Documentazione BNP Paribas
Show content of Prospetti e Supplementi - BNP Paribas
Base Prospectus 31 maggio 2023
Base Prospectus 1° giugno 2022
Supplement n° 4 del 21 febbraio 2022
Supplement n° 3 del 25 novembre 2021
Supplement n° 2 del 1° ottobre 2021
Supplement n° 3 to the Base Prospectus dated 02 June 2020
Base Prospectus 3 giugno 2020
Base Prospectus 3 giugno 2019
Base Prospectus 5 giugno 2018
Base Prospectus 7 giugno 2017
Base prospectus Certificate June 2016
First supplement to Base prospectus Certificate 4 Aug 2016
Second supplement to Base prospectus Certificate 12 Oct 2016
Third supplement to Base prospectus Certificate 9 Nov 2016
Show content of Certificati e Note - BNP Paribas
Final Terms BNP Phoenix Enel - XS2857449206 (Emissione 31/09/2024 - 31/09/2029)
Final Terms BNP Phoenix WO ASML-Nvidia Eur - XS2840480912 (Emissione 25/09/2024 - 16/09/2027)
Final Terms BNP Express Pfizer Eur - XS2821124695 (Emissione 22/08/2024 - 13/08/2029)
Final Terms BNP Phoenix WO Air Liquide-Enel - XS2804808272 (Emissione 26/07/2024 - 03/08/2027)
Final Terms BNP Bonus Cert. su CSI 1000 Index Eur - XS2804818586 (Emissione 23/07/2024 - 13/07/2027)
Final Terms BNP Phoenix WO BMPS-ASML-Renault - XS2782356534 (Emissione 20/06/2024 - 31/05/2027)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Microsoft-Amazon Eur - XS2777163564 (Emissione 29/05/2024 - 24/05/2027)
Final Terms BNP Phoenix WO Intesa SanPaolo-Microsoft-Amazon Eur - XS2777163564 (Emissione 29/05/2024 - 24/05/2027)
Condizioni definitive BNP Phoenix WO BMPS-Eni-Stellantis - XS2759256162 (Emissione 29/05/2024 - 17/05/2027)
Final Terms BNP Phoenix WO BMPS-Eni-Stellantis - XS2759256162 (Emissione 29/05/2024 - 17/05/2027)
Condizioni definitive BNP Phoenix WO BMPS-Infineon-Stellantis - XS2759256329 (Emissione 29/05/2024 - 17/05/2027)
Final Terms BNP Phoenix WO BMPS-Infineon-Stellantis - XS2759256329 (Emissione 29/05/2024 - 17/05/2027)
Condizioni definitive BNP Phoenix WO BMPS-PayPal-Mercedes Benz Eur 55% - XS2759271120 (Emissione 24/05/2024 - 10/05/2027)
Final Terms BNP Phoenix WO BMPS-PayPal-Mercedes Benz Eur 55% - XS2759271120 (Emissione 24/05/2024 - 10/05/2027)
Condizioni definitive BNP Phoenix WO BMPS-PayPal-Mercedes Benz Eur 50% - XS2759272011 (Emissione 24/05/2024 - 10/05/2027)
Final Terms BNP Phoenix WO BMPS-PayPal-Mercedes Benz Eur 50% - XS2759272011 (Emissione 24/05/2024 - 10/05/2027)
Condizioni definitive BNP Phoenix WO Unicredit-Enel-STMicroelectronics - XS2759148609 (Emissione 10/05/2024 - 26/04/2027)
Final Terms BNP Phoenix WO Unicredit-Enel-STMicroelectronics - XS2759148609 (Emissione 10/05/2024 - 26/04/2027)
Condizioni definitive BNP Phoenix WO Stellantis-Walt Disney-Unicredit Eur - XS2741425370 (Emissione 23/04/2024 - 06/04/2027)
Final Terms BNP Phoenix WO Stellantis-Walt Disney-Unicredit Eur - XS2741425370 (Emissione 23/04/2024 - 06/04/2027)
Condizioni definitive BNP Phoenix WO Prysmian-Banco BPM-Enel - XS2741454719 (Emissione 17/04/2024 - 06/04/2027)
Final Terms BNP Phoenix WO Prysmian-Banco BPM-Enel - XS2741454719 (Emissione 17/04/2024 - 06/04/2027)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Unicredit-Banco BPM - XS2680136954 (Emissione 25/03/2024 - 15/03/2027)
Final Terms BNP Phoenix WO Intesa SanPaolo-Unicredit-Banco BPM - XS2680136954 (Emissione 25/03/2024 - 15/03/2027)
Condizioni definitive BNP Express Pfizer Eur - XS2705274269 (Emissione 09/02/2024 - 09/02/2029)
Final Terms BNP Express Pfizer Eur - XS2705274269 (Emissione 09/02/2024 - 09/02/2029)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Eni-Enel - XS2703290804 (Emissione 09/02/2024 - 27/01/2025)
Final Terms BNP Phoenix WO Intesa SanPaolo-Eni-Enel - XS2703290804 (Emissione 09/02/2024 - 27/01/2025)
Condizioni definitive BNP 3Y Bonus Cert. Part. 123.50% su CSI 300 Index Eur - XS2701357738 (Emissione 31/01/2024 - 29/01/2027)
Final Terms BNP 3Y Bonus Cert. Part. 123.50% su CSI 300 Index Eur - XS2701357738 (Emissione 31/01/2024 - 29/01/2027)
Condizioni definitive BNP 3Y Bonus Cert. Part. 100% su CSI 300 Index Eur - XS2701357902 (Emissione 31/01/2024 - 29/01/2027)
Final Terms BNP 3Y Bonus Cert. Part. 100% su CSI 300 Index Eur - XS2701357902 (Emissione 31/01/2024 - 29/01/2027)
Condizioni definitive BNP Phoenix WO ASML-Banco BPM-Unicredit - XS2673654310 (Emissione 27/12/2023 - 08/12/2026)
Final Terms BNP Phoenix WO ASML-Banco BPM-Unicredit - XS2673654310 (Emissione 27/12/2023 - 08/12/2026)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Banco BPM-Enel - XS2647418826 (Emissione 10/11/2023 - 28/10/2024)
Final Terms BNP Phoenix WO Intesa SanPaolo-Banco BPM-Enel - XS2647418826 (Emissione 10/11/2023 - 28/10/2024)
Condizioni definitive BNP Phoenix WO Unicredit-Stellantis-Assicurazioni Generali - XS2642204676 (Emissione 06/11/2023 - 11/10/2024)
Final Terms BNP Phoenix WO Unicredit-Stellantis-Assicurazioni Generali - XS2642204676 (Emissione 06/11/2023 - 11/10/2024)
Condizioni definitive BNP Phoenix WO Walt Disney-PayPal-Intesa SanPaolo Eur - XS2615052235 (Emissione 04/10/2023 - 22/09/2026)
Final Terms BNP Phoenix WO Walt Disney-PayPal-Intesa SanPaolo Eur - XS2615052235 (Emissione 04/10/2023 - 22/09/2026)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Eurostoxx Utilities-STOXX Europe 600 Healthcare - XS2567789636 (Emissione 11/08/2023 - 03/08/2026)
Final Terms BNP Phoenix WO Intesa SanPaolo-Eurostoxx Utilities-STOXX Europe 600 Healthcare - XS2567789636 (Emissione 11/08/2023 - 03/08/2026)
Condizioni definitive BNP KG nota legata al differenziale SPW-SPX Indexes - XS2007898229 (Emissione 31/07/2023 - 27/12/2024)
Final Terms BNP KG nota legata al differenziale SPW-SPX Indexes - XS2007898229 (Emissione 31/07/2023 - 27/12/2024)
Condizioni definitive BNP Phoenix WO Intesa SanPaolo-Banco BPM-Snam - XS2286813188 (Emissione 27/07/2023 - 19/07/2027)
Final Terms BNP Phoenix WO Intesa SanPaolo-Banco BPM-Snam - XS2286813188 (Emissione 27/07/2023 - 19/07/2027)
Condizioni definitive BNP Phoenix WO Amazon-BNP Paribas-Stellantis - XS2517520529 (Emissione 16/06/2023 - 08/06/2026)
Final Terms BNP Phoenix WO Amazon-BNP Paribas-Stellantis - XS2517520529 (Emissione 16/06/2023 - 08/06/2026)
Condizioni definitive BNP Phoenix Eurostoxx50 Index - XS2473173768 (Emissione 19/04/2023 - 24/07/2025)
Final Terms BNP Phoenix Eurostoxx50 Index - XS2473173768 (Emissione 19/04/2023 - 24/07/2025)
Condizioni definitive BNP Phoenix WO Unicredit- Intesa SanPaolo-Banco BPM - XS2490616898 (Emissione 29/03/2023 - 20/03/2026)
Final Terms BNP Phoenix WO Unicredit- Intesa SanPaolo-Banco BPM - XS2490616898 (Emissione 29/03/2023 - 20/03/2026)
Condizioni definitive BNP Phoenix WO Unicredit-Eni - XS2490609091 (Emissione 29/03/2023 - 31/03/2026)
Final Terms BNP Phoenix WO Unicredit-Eni - XS2490609091 (Emissione 29/03/2023 - 31/03/2026)
Condizioni definitive BNP Bonus Plus lookback Eurostoxx50 Index - XS2469646371 (Emissione 14/03/2023 - 09/06/2025)
Final Terms BNP Bonus Plus lookback Eurostoxx50 Index - XS2469646371 (Emissione 14/03/2023 - 09/06/2025)
Condizioni definitive BNP Express American Airlines Eur - XS2459874397 (Emissione 15/02/2023 - 15/02/2028)
Final Terms BNP Express American Airlines Eur - XS2459874397 (Emissione 15/02/2023 - 15/02/2028)
Condizioni definitive BNP Phoenix WO Amazon-Essilor Luxottica-Nexi - XS2464631824 (Emissione 08/02/2023 - 27/01/2026)
Final Terms BNP Phoenix WO Amazon-Essilor Luxottica-Nexi - XS2464631824 (Emissione 08/02/2023 - 27/01/2026)
Condizioni definitive BNP Phoenix WO Enel-Intesa SanPaolo-BNP Paribas - XS2442397498 (Emissione 15/11/2022 - 03/12/2025)
Final Terms BNP Phoenix WO Enel-Intesa SanPaolo-BNP Paribas - XS2442397498 (Emissione 15/11/2022 - 03/12/2025)
Condizioni definitive BNP Phoenix WO Eni-Intesa SanPaolo-Stellantis - XS2435983387 (Emissione 18/10/2022 - 29/09/2025)
Final Terms BNP Phoenix WO Eni-Intesa SanPaolo-Stellantis - XS2435983387 (Emissione 18/10/2022 - 29/09/2025)
Condizioni definitive BNP Phoenix Apple Eur - XS2422011085 (Emissione 30/09/2022 - 29/09/2027)
Final Terms BNP Phoenix Apple Eur - XS2422011085 (Emissione 30/09/2022 - 29/09/2027)
Condizioni definitive BNP Express Intel Eur - XS2414039987 (Emissione 25/08/2022 - 24/08/2027)
Final Terms BNP Express Intel Eur - XS2414039987 (Emissione 25/08/2022 - 24/08/2027)
Condizioni definitive BNP Phoenix Infineon - XS2372830153 (Emissione 30/05/2022 - 26/05/2027)
Final Terms BNP Phoenix Infineon - XS2372830153 (Emissione 30/05/2022 - 26/05/2027)
Condizioni definitive BNP Phoenix Infineon - XS2372797600 (Emissione 29/04/2022 - 06/05/2025)
Final Terms BNP Phoenix Infineon - XS2372797600 (Emissione 29/04/2022 - 06/05/2025)
Condizioni definitive BNP Twin Win Gold - XS2358163264 (Emissione 29/04/2022 - 22/04/2025)
Final Terms BNP Twin Win Gold - XS2358163264 (Emissione 29/04/2022 - 22/04/2025)
Condizioni definitive BNP Phoenix IBM Eur - XS2358173222 (Emissione 29/04/2022 - 28/04/2027)
Final Terms BNP Phoenix IBM Eur - XS2358173222 (Emissione 29/04/2022 - 28/04/2027)
Condizioni definitive BNP Express Enel - XS2358211840 (Emissione 29/04/2022 - 28/04/2027)
Final Terms BNP Express Enel - XS2358211840 (Emissione 29/04/2022 - 28/04/2027)
Condizioni definitive BNP Phoenix WO Adidas-EssilorLuxottica-Nike - XS2355880647 (Emissione 31/03/2022 - 28/03/2025)
Final Terms BNP Phoenix WO Adidas-EssilorLuxottica-Nike - XS2355880647 (Emissione 31/03/2022 - 28/03/2025)
Condizioni definitive BNP Express Kraft-Heinz - XS2039576884 (Emissione 03/03/2022 - 02/03/2027)
Final Terms BNP Express Kraft-Heinz - XS2039576884 (Emissione 03/03/2022 - 02/03/2027)
Condizioni definitive BNP Express Carnival Eur - XS2039577692 (Emissione 03/03/2022 - 02/03/2027)
Final Terms BNP Express Carnival Eur - XS2039577692 (Emissione 03/03/2022 - 02/03/2027)
Condizioni definitive BNP Phoenix Volkswagen - XS2019053623 (Emissione 28/02/2022 - 24/02/2027)
Final Terms BNP Phoenix Volkswagen - XS2019053623 (Emissione 28/02/2022 - 24/02/2027)
Condizioni definitive BNP Phoenix IBM - XS2316363824 (Emissione 14/01/2022 - 13/01/2027)
Final Terms BNP Phoenix IBM - XS2316363824 (Emissione 14/01/2022 - 13/01/2027)
Condizioni definitive BNP Phoenix WO Tencent-Volkswagen-Unicredit - XS2329432467 (Emissione 22/12/2021 - 14/12/2023)
Final Terms BNP Phoenix WO Tencent-Volkswagen-Unicredit - XS2329432467 (Emissione 22/12/2021 - 14/12/2023)
Condizioni definitive BNP Phoenix Tesla- XS2317913700 (Emissione 30/11/2021 - 03/06/2025)
Final Terms BNP Phoenix Tesla- XS2317913700 (Emissione 30/11/2021 - 03/06/2025)
Condizioni definitive BNP Phoenix Amazon - XS2317912561 (Emissione 30/11/2021 - 03/12/2024)
Final Terms BNP Phoenix Amazon - XS2317912561 (Emissione 30/11/2021 - 03/12/2024)
Condizioni definitive BNP Bonus Digital Unicredit - XS2315174214 (Emissione 10/11/2021 - 26/10/2022)
Final Terms BNP Bonus Digital Unicredit - XS2315174214 (Emissione 10/11/2021 - 26/10/2022)
Condizioni definitive BNP WO Fresenius-BNP-Pinduoduo - XS2315448527 (Emissione 08/11/2021 - 21/10/2024)
Final Terms BNP WO Fresenius-BNP-Pinduoduo - XS2315448527 (Emissione 08/11/2021 - 21/10/2024)
Condizioni definitive BNP Bonus Digital Eni - XS2310440271 (Emissione 28/10/2021 - 14/10/2022)
Final Terms BNP Bonus Digital Eni - XS2310440271 (Emissione 28/10/2021 - 14/10/2022)
Condizioni definitive BNP Phoenix WO Fresenius-Kering-IBM - XS2311703594 (Emissione 29/10/2021 - 05/11/2024)
Final Terms BNP Phoenix WO Fresenius-Kering-IBM - XS2311703594 (Emissione 29/10/2021 - 05/11/2024)
Condizioni definitive BNP Express Cisco Systems - XS2306642187 (Emissione 30/09/2021 - 29/09/2026)
Final Terms BNP Express Cisco Systems - XS2306642187 (Emissione 30/09/2021 - 29/09/2026)
Condizioni definitive BNP Phoenix WO ASML-Sunny Optical - XS2298751756 (Emissione 30/09/2021 - 30/09/2026)
Final Terms BNP Phoenix WO ASML-Sunny Optical - XS2298751756 (Emissione 30/09/2021 - 30/09/2026)
Condizioni definitive BNP Phoenix WO ASML-Basf-Volkswagen - XS2293298985 (Emissione 30/07/2021 - 10/02/2025)
Final Terms BNP Phoenix WO ASML-Basf-Volkswagen - XS2293298985 (Emissione 30/07/2021 - 10/02/2025)
Condizioni definitive BNP Phoenix ING - XS2281827456 (Emissione 30/07/2021 - 30/07/2026)
Final Terms BNP Phoenix ING - XS2281827456 (Emissione 30/07/2021 - 30/07/2026)
Condizioni definitive BNP Bonus Digital Unicredit - XS2275882848 (Emissione 30/06/2021 - 23/06/2022)
Final Terms BNP Bonus Digital Unicredit - XS2275882848 (Emissione 30/06/2021 - 23/06/2022)
Condizioni definitive BNP Bonus Digital Intesa SanPaolo - XS2275882764 (Emissione 30/06/2021 - 23/06/2022)
Final Terms BNP Bonus Digital Intesa SanPaolo - XS2275882764 (Emissione 30/06/2021 - 23/06/2022)
Condizioni definitive BNP Bonus Digital ENI - XS2275883226 (Emissione 30/06/2021 - 23/06/2022)
Final Terms BNP Bonus Digital ENI - XS2275883226 (Emissione 30/06/2021 - 23/06/2022)
Condizioni definitive BNP Express Bristol-Myers Squibb - XS2275904832 (Emissione 08/06/2021 - 08/06/2026)
Final Terms BNP Express Bristol-Myers Squibb - XS2275904832 (Emissione 08/06/2021 - 08/06/2026)
Condizioni definitive BNP Phoenix WO ENI-Intesa SanPaolo - XS2271962891 (Emissione 28/05/2021 - 08/12/2025)
Final Terms BNP Phoenix WO ENI-Intesa SanPaolo - XS2271962891 (Emissione 28/05/2021 - 08/12/2025)
Condizioni definitive BNP Phoenix ISP con partecipazione - XS2269579103 (Emissione 30/04/2021 - 30/04/2025)
Final Terms BNP Phoenix ISP con partecipazione - XS2269579103 (Emissione 30/04/2021 - 30/04/2025)
Condizioni definitive BNP Phoenix Eurostoxx50 - XS2266418669 (Emissione 30/04/2021 - 30/04/2026)
Final Terms BNP Phoenix Eurostoxx50 - XS2266418669 (Emissione 30/04/2021 - 30/04/2026)
Condizioni definitive BNP Phoenix Tesla Eur 48,5% - XS2268670077 (Emissione 28/04/2021 - 03/05/2024)
Final Terms BNP Phoenix Tesla Eur 48,5% - XS2268670077 (Emissione 28/04/2021 - 03/05/2024)
Condizioni definitive BNP Phoenix Tesla Eur 43% - XS2266403042 (Emissione 16/04/2021 - 24/04/2024)
Final Terms BNP Phoenix Tesla Eur 43% - XS2266403042 (Emissione 16/04/2021 - 24/04/2024)
