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BPA CC STELLANTIS IT 12.75 55 150727
EuroTLX
XS2392604117
-
Structured product
BNP PARIBAS ISSUANCE B.V.
X60411
€
93,43
Valuation trade
28.03.2025 - 17:25
CET
Since Open
-1,95
(-2,04%)
Since Previous Close
-2,44
(-2,55%)
Valuation Close
€
93,43
28.03.2025 - 17:45
CET
Allgemeine Informationen
Instrument Type | Warrants/Certificates |
Issuer Name | BNP PARIBAS ISSUANCE B.V. |
Product | Cash Collect |
Strategy | Bullish |
EUSIPA Code | 1230 |
EUSIPA Name | Barrier Reverse Convertibles |
Country of Distribution | Italien |
Settlement Type | Cash |
Issue Date | 29/07/2022 |
Total Number of Instruments | 500000 |
Expiry Date | 15/07/2027 |
Exercise Type | European |
Central Security Depository | Unknown CSD |
Professional Product | Nein |
In Scope of US871m | Nein |
Trading information
Market | EuroTLX |
Trading Group | NB |
Market Model | Request for Execution |
Trading in | Number of units |
Tick size | Index 74 |
Trading Type | Continuous |
Opening Time | 09:05 CET |
Closing Time | 17:30 CET |
Euronext Code | NSCIT9260414 |
ISIN Code | XS2392604117 |
Mnemonic | X60411 |
First Trading Date | 05/08/2022 |
Delisting Date | 12/07/2027 |
Trading Lot | 1 |
Payment After KO | 0 day(s) |
Knock-In By Issuer | NA |
Closing Price type | Last Traded Price (LTP) |
Pricing parameters
Leverage | n. v. |
1st Strike Price | 12.75 |
Classification Financial Instrument
CFI:DEMYM |
D = Debt Instruments |
E = Structured instruments (without capital protection) |
M = Others (miscellaneous) |
Y = No payments |
M = Others (miscellaneous) |