Bnp Paribas PHOENIX MEMORY AIRBAG - XS2749288325

Codice ISIN: 
XS2749288325
Alpha Code: 
XS8832
Commercial Name: 
PHOENIX MEMORY AIRBAG
Rimborso minimo: 
0,000
Categoria Acepi: 
Capitale condizionatamente protetto
Premio anticipato o importo addizionale: 
0,670
Tipologia: 
Cedola
Asset class: 
-
Barriera: 
Discreta
Sottostante: 
Basket di azioni worst of
Barriera up: 
0,000%
Strategia: 
Laterale
Barriera down: 
60,000%
Mercato: 
CERT-X
Partecipazione up: 
0,000%
Fase: 
quotazione
Partecipazione down: 
0,000%
Data di emissione: 
26.04.2024
Barriera violata: 
NO
Data di scadenza: 
23.04.2029
Divisa di negoziazione: 
EUR
KID: 
KID
Cedola: 
NO

Basket Sottostanti

Sottostante Strike Codice
Unicredit 35,330 UCG IM Equity
Banco BPM 6,116 BAMI IM Equity

Rilevamenti

Date Premio per il rimborso Trigger autocallable Cedola Trigger Cedola Stato Cedola Importo
14.05.2024 0,000% 0,000% 0,670% 60,000% Pagata 0,67
13.06.2024 0,000% 0,000% 0,670% 60,000% Pagata 0,67
12.07.2024 0,000% 0,000% 0,670% 60,000% Pagata 0,67
13.08.2024 0,000% 0,000% 0,670% 60,000% Pagata 0,67
12.09.2024 0,000% 0,000% 0,670% 60,000% Pagata 0,67
14.10.2024 0,000% 0,000% 0,670% 60,000%
14.11.2024 0,000% 0,000% 0,670% 60,000%
12.12.2024 0,000% 0,000% 0,670% 60,000%
14.01.2025 0,000% 0,000% 0,670% 60,000%
13.02.2025 0,000% 0,000% 0,670% 60,000%
13.03.2025 0,000% 0,000% 0,670% 60,000%
10.04.2025 0,670% 100,000% 0,670% 60,000%
14.05.2025 0,670% 100,000% 0,670% 60,000%
12.06.2025 0,670% 100,000% 0,670% 60,000%
14.07.2025 0,670% 100,000% 0,670% 60,000%
13.08.2025 0,670% 100,000% 0,670% 60,000%
12.09.2025 0,670% 100,000% 0,670% 60,000%
14.10.2025 0,670% 100,000% 0,670% 60,000%
13.11.2025 0,670% 100,000% 0,670% 60,000%
12.12.2025 0,670% 100,000% 0,670% 60,000%
14.01.2026 0,670% 100,000% 0,670% 60,000%
12.02.2026 0,670% 100,000% 0,670% 60,000%
12.03.2026 0,670% 100,000% 0,670% 60,000%
14.04.2026 0,670% 100,000% 0,670% 60,000%
14.05.2026 0,670% 100,000% 0,670% 60,000%
12.06.2026 0,670% 100,000% 0,670% 60,000%
14.07.2026 0,670% 100,000% 0,670% 60,000%
13.08.2026 0,670% 100,000% 0,670% 60,000%
14.09.2026 0,670% 100,000% 0,670% 60,000%
14.10.2026 0,670% 100,000% 0,670% 60,000%
12.11.2026 0,670% 100,000% 0,670% 60,000%
14.12.2026 0,670% 100,000% 0,670% 60,000%
14.01.2027 0,670% 100,000% 0,670% 60,000%
12.02.2027 0,670% 100,000% 0,670% 60,000%
12.03.2027 0,670% 100,000% 0,670% 60,000%
14.04.2027 0,670% 100,000% 0,670% 60,000%
13.05.2027 0,670% 100,000% 0,670% 60,000%
14.06.2027 0,670% 100,000% 0,670% 60,000%
14.07.2027 0,670% 100,000% 0,670% 60,000%
12.08.2027 0,670% 100,000% 0,670% 60,000%
14.09.2027 0,670% 100,000% 0,670% 60,000%
14.10.2027 0,670% 100,000% 0,670% 60,000%
12.11.2027 0,670% 100,000% 0,670% 60,000%
14.12.2027 0,670% 100,000% 0,670% 60,000%
13.01.2028 0,670% 100,000% 0,670% 60,000%
14.02.2028 0,670% 100,000% 0,670% 60,000%
14.03.2028 0,670% 100,000% 0,670% 60,000%
11.04.2028 0,670% 100,000% 0,670% 60,000%
12.05.2028 0,670% 100,000% 0,670% 60,000%
14.06.2028 0,670% 100,000% 0,670% 60,000%
13.07.2028 0,670% 100,000% 0,670% 60,000%
11.08.2028 0,670% 100,000% 0,670% 60,000%
14.09.2028 0,670% 100,000% 0,670% 60,000%
12.10.2028 0,670% 100,000% 0,670% 60,000%
14.11.2028 0,670% 100,000% 0,670% 60,000%
14.12.2028 0,670% 100,000% 0,670% 60,000%
12.01.2029 0,670% 100,000% 0,670% 60,000%
14.02.2029 0,670% 100,000% 0,670% 60,000%
14.03.2029 0,670% 100,000% 0,670% 60,000%
12.04.2029 0,670% 60,000% 0,000% 0,000%