Condizioni definitive BNP Bonus Plus Intesa SanPaolo - XS2266424634 (Emissione 16/04/2021 - 30/03/2022)
Final Terms BNP Bonus Plus Intesa SanPaolo - XS2266424634 (Emissione 16/04/2021 - 30/03/2022)
Condizioni definitive BNP Phoenix Schneider Electric - XS2248113578 (Emissione 16/04/2021 - 15/04/2026)
Final Terms BNP Phoenix Schneider Electric - XS2248113578 (Emissione 16/04/2021 - 15/04/2026)
Condizioni definitive BNP Bonus Digital Eni - XS2253872902 (Emissione 16/04/2021 - 23/03/2022)
Final Terms BNP Bonus Digital Eni - XS2253872902 (Emissione 16/04/2021 - 23/03/2022)
Condizioni definitive BNP Express Colgate - XS2266414320 (Emissione 14/04/2021 - 14/04/2026)
Final Terms BNP Express Colgate - XS2266414320 (Emissione 14/04/2021 - 14/04/2026)
Condizioni definitive BNP Phoenix Enel - XS2253859123 (Emissione 31/03/2021 - 30/09/2025)
Final Terms BNP Phoenix Enel - XS2253859123 (Emissione 31/03/2021 - 30/09/2025)
Condizioni definitive BNP Phoenix Infineon - XS2235732158 (Emissione 26/02/2021 - 27/02/2026)
Final terms BNP Phoenix Infineon - XS2235732158 (Emissione 26/02/2021 - 27/02/2026)
Condizioni definitive BNP Bonus Digital Plus Eni - XS2235734956 (Emissione 11/02/2021 - 02/02/2022)
Final Terms BNP Bonus Digital Plus Eni - XS2235734956 (Emissione 11/02/2021 - 02/02/2022)
Condizioni definitive BNP Cash Collect Autocall Apple - XS2202192089 (Emissione 29/01/2021 - 30/01/2025)
Final terms BNP Cash Collect Autocall Apple - XS2202192089 (Emissione 29/01/2021 - 30/01/2025)
Condizioni definitive BNP Cash Collect Kering - XS2201061798 (Emissione 29/01/2021 - 30/01/2025)
Final terms BNP Cash Collect Kering - XS2201061798 (Emissione 29/01/2021 - 30/01/2025)
Condizioni definitive BNP Phoenix Basf - XS2201057333 (Emissione 29/01/2021 - 30/01/2026)
Final terms BNP Phoenix Basf - XS2201057333 (Emissione 29/01/2021 - 30/01/2026)
Condizioni definitive BNP Phoenix Microsoft - XS2184630379 (Emissione 12/11/2020 - 12/11/2025)
Final terms BNP Phoenix Microsoft - XS2184630379 (Emissione 12/11/2020 - 12/11/2025)
Condizioni definitive BNP Phoenix Amazon - XS2175264857 (Emissione 30/10/2020 - 30/10/2025)
Final terms BNP Phoenix Amazon - XS2175264857 (Emissione 30/10/2020 - 30/10/2025)
Condizioni definitive BNP Phoenix Bayer - XS2175263610 (Emissione 30/10/2020 - 30/10/2025)
Final Terms BNP Phoenix Bayer - XS2175263610 (Emissione 30/10/2020 - 30/10/2025)
Condizioni definitive BNP Cash Collect Alphabet in USD - XS2144372104 (Emissione 31/07/2020 – 06/08/2024)
Final terms BNP Cash Collect Alphabet in USD - XS2144372104 (Emissione 31/07/2020 – 06/08/2024)
Condizioni definitive BNP Phoenix EurostoxxBanks - XS2158687884 (Emissione 31/08/2020 – 29/08/2025)
Final terms BNP Phoenix EurostoxxBanks - XS2158687884 (Emissione 31/08/2020 – 29/08/2025)
Condizioni definitive BNP CashCollect Eurostoxx Banks - XS2067741269 (Emissione 30/09/2020 – 30/08/2024)
Final terms BNP CashCollect Eurostoxx Banks - XS2067741269 (Emissione 30/09/2020 – 30/08/2024)
Condizioni definitive BNP Phoenix Axa - XS2121717438 (Emissione 31/07/2020 – 06/08/2025)
Final terms BNP Phoenix Axa - XS2121717438 (Emissione 31/07/2020 – 06/08/2025)
Condizioni definitive BNP Express Glider Intel EUR - XS2113436054 (Emissione 30/06/2020 – 30/06/2026)
Final terms BNP Express Glider Intel EUR - XS2113436054 (Emissione 30/06/2020 – 30/06/2026)
Condizioni definitive BNP Phoenix Axa - XS2075507876 (Emissione 30/04/2020 – 06/05/2025)
Final terms BNP Phoenix Axa - XS2075507876 (Emissione 30/04/2020 – 06/05/2025)
Condizioni definitive BNP Express Glider Intel USD - XS2075522248 (Emissione 30/04/2020 – 06/05/2025)
Final terms BNP Express Glider Intel USD - XS2075522248 (Emissione 30/04/2020 – 06/05/2025)
Condizioni definitive BNP Phoenix Tenaris - XS2087028150 (Emissione 18/05/2020 – 18/05/2025)
Final terms BNP Phoenix Tenaris - XS2087028150 (Emissione 18/05/2020 – 18/05/2025)
Condizioni definitive BNP Phoenix Unicredit - XS2087028408 (Emissione 18/05/2020 – 18/05/2025)
Final terms BNP Phoenix Unicredit - XS2087028408 (Emissione 18/05/2020 – 18/05/2025)
Condizioni definitive BNP Express EurostoxBanks - XS2067742408 (Emissione 09/03/2020 – 13/03/2025)
Final terms BNP Express EurostoxBanks - XS2067742408 (Emissione 09/03/2020 – 13/03/2025)
Condizioni definitive BNP Phoenix Tenaris - XS2067749593 (Emissione 25/03/2020 – 31/03/2025)
Final terms BNP Phoenix Tenaris - XS2067749593 (Emissione 25/03/2020 – 31/03/2025)
Condizioni definitive BNP Phoenix Unicredit - XS2067749320 (Emissione 25/03/2020 – 31/03/2025)
Condizioni definitive BNP Express Glider Intel USD - XS2062260729 (Emissione 27/02/2020 – 05/03/2025)
Final terms BNP Express Glider Intel USD - XS2062260729 (Emissione 27/02/2020 – 05/03/2025)
Condizioni definitive BNP Phoenix Intesa - XS2062271171 (Emissione 27/02/2020 – 05/03/2025)
Final terms BNP Phoenix Intesa - XS2062271171 (Emissione 27/02/2020 – 05/03/2025)
Condizioni definitive BNP Phoenix Unicredit - XS2033208336 (Emissione 17-gen-20 - 23-gen-25)
Final terms BNP Phoenix Unicredit - XS2033208336 (Emissione 17-gen-20 - 23-gen-25)
Condizioni definitive BNP Express Eurostoxxbanks - XS2041374393 (Emissione 3-gen-20 - 10-gen-25)
Final terms BNP Express Eurostoxxbanks - XS2041374393 (Emissione 3-gen-20 - 10-gen-25)
Condizioni definitive BNP Phoenix Eni - XS2039571067 (Emissione 23-dic-19 - 31-dic-24)
Final terms BNP Phoenix Eni - XS2039571067 (Emissione 23-dic-19 - 31-dic-24)
Condizioni definitive BNP Phoenix Enel - XS2039571141 (Emissione 23-dic-19 - 31-dic-24)
Final terms BNP Phoenix Enel - XS2039571141 (Emissione 23-dic-19 - 31-dic-24)
Condizioni definitive BNP Express Enel - XS2024924107 (Emissione 29-nov-19 - 5-dic-24)
Final terms BNP Express Enel - XS2024924107 (Emissione 29-nov-19 - 5-dic-24)
Condizioni definitive BNP Express BNP - XS2024874831 (Emissione 15-nov-19 - 21-nov-24)
Final terms BNP Express BNP - XS2024874831 (Emissione 15-nov-19 - 21-nov-24)
Condizioni definitive BNP Express SXIP index - XS2024874757 (Emissione 15-nov-19 - 21-nov-24)
Final terms BNP Express SXIP index - XS2024874757 (Emissione 15-nov-19 - 21-nov-24)
Condizioni definitive BNP Phoenix Decreasing Unicredit - XS2013029512 (Emissione 31/10/2019 – 06/11/2023)
Final terms BNP Phoenix Decreasing Unicredit - XS2013029512 (Emissione 31/10/2019 – 06/11/2023)
Condizioni definitive BNP Express EurostoxxBanks - XS2013033621 (Emissione 31/10/2019 – 06/11/2024)
Final terms BNP Express EurostoxxBanks - XS2013033621 (Emissione 31/10/2019 – 06/11/2024)
Condizioni definitive BNP Express IBEX - XS2019045793 (Emissione 18/10/2019 – 24/10/2024)
Final terms BNP Express IBEX - XS2019045793 (Emissione 18/10/2019 – 24/10/2024)
Condizioni definitive BNP Express Swiss RE - XS2019043582 (Emissione 18/10/2019 – 24/10/2024)
Final terms BNP Express Swiss RE - XS2019043582 (Emissione 18/10/2019 – 24/10/2024)
Condizioni definitive BNP Phoenix Decreasing Unicredit - XS1996485519 (Emissione 30/09/2019 – 02/10/2023)
Final terms BNP Phoenix Decreasing Unicredit - XS1996485519 (Emissione 30/09/2019 – 02/10/2023)
Condizioni definitive BNP Cash Collect Unicredit - XS1996181563 (Emissione 30/09/2019 – 02/10/2023)
Final terms BNP Cash Collect Unicredit - XS1996181563 (Emissione 30/09/2019 – 02/10/2023)
Condizioni definitive BNP Phoenix ING - XS1988381957 (Emissione 30/08/2019 – 05/09/2024)
Final terms BNP Phoenix ING - XS1988381957 (Emissione 30/08/2019 – 05/09/2024)
Condizioni definitive BNP Express EurostoxxBanks - XS1988388028 (Emissione 08/08/2019 – 14/08/2024)
Final terms BNP Express EurostoxxBanks - XS1988388028 (Emissione 08/08/2019 – 14/08/2024)
Condizioni definitive BNP Phoenix Daimler semestrale - XS1977447231 (Emissione 31/07/2019 – 06/08/2024)
Final terms BNP Phoenix Daimler semestrale - XS1977447231 (Emissione 31/07/2019 – 06/08/2024)
Condizioni definitive BNP Express HSCEI USD semestrale - XS1942314409 (Emissione 31/05/2019 – 06/06/2024)
Final terms BNP Express HSCEI USD semestrale - XS1942314409 (Emissione 31/05/2019 – 06/06/2024)
Condizioni definitive BNP Phoenix Repsol semestrale - XS1942317337 (Emissione 31/05/2019 – 06/06/2024)
Final terms BNP Phoenix Repsol semestrale - XS1942317337 (Emissione 31/05/2019 – 06/06/2024)
Condizioni definitive BNP Express Eurostoxx Banks – XS1935887270 (Emissione 30/04/2019-06/05/24)
Final terms BNP Express Eurostoxx Banks – XS1935887270 (Emissione 30/04/2019-06/05/24)
Condizioni definitive BNP Express Swiss Re – XS1926849784 (Emissione 04/04/2019 – 10/04/2024)
Final terms BNP Express Swiss Re – XS1926849784 (Emissione 04/04/2019 – 10/04/2024)
Condizioni definitive BNP Phoenix on ISP – XS1914834137 (Emissione 29/03/2019 – 08/04/2024)
Final terms BNP Phoenix on ISP – XS1914834137 (Emissione 29/03/2019 – 08/04/2024)
Condizioni definitive BNP Express on Unicredit – XS1885307964 (Emissione 25/02/2019 – 29/02/2024)
Final terms BNP Express on Unicredit – XS1885307964 (Emissione 25/02/2019 – 29/02/2024)
Condizioni definitive BNP Express On Eurostoxx Banks – XS1885307535 (Emissione 25/02/2019 – 29/02/2024)
Final terms BNP Express on Eurostoxx Banks – XS1885307535 (Emissione 25/02/2019 – 29/02/2024)
Condizioni definitive BNP Phoenix on FTSE MIB – XS1885369485 (Emissione 28/02/2019 – 05/03/2024)
Final terms BNP Phoenix on FTSE MIB – XS1885369485 (Emissione 28/02/2019 – 05/03/2024)
Condizioni definitive BNP 4y Phoenix dercreasing Bayer XS1914833832 (Emissione 29/03/2019 – 04/04/2023)
Final Terms BNP 4y Phoenix dercreasing Bayer XS1914833832 (Emissione 29/03/2019 – 04/04/2023)
Notice – Avviso del 7 marzo 2019
Condizioni definitive BNP Phoenix S&P 500 - XS1885338688 (Emissione 31/01/2019 – 06/02/2024)
Final Terms BNP Phoenix S&P 500 - XS1885338688 (Emissione 31/01/2019 – 06/02/2024)
Final Terms BNP Phoenix Alphabet USD roll - XS1878434486 (Emissione 31/01/2019 – 06/02/2024)
Condizioni definitive BNP Phoenix on Eurostoxx 50 - XS1867900901 (Emissione 30/11/2018 – 06/11/2023)
Final Terms BNP Phoenix on Eurostoxx 50 - XS1867900901 (Emissione 30/11/2018 – 06/11/2023)
Condizioni definitive BNP Phoenix Alphabet USD - XS1840295965 (Emissione 30/11/2018 – 06/12/2023)
Final Terms BNP Phoenix Alphabet USD - XS1840295965 (Emissione 30/11/2018 – 06/12/2023)
Condizioni definitive BNP Express on Bayer - XS1776931971 (Emissione 08/11/2018 – 13/11/2023)
Final Terms BNP Express on Bayer - XS1776931971 (Emissione 08/11/2018 – 13/11/2023)
Condizioni definitive BNP Express on ENI SpA - XS1793739043 (Emissione 31/08/2018 – 31/08/2023)
Final Terms BNP Express on ENI SpA - XS1793739043 (Emissione 31/08/2018 – 31/08/2023)
Final Terms BNP Phoenix on Telecom Italia SpA- XS1793731149 (Emissione 31/07/2018 – 07/08/2023)
Condizioni definitive Phoenix Autocallable E.ON - XS1720430112 (Emissione 29/03/2018 – 03/04/2023)
Condizioni definitive BNP Express Autocallable UBS (Emissione 02/02/2018– 07/02/2023)
Condizioni definitive BNP Express Autocallable Swiss Re (Emissione 13/03/2018– 20/03/2023)
Condizioni definitive BNP Express Autocallable Vodafone (Emissione 31/01/2018– 06/02/2023)
Final Terms BNP Express Autocallable ENI (Emissione 30/10/2017 – 3/11/2022)
Condizioni definitive BNP Express Autocallable ENI (Emissione 30/10/2017 – 3/11/2022)
Final Terms BNP Express Autocallable Intel (Emissione 30/10/2017 – 3/11/2022)
Condizioni definitive BNP Express Autocallable Intel (Emissione 30/10/2017 – 3/11/2022)
Final Terms BNP Phoenix Autocallable Societe Generale (Emissione 28/07/2017 – 03/08/2022)
Condizioni definitive BNP Phoenix Autocallable Societe Generale (Emissione 28/07/2017 – 03/08/2022)
Final Terms BNP Phoenix Autocallable Total (Emissione 28/07/2017 – 03/08/2022)
Condizioni definitive BNP Phoenix Autocallable Total (Emissione 28/07/2017 – 03/08/2022)
Final terms BNP Express Autocallable Celgene USD (Emissione 08/05/2017 – 11/05/2022)
Condizioni definitive BNP Express Autocallable Celgene USD (Emissione 08/05/2017 – 11/05/2022)
Final terms BNP Express Autocallable Colgate Palmolive USD (Emissione 30/03/2017 - 04/04/2022)
Condizioni definitive BNP Express Autocallable Colgate Palmolive USD (Emissione 30/03/2017 - 04/04/2022)
Final terms BNP Express Autocallable Coca Cola USD (Emissione 30/03/2017 - 04/04/2022)
Condizioni definitive BNP Express Autocallable Coca Cola USD (Emissione 30/03/2017 - 04/04/2022)
Final Terms BNP Express Autocallable FTSE MIB (Emissione 21/12/16-27/12/21)
Condizioni definitive BNP Express Autocallable FTSE MIB (Emissione 13/12/16-13/12/24)
Final Terms BNP Express Autocallable Generali (Emissione 21/12/16-27/12/21)
Condizioni definitive BNP Express Autocallable Generali (Emissione 13/12/16-13/12/24)
Final Terms BNP Express Autocallable Coca Cola USD (Emissione 19/05/16-03/06/16)
Condizioni Definitive BNP Express Autocallable Coca Cola USD (Emissione 19/05/16-03/06/16)
Final Terms BNP Phoenix Autocallable S&P GSCI Crude Oil USD (Emissione 3/03/2016 - 11/03/2019)
Condizioni Definitive BNP Phoenix Autocallable S&P GSCI Crude Oil USD (Emissione 3/03/2016 - 11/03/2019)
Condizioni Definitive BNP Phoenix Autocallable Total (Emissione 30/12/2015 - 28/12/2020)
Condizioni Definitive BNP Express Autocallable Orange (emissione 30/092015 - 06/10/2020)
Documentazione Goldman Sachs
Show content of Prospetti e Supplementi - Goldman Sachs
Base Prospectus Series P dated 12 January 2024
Supplement n° 7 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 6 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 5 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 4 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 3 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 2 to the Base Prospectus Series P dated 13 January 2023
Supplement n° 1 to the Base Prospectus Series P dated 13 January 2023
Base Prospectus Series P dated 13 January 2023
Supplement n° 12 to the Base Prospectus Series P dated 21 June 2022
Supplement n° 11 to the Base Prospectus Series P dated 30 May 2022
