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| |
Description/Name |
Type |
Symbol |
Exchange |
ClsPrc |
Currency |
| Details |
ENF: ENBRIDGE INCOME FUND HOLDING: ADJ 20181108 |
Options |
ENB2 |
CDE |
|
CAD |
| Details |
ENF: ENBRIDGE INCOME FUND HOLDING: ADJ 20181108 Stock Type: Not Defined |
Stock |
ENB2 |
BASKET |
54.19 |
CAD |
| Details |
MFE1.OLD: MFE-MEDIAFOREUROPE NV: ADJ 20211210 |
Options |
MFEB1 |
EUREX |
|
EUR |
| Details |
MFE1.OLD: MFE-MEDIAFOREUROPE NV: ADJ 20211210 Stock Type: Not Defined |
Stock |
MFEB1 |
BASKET |
5.54 |
EUR |
| Details |
BNP Paribas SA 79.29208 P Issuer Name: BNP Paribas SA |
Structured Product |
3748B |
SBF |
2.727 |
EUR |
| Details |
BNP Paribas SA 79.29208 C Issuer Name: BNP Paribas SA |
Structured Product |
3749B |
SBF |
0.1250 |
EUR |
| Details |
BNP Paribas SA 79.29208 P Issuer Name: BNP Paribas SA |
Structured Product |
3750B |
SBF |
0.0260 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB3AW3 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB3AW4 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB3DXW |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB3DXX |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB3FSP |
SWB |
107.30 |
EUR |
| Details |
Morgan Stanley 71.9598 C Issuer Name: Morgan Stanley |
Structured Product |
MA4Y59 |
SWB |
0.2700 |
EUR |
| Details |
Morgan Stanley 49.3517 C Issuer Name: Morgan Stanley |
Structured Product |
MC0AD3 |
SWB |
2.540 |
EUR |
| Details |
Morgan Stanley 40.0221 C Issuer Name: Morgan Stanley |
Structured Product |
MF6DMQ |
SWB |
3.680 |
EUR |
| Details |
Morgan Stanley 119.9197 C Issuer Name: Morgan Stanley |
Structured Product |
MA9VNW |
SWB |
2.440 |
EUR |
| Details |
Societe Generale Acceptance NV 85.853 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0B2J |
SWB |
2.350 |
EUR |
| Details |
Societe Generale Acceptance NV 85.845 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0B94 |
SWB |
0.0020 |
EUR |
| Details |
Societe Generale Acceptance NV 85.874 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0BVH |
SWB |
5.62 |
EUR |
| Details |
Societe Generale Acceptance NV 85.844 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0CHC |
SWB |
0.6000 |
EUR |
| Details |
Societe Generale Acceptance NV 85.85 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0CM4 |
SWB |
0.1200 |
EUR |
| Details |
Societe Generale Acceptance NV 86.531 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SR8V52 |
SWB |
1.300 |
EUR |
| Details |
Societe Generale Acceptance NV 86.53 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SR8VGZ |
SWB |
6.71 |
EUR |
| Details |
Societe Generale Acceptance NV 86.464 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SR8VV0 |
SWB |
3.400 |
EUR |
| Details |
Societe Generale Acceptance NV 86.53 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SR8WFT |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 86.525 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SR8WQ4 |
SWB |
0.0780 |
EUR |
| Details |
Societe Generale Acceptance NV 104.475 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH8L9F |
SWB |
0.0170 |
EUR |
| Details |
Societe Generale Acceptance NV 103.124 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH8SH7 |
SWB |
1.030 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
HVB5V3 |
SWB |
1,112.9 |
EUR |
| Details |
SAN: SANOFI: ADJ 20220505 |
Options |
EAPI1 |
MONEP |
|
EUR |
| Details |
SAN: SANOFI: ADJ 20220505 Stock Type: Not Defined |
Stock |
EAPI1 |
BASKET |
77.88 |
EUR |
| Details |
Societe Generale Acceptance NV 19.674 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1J92 |
SWB |
83.57 |
EUR |
| Details |
Societe Generale Acceptance NV 19.674 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KBC |
SWB |
159.22 |
EUR |
| Details |
Societe Generale Acceptance NV 19.673 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KCQ |
SWB |
73.02 |
EUR |
| Details |
Societe Generale Acceptance NV 19.674 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KD2 |
SWB |
5.52 |
EUR |
| Details |
Societe Generale Acceptance NV 19.674 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KE2 |
SWB |
0.2100 |
EUR |
| Details |
Societe Generale Acceptance NV 20.281 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UFP |
SWB |
1.800 |
EUR |
| Details |
Societe Generale Acceptance NV 20.284 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UGZ |
SWB |
123.70 |
EUR |
| Details |
