Bnp Paribas CASH COLLECT MEMORY - NLBNPIT13DK9

Codice ISIN: 
NLBNPIT13DK9
Alpha Code: 
P13DK9
Commercial Name: 
CASH COLLECT MEMORY
Categoria Acepi: 
Capitale condizionatamente protetto
Premio anticipato o importo addizionale: 
1,100
Barriera: 
Discreta
Sottostante: 
Basket di azioni worst of
Strategia: 
Moderato rialzo
Barriera down: 
60,000%
Mercato: 
SEDEX
Fase: 
quotazione
Data di emissione: 
28.07.2021
Barriera violata: 
NO
Data di scadenza: 
30.07.2024
Divisa di negoziazione: 
EUR
KID: 
KID
Cedola: 

Basket Sottostanti

Sottostante Strike Codice
Tenaris 8,538 TEN IM Equity
Vestas Wind Systems 234,000 VWS DC Equity
Repsol 9,184 REP SQ Equity

Rilevamenti

Date Premio per il rimborso Trigger autocallable Cedola Trigger Cedola Stato Cedola Importo
31.08.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
01.10.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
02.11.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
01.12.2021 0,000% 0,000% 1,100% 0,000%
04.01.2022 0,000% 0,000% 1,100% 0,000%
25.01.2022 1,100% 100,000% 1,100% 0,000% Pagata 1,10
24.02.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.03.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
26.04.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.05.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.06.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
26.07.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.08.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
26.09.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
25.10.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
25.11.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
27.12.2022 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.01.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.02.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.03.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
25.04.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.05.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
26.06.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
25.07.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.08.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
26.09.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
24.10.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
27.11.2023 1,100% 100,000% 1,100% 60,000% Pagata 1,10
27.12.2023 1,100% 100,000% 1,100% 60,000%
24.01.2024 1,100% 100,000% 1,100% 60,000%
26.02.2024 1,100% 100,000% 1,100% 60,000%
26.03.2024 1,100% 100,000% 1,100% 60,000%
24.04.2024 1,100% 100,000% 1,100% 60,000%
24.05.2024 1,100% 100,000% 1,100% 60,000%
25.06.2024 1,100% 100,000% 1,100% 60,000%
23.07.2024 1,100% 60,000% 0,000% 0,000%
24.08.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
24.09.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
26.10.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
24.11.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10
28.12.2021 0,000% 0,000% 1,100% 0,000% Pagata 1,10