Supplement n° 10 to the Base Prospectus Series P dated 11 May 2022
Supplement n° 9 to the Base Prospectus Series P dated 29 April 2022
Supplement n° 8 to the Base Prospectus Series P dated 8 April 2022
Supplement n° 7 to the Base Prospectus Series P dated 11 February 2022
Supplement n° 6 to the Base Prospectus Series P dated 1st February 2022
Supplement n° 5 to the Base Prospectus Series P dated 21 January 2022
Supplement n° 4 to the Base Prospectus Series P dated 13 January 2022
Supplement n° 3 to the Base Prospectus Series P dated 19 November 2021
Supplement n° 2 to the Base Prospectus Series P dated 29 October 2021
Supplement n° 1 to the Base Prospectus Series P dated 20 August 2021
Base Prospectus Series P dated 16 July 2021
Supplement n° 13 to the Base Prospectus dated 17 July 2020
Supplement n° 12 to the Base Prospectus dated 17 July 2020
Supplement n° 11 to the Base Prospectus dated 17 July 2020
Supplement n° 10 to the Base Prospectus dated 17 July 2020
Supplement n° 9 to the Base Prospectus dated 17 July 2020
Supplement n° 8 to the Base Prospectus dated 17 July 2020
Supplement n° 7 to the Base Prospectus dated 17 July 2020
Supplement n° 6 to the Base Prospectus dated 17 July 2020
Supplement n° 5 to the Base Prospectus dated 17 July 2020
Supplement n° 4 to the Base Prospectus dated 17 July 2020
Supplement n° 1 to the Base Prospectus dated 17 July 2020
Supplement n° 3 to the Base Prospectus dated 17 July 2020
Supplement n° 2 to the Base Prospectus dated 17 July 2020
Prospectus Supplement NO. 13 To The Base Prospectus Dated 18 July 2019
Programma Lussemburghese-Serie P-BP-Supplement n°12 – 02.06.2020
Programma Lussemburghese-Serie P-BP-Supplement n°11 – 15.05.2020
Programma Lussemburghese-Serie P-BP-Supplement n°10 – 21.04.2020
Programma Lussemburghese-Serie P-BP-Supplement n°8 – 09-03-2020
Programma Lussemburghese-Serie P-BP-Supplement n°6 - 08-01-20
Programma Lussemburghese-Serie P-BP-Supplement n°5 - 13-11-19
Programma Lussemburghese-Serie P-BP-Supplement n°4 - 22-10-19
Programma Lussemburghese-Serie P-BP-Supplement n°3 - 04-10-2019
Programma Lussemburghese-Serie P-BP-Supplement n°2 - 20-09-2019
Programma Lussemburghese-Serie P-BP-Supplement n°1 - 15-08-2019
Base Prospectus-Serie P-22 Luglio 2019
Programma Lussemburghese-Serie K-BP-Supplement n° 6 - 19-08-2019
Base Prospectus 14 Novembre 2018
Programma Lussemburghese -Serie K- Supplement n° 1 - 05-01-2018
Programma Lussemburghese -Serie K- Supplement n° 2 - 22-01-2018
Programma Lussemburghese -Serie K- Supplement n° 3 - 09-03-2018
Programma Lussemburghese -Serie K- Supplement n° 4 - 28-03-2018
Programma Lussemburghese -Serie K- Supplement n° 5 - 25-04-2018
Programma Lussemburghese -Serie K- Supplement n° 6 - 25-05-2018
Programma Lussemburghese - Serie K - Supplement n° 7 - 27-07-2018
Programma Lussemburghese - Serie K - Supplement n° 8 - 23-08-2018
Programma Lussemburghese - Serie K - Supplement n° 9 - 19-09-2018
Show content of Certificati - Goldman Sachs
Condizioni definitive GS Phoenix STOXX Europe 600 Technology Index - GB00BT1N9M57 (Emissione 31/10/2024 – 30/10/2029)
Final Terms GS Phoenix STOXX Europe 600 Technology Index - GB00BT1N9M57 (Emissione 31/10/2024 – 30/10/2029)
Condizioni definitive GS Phoenix Eurostoxx Utilities Index - GB00BT1MYK57 (Emissione 30/09/2024 – 27/09/2029)
Final Terms GS Phoenix Eurostoxx Utilities Index - GB00BT1MYK57 (Emissione 30/09/2024 – 27/09/2029)
Condizioni definitive GS Bonus Cert. su Eurostoxx 50 Index - GB00BSG1RF65 (Emissione 18/09/2024 – 13/09/2027)
Final Terms GS Bonus Cert. su Eurostoxx 50 Index - GB00BSG1RF65 (Emissione 18/09/2024 – 13/09/2027)
Condizioni definitive GS Express Roche Eur - GB00BSSWN593 (Emissione 22/08/2024 – 20/08/2029)
Final Terms GS Express Roche Eur - GB00BSSWN593 (Emissione 22/08/2024 – 20/08/2029)
Condizioni definitive GS Express FTSE 100 Index Eur - GB00BSSHRH45 (Emissione 23/07/2024 – 23/07/2029)
Final Terms GS Express FTSE Index Eur - GB00BSSHRH45 (Emissione 23/07/2024 – 23/07/2029)
Condizioni definitive GS Phoenix Alphabet A Eur - GB00BSG1RB28 (Emissione 28/06/2024 – 27/06/2029)
Final Terms GS Phoenix Alphabet A Eur - GB00BSG1RB28 (Emissione 28/06/2024 – 27/06/2029)
Condizioni definitive GS Express SMI Index Eur - GB00BSG2MJ81 (Emissione 21/06/2024 – 21/06/2029)
Final Terms GS Express SMI Index Eur - GB00BSG2MJ81 (Emissione 21/06/2024 – 21/06/2029)
Condizioni definitive GS Express Engie - GB00BSG2MK96 (Emissione 21/06/2024 – 21/06/2029)
Final Terms GS Express Engie - GB00BSG2MK96 (Emissione 21/06/2024 – 21/06/2029)
Condizioni definitive GS Phoenix WO Alphabet A-Meta-Microsoft Eur - GB00BSG07200 (Emissione 31/05/2024 – 31/05/2027)
Final Terms GS Phoenix WO Alphabet A-Meta-Microsoft Eur - GB00BSG07200 (Emissione 31/05/2024 – 31/05/2027)
Condizioni definitive GS Phoenix STOXX Europe 600 Automob. & Parts Index - GB00BS5GNM13 (Emissione 31/05/2024 – 30/05/2029)
Final Terms GS Phoenix STOXX Europe 600 Automob. & Parts Index - GB00BS5GNM13 (Emissione 31/05/2024 – 30/05/2029)
Condizioni definitive GS Express Veolia - GB00BS5CY593 (Emissione 22/03/2024 – 21/03/2029)
Final Terms GS Express Veolia - GB00BS5CY593 (Emissione 22/03/2024 – 21/03/2029)
Condizioni definitive GS Express Microsoft Eur - GB00BS5BFJ70 (Emissione 09/02/2024 – 08/02/2029)
Final Terms GS Express Microsoft Eur - GB00BS5BFJ70 (Emissione 09/02/2024 – 08/02/2029)
Condizioni definitive GS Express Ftse100 Index Eur - GB00BS5BFH56 (Emissione 09/02/2024 – 08/02/2029)
Final Terms GS Express Ftse100 Index Eur - GB00BS5BFH56 (Emissione 09/02/2024 – 08/02/2029)
Condizioni definitive GS 5Y Partecipaz. note su SMI Index 106.25% - XS2692114403 (Emissione 31/01/2024 – 31/01/2029)
Final Terms GS 5Y Partecipaz. note su SMI Index 106.25% - XS2692114403 (Emissione 31/01/2024 – 31/01/2029)
Condizioni definitive GS 3Y1M CLC EUR Unicredit Senior Preferred - GB00BRT2Y692 (Emissione 24/11/2023 – 20/12/2026)
Final Terms GS 3Y1M CLC EUR Unicredit Senior Preferred - GB00BRT2Y692 (Emissione 24/11/2023 – 20/12/2026)
Condizioni definitive GS Phoenix WO Intesa SanPaolo-Banco BPM-Enel - GB00BRT2Y361 (Emissione 15/11/2023 – 02/11/2026)
Final Terms GS Phoenix WO Intesa SanPaolo-Banco BPM-Enel - GB00BRT2Y361 (Emissione 15/11/2023 – 02/11/2026)
Condizioni definitive GS Express Swatch Eur - GB00BRKCDV62 (Emissione 11/10/2023 – 10/10/2028)
Final Terms GS Express Swatch Eur - GB00BRKCDV62 (Emissione 11/10/2023 – 10/10/2028)
Condizioni definitive GS Express Kraft-Heinz Eur - GB00BRK66085 (Emissione 19/07/2023 – 17/07/2028)
Final Terms GS Express Kraft-Heinz Eur - GB00BRK66085 (Emissione 19/07/2023 – 17/07/2028)
Condizioni definitive GS Express SMI Swiss Index Eur - GB00BR9SKV43 (Emissione 31/05/2023 – 30/05/2028)
Final Terms GS Express SMI Swiss Index Eur - GB00BR9SKV43 (Emissione 31/05/2023 – 30/05/2028)
Condizioni definitive GS Express LG Technologies Eur - GB00BR9PXW73 (Emissione 20/04/2023 – 19/04/2028)
Final Terms GS Express LG Technologies Eur - GB00BR9PXW73 (Emissione 20/04/2023 – 19/04/2028)
Condizioni definitive GS Express Nutrien Eur - GB00BR0CNP03 (Emissione 14/03/2023 – 14/03/2028)
Final Terms GS Express Nutrien Eur - GB00BR0CNP03 (Emissione 14/03/2023 – 14/03/2028)
Condizioni definitive GS Express Sonova Eur - GB00BR098785 (Emissione 15/02/2023 – 15/02/2028)
Final Terms GS Express Sonova Eur - GB00BR098785 (Emissione 15/02/2023 – 15/02/2028)
Condizioni definitive GS Express Engie - GB00BR098561 (Emissione 15/02/2023 – 15/02/2028)
Final Terms GS Express Engie - GB00BR098561 (Emissione 15/02/2023 – 15/02/2028)
Condizioni definitive GS Phoenix Microsoft Eur - GB00BQP5FT56 (Emissione 20/01/2023 – 19/01/2028)
Final Terms GS Phoenix Microsoft Eur - GB00BQP5FT56 (Emissione 20/01/2023 – 19/01/2028)
Condizioni definitive GS Express Deere & Co. Eur - GB00BQ3Z8871 (Emissione 22/07/2022 – 21/07/2027)
Final Terms GS Express Deere & Co. Eur - GB00BQ3Z8871 (Emissione 22/07/2022 – 21/07/2027)
Condizioni definitive GS Express Engie - GB00BQ3WVQ72 (Emissione 29/06/2022 – 28/06/2027)
Final Terms GS Express Engie - GB00BQ3WVQ72 (Emissione 29/06/2022 – 28/06/2027)
Condizioni definitive GS Best of Bonus FTSEMib-CAC 40-IBEX 35 - GB00BP8FB971 (Emissione 31/05/2022 – 31/05/2027)
Final Terms GS Best of Bonus FTSEMib-CAC 40-IBEX 35 - GB00BP8FB971 (Emissione 31/05/2022 – 31/05/2027)
Condizioni definitive GS Phoenix Adidas - GB00BPM24H38 (Emissione 31/05/2022 – 26/05/2027)
Final Terms GS Phoenix Adidas - GB00BPM24H38 (Emissione 31/05/2022 – 26/05/2027)
Condizioni definitive GS Phoenix Axa - GB00BPM1WS75 (Emissione 31/05/2022 – 26/05/2027)
Final Terms GS Phoenix Axa - GB00BPM1WS75 (Emissione 31/05/2022 – 26/05/2027)
Condizioni definitive GS Phoenix Allianz - GB00BPM05M91 (Emissione 29/04/2022 – 28/04/2027)
Final Terms GS Phoenix Allianz - GB00BPM05M91 (Emissione 29/04/2022 – 28/04/2027)
Condizioni definitive GS Phoenix Apple Eur - GB00BPLTD120 (Emissione 29/04/2022 – 28/04/2027)
Final Terms GS Phoenix Apple Eur - GB00BPLTD120 (Emissione 29/04/2022 – 28/04/2027)
Condizioni definitive GS Phoenix Allianz - GB00BP8LXJ95 (Emissione 31/03/2022 – 30/03/2027)
Final Terms GS Phoenix Allianz - GB00BP8LXJ95 (Emissione 31/03/2022 – 30/03/2027)
Condizioni definitive GS Phoenix Microsoft Eur - GB00BNWLWL60 (Emissione 25/03/2022 – 24/03/2027)
Final Terms GS Phoenix Microsoft Eur - GB00BNWLWL60 (Emissione 25/03/2022 – 24/03/2027)
Condizioni definitive GS Express Swatch Eur - GB00BPLCPG01 (Emissione 22/03/2022 – 22/03/2027)
Final Terms GS Express Swatch Eur - GB00BPLCPG01 (Emissione 22/03/2022 – 22/03/2027)
Condizioni definitive GS Express American Airlines - GB00BP8HBQ07 (Emissione 28/01/2022 – 27/01/2027)
Final Terms GS Express American Airlines - GB00BP8HBQ07 (Emissione 28/01/2022 – 27/01/2027)
Condizioni definitive GS Phoenix Alphabet A - GB00BNMWDY91 (Emissione 09/02/2022 – 08/02/2027)
Final Terms GS Phoenix Alphabet A - GB00BNMWDY91 (Emissione 09/02/2022 – 08/02/2027)
Condizioni definitive GS Phoenix Kering - GB00BNMV0121 (Emissione 31/01/2022 – 26/01/2027)
Final Terms GS Phoenix Kering - GB00BNMV0121 (Emissione 31/01/2022 – 26/01/2027)
Condizioni definitive GS Express Lufthansa - GB00BP8DW097 - (Emissione 10/01/2022 – 06/01/2027)
Final Terms GS Express Lufthansa - GB00BP8DW097 - (Emissione 10/01/2022 – 06/01/2027)
Condizioni definitive GS Express Eurostoxx Banks Index - GB00BP8DKJ41 (Emissione 10/01/2022 – 06/01/2027)
Final Terms GS Express Eurostoxx Banks Index - GB00BP8DKJ41 (Emissione 10/01/2022 – 06/01/2027)
Condizioni definitive GS Express STOXXEurope600 Telecommunications Index - GB00BP8DKD88 (Emissione 07/01/2022 – 28/12/2026)
Final Terms GS Express STOXXEurope600 Telecommunications Index - GB00BP8DKD88 (Emissione 07/01/2022 – 28/12/2026)
Condizioni definitive GS Express General Electric - GB00BP03BJ91 - (Emissione 04/01/2022 – 23/12/2026)
Final Terms GS Express General Electric - GB00BP03BJ91 - (Emissione 04/01/2022 – 23/12/2026)
Condizioni definitive GS Phoenix Deutsche Post - GB00BP02C933 (Emissione 14/01/2022 – 13/01/2027)
Final Terms GS Phoenix Deutsche Post - GB00BP02C933 (Emissione 14/01/2022 – 13/01/2027)
Condizioni definitive GS Phoenix BNP - GB00BP01KP29 (Emissione 29/10/2021 – 28/10/2026)
Final Terms GS Phoenix BNP - GB00BP01KP29 (Emissione 29/10/2021 – 28/10/2026)
Condizioni definitive GS Phoenix VW - GB00BNWM5541 (Emissione 30/09/2021 – 30/09/2026)
Final Terms GS Phoenix VW - GB00BNWM5541 (Emissione 30/09/2021 – 30/09/2026)
Condizioni definitive GS Phoenix Alibaba Eur - GB00BNWLVW01 (Emissione 30/09/2021 – 29/09/2026)
Final Terms GS Phoenix Alibaba Eur - GB00BNWLVW01 (Emissione 30/09/2021 – 29/09/2026)
Condizioni definitive GS Phoenix AXA - GB00BNWLW491 (Emissione 31/08/2021 – 31/08/2026)
Final Terms GS Phoenix AXA - GB00BNWLW491 (Emissione 31/08/2021 – 31/08/2026)
Condizioni definitive GS Express Novo Nordisk - GB00BNB87N54 (Emissione 20/07/2021 – 20/07/2026)
Final Terms GS Express Novo Nordisk - GB00BNB87N54 (Emissione 20/07/2021 – 20/07/2026)
Condizioni definitive GS Phoenix BNP - GB00BN342Q90 (Emissione 30/06/2021 – 29/06/2026)
Final Terms GS Phoenix BNP - GB00BN342Q90 (Emissione 30/06/2021 – 29/06/2026)
Condizioni definitive GS Express Roche - GB00BNMT3D98 (Emissione 15/06/2021 – 15/06/2026)
Final Terms GS Express Roche - GB00BNMT3D98 (Emissione 15/06/2021 – 15/06/2026)
Condizioni definitive GS Phoenix VW - GB00BNMR7K81 (Emissione 31/05/2021 – 29/05/2026)
Final Terms GS Phoenix VW - GB00BNMR7K81 (Emissione 31/05/2021 – 29/05/2026)
Condizioni definitive GS Phoenix BNP - GB00BNBBQS27 (Emissione 23/04/2021 – 22/04/2026)
Final Terms GS Phoenix BNP - GB00BNBBQS27 (Emissione 23/04/2021 – 22/04/2026)
Condizioni definitive GS Phoenix Tesla ESG - GB00BMRWBX25 (Emissione 16/04/2021 – 15/04/2026)
Final Terms GS Phoenix Tesla ESG - GB00BMRWBX25 (Emissione 16/04/2021 – 15/04/2026)
Condizioni definitive GS Phoenix BNP - GB00BMRWBX25 (Emissione 31/03/2021 – 30/03/2026)
Final Terms GS Phoenix BNP - GB00BMRWBX25 (Emissione 31/03/2021 – 30/03/2026)
Condizioni definitive GS Phoenix Axa - GB00BMRWBW18 (Emissione 31/03/2021 – 30/03/2026)
Final Terms GS Phoenix Axa - GB00BMRWBW18 (Emissione 31/03/2021 – 30/03/2026)
Condizioni definitive GS Phoenix Alibaba - GB00BMMTYC80 (Emissione 26/02/2021 – 25/02/2026)
Final Terms GS Phoenix Alibaba - GB00BMMTYC80 (Emissione 26/02/2021 – 25/02/2026)
Condizioni definitive GS Express Veolia - GB00BNB5BH85 (Emissione 25/01/2021 – 22/01/2026)
Final Terms GS Express Veolia - GB00BNB5BH85 (Emissione 25/01/2021 – 22/01/2026)
Condizioni definitive GS Bonus Cap Fast Trigger WO 3 stocks - GB00BN25V335 (Emissione 17/02/2021 – 23/02/2022)
Final Terms GS Bonus Cap Fast Trigger WO 3 stocks - GB00BN25V335 (Emissione 17/02/2021 – 23/02/2022)
Condizioni definitive GS Phoenix FAcebook - GB00BLRZGJ59 (Emissione 29/01/2021 – 28/01/2026)
Final Terms GS Phoenix Facebook - GB00BLRZGJ59 (Emissione 29/01/2021 – 28/01/2026)
