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CODICE ISIN SOTTOSTANTE PROTEZIONE CEDOLA SCADENZA DENARO LETTERA TERMSHEET KID
IT0005056020 TELEFONICA 100% 2,30% 18.10.2019 99,70 100,25
IT0005056053 ALLIANZ 95% 3,65% 18.10.2019 103,35 103,95
IT0005056657 SMI 95% 3,45% 18.10.2019 n.d. n.d.
IT0005056855 NIKKEI225 95% 3,30% 22.10.2019 n.d. n.d.
IT0005059529 INTESA SANPAOLO 95% 2,85% 14.11.2019 95,30 95,85
IT0005059537 NESTLE' 100% 2,40% 15.11.2019 101,95 102,55
IT0005059651 USDEUR 95% 3,30% 28.11.2019 102,70 103,70
IT0005068793 BMW 95% 2,65% 20.12.2019 94,30 95,20
IT0005089948 DEUTSCHE BANK 95% 2,00% 20.03.2020 94,35 95,25
IT0005094252 DAIMLER 95% 2,00% 17.04.2020 94,10 95,00
IT0005107906 ENEL 95% 2,00% 14.05.2020 100,65 101,65
IT0005117632 GENERAL MOTORS 95% 2,20% 19.06.2020 98,40 99,35
IT0005117657 FTSE MIB 95% 2,30% 19.06.2020 n.d. n.d.
IT0005120545 CAC 40 95% 2,95% 17.07.2020 n.d. n.d.
IT0005120578 EURO STOXX SELECT DIVIDEND 30 95% 3,00% 17.07.2020 n.d. n.d.
IT0005123747 EURO STOXX 50 95% 2,65% 21.08.2020 n.d. n.d.
IT0005123754 AIRBUS 95% 2,40% 21.08.2020 101,05 102,05
IT0005126807 FTSE MIB 95% 2,30% 18.09.2020 n.d. n.d.
IT0005126823 VOLKSWAGEN P 95% 2,60% 18.09.2020 101,05 102,05
IT0005137556 EURO STOXX 50 100% 2,10% 15.10.2021 n.d. n.d.
IT0005140212 FTSE MIB 100% 1,90% 17.12.2021 n.d. n.d.
IT0005144966 EURO STOXX 50 90% 3,80% 21.12.2020 n.d. n.d.
IT0005158651 EURO STOXX 50 100% 1,90% 18.02.2022 n.d. n.d.
IT0005162240 EURO STOXX 50 90% 3,40% 28.02.2020 n.d. n.d.
IT0005162257 NIKKEI225 90% 2,80% 28.02.2020 n.d. n.d.
IT0005163263 FTSE MIB 100% 1,40% 18.03.2022 n.d. n.d.
IT0005163347 CAC 40 90% 3,10% 19.03.2021 n.d. n.d.
IT0005175713 FTSE MIB 90% 3,90% 16.04.2021 n.d. n.d.
IT0005175754 EURO STOXX 50 100% 2,65% 14.04.2022 n.d. n.d.
IT0005186413 NIKKEI225 100% 2,60% 13.05.2022 n.d. n.d.
IT0005202129 EURO STOXX 50 100% 3,00% 23.06.2023 n.d. n.d.
IT0005203069 EURO STOXX SELECT DIVIDEND 30 100% 3% 17.07.2023 n.d. n.d.
IT0005212516 EURO STOXX SELECT DIVIDEND 30 100% 3% 15.09.2023 n.d. n.d.
IT0005216236 FTSE MIB 90% 3,10% 15.10.2021 n.d. n.d.
IT0005218653 STOXX GLOBAL SELECT DIVIDEND 100 90% 2,25% 19.11.2021 n.d. n.d.
IT0005238875 FTSE MIB 90% 3,50% 21.01.2022 n.d. n.d.
IT0005240954 EURO STOXX BANKS 90% 3,70% 18.02.2022 90,05 90,95
IT0005245631 EURO STOXX SELECT DIVIDEND 30 90% 4,25% 18.03.2022 n.d. n.d.
IT0005249906 EURO STOXX SELECT DIVIDEND 30 90% 4,45% 14.04.2022 n.d. n.d.
IT0005262305 EURO STOXX BANKS 90% 3,70% 17.06.2022 88,20 89,05
IT0005274631 EURO STOXX BANKS 90% 3,70% 15.07.2022 87,90 88,75