
XS1900191369 |
Currency
EUR
|
Maturity
12 Nov 24
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1903449160 |
Currency
EUR
|
Maturity
19 Dec 24
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1916289264 |
Currency
EUR
|
Maturity
27 Dec 24
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1926174308 |
Currency
EUR
|
Maturity
28 Feb 25
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1951230983 |
Currency
EUR
|
Maturity
13 Mar 26
|
Product type Protection (Cap) |
Status
Trading
|
Underlying EURO STOXX Select Dividend 30 |
Capital protection
Total
|
XS1960652292 |
Currency
EUR
|
Maturity
30 Apr 25
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1984707916 |
Currency
EUR
|
Maturity
09 May 25
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|
XS1985121927 |
Currency
EUR
|
Maturity
25 May 26
|
Product type Protection (Cap) |
Status
Trading
|
Underlying EURO STOXX Select Dividend 30 |
Capital protection
Total
|
XS2007086445 |
Currency
EUR
|
Maturity
05 Jul 24
|
Product type Lock-in |
Status
Trading
|
Underlying EURO STOXX Banks |
Capital protection
Conditional
|
IT0005372377 |
Currency
EUR
|
Maturity
30 Jun 25
|
Product type Phoenix |
Status
Trading
|
Underlying EURO STOXX 50, FTSE MIB |
Capital protection
Conditional
|