Condizioni definitive GS Phoenix Apple - GB00BLRYT932 (Emissione 20/01/2021 – 19/01/2026)
Final Terms GS Phoenix Apple - GB00BLRYT932 - (Emissione 20/01/2021 – 19/01/2026)
Condizioni definitive GS Express S&P500 - GB00BJ4BFT52 (Emissione 30/09/2020 – 29/09/2025)
Final Terms GS Express S&P500 - GB00BJ4BFT52 (Emissione 30/09/2020 – 29/09/2025)
Condizioni definitive GS Phoenix Basf - GB00BLS0YM84 (Emissione 31/07/2020 – 06/08/2025)
Final Terms GS Phoenix Basf - GB00BLS0YM84 (Emissione 31/07/2020 – 06/08/2025)
Condizioni definitive GS Express Glider Microsoft Eur - GB00BLRX7R44 (Emissione 30/06/2020 – 07/07/2025)
Final Terms GS Express Glider Microsoft Eur - GB00BLRX7R44 (Emissione 30/06/2020 – 07/07/2025)
Condizioni definitive GS Phoenix Alibaba Eur - GB00BLRX2023 (Emissione 30/06/2020 – 07/07/2025)
Final Terms GS Phoenix Alibaba Eur - GB00BLRX2023 (Emissione 30/06/2020 – 07/07/2025)
Condizioni definitive GS Phoenix Amazon Eur - GB00BLRX7857 (Emissione 30/06/2020 – 07/07/2025)
Final Terms GS Phoenix Amazon Eur - GB00BLRX7857 (Emissione 30/06/2020 – 07/07/2025)
Condizioni definitive GS Phoenix Kering - GB00BKXLS501 (Emissione Emissione 30/04/2020 – 07/05/2025)
Final Terms GS Phoenix Kering - GB00BKXLS501 (Emissione Emissione 30/04/2020 – 07/05/2025)
Condizioni definitive GS Express Repsol - GB00BKXLST45 (Emissione 19/05/2020 – 26/05/2025)
Final Terms GS Express Repsol - GB00BKXLST45 (Emissione 19/05/2020 – 26/05/2025)
Condizioni definitive GS Phoenix Fca - GB00BKN4VR24 (Emissione Emissione 27/02/2020 – 05/03/2025)
Final Terms GS Phoenix Fca - GB00BKN4VR24 (Emissione Emissione 27/02/2020 – 05/03/2025)
Condizioni definitive GS Phoenix FTSE Mib - GB00BKN4TT00 (Emissione 19/02/2020 – 25/02/2025)
Final Terms GS Phoenix FTSE Mib - GB00BKN4TT00 (Emissione 19/02/2020 – 25/02/2025)
Final Terms GS Phoenix STM - GB00BKN2TP06 (Emissione 31/01/2020 – 06/02/2025)
Condizioni definitive GS Phoenix Intesa - GB00BKN2N581 (Emissione Emissione 31/01/2020 – 18/02/2025)
Final Terms GS Phoenix Intesa - GB00BKN2N581 (Emissione Emissione 31/01/2020 – 18/02/2025)
Condizioni definitive GS Phoenix Airbag Michelin - GB00BKD0DS53 (Emissione 31/10/2019 – 06/11/2024)
Final Terms GS Phoenix Airbag Michelin - GB00BKD0DS53 (Emissione 31/10/2019 – 06/11/2024)
Condizioni definitive GS Phoenix Unicredit - GB00BKD0VB43 (Emissione 31/10/2019 – 06/11/2024)
Final Terms GS Phoenix Unicredit - GB00BKD0VB43 (Emissione 31/10/2019 – 06/11/2024)
Condizioni definitive GS Phoenix Shell - GB00BJ4BF283 (Emissione 30/09/2019 – 04/10/2024)
Final Terms GS Phoenix Shell - GB00BJ4BF283 (Emissione 30/09/2019 – 04/10/2024)
Condizioni definitive GS Phoenix Alibaba - GB00BJ4BF390 (Emissione 30/09/2019 – 04/10/2024)
Final Terms GS Phoenix Alibaba - GB00BJ4BF390 (Emissione 30/09/2019 – 04/10/2024)
Condizioni definitive GS Express Eurostoxx50 - GB00BJ4B6927 (Emissione 30/08/2019 – 05/09/2024)
Final Terms GS Express Eurostoxx50 - GB00BJ4B6927 (Emissione 30/08/2019 – 05/09/2024)
Condizioni definitive GS Phoenix Total - GB00BHMWZ072 (Emissione 28/06/2019 – 04/07/2024)
Final Terms GS Phoenix Total - GB00BHMWZ072 (Emissione 28/06/2019 – 04/07/2024)
Condizioni definitive GS Phoenix Twitter USD - GB00BHMWZ296 (Emissione 28/06/2019 – 03/07/2023)
Final Terms GS Phoenix Twitter USD - GB00BHMWZ296 (Emissione 28/06/2019 – 03/07/2023)
Condizioni definitive GS Phoenix Saipem - GB00BHMV5B54 (Emissione 31/05/2019 – 06/06/2024)
Final Terms GS Phoenix Saipem - GB00BHMV5B54 (Emissione 31/05/2019 – 06/06/2024)
Condizioni definitive GS Phoenix Decreasing Banco BPM quarterly - GB00BHMV5821 (Emissione 31/05/2019 – 06/06/2023)
Final Terms GS Phoenix Decreasing Banco BPM quarterly - GB00BHMV5821 (Emissione 31/05/2019 – 06/06/2023)
Condizioni definitive GS Express STOXX Europe 600 SXAP - GB00BHMV7868 (Emissione 31/05/2019 – 06/06/2024)
Final Terms GS Express STOXX Europe 600 SXAP - GB00BHMV7868 (Emissione 31/05/2019 – 06/06/2024)
Condizioni definitive GS Express Societe Generale – GB00BHCZ8C94 (Emissione 30/04/2019 – 07/05/2023)
Final Terms GS GS Express Societe Generale – GB00BHCZ8C94 (Emissione 30/04/2019 – 07/05/2023)
Condizioni definitive GS Phoenix Credit Agricole – GB00BHCZ8B87 (Emissione 30/04/2019 – 07/05/2023)
Final Terms GS Phoenix Credit Agricole– GB00BHCZ8B87 (Emissione 30/04/2019 – 07/05/2023)
Condizioni definitive GS 4Y Phoenix Netflix USD – GB00BHCZ8294 (Emissione 30/04/2019 – 25/04/2023)
Final Terms GS 4Y Phoenix Netflix USD – GB00BHCZ8294 (Emissione 30/04/2019 – 25/04/2023)
Condizioni definitive GS Phoenix on Adidas – GB00BHCXVV34 (Emissione 29/03/2019 – 08/04/2024)
Final Terms GS Phoenix on Adidas – GB00BHCXVV34 (Emissione 29/03/2019 – 08/04/2024)
Condizioni definitive GS Cash Collect on Intesa – GB00BH8Z9L93 (Emissione 29/03/2019 – 04/04/2023)
Final Terms GS Cash Collect on Intesa – GB00BH8Z9L93 (Emissione 29/03/2019 – 04/04/2023)
Condizioni definitive GS Cash Collect on Intesa – GB00BH8Z9K86 (Emissione 28/02/2019 – 06/03/2023)
Final Terms GS Cash Collect on Intesa – GB00BH8Z9K86 (Emissione 28/02/2019 – 06/03/2023)
Condizioni definitive GS Phoenix on Intesa – GB00BH8Z9H57 (Emissione 28/02/2019 – 06/03/2023)
Final Terms GS Phoenix on Intesa – GB00BH8Z9H57 (Emissione 28/02/2019 – 06/03/2023)
Condizioni definitive GS Phoenix Total - GB00BH60JH20 (Emissione 31/01/2019 – 06/02/2024)
Final Terms GS Phoenix Total - GB00BH60JH20 (Emissione 31/01/2019 – 06/02/2024)
Condizioni definitive 3Y GS Cash Collect Intesa San Paolo - GB00BGXXG988 (Emissione 28/12/2018 – 03/12/2021)
Final Terms 3Y GS Cash Collect Intesa San Paolo - GB00BGXXG988 (Emissione 28/12/2018 – 03/12/2021)
Condizioni definitive GS Phoenix Amazon USD- GB00BGDGFW34 (Emissione 30/11/2018 – 06/12/2023) aggiornamento del 14 novembre 2018
Final Terms GS Phoenix Amazon USD- GB00BGDGFW34 (Emissione 30/11/2018 – 06/12/2023) aggiornamento del 14 novembre 2018
Condizioni definitive GS Phoenix Amazon USD- GB00BGDGFW34 (Emissione 30/11/2018 – 06/12/2023)
Final Terms GS Phoenix Amazon USD- GB00BGDGFW34 (Emissione 30/11/2018 – 06/12/2023)
Condizioni definitive GS Express Amazon USD - GB00BGDG7L60 (Emissione 31/08/2018 – 06/11/2023)
Final Terms GS Express Amazon USD - GB00BGDG7L60 (Emissione 31/08/2018 – 06/11/2023)
Condizioni definitive GS Phoenix ENI - GB00BGDFX156 (Emissione 31/08/2018 – 06/11/2023)
Final Terms GS Phoenix ENI - GB00BGDFX156 (Emissione 31/08/2018 – 06/11/2023)
Condizioni definitive GS Phoenix ENEL - GB00BG2MH598 (Emissione 31/07/2018 – 02/08/2023)
Final Terms GS Phoenix ENEL - GB00BG2MH598 (Emissione 31/07/2018 – 02/08/2023)
Condizioni definitive GS Express on BNP Paribas SA - GB00BG2MDZ10 (Emissione 04/07/2018 – 10/07/2023)
Final Terms GS Express on BNP Paribas SA - GB00BG2MDZ10 (Emissione 04/07/2018 – 10/07/2023)
Condizioni definitive GS Phoenix Snam - GB00BG2LR789 (Emissione 29/06/2018 – 03/07/2023)
Final Terms GS Phoenix Snam - GB00BG2LR789 (Emissione 29/06/2018 – 03/07/2023)
Condizioni definitive GS Phoenix Vodafone - GB00BG2KFY86 (Emissione 29/06/2018 – 03/07/2023)
Final Terms GS Phoenix Vodafone - GB00BG2KFY86 (Emissione 29/06/2018 – 03/07/2023)
Condizioni definitive GS Express Kraft USD - GB00BG2L1J81 (Emissione 11/05/2018 – 25/05/2023)
Final terms GS Express Kraft USD - GB00BG2L1J81 (Emissione 11/05/2018 – 25/05/2023)
Condizioni definitive GS Phoenix Snam Rete Gas- GB00BG2HL525 (Emissione 31/05/2018 – 05/06/2023)
Final terms GS Phoenix Snam Rete Gas - GB00BG2HL525 (Emissione 31/05/2018 – 05/06/2023)
Condizioni definitive GS Phoenix Eurostoxx Banks - GB00BFTLWG88 (Emissione 30/04/2018 – 02/05/2023)
Condizioni definitive GS Phoenix Autocallable UBS (Emissione 31/01/2018 – 02/02/2023)
Final Terms GS Express Autocallable Eni (Emissione 20/11/2017 – 22/11/2022)
Condizioni definitive GS Express Autocallable Eni (Emissione 20/11/2017 – 22/11/2022)
Final Terms GS Phoenix Autocallable Eni (Emissione 29/09/2017 – 27/09/2022)
Condizioni definitive GS Phoenix Autocallable Eni (Emissione 29/09/2017 – 27/09/2022)
Final Terms GS Express Autocallable Bayer (Emissione 10/08/2017 – 15/08/2022)
Condizioni definitive GS Express Autocallable Bayer (Emissione 10/08/2017 – 15/08/2022)
Final terms GS Express Autocallable ENI (Emissione 30/06/2017 – 05/07/2022)
Condizioni definitive GS Express Autocallable ENI (Emissione 30/06/2017 – 05/07/2022)
Avviso risultati offerta ITA GB00BDWZH022
Final terms GS Express Autocallable UBS (Emissione 15/06/2017 – 20/06/2022)
Condizioni definitive GS Express Autocallable UBS (Emissione 15/06/2017 – 20/06/2022)
Avviso risultati offerta ITA GB00BDWYWG07
Final terms GS Express Autocallable SAP (Emissione 15/06/2017 – 20/06/2022)
Condizioni definitive GS Express Autocallable SAP (Emissione 15/06/2017 – 20/06/2022)
Avviso risultati offerta ITA GB00BDWYWF99
Condizioni definitive GS Express Autocallable AXA (Emissione 22/06/2017 – 22/06/2022)
Avviso risultati dell’offerta GB00BDWWKW60
Final terms GS Express Autocallable FTSE MIB (Emissione 26/05/2017 – 26/05/2022)
Condizioni definitive GS Express Autocallable FTSE MIB (Emissione 26/05/2017 – 26/05/2022)
Avviso risultati dell’offerta GB00BDWTYC55
Final Terms GS Express Autocallable IBM USD (Emissione 30/03/2017 – 04/04/2022)
Condizioni definitive GS Express Autocallable IBM USD (Emissione 30/03/2017 – 04/04/2022)
Show content of Obbligazioni - Goldman Sachs
Condizioni definitive GS Capital Protected 5Y note linked to SXIFSEE Index (Emissione 28/04/2023 – 27/04/2028)
Final Terms GS Capital Protected 5Y note linked to SXIFSEE Index (Emissione 28/04/2023 – 27/04/2028)
Final Terms GS Bond Libor Collar 8Y USD (Emissione 08/02/2017 – 08/02/2025)
Condizioni definitive GS Bond Libor Collar 8Y USD (Emissione 08/02/2017 – 08/02/2025)
Documentazione ING
Show content of Certificati e Note - ING
Final Terms ING Express Autocallable Intel USD (Emissione 14/10/16-14/10/21)
Condizioni definitive ING Express Autocallable Intel USD (Emissione 14/10/16-14/10/21)
Final Terms ING Express Autocallable Intesa San Paolo (Emissione 18/05/16-03/06/16)
Condizioni Definitive ING Express Autocallable Intesa San Paolo (Emissione 18/05/16-03/06/16)
Final Terms ING Express Autocallable Bayer (Emissione 29/07/16-02/08/16)
Condizioni Definitive ING Express Autocallable Bayer (Emissione 29/07/16-02/08/16)
Final Terms ING Express Autocallable Eurostoxx50 (Emissione 10/03/2016 - 10/03/2021)
Condizioni Definitive ING Express Autocallable Eurostoxx50 (Emissione 10/03/2016 - 10/03/2021)
Final Terms Certificate ING Phoenix Autocallable Enel (emissione 25/062015 - 29/06/2020)
Condizioni Definitive ING Phoenix Autocallable Enel (emissione 25/062015 - 29/06/2020)
Final Terms Certificate ING Express Autocallable BMW (emissione 25/062015 - 29/06/2020)
Condizioni Definitive ING Express Autocallable BMW (emissione 25/062015 - 29/06/2020)
Documentazione Intesa Sanpaolo
Show content of Certificati - Intesa Sanpaolo
Condizioni definitive certificato Intesa Sanpaolo Phoenix Repsol – XS2208044706 (Emissione 31/08/2020 – 29/08/2025)
Final Terms certificato Intesa Sanpaolo Phoenix Repsol – XS2208044706 (Emissione 31/08/2020 – 29/08/2025)
Condizioni definitive certificato Banca IMI Phoenix Repsol – XS2177592859 (Emissione 10/07/2020 – 10/07/2025)
Final Terms certificato Banca IMI Phoenix Repsol – XS2177592859 (Emissione 10/07/2020 – 10/07/2025)
Condizioni definitive certificato Banca IMI Phoenix Repsol – XS2129684044 (Emissione 15/05/2020 – 15/05/2025)
Final Terms certificato Banca IMI Phoenix Repsol – XS2129684044(Emissione 15/05/2020 – 15/05/2025)
Final Terms certificato Banca IMI Phoenix Eni – XS2121243039 (Emissione 25/03/2020 – 25/03/2025)
Final Terms certificato Banca IMI Express Ferrari – XS2122235810 (Emissione 09/03/2020 – 10/03/2025)
Condizioni definitive certificato Banca IMI Phoenix Netflix – XS2092742308 (Emissione 31/01/2020 – 31/01/2025)
Final Terms certificato Banca IMI Phoenix Netflix – XS2092742308 (Emissione 31/01/2020 – 31/01/2025)
Condizioni definitive Banca IMI Phoenix Enel - XS2073834140 (Emissione 29-nov-19 - 29-nov-24)
Final terms Banca IMI Phoenix Enel - XS2073834140 (Emissione 29-nov-19 - 29-nov-24)
Condizioni definitive certificato Banca IMI Phoenix Societe Generale – XS2004768599 (Emissione 28/06/2019 – 28/06/2024)
Final Terms certificato Banca IMI Phoenix Societe Generale – XS2004768599 (Emissione 28/06/2019 – 28/06/2024)
Condizioni definitive certificato Banca IMI Phoenix Generali – XS1987184089 (Emissione 31/05/2019 – 31/05/2024)
Final Terms certificato Banca IMI Phoenix Generali – XS1987184089 (Emissione 31/05/2019 – 31/05/2024)
Show content of Obbligazioni - Banca IMI
Final Terms Banca IMI 10Y Fix to floater EUR (Emissione 07/06/2017 – 07/06/2027)
Condizioni definitive Banca IMI 10Y Fix to floater EUR (Emissione 07/06/2017 – 07/06/2027)
Final Terms Banca IMI 7Y Fix to floater USD (Emissione 07/06/2017 – 07/06/2024)
Condizioni definitive Banca IMI 7Y Fix to floater USD (Emissione 07/06/2017 – 07/06/2024)
Final Terms Banca IMI 8Y Euribor collar (Emissione 17/02/2017 – 17/02/2025)
Condizioni definitive IMI 8Y Euribor collar (Emissione 17/02/2017 – 17/02/2025)
Final Terms Banca IMI Note 10Y Zero coupon EUR (Emissione 25/05/2016 - 25/05/2026)
Condizioni Definitive Banca IMI Note 10Y Zero coupon EUR (Emissione 25/05/2016 - 25/05/2026)
Condizioni Definitive Bond a tasso misto (Emissione 20/01/2016 - 20/01/2026)
Condizioni Definitive Bond a tasso fisso (Emissione 20/01/2016 - 20/01/2023)
Condizioni definitive Banca IMI Express Autocallable MXEF (Emissione 29/12/2017 – 29/12/2022)
Documentazione Mediobanca
Show content of Certificati - Mediobanca
Condizioni definitive MB Phoenix SAP - XS2502805992 (Emissione 31/08/2022 - 30/08/2027)
Final Terms MB Phoenix SAP - XS2502805992 (Emissione 31/08/2022 - 30/08/2027)
Condizioni definitive MB Phoenix Schneider Electric - XS2502806024 (Emissione 31/08/2022 - 30/08/2027)
Final Terms MB Phoenix Schneider Electric - XS2502806024 (Emissione 31/08/2022 - 30/08/2027)
