Bnp Paribas CASH COLLECT MEMORY STEP DOWN - XS2451626936

Codice ISIN: 
XS2451626936
Alpha Code: 
X62693
Commercial Name: 
CASH COLLECT MEMORY STEP DOWN
Categoria Acepi: 
Capitale condizionatamente protetto
Premio anticipato o importo addizionale: 
1,370
Asset class: 
-
Barriera: 
Discreta
Sottostante: 
Basket di azioni worst of
Barriera down: 
55,000%
Mercato: 
CERT-X
Fase: 
quotazione
Data di emissione: 
15.12.2022
Barriera violata: 
NO
Data di scadenza: 
27.12.2024
Divisa di negoziazione: 
EUR
KID: 
KID
Cedola: 

Basket Sottostanti

Sottostante Strike Codice
Cie Financiere Richemont 123,469 CFR SE Equity
Capri Holdings 58,780 CPRI UN Equity
Salvatore Ferragamo 17,680 SFER IM Equity
Kering 524,700 KER FP Equity

Rilevamenti

Date Premio per il rimborso Trigger autocallable Cedola Trigger Cedola Stato Cedola Importo
14.10.2024 1,370% 75,000% 1,370% 55,000%
14.11.2024 1,370% 75,000% 1,370% 55,000%
16.12.2024 1,370% 55,000% 0,000% 0,000%
17.01.2023 0,000% 0,000% 1,370% 55,000% Pagata 1,37
14.02.2023 0,000% 0,000% 1,370% 55,000% Pagata 1,37
14.03.2023 0,000% 0,000% 1,370% 55,000% Pagata 1,37
14.04.2023 0,000% 0,000% 1,370% 55,000% Pagata 1,37
15.05.2023 0,000% 0,000% 1,370% 55,000% Pagata 1,37
14.06.2023 1,370% 100,000% 1,370% 55,000% Pagata 1,37
14.07.2023 1,370% 100,000% 1,370% 55,000% Pagata 1,37
14.08.2023 1,370% 100,000% 1,370% 55,000% Pagata 1,37
14.09.2023 1,370% 95,000% 1,370% 55,000% Pagata 1,37
16.10.2023 1,370% 95,000% 1,370% 55,000% Pagata 1,37
14.11.2023 1,370% 95,000% 1,370% 55,000% Pagata 1,37
14.12.2023 1,370% 90,000% 1,370% 55,000% Pagata 1,37
16.01.2024 1,370% 90,000% 1,370% 55,000%
14.02.2024 1,370% 90,000% 1,370% 55,000%
14.03.2024 1,370% 85,000% 1,370% 55,000%
15.04.2024 1,370% 85,000% 1,370% 55,000%
14.05.2024 1,370% 85,000% 1,370% 55,000%
14.06.2024 1,370% 80,000% 1,370% 55,000%
15.07.2024 1,370% 80,000% 1,370% 55,000%
14.08.2024 1,370% 80,000% 1,370% 55,000%
16.09.2024 1,370% 75,000% 1,370% 55,000%