Societe Generale Acceptance NV 20.282 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UHQ |
SWB |
0.0160 |
EUR |
| Details |
Societe Generale Acceptance NV 20.281 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UJB |
SWB |
18.35 |
EUR |
| Details |
Societe Generale Acceptance NV 20.28 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UKR |
SWB |
109.98 |
EUR |
| Details |
Societe Generale Acceptance NV 20.284 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1ULG |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 25.12615 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7T80 |
SWB |
4.290 |
EUR |
| Details |
Societe Generale Acceptance NV 23.90003 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB9UWY |
SWB |
4.420 |
EUR |
| Details |
Societe Generale Acceptance NV 24.16527 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD05PU |
SWB |
4.370 |
EUR |
| Details |
Societe Generale Acceptance NV 29.308 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD5ECX |
SWB |
0.6100 |
EUR |
| Details |
Societe Generale Acceptance NV 30.335 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD5MAD |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 26.33206 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9D0Q |
SWB |
4.160 |
EUR |
| Details |
Societe Generale Acceptance NV 25.35398 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9RXP |
SWB |
4.240 |
EUR |
| Details |
Societe Generale Acceptance NV 35.175 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH1DUE |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 26.233 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0PBK |
SWB |
0.0850 |
EUR |
| Details |
ABBN: ABB LTD-REG: ADJ 20220930 |
Options |
ABBA1 |
EUREX |
|
CHF |
| Details |
ABBN: ABB LTD-REG: ADJ 20220930 Stock Type: Not Defined |
Stock |
ABBA1 |
BASKET |
67.20 |
CHF |
| Details |
BNP Paribas SA 126.856 C Issuer Name: BNP Paribas SA |
Structured Product |
PX2NVR |
SWB |
3.750 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 68.00075 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GZ1SQ3 |
SWB |
5.52 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 71.6216 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP0KVU |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 72.4072 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP0N93 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 110.3077 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP0Z0F |
SWB |
1.130 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 74.0492 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP1G7B |
SWB |
5.01 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 75.7676 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP1G8T |
SWB |
4.810 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 74.9483 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP26YJ |
SWB |
4.870 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 76.6856 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP270U |
SWB |
4.670 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 72.5448 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP2V0M |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 107.55 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP3EQQ |
SWB |
2.150 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 71.0172 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP51WW |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 77.8999 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP7TDW |
SWB |
4.560 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 71.8153 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP94RN |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 79.0863 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP96XX |
SWB |
4.420 |
EUR |
| Details |
Morgan Stanley 45.0993 C Issuer Name: Morgan Stanley |
Structured Product |
MC1812 |
SWB |
8.51 |
EUR |
| Details |
Morgan Stanley 71.7965 C Issuer Name: Morgan Stanley |
Structured Product |
MA5CPG |
SWB |
5.13 |
EUR |
| Details |
Morgan Stanley 70.4057 C Issuer Name: Morgan Stanley |
Structured Product |
MC55UC |
SWB |
2.070 |
EUR |
| Details |
Morgan Stanley 63.3646 C Issuer Name: Morgan Stanley |
Structured Product |
MF1FUS |
SWB |
33.96 |
EUR |
| Details |
Morgan Stanley 53.9964 C Issuer Name: Morgan Stanley |
Structured Product |
MF3BL1 |
SWB |
7.38 |
EUR |
| Details |
Morgan Stanley 50.6268 C Issuer Name: Morgan Stanley |