Condizioni definitive MB Phoenix Tesla Eur - XS2498455232 (Emissione 29/07/2022 - 29/07/2025)
Final Terms MB Phoenix Tesla Eur - XS2498455232 (Emissione 29/07/2022 - 29/07/2025)
Condizioni definitive MB Cash Collect FTSEMib 65% – IT0005411902 (Emissione 30/06/2020 – 08/07/2024)
Documentazione Morgan Stanley
Show content of Certificati e Note - Morgan Stanley
Condizioni definitive MS Express Danaher Eur - DE000MS0H059 (Emissione 30/09/2024 - 28/09/2029)
Final Terms MS Express Danaher Eur - DE000MS0H059 (Emissione 30/09/2024 - 28/09/2029)
Condizioni definitive MS Express Veolia Environnement - DE000MS0H026 (Emissione 20/09/2024 - 20/09/2029)
Final Terms MS Express Veolia Environnement - DE000MS0H026 (Emissione 20/09/2024 - 20/09/2029)
Condizioni definitive MS Phoenix Amazon Eur - DE000MS8JV24 (Emissione 31/07/2024 - 31/07/2029)
Final Terms MS Phoenix Amazon Eur - DE000MS8JV24 (Emissione 31/07/2024 - 31/07/2029)
Condizioni definitive MS Express Kraft Heinz Eur - DE000MS8JVU1 (Emissione 30/04/2024 - 30/04/2029)
Final Terms MS Express Kraft Heinz Eur - DE000MS8JVU1 (Emissione 30/04/2024 - 30/04/2029)
Condizioni definitive MS Express STOXX Europe 600 Health Care Index - DE000MS8JVT3 (Emissione 19/04/2024 - 19/04/2029)
Final Terms MS Express STOXX Europe 600 Health Care Index - DE000MS8JVT3 (Emissione 19/04/2024 - 19/04/2029)
Condizioni definitive MS 5Y Bonus Certificate Partecipaz. 100% Eurostoxx 50 Index - DE000MS8JVG0 (Emissione 28/03/2024 - 28/03/2029)
Final Terms MS 5Y Bonus Certificate Partecipaz. 100% Eurostoxx 50 Index - DE000MS8JVG0 (Emissione 28/03/2024 - 28/03/2029)
Condizioni definitive MS Phoenix WO Kering-Pfizer-Nike Eur - DE000MS8JVN6 (Emissione 15/03/2024 - 01/03/2027)
Final Terms MS Phoenix WO Kering-Pfizer-Nike Eur - DE000MS8JVN6 (Emissione 15/03/2024 - 01/03/2027)
Condizioni definitive MS Phoenix WO Intesa SanPaolo-Kering-PayPal Eur - DE000MS8JVJ4 (Emissione 21/02/2024 - 09/02/2027)
Final Terms MS Phoenix WO Intesa SanPaolo-Kering-PayPal Eur - DE000MS8JVJ4 (Emissione 21/02/2024 - 09/02/2027)
Condizioni definitive MS Express ColgatePalmolive Eur - DE000MS8JU09 (Emissione 11/10/2023 - 11/10/2028)
Final Terms MS Express ColgatePalmolive Eur - DE000MS8JU09 (Emissione 11/10/2023 - 11/10/2028)
Condizioni definitive MS Phoenix WO Intesa SanPaolo-Enel-Coca Cola Eur - DE000MS8JUU3 (Emissione 25/08/2023 - 10/08/2026)
Final Terms MS Phoenix WO Intesa SanPaolo-Enel-Coca Cola Eur - DE000MS8JUU3 (Emissione 25/08/2023 - 10/08/2026)
Condizioni definitive MS Phoenix WO Intesa SanPaolo-Enel - DE000MS8JUS7 (Emissione 04/08/2023 - 04/08/2027)
Final Terms MS Phoenix WO Intesa SanPaolo-Enel - DE000MS8JUS7 (Emissione 04/08/2023 - 04/08/2027)
Condizioni definitive MS Phoenix Eurostoxx Utilities Index - DE000MS8JT10 (Emissione 31/05/2023 - 31/05/2028)
Final Terms MS Phoenix Eurostoxx Utilities Index - DE000MS8JT10 (Emissione 31/05/2023 - 31/05/2028)
Condizioni definitive MS Phoenix WO ASML-Eni-Stellantis - DE000MS8JT28 (Emissione 26/05/2023 - 18/05/2026)
Final Terms MS Phoenix WO ASML-Eni-Stellantis - DE000MS8JT28 (Emissione 26/05/2023 - 18/05/2026)
Condizioni definitive MS Express Sanofi - DE000MS8JTF6 (Emissione 14/03/2023 - 14/03/2028)
Final Terms MS Express Sanofi - DE000MS8JTF6 (Emissione 14/03/2023 - 14/03/2028)
Condizioni definitive MS Express FTSE 100 Index - DE000MS8JTE9 (Emissione 14/03/2023 - 14/03/2028)
Final Terms MS Express FTSE 100 Index - DE000MS8JTE9 (Emissione 14/03/2023 - 14/03/2028)
Condizioni definitive MS Phoenix Eurostoxx Banks Index - DE000MS8JTC3 (Emissione 28/02/2023 - 28/02/2028)
Final Terms MS Phoenix Eurostoxx Banks Index - DE000MS8JTC3 (Emissione 28/02/2023 - 28/02/2028)
Condizioni definitive MS Phoenix Eurostoxx Banks Index - DE000MS8JSX1 (Emissione 20/01/2023 - 20/01/2028)
Final Terms MS Phoenix Eurostoxx Banks Index - DE000MS8JSX1 (Emissione 20/01/2023 - 20/01/2028)
Condizioni definitive MS Phoenix ASML - DE000MS8JSK8 (Emissione 30/09/2022 - 29/09/2027)
Final Terms MS Phoenix ASML - DE000MS8JSK8 (Emissione 30/09/2022 - 29/09/2027)
Condizioni definitive MS Express Airbag Put Strike Intesa SanPaolo - DE000MS8JRH6 (Emissione 15/07/2022 - 07/07/2025)
Final Terms MS Express Airbag Put Strike Intesa SanPaolo - DE000MS8JRH6 (Emissione 15/07/2022 - 07/07/2025)
Condizioni definitive MS Express Eurostoxx 50 Index - DE000MS8JQZ0 (Emissione 30/06/2022 - 30/06/2027)
Final Terms MS Express Eurostoxx 50 Index - DE000MS8JQZ0 (Emissione 30/06/2022 - 30/06/2027)
Condizioni definitive MS Express STOXX Europe ESG Lead Select 30 Index - DE000MS8JQS5 (Emissione 22/04/2022 - 22/04/2027)
Final Terms MS Express STOXX Europe ESG Lead Select 30 Index - DE000MS8JQS5 (Emissione 22/04/2022 - 22/04/2027)
Condizioni definitive MS Phoenix LVMH - DE000MS8JP63 (Emissione 31/03/2022 - 31/03/2027)
Final Terms MS Phoenix LVMH - DE000MS8JP63 (Emissione 31/03/2022 - 31/03/2027)
Condizioni definitive MS Bonus Daily Fast Trigger WO Amazon-Alphabet-IBM - DE000MS8JP55 (Emissione 28/02/2022 - 01/09/2023)
Final Terms MS Bonus Daily Fast Trigger WO Amazon-Alphabet-IBM - DE000MS8JP55 (Emissione 28/02/2022 - 01/09/2023)
Condizioni definitive MS Bonus Daily Fast Trigger WO Apple-Alphabet-Intuitive Surgical - DE000MS8JP48 (Emissione 28/02/2022 - 01/09/2023)
Final Terms MS Bonus Daily Fast Trigger WO Apple-Alphabet-Intuitive Surgical - DE000MS8JP48 (Emissione 28/02/2022 - 01/09/2023)
Condizioni definitive MS Phoenix TotalEnergies - DE000MS8JP30 (Emissione 28/02/2022 - 26/02/2027)
Final Terms MS Phoenix TotalEnergies - DE000MS8JP30 (Emissione 28/02/2022 - 26/02/2027)
Condizioni definitive MS Daily Fast Trigger WO LVMH-ASML-BNP - DE000MS8JP22 (Emissione 31/01/2022 - 04/08/2023)
Final Terms MS Daily Fast Trigger WO LVMH-ASML-BNP - DE000MS8JP22 (Emissione 31/01/2022 - 04/08/2023)
Condizioni definitive MS Phoenix Enel - DE000MS8JPG2 (Emissione 29/10/2021 - 27/10/2026)
Final Terms MS Phoenix Enel - DE000MS8JPG2 (Emissione 29/10/2021 - 27/10/2026)
Condizioni definitive MS Express Bayer - DE000MS8JPB3 (Emissione 15/06/2021 - 12/06/2026)
Final Terms MS Express Bayer - DE000MS8JPB3 (Emissione 15/06/2021 - 12/06/2026)
Condizioni definitive MS Phoenix Basf - DE000MS8JN73 (Emissione 31/05/2021 - 29/05/2026)
Final Terms MS Phoenix Basf - DE000MS8JN73 (Emissione 31/05/2021 - 29/05/2026)
Documentazione Societe Generale
Show content of Prospetti e Supplementi - Societe Generale
Third Supplement Dated 15 January 2024
Second Supplement Dated 25 October 2023
First Supplement Dated 04 August 2023
Base Prospectus Dated 31st May 2023
First Supplement Dated 15 February 2023
Base Prospectus Dated 1st June 2022
Supplement (1) Dated 14 January 2022
Base Prospectus Dated 4 June 2021
Supplement (5) Dated 06 Aprile 2021 Pursuant To The Base Prospectus Dated 5 June 2020
Supplement (4) Dated 11 December 2020 Pursuant To The Base Prospectus Dated 5 June 2020
Supplement (3) Dated 21 September 2020 Pursuant To The Base Prospectus Dated 5 June 2020
Supplement (2) Dated 20 August 2020 Pursuant To The Base Prospectus Dated 5 June 2020
Supplement (1) Dated 17 July 2020 Pursuant To The Base Prospectus Dated 5 June 2020
Base Prospectus del 05 Giugno 2020
Debt Instruments Issuance Programme – Supplement n° 7 – 03 giugno 2020
Debt Instruments Issuance Programme 2019 - Supplement n° 6 - 14 aprile 2020
Debt Instruments Issuance Programme 2019 - Supplement n° 5 - 13 febbraio 2020
Debt Instruments Issuance Programme 2019 - Supplement n° 4 - 15 gennaio 2020
Debt Instruments Issuance Programme 2019 - Supplement n° 3 - 29 novembre 2019
Debt Instruments Issuance Programme 2019 - Supplement n° 2 - 11 ottobre 2019
Debt Instruments Issuance Programme 2019 - Supplement n° 1 -19 agosto 2019
Base prospectus del 14 giugno 2019
Base prospectus del 6 luglio 2016
Base Prospectus del 26 ottobre 2015
Base Prospectus del 29 aprile 2014
Show content of Certificati - Societe Generale
Condizioni definitive SG Phoenix WO Stellantis-Intel-RWE Eur - XS2395100600 (Emissione 19/08/2024 – 02/08/2027)
Final Terms SG Phoenix WO Stellantis-Intel-RWE Eur - XS2395100600 (Emissione 19/08/2024 – 02/08/2027)
Condizioni definitive SG Phoenix WO ASM International-Rio Tinto-Valeo Eur - XS2395099836 (Emissione 13/08/2024 – 01/02/2027)
Final Terms SG Phoenix WO ASM International-Rio Tinto-Valeo Eur - XS2395099836 (Emissione 13/08/2024 – 01/02/2027)
Condizioni definitive SG Phoenix WO Unicredit-Infineon-Stellantis - XS2395100352 (Emissione 09/08/2024 – 23/07/2027)
Final Terms SG Phoenix WO Unicredit-Infineon-Stellantis - XS2395100352 (Emissione 09/08/2024 – 23/07/2027)
Condizioni definitive SG Phoenix WO Banco BPM-PayPal-Mercedes Benz Eur - XS2395100436 (Emissione 09/08/2024 – 23/07/2027)
Final Terms SG Phoenix WO Banco BPM-PayPal-Mercedes Benz Eur - XS2395100436 (Emissione 09/08/2024 – 23/07/2027)
Condizioni definitive SG Phoenix WO Rio Tinto-Alphabet A-Cie Fin Richemont Eur - XS2395100519 (Emissione 09/08/2024 – 23/07/2027)
Final Terms SG Phoenix WO Rio Tinto-Alphabet A-Cie Fin Richemont Eur - XS2395100519 (Emissione 09/08/2024 – 23/07/2027)
Condizioni definitive SG Phoenix WO BMPS-Saipem-Telecom Italia - XS2395098945 (Emissione 31/07/2024 – 22/01/2027)
Final Terms SG Phoenix WO BMPS-Saipem-Telecom Italia - XS2395098945 (Emissione 31/07/2024 – 22/01/2027)
Condizioni definitive SG Express Intel Eur - XS2395098358 (Emissione 31/07/2024 – 30/07/2029)
Final Terms SG Express Intel Eur - XS2395098358 (Emissione 31/07/2024 – 30/07/2029)
Condizioni definitive SG Bonus Daily Fast Trigger WO BNP Paribas-Schneider Electrics-Amazon Eur - XS2395097897 (Emissione 31/07/2024 – 06/08/2026)
Final Terms SG Bonus Daily Fast Trigger WO BNP Paribas-Schneider Electrics-Amazon Eur - XS2395097897 (Emissione 31/07/2024 – 06/08/2026)
Condizioni definitive SG Phoenix WO ASM International-Banco BPM-Siemens Energy - XS2395095842 (Emissione 05/07/2024 – 21/06/2027)
Final Terms SG Phoenix WO ASM International-Banco BPM-Siemens Energy - XS2395095842 (Emissione 05/07/2024 – 21/06/2027)
Condizioni definitive SG Phoenix WO Rio Tinto-Infineon-Netflix Eur - XS2395089795 (Emissione 26/06/2024 – 14/06/2027)
Final Terms SG Phoenix WO Rio Tinto-Infineon-Netflix Eur - XS2395089795 (Emissione 26/06/2024 – 14/06/2027)
Condizioni definitive SG Phoenix WO Enel-Assicurazioni Generali-Amazon Eur - XS2395087666 (Emissione 07/06/2024 – 24/05/2027)
Final Terms SG Phoenix WO Enel-Assicurazioni Generali-Amazon Eur - XS2395087666 (Emissione 07/06/2024 – 24/05/2027)
Condizioni definitive SG Phoenix WO Poste Italiane-EssilorLuxottica-Nexi - XS2395087237 (Emissione 05/06/2024 – 11/06/2027)
Final Terms SG Phoenix WO Poste Italiane-EssilorLuxottica-Nexi - XS2395087237 (Emissione 05/06/2024 – 11/06/2027)
Condizioni definitive SG Phoenix WO Adidas-Meta-Stellantis Eur - XS2395086262 (Emissione 31/05/2024 – 17/05/2027)
Final Terms SG Phoenix WO Adidas-Meta-Stellantis Eur - XS2395086262 (Emissione 31/05/2024 – 17/05/2027)
Condizioni definitive SG Phoenix WO Infineon-Walt Disney-Unicredit Eur - XS2395086189 (Emissione 31/05/2024 – 17/05/2027)
Final Terms SG Phoenix WO Infineon-Walt Disney-Unicredit Eur - XS2395086189 (Emissione 31/05/2024 – 17/05/2027)
Condizioni definitive SG Express S&P/ASX 200 Australian Index Eur - XS2395084648 (Emissione 15/05/2024 – 14/05/2029)
Final Terms SG Express S&P/ASX 200 Australian Index Eur - XS2395084648 (Emissione 15/05/2024 – 14/05/2029)
Condizioni definitive SG Phoenix WO Microsoft-Alphabet A-Nvidia Eur - XS2395084218 (Emissione 10/05/2024 – 26/04/2027)
Final Terms SG Phoenix WO Microsoft-Alphabet A-Nvidia Eur - XS2395084218 (Emissione 10/05/2024 – 26/04/2027)
Condizioni definitive SG Bonus Daily Fast Trigger WO LVMH-Novo Nordisk-ASML Eur - XS2395081115 (Emissione 30/04/2024 – 07/05/2026)
Final Terms SG Bonus Daily Fast Trigger WO LVMH-Novo Nordisk-ASML Eur - XS2395081115 (Emissione 30/04/2024 – 07/05/2026)
Condizioni definitive SG Express Chevron Eur - XS2395071660 (Emissione 15/03/2024 – 13/03/2029)
Final Terms SG Express Chevron Eur - XS2395071660 (Emissione 15/03/2024 – 13/03/2029)
Condizioni definitive SG Phoenix WO Intesa SanPaolo-LVMH-Infineon Technologies - XS2395068013 (Emissione 14/02/2024 – 21/02/2028)
Final Terms SG Phoenix WO Intesa SanPaolo-LVMH-Infineon Technologies - XS2395068013 (Emissione 14/02/2024 – 21/02/2028)
Condizioni definitive SG 5Y Partecipaz. note su Eurostoxx Utilities Index 106% - XS2395061273 (Emissione 31/01/2024 – 29/01/2029)
Final Terms SG 5Y Partecipaz. note su Eurostoxx Utilities Index 106% - XS2395061273 (Emissione 31/01/2024 – 29/01/2029)
Condizioni definitive SG Phoenix WO Intesa SanPaolo-LVMH-Mercedes Benz Group - XS2395064707 (Emissione 17/01/2024 – 29/12/2026)
Final Terms SG Phoenix WO Intesa SanPaolo-LVMH-Mercedes Benz Group - XS2395064707 (Emissione 17/01/2024 – 29/12/2026)
Condizioni definitive SG Phoenix WO Apple-Enel-Eni-Intesa SanPaolo Eur - XS2395046712 (Emissione 26/09/2023 – 22/09/2026)
Final Terms SG Phoenix WO Apple-Enel-Eni-Intesa SanPaolo Eur - XS2395046712 (Emissione 26/09/2023 – 22/09/2026)
Condizioni definitive SG Express Nutrien Eur - XS2395046043 (Emissione 22/09/2023 – 21/09/2028)
Final Terms SG Express Nutrien Eur - XS2395046043 (Emissione 22/09/2023 – 21/09/2028)
Condizioni definitive SG Express Bayer - XS2395044188 (Emissione 04/09/2023 – 01/09/2028)
Final Terms SG Express Bayer - XS2395044188 (Emissione 04/09/2023 – 01/09/2028)
Condizioni definitive SG Express Coca-Cola Eur - XS2395043883 (Emissione 04/09/2023 – 01/09/2028)
Final Terms SG Express Coca-Cola Eur - XS2395043883 (Emissione 04/09/2023 – 01/09/2028)
Condizioni definitive SG Phoenix WO Intesa-Walt Disney-Mercedes Benz Eur - XS2395041242 (Emissione 31/07/2023 – 21/07/2026)
Final Terms SG Phoenix WO Intesa-Walt Disney-Mercedes Benz Eur - XS2395041242 (Emissione 31/07/2023 – 21/07/2026)
Condizioni definitive SG Express Pfizer Eur - XS2395033223 (Emissione 23/06/2023 – 22/06/2028)
Final Terms SG Express Pfizer Eur - XS2395033223 (Emissione 23/06/2023 – 22/06/2028)
