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Alphanumeric code which acts as unique identifier of a financial instrument
Refers to the instrument’s currency of denomination
Date on which the certificate ceases to exist
Internal description of certificate structure
May be total or partial depending on whether the certificate returns at least all or part of the nominal capital invested at expiry to the investor
Minimum percentage share of the issue price returned to the investor at expiry
Share, equity index, currency, commodity or any other financial asset on which the value of the certificate depends

I Certificates sono “derivati cartolarizzati”, emessi generalmente da Banche d'investimento per offrire agli investitori strumenti flessibili e idonei a soddisfare diverse esigenze di investimento e in diversi scenari di mercato.
Si tratta di strumenti finanziari che possono essere indicizzati a diverse tipologie di sottostanti: indici o titoli azionari, valute, commodities, etc..
Le strutture finanziarie sono molte e possono esporre l’investitore all’andamento del sottostante in modi molto diversi, ad esempio partecipare solo alla performance positiva, avere un payoff massimo o un minimo garantito, garantire il pagamento di premi periodici o il rimborso anticipato al verificarsi di determinate condizioni. I Certificates possono essere:

  • A capitale garantito/protetto: con garanzia del rimborso dell’intero capitale investito a scadenza
  • A capitale parzialmente garantito/protetto: con garanzia del rimborso solo di una parte del capitale investito a scadenza
  • A capitale condizionatamente protetto: con garanzia del capitale investito a scadenza solo al verificarsi di determinate condizioni.
I Certificates, una volta emessi, vengono quotati principalmente su due mercati: Sedex di Borsa Italiana, o sul segmento Cert-X di EuroTLX, e tipicamente l’emittente opera come Market Maker o Liquidity Provider per garantirne la liquidità.

ISIN
Currency
Maturity
product type
Capital Protection
Underlying
Bid/Ask
Currency:
EUR
Maturity:
30/08/2029
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX SELECT DIVIDEND 30
Bid/Ask:
891.3 / 0
Barrier:75%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 0
Minimum Price since Listing Date: 0
Performance since Issue Date %: -3.965
Daily Performance %: 0
Note:
Currency:
EUR
Maturity:
10/05/2028
Capital Protection:
Protetto/garantito
Underlying:
FTSE/MIB
Bid/Ask:
939.62 / 949.07
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 991.18
Minimum Price since Listing Date: 913.55
Performance since Issue Date %: -3.773
Daily Performance %: 0.099
Note:
Currency:
EUR
Maturity:
20/07/2026
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX 50
Bid/Ask:
19,217.2 / 0
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 0
Minimum Price since Listing Date: 0
Performance since Issue Date %: -1.226
Daily Performance %: 0
Note:
Currency:
EUR
Maturity:
02/07/2029
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX SELECT DIVIDEND 30
Bid/Ask:
896.26 / 0
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 881.84
Minimum Price since Listing Date: 881.84
Performance since Issue Date %: -4.187
Daily Performance %: -0.548
Note:
Currency:
EUR
Maturity:
03/03/2027
Capital Protection:
Protetto/garantito
Underlying:
FTSE/MIB
Bid/Ask:
953.66 / 0
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 937.57
Minimum Price since Listing Date: 933.29
Performance since Issue Date %: -2.868
Daily Performance %: -0.01
Note:
Currency:
EUR
Maturity:
27/05/2027
Capital Protection:
Condizionatamente protetto
Underlying:
FTSEMIB IDX/EUROSTOX
Bid/Ask:
920.07 / 0
Barrier:50%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 0
Minimum Price since Listing Date: 0
Performance since Issue Date %: -6.911
Daily Performance %: 0
Note:
Currency:
EUR
Maturity:
09/12/2026
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX SELECT DIVIDEND 30
Bid/Ask:
919.99 / 0
Barrier:100%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 925.39
Minimum Price since Listing Date: 922.98
Performance since Issue Date %: -4.369
Daily Performance %: -0.041
Note:
Currency:
EUR
Maturity:
30/11/2027
Capital Protection:
Protetto/garantito
Underlying:
FTSE/MIB
Bid/Ask:
0 / 0
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 1,037.5
Minimum Price since Listing Date: 985.32
Performance since Issue Date %: 4.798
Daily Performance %: 0.668
Note:
Currency:
EUR
Maturity:
30/11/2027
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX SELECT DIVIDEND 30
Bid/Ask:
0 / 936.89
Barrier:100%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 1,050
Minimum Price since Listing Date: 918.29
Performance since Issue Date %: -4.494
Daily Performance %: 0.389
Note:
Currency:
EUR
Maturity:
20/07/2027
Capital Protection:
Protetto/garantito
Underlying:
EURO STOXX SELECT DIVIDEND 30
Bid/Ask:
917.99 / 0
Barrier:0%
Callability: No
Listing market: TLX - EUROTLX MARKET
Mininum Allotment: 1
Maximum Price since Listing Date: 981.3
Minimum Price since Listing Date: 914.35
Performance since Issue Date %: -5.263
Daily Performance %: -0.125
Note: