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

Basisinformationsblätter (KIDs)

Italien IT

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

Underlying information

Name STELLANTIS IT
ISIN Code NL00150001Q9
Trading Place MUL
Underlying Group STELLANTIS
Country of Origin Niederlande
Underlying Type Stocks

Classification Financial Instrument

CFI:DEMYM
D = Debt Instruments
E = Structured instruments (without capital protection)
M = Others (miscellaneous)
Y = No payments
M = Others (miscellaneous)