Structured Product |
MF8ZRU |
SWB |
7.81 |
EUR |
| Details |
Morgan Stanley 76.0382 C Issuer Name: Morgan Stanley |
Structured Product |
MA9T8Q |
SWB |
1.320 |
EUR |
| Details |
Morgan Stanley 34.0659 C Issuer Name: Morgan Stanley |
Structured Product |
MD6CB5 |
SWB |
9.83 |
EUR |
| Details |
Morgan Stanley 60.6164 C Issuer Name: Morgan Stanley |
Structured Product |
MD9EC5 |
SWB |
6.37 |
EUR |
| Details |
Morgan Stanley 87.5 C Issuer Name: Morgan Stanley |
Structured Product |
MB9L1P |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 62.40161 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5H0C |
SWB |
5.76 |
EUR |
| Details |
Societe Generale Acceptance NV 64.81403 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5H0G |
SWB |
5.50 |
EUR |
| Details |
Societe Generale Acceptance NV 65.39875 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5H0H |
SWB |
5.43 |
EUR |
| Details |
Societe Generale Acceptance NV 59.40889 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5HZ7 |
SWB |
6.09 |
EUR |
| Details |
Societe Generale Acceptance NV 41.59888 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5HZM |
SWB |
8.04 |
EUR |
| Details |
Societe Generale Acceptance NV 46.71726 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5HZR |
SWB |
7.48 |
EUR |
| Details |
Societe Generale Acceptance NV 50.39009 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5HZU |
SWB |
7.08 |
EUR |
| Details |
Societe Generale Acceptance NV 52.75738 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5JR6 |
SWB |
6.80 |
EUR |
| Details |
Societe Generale Acceptance NV 55.1112 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5JR8 |
SWB |
6.53 |
EUR |
| Details |
Societe Generale Acceptance NV 63.26681 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CJ5JSF |
SWB |
5.63 |
EUR |
| Details |
Societe Generale Acceptance NV 69.5742 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL5K9C |
SWB |
4.980 |
EUR |
| Details |
Societe Generale Acceptance NV 80.871 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KAJ |
SWB |
23.62 |
EUR |
| Details |
Societe Generale Acceptance NV 80.852 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KBU |
SWB |
22.61 |
EUR |
| Details |
Societe Generale Acceptance NV 80.873 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KC6 |
SWB |
10.20 |
EUR |
| Details |
Societe Generale Acceptance NV 80.843 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KCF |
SWB |
0.0900 |
EUR |
| Details |
Societe Generale Acceptance NV 80.844 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KED |
SWB |
1.700 |
EUR |
| Details |
Societe Generale Acceptance NV 80.85 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KER |
SWB |
0.0580 |
EUR |
| Details |
Societe Generale Acceptance NV 80.85 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1KFE |
SWB |
1.440 |
EUR |
| Details |
Societe Generale Acceptance NV 82.611 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UF1 |
SWB |
4.560 |
EUR |
| Details |
Societe Generale Acceptance NV 82.521 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UH2 |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 82.569 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UHF |
SWB |
21.35 |
EUR |
| Details |
Societe Generale Acceptance NV 82.611 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UJT |
SWB |
2.920 |
EUR |
| Details |
Societe Generale Acceptance NV 82.553 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UK7 |
SWB |
12.72 |
EUR |
| Details |
Societe Generale Acceptance NV 82.611 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1ULQ |
SWB |
0.3300 |
EUR |
| Details |
Societe Generale Acceptance NV 82.552 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB1UNA |
SWB |
0.0200 |
EUR |
| Details |
Societe Generale Acceptance NV 70.74201 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7SM1 |
SWB |
4.860 |
EUR |
| Details |
Societe Generale Acceptance NV 71.34315 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7SM9 |
SWB |
4.800 |
EUR |
| Details |
Societe Generale Acceptance NV 71.95058 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7SNA |
SWB |
4.720 |
EUR |
| Details |
Societe Generale Acceptance NV 72.57078 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7SNB |
SWB |
4.650 |
EUR |
| Details |
Societe Generale Acceptance NV 48.00919 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB8CHM |
SWB |
7.31 |
EUR |
| Details |
