Bnp Paribas CASH COLLECT MEMORY - NLBNPIT1KP43

Codice ISIN: 
NLBNPIT1KP43
Codice di negoziazione: 
P1KP43
Nome Commerciale: 
CASH COLLECT MEMORY
Categoria Acepi: 
Capitale condizionatamente protetto
Premio anticipato o importo addizionale: 
1,400
Barriera: 
Discreta
Sottostante: 
Basket di azioni worst of
Strategia: 
Moderato rialzo
Barriera down: 
40,000%
Mercato: 
SEDEX
Fase: 
quotazione
Data di emissione: 
21.12.2022
Barriera violata: 
NO
Data di scadenza: 
24.12.2025
Divisa di negoziazione: 
EUR
KID: 
KID
Cedola: 

Basket Sottostanti

Sottostante Strike Codice
Cummins 235,920 CMI UN Equity
Plug Power 14,420 PLUG UR Equity

Rilevamenti

Data Premio per il rimborso Trigger autocallable Cedola Trigger Cedola Stato Cedola Importo
17.01.2023 0,000% 0,000% 1,400% 40,000% Pagata 1,40
15.02.2023 0,000% 0,000% 1,400% 40,000% Pagata 1,40
15.03.2023 0,000% 0,000% 1,400% 40,000% Pagata 1,40
17.04.2023 0,000% 0,000% 1,400% 40,000% Pagata 1,40
15.05.2023 0,000% 0,000% 1,400% 40,000% Pagata 1,40
15.06.2023 1,400% 100,000% 1,400% 40,000% Pagata 1,40
17.07.2023 1,400% 100,000% 1,400% 40,000% Pagata 1,40
21.08.2023 1,400% 100,000% 1,400% 40,000% Pagata 1,40
15.09.2023 1,400% 100,000% 1,400% 40,000% Pagata 1,40
16.10.2023 1,400% 100,000% 1,400% 40,000% Pagata 1,40
15.11.2023 1,400% 100,000% 1,400% 40,000% 0,00
15.12.2023 1,400% 100,000% 1,400% 40,000% 0,00
16.01.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.02.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.03.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.04.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.05.2024 1,400% 100,000% 1,400% 40,000% 0,00
17.06.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.07.2024 1,400% 100,000% 1,400% 40,000% 0,00
19.08.2024 1,400% 100,000% 1,400% 40,000% 0,00
16.09.2024 1,400% 100,000% 1,400% 40,000% 0,00
15.10.2024 1,400% 100,000% 1,400% 40,000%
15.11.2024 1,400% 100,000% 1,400% 40,000%
16.12.2024 1,400% 100,000% 1,400% 40,000%
15.01.2025 1,400% 100,000% 1,400% 40,000%
18.02.2025 1,400% 100,000% 1,400% 40,000%
17.03.2025 1,400% 100,000% 1,400% 40,000%
15.04.2025 1,400% 100,000% 1,400% 40,000%
15.05.2025 1,400% 100,000% 1,400% 40,000%
16.06.2025 1,400% 100,000% 1,400% 40,000%
15.07.2025 1,400% 100,000% 1,400% 40,000%
18.08.2025 1,400% 100,000% 1,400% 40,000%
15.09.2025 1,400% 100,000% 1,400% 40,000%
15.10.2025 1,400% 100,000% 1,400% 40,000%
17.11.2025 1,400% 100,000% 1,400% 40,000%
15.12.2025 1,400% 40,000% 0,000% 0,000%