Equity Protection con Cedola - Prezzi


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CODICE
ISIN
SOTTOSTANTE PROTEZIONE SCADENZA DENARO LETTERA TS KID
IT0005353203 SMI 100% 15.12.2023 n.d. 113,05
IT0005359002 EUROSTOXX INSURANCE 100% 21.02.2024 97,35 n.d.
IT0005359275 EURO STOXX SELECT DIVIDEND 30 100% 16.02.2024 95,20 n.d.
IT0005364481 EURO STOXX 50 100% 15.03.2024 99,45 100,40
IT0005367856 EURO STOXX UTILITIES 100% 19.04.2024 100,60 101,60
IT0005377327 FTSE MIB 100% 22.07.2024 97,45 n.d.
IT0005377335 ENI 100% 16.07.2024 93,75 n.d.
IT0005380404 EURO STOXX OIL&GAS 100% 23.08.2024 93,85 n.d.
IT0005385676 EURO STOXX SELECT DIVIDEND 30 90% 06.11.2024 93,45 n.d.
IT0005390007 EURO STOXX SELECT DIVIDEND 30 95% 20.12.2024 88,35 n.d.
IT0005390015 EURO STOXX SELECT DIVIDEND 30 100% 19.12.2025 90,90 n.d.
IT0005394496 EURO STOXX 50 90% 30.01.2025 95,65 n.d.
IT0005396798 ENI 100% 05.02.2025 929,40 n.d.
IT0005399008 STOXX GLOBAL SELECT DIVIDEND 100 100% 20.02.2026 90,10 n.d.
IT0005399206 FTSE 100 95% 28.02.2025 93,35 n.d.
IT0005399594 EURO STOXX 50 100% 11.03.2026 936,75 n.d.
IT0005403826 EURO STOXX SELECT DIVIDEND 30 100% 20.03.2026 96,90 n.d.
IT0005408031 EURO STOXX SELECT DIVIDEND 30 100% 23.05.2025 1024,35 1034,55
IT0005411167 EURO STOXX SELECT DIVIDEND 30 100% 02.06.2023 99,20 n.d.
IT0005413833 EURO STOXX SELECT DIVIDEND 30 100% 30.06.2027 978,95 n.d.
IT0005414138 EURO STOXX UTILITIES 100% 30.06.2023 97,85 n.d.
IT0005415762 EURO STOXX SELECT DIVIDEND 30 100% 12.08.2025 942,85 n.d.
IT0005416521 EURO STOXX UTILITIES 100% 25.08.2023 97,50 n.d.
IT0005416760 Euro Stoxx 50 Low Carbon 95% 31.08.2023 96,65 n.d.
XS2173127957 EURO STOXX SELECT DIVIDEND 30 100% 23.06.2026 99,15 n.d.
XS2208608096 EURO STOXX OIL&GAS 100% 19.08.2027 95,15 n.d.