Societe Generale Acceptance NV 78.05 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD5UUY |
SWB |
1.620 |
EUR |
| Details |
Societe Generale Acceptance NV 53.85902 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF4DL8 |
SWB |
6.70 |
EUR |
| Details |
Societe Generale Acceptance NV 68.00237 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF4FSZ |
SWB |
5.15 |
EUR |
| Details |
Societe Generale Acceptance NV 66.80185 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF4HS4 |
SWB |
5.28 |
EUR |
| Details |
Societe Generale Acceptance NV 63.21515 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF5C21 |
SWB |
5.68 |
EUR |
| Details |
Societe Generale Acceptance NV 62.04076 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF5JJH |
SWB |
5.80 |
EUR |
| Details |
Societe Generale Acceptance NV 77.239 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF4VUS |
SWB |
0.4300 |
EUR |
| Details |
Societe Generale Acceptance NV 44.44761 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF68TS |
SWB |
7.73 |
EUR |
| Details |
Societe Generale Acceptance NV 60.04199 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF68TT |
SWB |
6.02 |
EUR |
| Details |
Societe Generale Acceptance NV 73.399 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH0DZW |
SWB |
14.87 |
EUR |
| Details |
Societe Generale Acceptance NV 73.396 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH0DZX |
SWB |
8.16 |
EUR |
| Details |
Societe Generale Acceptance NV 80.525 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH7RHU |
SWB |
0.0130 |
EUR |
| Details |
Societe Generale Acceptance NV 54.60939 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN37J5 |
SWB |
6.63 |
EUR |
| Details |
Societe Generale Acceptance NV 56.4238 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN37J7 |
SWB |
6.42 |
EUR |
| Details |
Societe Generale Acceptance NV 57.6416 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN37J9 |
SWB |
6.28 |
EUR |
| Details |
Societe Generale Acceptance NV 73.0322 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN98ZL |
SWB |
4.610 |
EUR |
| Details |
Societe Generale Acceptance NV 56.97649 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6V7S |
SWB |
6.67 |
EUR |
| Details |
Societe Generale Acceptance NV 62.83846 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH0FPN |
SWB |
6.03 |
EUR |
| Details |
Societe Generale Acceptance NV 68.95497 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH0UR7 |
SWB |
5.35 |
EUR |
| Details |
Societe Generale Acceptance NV 80.653 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH8CVN |
SWB |
8.79 |
EUR |
| Details |
Societe Generale Acceptance NV 71.31766 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ100H |
SWB |
5.09 |
EUR |
| Details |
Societe Generale Acceptance NV 44.9997 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1UJ2 |
SWB |
7.98 |
EUR |
| Details |
Societe Generale Acceptance NV 66.54938 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1UJ3 |
SWB |
5.61 |
EUR |
| Details |
Societe Generale Acceptance NV 75.642 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1WSM |
SWB |
0.0030 |
EUR |
| Details |
Societe Generale Acceptance NV 75.648 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1WTE |
SWB |
25.84 |
EUR |
| Details |
Societe Generale Acceptance NV 73.70152 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ3F2X |
SWB |
4.830 |
EUR |
| Details |
Societe Generale Acceptance NV 85.271 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ4598 |
SWB |
0.1400 |
EUR |
| Details |
Societe Generale Acceptance NV 78.492 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1YBU |
SWB |
10.16 |
EUR |
| Details |
Societe Generale Acceptance NV 73.96015 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV13PD |
SWB |
4.500 |
EUR |
| Details |
Societe Generale Acceptance NV 74.762 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV16NS |
SWB |
2.540 |
EUR |
| Details |
Societe Generale Acceptance NV 75.692 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1639 |
SWB |
0.1100 |
EUR |
| Details |
Societe Generale Acceptance NV 75.69 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV164A |
SWB |
0.9500 |
EUR |
| Details |
Societe Generale Acceptance NV 75.695 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV164D |
SWB |
2.250 |
EUR |
| Details |
Societe Generale Acceptance NV 75.69 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV164S |
SWB |
30.66 |
EUR |
| Details |