Condizioni definitive SG Phoenix WO Plus NO AUTOCALL Eurostoxx 50-S&P 500-Nikkei 225 Eur - XS2395033496 (Emissione 21/06/2023 – 09/12/2024)
Final Terms SG Phoenix WO Plus NO AUTOCALL Eurostoxx 50-S&P 500-Nikkei 225 Eur - XS2395033496 (Emissione 21/06/2023 – 09/12/2024)
Condizioni definitive SG Phoenix WO ASML-Intesa SanPaolo-Nike Eur - XS2395032928 (Emissione 16/06/2023 – 08/06/2026)
Final Terms SG Phoenix WO ASML-Intesa SanPaolo-Nike Eur - XS2395032928 (Emissione 16/06/2023 – 08/06/2026)
Condizioni definitive SG Express S&P/ASX 200 Australian Index Eur - XS2395019586 (Emissione 19/04/2023 – 18/04/2028)
Final Terms SG Express S&P/ASX 200 Australian Index Eur - XS2395019586 (Emissione 19/04/2023 – 18/04/2028)
Condizioni definitive SG Phoenix WO Eurostoxx Banks Index-Adidas-Infineon - XS2395019313 (Emissione 19/04/2023 – 08/04/2026)
Final Terms SG Phoenix WO Eurostoxx Banks Index-Adidas-Infineon - XS2395019313 (Emissione 19/04/2023 – 08/04/2026)
Condizioni definitive SG Phoenix WO Unicredit-Intesa SanPaolo-Banco BPM - XS2395016137 (Emissione 29/03/2023 – 17/03/2026)
Final Terms SG Phoenix WO Unicredit-Intesa SanPaolo-Banco BPM - XS2395016137 (Emissione 29/03/2023 – 17/03/2026)
Condizioni definitive SG Phoenix WO Phoenix WO Nexi-Volkswagen-Leonardo - XS2395012144 (Emissione 08/03/2023 – 23/02/2026)
Final Terms SG Phoenix WO Nexi-Volkswagen-Leonardo - XS2395012144 (Emissione 08/03/2023 – 23/02/2026)
Condizioni definitive SG Phoenix WO Unicredit-Intesa SanPaolo-Walt Disney Eur - XS2395010361 (Emissione 20/02/2023 – 09/02/2026)
Final Terms SG Phoenix WO Unicredit-Intesa SanPaolo-Walt Disney Eur - XS2395010361 (Emissione 20/02/2023 – 09/02/2026)
Condizioni definitive SG Phoenix WO Amazon-Intesa SanPaolo-Enel Eur - XS2395006682 (Emissione 31/01/2023 – 23/01/2026)
Final Terms SG Phoenix WO Amazon-Intesa SanPaolo-Enel Eur - XS2395006682 (Emissione 31/01/2023 – 23/01/2026)
Condizioni definitive SG Phoenix WO Bayer-Volkswagen-Enel - XS2395007144 (Emissione 31/01/2023 – 23/01/2026)
Final Terms SG Phoenix WO Bayer-Volkswagen-Enel - XS2395007144 (Emissione 31/01/2023 – 23/01/2026)
Condizioni definitive SG CLC EUR 3Y Enel Spa Senior Preferred - XS2394994730 (Emissione 18/01/2023 – 29/12/2025)
Final Terms SG CLC EUR 3Y Enel Spa Senior Preferred - XS2394994730 (Emissione 18/01/2023 – 29/12/2025)
Condizioni definitive SG CLC EUR 3Y Volkswagen AG Senior Preferred - XS2394993179 (Emissione 30/11/2022 – 29/12/2025)
Final Terms SG CLC EUR 3Y Volkswagen AG Senior Preferred - XS2394993179 (Emissione 30/11/2022 – 29/12/2025)
Condizioni definitive SG Phoenix WO JPMorgan-Stellantis-STM Eur - XS2394993682 (Emissione 22/11/2022 – 10/11/2025)
Final Terms SG Phoenix WO JPMorgan-Stellantis-STM Eur - XS2394993682 (Emissione 22/11/2022 – 10/11/2025)
Condizioni definitive SG CLC EUR 5Y AXA SA Senior Preferred - XS2394992528 (Emissione 18/11/2022 – 29/12/2027)
Final Terms SG CLC EUR 5Y AXA SA Senior Preferred - XS2394992528 (Emissione 18/11/2022 – 29/12/2027)
Condizioni definitive SG CLC EUR 1Y Unicredit Spa Senior Preferred - XS2394992288 (Emissione 18/11/2022 – 28/12/2023)
Final Terms SG CLC EUR 1Y Unicredit Spa Senior Preferred - XS2394992288 (Emissione 18/11/2022 – 28/12/2023)
Condizioni definitive SG CLC EUR 1Y Unicredit Spa Senior Preferred - XS2394988252 (Emissione 31/10/2022 – 28/12/2023)
Final Terms SG CLC EUR 1Y Unicredit Spa Senior Preferred - XS2394988252 (Emissione 31/10/2022 – 28/12/2023)
Condizioni definitive SG Phoenix WO Unicredit-Generali-Enel - XS2394989144 (Emissione 25/10/2022 – 13/10/2025)
Final Terms SG Phoenix WO Unicredit-Generali-Enel - XS2394989144 (Emissione 25/10/2022 – 13/10/2025)
Condizioni definitive SG Phoenix Bayer - XS2394979343 (Emissione 30/09/2022 – 30/09/2025)
Final Terms SG Phoenix Bayer - XS2394979343 (Emissione 30/09/2022 – 30/09/2025)
Condizioni definitive SG Express Colgate-Palmolive Eur - XS2394958180 (Emissione 20/05/2022 – 19/05/2027)
Final Terms SG Express Colgate-Palmolive Eur - XS2394958180 (Emissione 20/05/2022 – 19/05/2027)
Condizioni definitive SG Phoenix WO Stellantis-Intesa SanPaolo-Unicredit - XS2394958008 (Emissione 20/05/2022 – 12/05/2025)
Final Terms SG Phoenix WO Stellantis-Intesa SanPaolo-Unicredit - XS2394958008 (Emissione 20/05/2022 – 12/05/2025)
Condizioni definitive SG Phoenix Tesla Eur - XS2394953033 (Emissione 31/03/2022 – 25/03/2027)
Final Terms SG Phoenix Tesla Eur - XS2394953033 (Emissione 31/03/2022 – 25/03/2027)
Condizioni definitive SG Express Eurostoxx Banks - XS2394954601 (Emissione 22/03/2022 – 19/03/2027)
Final Terms SG Express Eurostoxx Banks - XS2394954601 (Emissione 22/03/2022 – 19/03/2027)
Condizioni definitive SG Phoenix Basf - XS2394946177 (Emissione 28/02/2022 – 25/02/2027)
Final Terms SG Phoenix Basf - XS2394946177 (Emissione 28/02/2022 – 25/02/2027)
Condizioni definitive SG Phoenix WO Step Down Apple-Enel-Eni-Intesa SanPaolo- XS2394952225 (Emissione 16/02/2022 – 11/02/2025)
Final Terms SG Phoenix WO Step Down Apple-Enel-Eni-Intesa SanPaolo - XS2394952225 (Emissione 16/02/2022 – 11/02/2025)
Condizioni definitive SG Bonus Daily Fast Trigger WO LVMH-ASML-BNP - XS2394946680 (Emissione 16/02/2022 – 04/08/2023)
Final Terms SG Bonus Daily Fast Trigger WO LVMH-ASML-BNP - XS2394946680 (Emissione 16/02/2022 – 04/08/2023)
Condizioni definitive SG Phoenix WO Unicredit-Intesa SanPaolo-Eni - XS2394945955 (Emissione 04/02/2022 – 27/01/2025)
Final Terms SG Phoenix WO Unicredit-Intesa SanPaolo-Eni - XS2394945955 (Emissione 04/02/2022 – 27/01/2025)
Condizioni definitive SG Phoenix WO Unicredit-Enel-TotalEnergies - XS2394944719 (Emissione 24/01/2022 – 13/01/2025)
Final Terms SG Phoenix WO Unicredit-Enel-TotalEnergies - XS2394944719 (Emissione 24/01/2022 – 13/01/2025)
Condizioni definitive SG Express STOXXEurope600 Insurance - XS2394943661 (Emissione 07/01/2022 – 06/01/2027)
Final Terms SG Express STOXXEurope600 Insurance - XS2394943661 (Emissione 07/01/2022 – 06/01/2027)
Condizioni definitive SG Express Swiss Re - XS2394943232 (Emissione 05/01/2022 – 23/12/2026)
Final Terms SG Express Enel - XS2394943232 (Emissione 05/01/2022 – 23/12/2026)
Condizioni definitive SG Express Enel - XS2394940485 (Emissione 30/12/2021 – 29/12/2026)
Final Terms SG Express Enel - XS2394940485 (Emissione 30/12/2021 – 29/12/2026)
Condizioni definitive SG Phoenix WO IBM-Meituan Eur - XS2394941459 (Emissione 30/11/2021 – 27/11/2026)
Final Terms SG Phoenix WO IBM-Meituan Eur - XS2394941459 (Emissione 30/11/2021 – 27/11/2026)
Condizioni definitive SG Phoenix Alibaba Eur - XS2347859154 (Emissione 29/10/2021 – 05/11/2024)
Final Terms SG Phoenix Alibaba Eur - XS2347859154 (Emissione 29/10/2021 – 05/11/2024)
Condizioni definitive SG Phoenix ASML - XS2347864824 (Emissione 29/10/2021 – 28/10/2026)
Final Terms SG Phoenix ASML - XS2347864824 (Emissione 29/10/2021 – 28/10/2026)
Condizioni definitive SG Express WO Unicredit-TotalEnergies - XS2347868734 (Emissione 18/10/2021 – 07/10/2024)
Final Terms SG Express WO Unicredit-TotalEnergies - XS2347868734 (Emissione 18/10/2021 – 07/10/2024)
Condizioni definitive SG Phoenix EWB 4 valute EM - XS2347945318 (Emissione 30/09/2021 – 23/09/2024)
Final Terms SG Phoenix EWB 4 valute EM - XS2347945318 (Emissione 30/09/2021 – 23/09/2024)
Condizioni definitive SG Phoenix Intesa SanPaolo - XS2313844305 (Emissione 20/08/2021 – 17/08/2026)
Final Terms SG Phoenix Intesa SanPaolo - XS2313844305 (Emissione 20/08/2021 – 17/08/2026)
Condizioni definitive SG Phoenix Enel - XS2314034690 (Emissione 30/07/2021 – 29/07/2026)
Final Terms SG Phoenix Enel - XS2314034690 (Emissione 30/07/2021 – 29/07/2026)
Condizioni definitive SG Express STOXX600 Insurance - XS2313975232 (Emissione 20/07/2021 – 17/07/2026)
Final Terms SG Express STOXX600 Insurance - XS2313975232 (Emissione 20/07/2021 – 17/07/2026)
Condizioni definitive SG Outperf Cap iSh Global Clean Energy - XS2314160990 (Emissione 31/05/2021 – 24/05/2024)
Final Terms SG Outperf Cap iSh Global Clean Energy - XS2314160990 (Emissione 31/05/2021 – 24/05/2024)
Condizioni definitive SG Phoenix WO Baidu-Meituan-Alibaba - XS2314184313 (Emissione 31/05/2021 – 21/05/2024)
Final Terms SG Phoenix WO Baidu-Meituan-Alibaba - XS2314184313 (Emissione 31/05/2021 – 21/05/2024)
Condizioni definitive SG Phoenix Intesa SanPaolo - XS2278330928 (Emissione 31/05/2021 – 29/05/2026)
Final Terms SG Phoenix Intesa SanPaolo - XS2278330928 (Emissione 31/05/2021 – 29/05/2026)
Condizioni definitive SG Express Automobiles & Parts - XS2278237040 (Emissione 19/05/2021 – 18/05/2026)
Final Terms SG Express Automobiles & Parts - XS2278237040 (Emissione 19/05/2021 – 18/05/2026)
Condizioni definitive SG Express WO Intesa SanPaolo-Total - XS2278412148 (Emissione 16/04/2021 – 08/04/2024)
Final Terms SG Express WO Intesa SanPaolo-Total - XS2278412148 (Emissione 16/04/2021 – 08/04/2024)
Condizioni definitive SG Phoenix IBM Eur - XS2277937913 (Emissione 16/04/2021 – 14/04/2026)
Final Terms SG Phoenix IBM Eur - XS2277937913 (Emissione 16/04/2021 – 14/04/2026)
Condizioni definitive SG Express Eurostoxx Banks - XS2277829862 (Emissione 18/03/2021 – 16/03/2026)
Final Terms SG Express Eurostoxx Banks - XS2277829862 (Emissione 18/03/2021 – 16/03/2026)
Condizioni definitive SG PIF Express STOXXEur ESG Sel30 - XS2277877838 (Emissione 18/03/2021 – 16/03/2026)
Final Terms SG PIF Express STOXXEur ESG Sel30 - XS2277877838 (Emissione 18/03/2021 – 16/03/2026)
Condizioni definitive SG Express UBS - XS2236092792 (Emissione 21/01/2021 – 31/12/2025)
Final Terms SG Express UBS - XS2236092792 (Emissione 21/01/2021 – 31/12/2025)
Condizioni definitive SG Express Eurostoxx Banks - XS2236092529 (Emissione 08/01/2021 – 31/12/2025)
Final Terms SG Express Eurostoxx Banks - XS2236092529 (Emissione 08/01/2021 – 31/12/2025)
Condizioni definitive SG Phoenix MSCI Em Mkts MXEF in USD - XS2175884563 (Emissione 30/11/2020 – 06/08/2025)
Final Terms SG Phoenix MSCI Em Mkts MXEF in USD - XS2175884563 (Emissione 30/11/2020 – 06/08/2025)
Condizioni definitive SG Phoenix MSCI Em Mkts MXEF in USD - XS2174755111 (Emissione 31/07/2020 – 06/08/2025)
Final Terms SG Phoenix MSCI Em Mkts MXEF in USD - XS2174755111 (Emissione 31/07/2020 – 06/08/2025)
Condizioni definitive SG Express Eurostoxx Banks sem 80% - XS2174717962 (Emissione 31/07/2020 – 16/07/2025)
Final Terms SG Express Eurostoxx Banks sem 80% - XS2174717962 (Emissione 31/07/2020 – 16/07/2025)
Condizioni definitive SG Phoenix Decreas ISP 65% - XS2174565411 (Emissione 31/08/2020 – 05/02/2025)
Final Terms SG Phoenix Decreas ISP 65% - XS2174565411 (Emissione 31/08/2020 – 05/02/2025)
Condizioni definitive SG Phoenix MSCI Em Mkts MXEF in USD - XS2174567623 (Emissione 30/09/2020 – 06/08/2025)
Final Terms SG Phoenix MSCI Em Mkts MXEF in USD - XS2174567623 (Emissione 30/09/2020 – 06/08/2025
Condizioni definitive SG Phoenix BPM 60% - XS2120911115 (Emissione 31/07/2020 – 05/08/2025)
Final Terms SG Phoenix BPM 60% - XS2120911115 (Emissione 31/07/2020 – 05/08/2025)
Condizioni definitive SG Phoenix Decrease ISP 65% - XS2120909648 (Emissione 31/07/2020 – 05/02/2025)
Final Terms SG Phoenix Decrease ISP 65% - XS2120909648 (Emissione 31/07/2020 – 05/02/2025)
Condizioni definitive SG Express Stoxx Global Tech Sel 30 EUR SXGTSEE - XS2120916189 (Emissione 30/06/2020 – 16/05/2025)
Final Terms SG Express Stoxx Global Tech Sel 30 EUR SXGTSEE - XS2120916189 (Emissione 30/06/2020 – 16/05/2025)
Condizioni definitive SG Express Eurostoxx Banks - XS2112711754 (Emissione 24/04/2020 – 14/04/2025)
Final Terms SG Express Eurostoxx Banks - XS2112711754 (Emissione 24/04/2020 – 14/04/2025)
Condizioni definitive SG Express Eni - XS2112717793 (Emissione 30/04/2020 – 31/03/2025)
Final Terms SG Express Eni - XS2112717793 (Emissione 30/04/2020 – 31/03/2025)
Condizioni definitive SG Phoenix BPM - XS2112730465 (Emissione 15/05/2020 – 31/03/2025)
Final Terms SG Phoenix BPM - XS2112730465 (Emissione 15/05/2020 – 31/03/2025)
Condizioni definitive SG Phoenix Decreasing Intesa - XS2108280871 (Emissione 18/05/2020 – 21/11/2024)
Final Terms SG Phoenix Decreasing Intesa - XS2108280871 (Emissione 18/05/2020 – 21/11/2024)
Condizioni definitive SG Express Eni - XS2108312823 (Emissione 25/03/2020 – 31/03/2025)
Final Terms SG Express Eni - XS2108312823 (Emissione 25/03/2020 – 31/03/2025)
Condizioni definitive SG Phoenix BPM - XS2108312310 (Emissione 25/03/2020 – 31/03/2025)
Final Terms SG Phoenix BPM - XS2108312310 (Emissione 25/03/2020 – 31/03/2025)
Condizioni definitive SG Express Glider Intesa – XS2088364711 (Emissione 27/02/2020 – 05/03/2025)
Final Terms SG Express Glider Intesa – XS2088364711 (Emissione 27/02/2020 – 05/03/2025)
Condizioni definitive SG Express Veolia - XS2088158147 (Emissione 21/02/2020 – 27/02/2025)
Final Terms SG Express Veolia - XS2088158147 (Emissione 21/02/2020 – 27/02/2025)
Condizioni definitive SG Express Euro Stoxx ESG Leaders - XS2088158576 (Emissione 21/02/2020 – 27/02/2025)
Final Terms SG Express Euro Stoxx ESG Leaders -XS2088158576 (Emissione 21/02/2020 – 27/02/2025)
Condizioni definitive SG Express Glider ENI – XS2059597851 (Emissione 31/01/2020 – 06/02/2025)
Final Terms SG Express Glider ENI – XS2059597851 (Emissione 31/01/2020 – 06/02/2025)
Condizioni definitive SG Express Glider Intesa - XS2059567433 (Emissione 31/01/2020 – 06/02/2025)
Final Terms SG Express Glider Intesa - XS2059567433 (Emissione 31/01/2020 – 06/02/2025)
Condizioni definitive SG Phoenix Generali - XS2065067840 (Emissione 17-gen-20 - 23-gen-25)
Final Terms SG Phoenix Generali - XS2065067840 (Emissione 17-gen-20 - 23-gen-25)
Condizioni definitive SG Express UBS - XS2058787693 (Emissione 3-gen-20 - 10-gen-25)
Final Terms SG Express UBS - XS2058787693 (Emissione 3-gen-20 - 10-gen-25)
Condizioni definitive SG Phoenix Airbag IntesaSanPaolo - XS2065390382 (Emissione 23-dic-19 - 31-dic-24)
Final Terms SG Phoenix Airbag IntesaSanPaolo - XS2065390382 (Emissione 23-dic-19 - 31-dic-24)
