Bnp Paribas CASH COLLECT MEMORY - XS2521288162

Codice ISIN: 
XS2521288162
Codice di negoziazione: 
X28816
Nome Commerciale: 
CASH COLLECT MEMORY
Categoria Acepi: 
Capitale condizionatamente protetto
Premio anticipato o importo addizionale: 
1,370
Barriera: 
Discreta
Sottostante: 
Basket di azioni worst of
Strategia: 
Moderato rialzo
Barriera down: 
60,000%
Mercato: 
CERT-X
Fase: 
quotazione
Data di emissione: 
28.06.2023
Barriera violata: 
NO
Data di scadenza: 
08.07.2026
Divisa di negoziazione: 
EUR
KID: 
KID
Cedola: 

Basket Sottostanti

Sottostante Strike Codice
American Airlines 17,350 AAL UW Equity
Easy Jet 482,300 EZJ LN Equity
Lufthansa 9,451 LHA GY Equity

Rilevamenti

Data Premio per il rimborso Trigger autocallable Cedola Trigger Cedola Stato Cedola Importo
27.07.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
29.08.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.09.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.10.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.11.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.12.2023 0,000% 0,000% 1,370% 60,000% Pagata 1,37
29.01.2024 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.02.2024 0,000% 0,000% 1,370% 60,000% Pagata 1,37
27.03.2024 1,370% 100,000% 1,370% 60,000% Pagata 1,37
29.04.2024 1,370% 100,000% 1,370% 60,000% Pagata 1,37
28.05.2024 1,370% 100,000% 1,370% 60,000% Pagata 1,37
27.06.2024 1,370% 100,000% 1,370% 60,000% 0,00
29.07.2024 1,370% 100,000% 1,370% 60,000% Pagata 2,74
27.08.2024 1,370% 100,000% 1,370% 60,000% 0,00
27.09.2024 1,370% 100,000% 1,370% 60,000% Pagata 2,74
28.10.2024 1,370% 100,000% 1,370% 60,000%
27.11.2024 1,370% 100,000% 1,370% 60,000%
27.12.2024 1,370% 100,000% 1,370% 60,000%
27.01.2025 1,370% 100,000% 1,370% 60,000%
27.02.2025 1,370% 100,000% 1,370% 60,000%
27.03.2025 1,370% 100,000% 1,370% 60,000%
28.04.2025 1,370% 100,000% 1,370% 60,000%
27.05.2025 1,370% 100,000% 1,370% 60,000%
27.06.2025 1,370% 100,000% 1,370% 60,000%
28.07.2025 1,370% 100,000% 1,370% 60,000%
27.08.2025 1,370% 100,000% 1,370% 60,000%
29.09.2025 1,370% 100,000% 1,370% 60,000%
27.10.2025 1,370% 100,000% 1,370% 60,000%
28.11.2025 1,370% 100,000% 1,370% 60,000%
29.12.2025 1,370% 100,000% 1,370% 60,000%
27.01.2026 1,370% 100,000% 1,370% 60,000%
27.02.2026 1,370% 100,000% 1,370% 60,000%
27.03.2026 1,370% 100,000% 1,370% 60,000%
27.04.2026 1,370% 100,000% 1,370% 60,000%
27.05.2026 1,370% 100,000% 1,370% 60,000%
29.06.2026 1,370% 60,000% 0,000% 0,000%