Condizioni definitive SG Express Glider EurostoxxBanks - XS2042924931 (Emissione 29-nov-19 - 5-dic-24)
Final Terms SG Express Glider EurostoxxBanks - XS2042924931 (Emissione 29-nov-19 - 5-dic-24)
Condizioni definitive SG Express Intesa– XS2027839294 (Emissione 31/10/019 – 17/10/2024)
Final Terms SG Express Intesa – XS2027839294 (Emissione 31/10/019 – 17/10/2024)
Condizioni definitive SG Phoenix ING – XS2008274651 (Emissione 30/09/019 – 30/09/2024)
Final Terms SG Phoenix ING – XS2008274651 (Emissione 30/09/019 – 30/09/2024)
Condizioni definitive SG Express Shell – XS2008273687 (Emissione 30/09/019 – 30/09/2024)
Final Terms SG Express Shell – XS2008273687 (Emissione 30/09/019 – 30/09/2024)
Condizioni definitive SG Cash Collect Daimler – XS1994702725 (Emissione 30/08/019 – 05/09/2023)
Final Terms SG Cash Collect Daimler – XS1994702725 (Emissione 30/08/019 – 05/09/2023)
Condizioni definitive SG Phoenix on Apple – XS1983736726 (Emissione 31/07/019 – 05/08/2024)
Final Terms SG Phoenix on Apple – XS1983736726 (Emissione 31/07/019 – 05/08/2024)
Condizioni definitive SG Phoenix on BNP – XS1983872158 (Emissione 19/07/019 – 26/07/2024)
Final Terms SG Phoenix on BNP – XS1983872158 (Emissione 19/07/019 – 26/07/2024)
Condizioni definitive SG Phoenix on Intesa Sanpaolo SpA – XS1983961845 (Emissione 28/06/2019 – 04/07/2023)
Final Terms SG Phoenix on Intesa Sanpaolo SpA – XS1983961845 (Emissione 28/06/2019 – 04/07/2023)
Condizioni definitive SG Phoenix on Bnp – XS1968764727 (Emissione 31/05/2019 – 06/06/2024)
Final Terms SG Phoenix on Bnp – XS1968764727 (Emissione 31/05/2019 – 06/06/2024)
Condizioni definitive SG Phoenix on Snam – XS1931768953 (Emissione 30/04/2019 – 06/05/2024)
Final Terms SG Phoenix on Snam – XS1931768953 (Emissione 30/04/2019 – 06/05/2024)
Condizioni definitive SG Phoenix on Tiffany – XS1907563198 (Emissione 28/02/2019 – 05/03/2024)
Final Terms SG Phoenix on Tiffany – XS1907563198 (Emissione 28/02/2019 – 05/03/2024)
Condizioni definitive SG Phoenix Mediobanca roll- XS1893987435 (Emissione 31/01/2019 – 06/02/2024)
Final Terms SG Phoenix Mediobanca roll - XS1893987435 - (Emissione 31/01/2019 – 06/02/2024)
Condizioni definitive SG Express on STM roll - XS1893995537 (Emissione 31/01/2019 – 06/02/2024)
Final Terms SG Express on STM roll XS1893995537 - (Emissione 31/01/2019 – 06/02/2024)
Condizioni definitive SG Express on SAP- XS1864562035 (Emissione 30/11/2018 – 05/12/2023)
Final Terms SG Express on SAP- XS1864562035 (Emissione 30/11/2018 – 05/12/2023)
Condizioni definitive SG Phoenix Mediobanca - XS1853078167 (Emissione 30/11/2018 – 06/12/2023)
Final Terms SG Phoenix Mediobanca - XS1853078167 (Emissione 30/11/2018 – 06/12/2023)
Condizioni definitive SG Express on STM - XS1864837825 (Emissione 30/11/2018 – 06/12/2023)
Final Terms SG Express on STM - XS1864837825 (Emissione 30/11/2018 – 06/12/2023)
Condizioni definitive SG Phoenix on ISP Trimestrale - XS1796941406 (Emissione 29/06/2018 – 04/07/2023)
Final Terms SG Phoenix on ISP Trimestrale - XS1796941406 (Emissione 29/06/2018 – 04/07/2023)
Condizioni definitive del 05 luglio 2018 - SG Express Glider ENEL - XS1816509159 (Emissione 31/07/2018 – 07/08/2023)
Final Terms del 05 luglio 2018 - SG Express Glider ENEL - XS1816509159 (Emissione 31/07/2018 – 07/08/2023)
Condizioni definitive SG Express FTSEMIB- XS1778392214 (Emissione 31/05/2018 – 28/05/2023)
Final terms SG Express FTSEMIB- XS1778392214 (Emissione 31/05/2018 – 28/05/2023)
Condizioni definitive SG Express Eurostoxx 50 - XS1778392990 (Emissione 31/05/2018 – 28/05/2023)
Final terms SG Express Eurostoxx 50 - XS1778392990 (Emissione 31/05/2018 – 28/05/2023)
Condizioni definitive SG Phoenix Autocallable Eurostoxx50 (Emissione 22/02/2018– 27/02/2023)
Condizioni definitive SG Express Autocallable Cisco Systems (Emissione 09/02/2018– 14/02/2023)
Final Terms SG Express Autocallable Generali (Emissione 31/10/2017 – 07/11/2022)
Condizioni Definitive SG Express Autocallable Generali (Emissione 31/10/2017 – 07/11/2022)
Final Terms SG Express Autocallable Eurostoxx50 (Emissione 29/09/2017 – 06/10/2022)
Condizioni Definitive SG Express Autocallable Eurostoxx50 (Emissione 29/09/2017 – 06/10/2022)
Final Terms SG Express Autocallable Kraft Heinz (Emissione 09/08/2017 – 16/08/2022)
Condizioni Definitive SG Express Autocallable Kraft Heinz (Emissione 09/08/2017 – 16/08/2022)
Final Terms SG Express Autocallable Allianz (Emissione 18/07/2017 – 21/07/2022)
Condizioni Definitive SG Express Autocallable Allianz (Emissione 18/07/2017 – 21/07/2022)
Final Terms SG PIF Bond linked to FEEURE (Emissione 03/07/2017 – 22/12/2022)
Condizioni Definitive SG PIF Bond linked to FEEURE (Emissione 03/07/2017 – 22/12/2022)
Final Terms SG Phoenix Autocallable Intesa SanPaolo (Emissione 23/06/2017 – 23/06/2022)
Condizioni Definitive SG Phoenix Autocallable Intesa SanPaolo (Emissione 23/06/2017 – 23/06/2022)
Final Terms SG Express Autocallable EurostoxxBanks (Emissione 01/03/2017 – 07/02/2022)
Condizioni definitive SG Express Autocallable EurostoxxBanks (Emissione 01/03/2017 – 07/02/2022)
Final Terms SG Phoenix Autocallable Eurostoxx50 (Emissione 11/03/2016 - 11/03/2021)
Condizioni Definitive SG Phoenix Autocallable Eurostoxx50 (Emissione 11/03/2016 - 11/03/2021)
Final Terms SG Express Autocallable FTSE MIB (Emissione 11/03/2016 - 11/03/2021)
Condizioni Definitive SG Express Autocallable FTSE MIB (Emissione 11/03/2016 - 11/03/2021)
Final terms SG Express Autocallable Generali (Emissione 06/112015 - 06/11/2020)
Condizioni Definitive SG Express Autocallable Generali (Emissione 06/112015 - 06/11/2020)
Final Terms Certificate Phoenix Autocallable Intesa San Paolo (Emissione 18/05/2015 - 18/05/2020)
Condizioni Definitive Certificate Phoenix Autocallable Intesa San Paolo (Emissione 18/05/2015 - 18/05/2020)
Final Terms Certificate Express Autocallable Amazon (emissione 17/03/2015-17/03/2020)
Condizioni Definitive Certificate Express Autocallable Amazon (emissione 17/03/2015-17/03/2020)
Final Terms Certificate Express Autocallable S&P500 (emissione 17/03/2015-17/03/2020)
Condizioni Definitive Certificate Express Autocallable S&P500 (emissione 17/03/2015-17/03/2020)
Final Terms Soc Gern Express Autocallable Eni (Emissione 13/11/2014 - 13/11/2014)
Condizioni DefinitiveSoc Gern Express Autocallable Eni (Emissione 13/11/2014 - 13/11/2014)
Final Terms Soc Gern Express Autocallable IntesaSanPaolo (Emissione 06/02/2015 - 06/02/2020)
Condizioni DefinitiveSoc Gern Express Autocallable IntesaSanPaolo (Emissione 06/02/2015 - 06/02/2020)
Show content of Obbligazioni - Societe Generale
Condizioni definitive International Finance Corp (IFC) 1,85% 14/05/2024 CNY - XS2328429894 (Emissione 14/05/2021 – 14/05/2024)
Final Terms International Finance Corp (IFC) 1,85% 14/05/2024 CNY - XS2328429894 (Emissione 14/05/2021 – 14/05/2024)
Condizioni definitive SG PIF note STOXX® Global ESG Leaders Select 50 USD - XS1968526209 (Emissione 25/06/2019 – 26/06/2023)
Final Terms SG PIF note STOXX® Global ESG Leaders Select 50 USD – XS1968526209 (Emissione 25/06/2019 – 26/06/2023)
Condizioni definitive SG Pif note Solactive – XS1907474099 (Emissione 29/03/2019 – 29/03/2022)
Final Terms SG Pif note Solactive – XS1907474099 (Emissione 29/03/2019 – 29/03/2022)
Documentazione UBS
Show content of Certificati e Note - UBS
Final Terms e Condizioni Definitive UBS Express Autocallable Total (Emissione 24/03/2016 - 18/03/2021)
Condizioni Definitive e Final terms UBS Express Autocallable Chevron (emissione 30/092015 - 25/09/2020)
Final Terms Certificate Phoenix Autocallable Unicredit e Condizioni Definitive (Emissione 21/05/2015 - 19/05/2020)
Documentazione Unicredit
Show content of Certificati - Unicredit
Condizioni definitive UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - DE000HD8K571 (Emissione 25/09/2024 – 07/09/2026)
Final Terms UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - DE000HD8K571 (Emissione 25/09/2024 – 07/09/2026)
Condizioni definitive UC Phoenix Eurostoxx Oil & Gas Index - IT0005599672 (Emissione 30/08/2024 – 30/08/2029)
Final Terms UC Phoenix Eurostoxx Oil & Gas Index - IT0005599672 (Emissione 30/08/2024 – 30/08/2029)
Condizioni definitive UC Phoenix FtseMib Index - IT0005594855 (Emissione 31/07/2024 – 31/07/2029)
Final Terms UC Phoenix FtseMib Index - IT0005594855 (Emissione 31/07/2024 – 31/07/2029)
Condizioni definitive UC Phoenix WO ASML-Enel-Dr. Ing. HC F Porsche - IT0005594723 (Emissione 24/06/2024 – 24/06/2027)
Final Terms UC Phoenix WO ASML-Enel-Dr. Ing. HC F Porsche - IT0005594723 (Emissione 24/06/2024 – 24/06/2027)
Condizioni definitive UC Phoenix WO FtseMib-Nasdaq 100-Nikkei 225 Eur - DE000HD5WAK9 (Emissione 19/06/2024 – 19/06/2028)
Final Terms UC Phoenix WO FtseMib-Nasdaq 100-Nikkei 225 Eur - DE000HD5WAK9 (Emissione 19/06/2024 – 19/06/2028)
Condizioni definitive UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - IT0005594715 (Emissione 14/06/2024 – 14/06/2027)
Final Terms UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - IT0005594715 (Emissione 14/06/2024 – 14/06/2027)
Condizioni definitive UC Phoenix WO ASML-Netflix-Renault Eur - DE000HD5QC07 (Emissione 07/06/2024 – 21/05/2027)
Final Terms UC Phoenix WO ASML-Netflix-Renault Eur - DE000HD5QC07 (Emissione 07/06/2024 – 21/05/2027)
Condizioni definitive UC Express Air Liquide - IT0005588576 (Emissione 31/05/2024 – 31/05/2029)
Final Terms UC Express Air Liquide - IT0005588576 (Emissione 31/05/2024 – 31/05/2029)
Condizioni definitive UC Phoenix Enel - IT0005588386 (Emissione 31/05/2024 – 31/05/2029)
Final Terms UC Phoenix Enel - IT0005588386 (Emissione 31/05/2024 – 31/05/2029)
Condizioni definitive UC Phoenix WO Intesa SanPaolo-Walt Disney-ASML Eur - DE000HD5C9S9 (Emissione 24/05/2024 – 10/05/2027)
Final Terms UC Phoenix WO Intesa SanPaolo-Walt Disney-ASML Eur - DE000HD5C9S9 (Emissione 24/05/2024 – 10/05/2027)
Condizioni definitive UC Phoenix WO Intesa SanPaolo-Apple-Infineon Eur - DE000HD4RX02 (Emissione 10/05/2024 – 15/04/2027)
Final Terms UC Phoenix WO Intesa SanPaolo-Apple-Infineon Eur - DE000HD4RX02 (Emissione 10/05/2024 – 15/04/2027)
Condizioni definitive UC Phoenix WO Banco BPM-Stellantis-Dr. Ing. HC F Porsche - DE000HD3KAF9 (Emissione 25/03/2024 – 12/03/2027)
Final Terms UC Phoenix WO Banco BPM-Stellantis-Dr. Ing. HC F Porsche - DE000HD3KAF9 (Emissione 25/03/2024 – 12/03/2027)
Condizioni definitive UC Phoenix Eurostoxx Oil & Gas Index - IT0005576928 (Emissione 29/02/2024 – 28/02/2029)
Final Terms UC Phoenix Eurostoxx Oil & Gas Index - IT0005576928 (Emissione 29/02/2024 – 28/02/2029)
Condizioni definitive UC Phoenix WO BNP Paribas-Adidas-Alphabet C Eur - DE000HD2F418 (Emissione 21/02/2024 – 08/02/2027)
Final Terms UC Phoenix WO BNP Paribas-Adidas-Alphabet C Eur - DE000HD2F418 (Emissione 21/02/2024 – 08/02/2027)
Condizioni definitive UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - IT0005569170 (Emissione 24/01/2024 – 24/01/2028)
Final Terms UC Phoenix WO Eurostoxx 50-S&P 500-Nikkei 225 Eur - IT0005569170 (Emissione 24/01/2024 – 24/01/2028)
Condizioni definitive UC Express SMI Index Eur - IT0005576712 (Emissione 19/01/2024 – 18/01/2029)
Final Terms UC Express SMI Index Eur - IT0005576712 (Emissione 19/01/2024 – 18/01/2029)
Condizioni definitive UC Express Sonova Eur - IT0005576704 (Emissione 19/01/2024 – 18/01/2029)
Final Terms UC Express Sonova Eur - IT0005576704 (Emissione 19/01/2024 – 18/01/2029)
Condizioni definitive UC Express Engie - IT0005569329 (Emissione 19/01/2024 – 18/01/2029)
Final Terms UC Express Engie - IT0005569329 (Emissione 19/01/2024 – 18/01/2029)
Condizioni definitive UC Express Moet Hennessy Louis Vuitton - IT0005569212 (Emissione 10/01/2024 – 10/01/2029)
Final Terms UC Express Moet Hennessy Louis Vuitton - IT0005569212 (Emissione 10/01/2024 – 10/01/2029)
Condizioni definitive UC Phoenix WO Erg-Eni-Enel - DE000HD020Y7 (Emissione 31/10/2023 – 26/10/2026)
Final Terms UC Phoenix WO Erg-Eni-Enel - DE000HD020Y7 (Emissione 31/10/2023 – 26/10/2026)
Condizioni definitive UC Phoenix WO Step Down Intesa SanPaolo-Enel-Volkswagen-Adidas - DE000HC9N6U6 (Emissione 18/10/2023 – 06/10/2026)
Final Terms UC Phoenix WO Step Down Intesa SanPaolo-Enel-Volkswagen-Adidas - DE000HC9N6U6 (Emissione 18/10/2023 – 06/10/2026)
Condizioni definitive UC Phoenix WO S&P 500-Eurostoxx 50-Nikkei 225 Eur - DE000HC92CW3 (Emissione 20/09/2023 – 20/09/2027)
Final Terms UC Phoenix WO S&P 500-Eurostoxx 50-Nikkei 225 Eur - DE000HC92CW3 (Emissione 20/09/2023 – 20/09/2027)
Condizioni definitive UC Phoenix WO Adidas-Nike-Amazon Eur - DE000HC92831 (Emissione 20/09/2023 – 04/09/2026)
Final Terms UC Phoenix WO Adidas-Nike-Amazon Eur - DE000HC92831 (Emissione 20/09/2023 – 04/09/2026)
Condizioni definitive UC Phoenix WO Airbus-Renault-Infineon Tech - DE000HC844E3 (Emissione 31/07/2023 – 24/07/2026)
Final Terms UC Phoenix WO Airbus-Renault-Infineon Tech - DE000HC844E3 (Emissione 31/07/2023 – 24/07/2026)
Condizioni definitive UC Express S&P/TSX Toronto Index Eur - IT0005546418 (Emissione 26/07/2023 – 26/07/2028)
Final Terms UC Express S&P/TSX Toronto Index Eur - IT0005546418 (Emissione 26/07/2023 – 26/07/2028)
Condizioni definitive UC Phoenix STOXX Europe 600 Technology Index - IT0005536138 (Emissione 31/05/2023 – 26/05/2028)
Final Terms UC Phoenix STOXX Europe 600 Technology Index - IT0005536138 (Emissione 31/05/2023 – 26/05/2028)
Condizioni definitive UC Express Linde Eur - IT0005535999 (Emissione 26/05/2023 – 26/05/2028)
Final Terms UC Express Linde Eur - IT0005535999 (Emissione 26/05/2023 – 26/05/2028)
Condizioni definitive UC Express Umicore - IT0005536013 (Emissione 19/04/2023 – 19/04/2028)
Final Terms UC Express Umicore - IT0005536013 (Emissione 19/04/2023 – 19/04/2028)
Condizioni definitive UC Phoenix WO ASML-BNP Paribas-Moncler - DE000HC4LSR3 (Emissione 17/03/2023 – 03/03/2026)
Final Terms UC Phoenix WO ASML-BNP Paribas-Moncler - DE000HC4LSR3 (Emissione 17/03/2023 – 03/03/2026)
Condizioni definitive UC Phoenix WO Alphabet-Intel-Amazon Eur - DE000HC46L51 (Emissione 08/03/2023 – 13/02/2026)
Final Terms UC Phoenix WO Alphabet-Intel-Amazon Eur- DE000HC46L51 (Emissione 08/03/2023 – 13/02/2026)
Condizioni definitive UC Phoenix WO Alphabet-Walt Disney-Stellantis Eur - DE000HC43Q18 (Emissione 03/03/2023 – 09/02/2026)
Final Terms UC Phoenix WO Alphabet-Walt Disney-Stellantis Eur- DE000HC43Q18 (Emissione 03/03/2023 – 09/02/2026)
Condizioni definitive UC Phoenix STOXX Europe 600 Automobiles & Parts Index - IT0005525578 (Emissione 28/02/2023 – 28/02/2028)
Final Terms UC Phoenix STOXX Europe 600 Automobiles & Parts Index - IT0005525578 (Emissione 28/02/2023 – 28/02/2028)
Condizioni definitive UC Express STOXX Europe 600 Insurance Index- IT0005525529 (Emissione 24/01/2023 – 24/01/2028)
Final Terms UC Express STOXX Europe 600 Insurance Index- IT0005525529 (Emissione 24/01/2023 – 24/01/2028)
Condizioni definitive UC Express STOXX Europe 600 Automobiles & Parts Index - IT0005525511 (Emissione 24/01/2023 – 24/01/2028)
Final Terms UC Express STOXX Europe 600 Automobiles & Parts Index - IT0005525511 (Emissione 24/01/2023 – 24/01/2028)
Condizioni definitive UC Phoenix Enel - IT0005508400 (Emissione 20/01/2023 – 20/01/2028)
Final Terms UC Phoenix Enel - IT0005508400 (Emissione 20/01/2023 – 20/01/2028)
Condizioni definitive UC Phoenix WO Alphabet-Amazon-PayPal Eur - DE000HC04ZF4 (Emissione 30/09/2022 – 23/09/2025)
Final Terms UC Phoenix WO Alphabet-Amazon-PayPal Eur - DE000HC04ZF4 (Emissione 30/09/2022 – 23/09/2025)
Condizioni definitive UC Express Eurostoxx Banks Index - IT0005498149 (Emissione 25/08/2022 – 25/08/2027)
Final Terms UC Express Eurostoxx Banks Index - IT0005498149 (Emissione 25/08/2022 – 25/08/2027)
Condizioni definitive UC Express Eurostoxx 50 Index - IT0005498008 (Emissione 05/08/2022 – 29/07/2025)
Final Terms UC Express Eurostoxx 50 Index - IT0005498008 (Emissione 05/08/2022 – 29/07/2025)
Condizioni definitive UC Phoenix BNP Paribas - IT0005498016 (Emissione 05/08/2022 – 29/07/2025)
Final Terms UC Phoenix BNP Paribas - IT0005498016 (Emissione 05/08/2022 – 29/07/2025)
Condizioni definitive UC Phoenix Apple Eur - DE000HB84HM2 (Emissione 29/07/2022 – 29/07/2025)
Final Terms UC Phoenix Apple Eur - DE000HB84HM2 (Emissione 29/07/2022 – 29/07/2025)
Condizioni definitive UC Express STOXX Europe 600 Insurance Index - IT0005492191 (Emissione 15/07/2022 – 08/07/2027)
Final Terms UC Express STOXX Europe 600 Insurance Index - IT0005492191 (Emissione 15/07/2022 – 08/07/2027)
Condizioni definitive UC Phoenix Amazon Eur - IT0005492100 (Emissione 30/06/2022 – 30/06/2025)
Final Terms UC Phoenix Amazon Eur - IT0005492100 (Emissione 30/06/2022 – 30/06/2025)
Condizioni definitive UC Phoenix BNP Paribas - IT0005492068 (Emissione 30/06/2022 – 30/06/2025)
Final Terms UC Phoenix BNP Paribas - IT0005492068 (Emissione 30/06/2022 – 30/06/2025)
Condizioni definitive UC Express STOXX Europe 600 Automobiles & Parts Index - IT0005492050 (Emissione 15/06/2022 – 15/06/2027)
Final Terms UC Express STOXX Europe 600 Automobiles & Parts Index - IT0005492050 (Emissione 15/06/2022 – 15/06/2027)
Condizioni definitive UC Phoenix Essilor-Luxottica - IT0005482242 (Emissione 31/05/2022 – 31/05/2027)
Final Terms UC Phoenix Essilor-Luxottica - IT0005482242 (Emissione 31/05/2022 – 31/05/2027)
Condizioni definitive UC Phoenix WO Netflix-The Walt Disney - DE000HB5YTL5 (Emissione 17/05/2022 – 05/05/2025)
Final Terms UC Phoenix WO Netflix-The Walt Disney - DE000HB5YTL5 (Emissione 17/05/2022 – 05/05/2025)
Condizioni definitive UC Express Air Liquide - IT0005482226 (Emissione 11/05/2022 – 11/05/2027)
Final Terms UC Express Air Liquide - IT0005482226 (Emissione 11/05/2022 – 11/05/2027)
Condizioni definitive UC Express BNP Paribas - DE000HB3FCQ4 (Emissione 31/03/2022 – 31/03/2027)
Final Terms UC Express BNP Paribas - DE000HB3FCQ4 (Emissione 31/03/2022 – 31/03/2027)
Condizioni definitive UC Phoenix WO Eurostoxx 50-S&P 500 - DE000HB4AHH1 (Emissione 23/03/2022 – 23/03/2026)
Final Terms UC Phoenix WO Eurostoxx 50-S&P 500 - DE000HB4AHH1 (Emissione 23/03/2022 – 23/03/2026)
Condizioni definitive UC Phoenix WO Eurostoxx 50-Nasdaq 100-Nikkei 225 - DE000HB3L6L5 (Emissione 04/03/2022 – 25/02/2026)
Final Terms UC Phoenix WO Eurostoxx 50-Nasdaq 100-Nikkei 225 - DE000HB3L6L5 (Emissione 04/03/2022 – 25/02/2026)
Condizioni definitive UC Express Deutsche Post - DE000HB3GRL1 (Emissione 03/03/2022 – 03/03/2027)
Final Terms UC Express Deutsche Post - DE000HB3GRL1 (Emissione 03/03/2022 – 03/03/2027)
Condizioni definitive UC Phoenix WO Eurostoxx 50-S&P 500 - DE000HB23UQ4 (Emissione 28/02/2022 – 28/08/2025)
Final Terms UC Phoenix WO Eurostoxx 50-S&P 500 - DE000HB23UQ4 (Emissione 28/02/2022 – 28/08/2025)
Condizioni definitive UC Express Merck KGaA - DE000HB2J7T1 (Emissione 28/01/2022 – 28/01/2027)
Final Terms UC Express Merck KGaA - DE000HB2J7T1 (Emissione 28/01/2022 – 28/01/2027)
Condizioni definitive UC Phoenix Tesla Eur - DE000HB10KF5 (Emissione 30/12/2021 – 30/12/2026)
Final Terms UC Phoenix Tesla Eur - DE000HB10KF5 (Emissione 30/12/2021 – 30/12/2026)
Condizioni definitive UC Express Mastercard - DE000HB1QM94 (Emissione 05/01/2022 – 05/01/2027)
Final Terms UC Express Mastercard - DE000HB1QM94 (Emissione 05/01/2022 – 05/01/2027)
Condizioni definitive UC Phoenix Enel - DE000HB0R6B3 (Emissione 14/01/2022 – 14/01/2027)
Final Terms UC Phoenix Enel - DE000HB0R6B3 (Emissione 14/01/2022 – 14/01/2027)
Condizioni definitive UC Phoenix WO Kering-Moncler-JPM - DE000HR9VK48 (Emissione 20/10/2021 – 22/04/2025)
Final Terms UC Phoenix WO Kering-Moncler-JPM - DE000HR9VK48 (Emissione 20/10/2021 – 22/04/2025)
Condizioni definitive UC Phoenix FTSE/MIB - DE000HV8C949 (Emissione 30/07/2021 – 30/07/2026)
Final Terms UC Phoenix FTSE/MIB - DE000HV8C949 (Emissione 30/07/2021 – 30/07/2026)
Condizioni definitive UC Power Bonus Enel - DE000HV8C2M6 (Emissione 30/07/2021 – 30/07/2026)
Final Terms UC Power Bonus Enel - DE000HV8C2M6 (Emissione 30/07/2021 – 30/07/2026)
Condizioni definitive UC Phoenix Enel USD - DE000HV8BTP4 (Emissione 30/07/2021 – 30/07/2026)
Final Terms UC Phoenix Enel USD - DE000HV8BTP4 (Emissione 30/07/2021 – 30/07/2026)
Condizioni definitive UC Phoenix Enel - DE000HV8B7X3 (Emissione 30/07/2021 – 30/07/2026)
Final Terms UC Phoenix Enel - DE000HV8B7X3 (Emissione 30/07/2021 – 30/07/2026)
Condizioni definitive UC Bonus WO Johnson Pepsi Clorox- DE000HV8BLC9 (Emissione 30/06/2021 – 28/06/2024)
Final Terms UC Bonus WO Johnson Pepsi Clorox- DE000HV8BLC9 (Emissione 30/06/2021 – 28/06/2024)
Condizioni definitive UC Phoenix Pfizer- DE000HV4MFA1 (Emissione 31/05/2021 – 29/05/2026)
Final Terms UC Phoenix Pfizer- DE000HV4MFA1 (Emissione 31/05/2021 – 29/05/2026)
Condizioni definitive UC Phoenix Kering - IT0005417586 (Emissione 16/04/2021 – 15/04/2026)
Final Terms UC Phoenix Kering - IT0005417586 (Emissione 16/04/2021 – 15/04/2026)
Condizioni definitive UC Phoenix EW LVMH – Kering - Richemont– DE000HV4L7Z0 (Emissione 08/04/2021 – 08/04/2024)
Final Terms UC Phoenix EW LVMH – Kering - Richemont– DE000HV4L7Z0 (Emissione 08/04/2021 – 08/04/2024)
Condizioni definitive UC Phoenix CocaCola – IT0005417628 (Emissione 18/03/2021 – 18/03/2026)
Final Terms UC Phoenix CocaCola – IT0005417628 (Emissione 18/03/2021 – 18/03/2026)
Condizioni definitive UC Phoenix Linde – IT0005417594 (Emissione 18/03/2021 – 18/03/2026)
Final Terms UC Phoenix Linde – IT0005417594 (Emissione 18/03/2021 – 18/03/2026)
Condizioni definitive UC Phoenix Volkswagen – IT0005417511 (Emissione 12/03/2021 – 12/03/2026)
Final Terms UC Phoenix Volkswagen – IT0005417511 (Emissione 12/03/2021 – 12/03/2026)
Condizioni definitive UC Phoenix Apple – IT0005417529 (Emissione 26/02/2021 – 26/02/2026)
Final Terms UC Phoenix Apple – IT0005417529 (Emissione 26/02/2021 – 26/02/2026)
Condizioni definitive UC Phoenix Worst Of SPX – SX5E – NKY– IT0005417545 (Emissione 22/02/2021 – 21/02/2025)
Final Terms UC Phoenix Worst Of SPX – SX5E – NKY– IT0005417545 (Emissione 22/02/2021 – 21/02/2025)
Condizioni definitive UC Express Kering – IT0005417420 (Emissione 19/01/2021 – 16/01/2026)
Final Terms UC Express Kering – IT0005417420 (Emissione 19/01/2021 – 16/01/2026)
Condizioni definitive UC Phoenix Pfizer – IT0005417412 (Emissione 19/01/2021 – 16/01/2026)
Final Terms UC Phoenix Pfizer – IT0005417412 (Emissione 19/01/2021 – 16/01/2026)
Condizioni definitive UC Phoenix Pfizer – IT0005417404 (Emissione 23/12/2020 – 23/12/2025)
Final Terms UC Phoenix Pfizer – IT0005417404 (Emissione 23/12/2020 – 23/12/2025)
Condizioni definitive UC Express Apple USD – IT0005417438 (Emissione 23/12/2020 – 23/12/2025)
Final Terms UC Express Apple USD – IT0005417438 (Emissione 23/12/2020 – 23/12/2025)
Condizioni definitive UC Cash Collect on FTSE MIB – DE000HV4FA47 (Emissione 31/07/2020 – 07/08/2024)
Final Terms UC Cash Collect on FTSE MIB – DE000HV4FA47 (Emissione 31/07/2020 – 07/08/2024)
Condizioni definitive UC Express Alphabet in USD – IT0005413957 (Emissione 31/08/2020 – 29/08/2025)
Final Terms UC Express Alphabet in USD – IT0005413957 (Emissione 31/08/2020 – 29/08/2025)
Condizioni definitive UC Phoenix S&P 500 in USD – IT0005417230 (Emissione 30/09/2020 – 30/09/2025)
Final Terms UC Phoenix S&P 500 in USD – IT0005417230 (Emissione 30/09/2020 – 30/09/2025)
Condizioni definitive UC Phoenix S&P 500 in USD – IT0005406563 (Emissione 30/06/2020 – 30/06/2025)
Final Terms UC Phoenix S&P 500 in USD – IT0005406563 (Emissione 30/06/2020 – 30/06/2025)
Prospetto di base
Documento di registrazione
Supplemento al Documento di registrazione
Supplemento al Prospetto di base
Avviso Certificate Unicredit Express Autocallable Eni (emissione 30/092015 - 29/09/2020)
Condizioni Definitive Certificate Unicredit Express Autocallable Eni (emissione 30/092015 - 29/09/2020)
Condizioni Definitive Certificate Unicredit Express Autocallable FTSE MIB (emissione 06/082015 - 06/08/2020)
Documentazione European Investment Bank
Show content of Obbligazioni - BEI
Final Terms European Investment Bank (BEI) Fixed rate in AUD (Emissione 13/12/16-13/12/24)
Condizioni definitive European Investment Bank (BEI) Fixed rate in AUD (Emissione 13/12/16-13/12/24)
Final Terms European Investment Bank (BEI) Fixed rate in USD (Emissione 21/11/16-21/11/26)
Condizioni definitive European Investment Bank (BEI) Fixed rate in USD (Emissione 21/11/16-21/11/26)
Final Terms dell'offerta (03/10/16-03/10/26)
Condizioni Definitive dell'offerta (03/10/16-03/10/26)
Final Terms dell'offerta
Condizioni Definitive dell'offerta
Offering circular
Documentazione EBRD
Show content of Obbligazioni - EBRD
Offering Circular EBRD 5Y Step Up in USD (Emissione 28/09/2018 – 28/09/2023)
Additional Information EBRD 5Y Step Up in USD (Emissione 28/09/2018 – 28/09/2023)
Provisional Pricing Supplement EBRD 5Y Step Up in USD (Emissione 28/09/2018 – 28/09/2023)
Informazioni aggiuntive EBRD 5Y Step Up in USD (Emissione 28/09/2018 – 28/09/2023)
Pricing Supplement Provvisorio EBRD 5Y Step Up in USD (Emissione 28/09/2018 – 28/09/2023)
Pricing Supplement EBRD 8Y Step Up in USD (Emissione 03/03/2017 – 03/03/2025)
Pricing Supplement in italiano EBRD 8Y Step Up in USD (Emissione 03/03/2017 – 03/03/2025)
Obbligazioni Global Bond
Show content of Obbligazioni Global Bond Series XIII
Offering Circular Global Bond XIII (emissione 25/05/2012 - 01/10/2019)
Prospectus Supplement Global Bond XIII (emissione 25/05/2012 - 01/10/2019)
Prospectus Supplement Global Bond XIII (emissione 25/05/2012 - 01/10/2019)
Summary Translation Global Bond XIII (emissione 25/05/2012 - 01/10/2019)
Summary Translation Global Bond XIII (emissione 25/05/2012 - 01/10/2019)
Obbligazioni Palladium
Show content of Base Prospectus
Base Prospectus del 30 luglio 2014
Supplement 12 marzo 2014
Supplement 14 Gennaio 2014
Base Prospectus 21 Settembre 2012
First Supplement Base Prospectus 13 Novembre 2012
Second Supplement Base Prospectus 13 Dicembre 2012
Third supplement Base Supplement 30 gennaio 2013
Base Prospectus 25 Luglio 2013
Supplement del 29 Agosto 2013
Amendment al supplement del 29 Agosto 2013
Show content of Obbligazioni Palladium Securities Series 61
Prospectus Supplement 2 Palladium Securities Series 61 (Emissione 13/09/2011 - 01/09/2017)
Prospectus Supplement Palladium Securities Series 61 (Emissione 13/09/2011 - 01/09/2017)
Nota di Sintesi Palladium Securities Series 61 (Emissione 13/09/2011 - 01/09/2017)
Prospectus Palladium Securities Series 61 (Emissione 13/09/2011 - 01/09/2017)
Show content of Obbligazioni Palladium Securities Series 62
Prospectus Supplement 2 Palladium Securities Series 62 (Emissione 13/09/2011 - 01/09/2017)
Prospectus Supplement Palladium Securities Series 62 (Emissione 13/09/2011 - 01/09/2017)
Nota di Sintesi Palladium Securities Series 62 (Emissione 13/09/2011 - 01/09/2017)
Prospectus Palladium Securities Series 62 (Emissione 13/09/2011 - 01/09/2017)
Show content of Obbligazioni Palladium Securities Series 95
Notice del Maggio 2016
Annex One
Annex Two
Supplement 1 del 1 marzo 2013 Palladium Securities Series 95 (Emissione 22/03/13 - 14/09/22)
Supplement 2 del 6 marzo 2013 Palladium Securities Series 95 (Emissione 22/03/13 - 14/09/22)
Supplement 3 del 20 marzo 2013 Palladium Securities Series 95 (Emissione 26/03/13 - 14/09/22)
Supplemento 3 del 20 marzo 2013 Palladium Securities Series 95 (Emissione 26/03/13 - 14/09/22)
Final Terms Palladium Securities Series 95 (Emissione 26/03/13 - 14/09/22)
Summary Translation Palladium Securities Series 95 (Emissione 26/03/13 - 14/09/22)
Show content of Obbligazioni Palladium Securities Series 100
Supplement del 20 marzo 2013 Palladium Securities Series 100 (Emissione 26/03/13 - 05/12/17)
Supplemento del 20 marzo 2013 Palladium Securities Series 100 (Emissione 26/03/13 - 05/12/17)
Final Terms Palladium Securities Series 100 (Emissione 26/03/13 - 05/12/17)
Summary Translation Palladium Securities Series 100 (Emissione 26/03/13 - 05/12/17)