Societe Generale Acceptance NV 75.56528 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV19FR |
SWB |
4.320 |
EUR |
| Details |
Societe Generale Acceptance NV 75.7635 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2QQ4 |
SWB |
4.300 |
EUR |
| Details |
Societe Generale Acceptance NV 76.0311 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2Q5B |
SWB |
4.580 |
EUR |
| Details |
Societe Generale Acceptance NV 76.31454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2R6P |
SWB |
4.200 |
EUR |
| Details |
Societe Generale Acceptance NV 78.32628 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2RU1 |
SWB |
4.020 |
EUR |
| Details |
Societe Generale Acceptance NV 79.49911 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2RU6 |
SWB |
3.900 |
EUR |
| Details |
Societe Generale Acceptance NV 75.98496 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2RUR |
SWB |
4.280 |
EUR |
| Details |
Societe Generale Acceptance NV 77.27531 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2RUW |
SWB |
4.140 |
EUR |
| Details |
Societe Generale Acceptance NV 81.85312 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV3TA3 |
SWB |
3.630 |
EUR |
| Details |
Societe Generale Acceptance NV 80.68586 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV3TAX |
SWB |
3.760 |
EUR |
| Details |
Societe Generale Acceptance NV 82.915 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2VAB |
SWB |
0.0130 |
EUR |
| Details |
Societe Generale Acceptance NV 82.915 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2VAC |
SWB |
0.5300 |
EUR |
| Details |
Societe Generale Acceptance NV 81.86147 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV28BT |
SWB |
3.940 |
EUR |
| Details |
Societe Generale Acceptance NV 89.204 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4PD5 |
SWB |
17.42 |
EUR |
| Details |
Societe Generale Acceptance NV 92.993 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4R32 |
SWB |
0.1200 |
EUR |
| Details |
Societe Generale Acceptance NV 91.411 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4XNY |
SWB |
0.2300 |
EUR |
| Details |
Societe Generale Acceptance NV 91.389 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4XNZ |
SWB |
0.0640 |
EUR |
| Details |
Societe Generale Acceptance NV 71.05181 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1DVS |
SWB |
4.780 |
EUR |
| Details |
Societe Generale Acceptance NV 25.87925 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2582 |
SWB |
9.74 |
EUR |
| Details |
UniCredit Bank AG 62.451341 C Issuer Name: UniCredit Bank AG |
Structured Product |
1492T |
SBF |
0.0000 |
EUR |
| Details |
NOVN: NOVARTIS AG-SANDOZ BASKET.: ADJ 20231003 |
Options |
NOSB |
EUREX |
|
CHF |
| Details |
NOVN: NOVARTIS AG-SANDOZ BASKET.: ADJ 20231003 Stock Type: Not Defined |
Stock |
NOSB |
BASKET |
127.76 |
CHF |
| Details |
Australian dollar |
Forex |
AUD |
|
1.204 |
NZD |
| Details |
Australian dollar |
Forex |
AUD |
|
0.6069 |
EUR |
| Details |
Australian dollar |
Forex |
AUD |
|
5.50 |
HKD |
| Details |
Australian dollar |
Forex |
AUD |
|
0.7023 |
USD |
| Details |
Australian dollar |
Forex |
AUD |
|
n/a |
AUD |
| Details |
Australian dollar |
Forex |
AUD |
|
0.7336 |
GCU |
| Details |
Australian dollar |
Forex |
AUD |
|
1,057.1 |
KRW |
| Details |
Australian dollar |
Forex |
AUD |
|
4.850 |
CNH |
| Details |
Australian dollar |
Forex |
AUD |
|
0.9638 |
CAD |
| Details |
Australian dollar |
Forex |
AUD |
|
0.9006 |
SGD |
| Details |
Australian dollar |
Forex |
AUD |
|
11.94 |
ZAR |
| Details |
Australian dollar |
Forex |
AUD |
|
111.82 |
JPY |
| Details |
Australian dollar |
Forex |
AUD |
|
0.5534 |
CHF |
| Details |
Australian dollar |
Forex |
AUD |
|
0.5264 |
GBP |
| Details |
Australian dollar |
CFD |
AUD |
|
0.7023 |
USD |
| Details |
Australian dollar |
CFD |
AUD |
|
4.850 |
CNH |
| Details |
Australian dollar |
CFD |
AUD |
|
5.50 |
HKD |
| Details |
Australian dollar |
CFD |
AUD |
|
111.82 |
JPY |
| Details |
Australian dollar |
CFD |
AUD |
|
0.9006 |
SGD |
| Details |
Australian dollar |
CFD |
AUD |
|
1.204 |
NZD |
| Details |
Australian dollar |
CFD |
AUD |
|
11.94 |
ZAR |
| Details |
Australian dollar |
CFD |
AUD |
|
0.9638 |
CAD |
| Details |
Australian dollar |
CFD |
AUD |
|
0.5534 |
CHF |
| Details |
Australian dollar Futures Type: Foreign Exchange |
Futures |
AUD |
ICEUS |
|
USD |
| Details |
Australian dollar Futures Type: Foreign Exchange |
Futures |
AJY |
NYBOT |
|
JPY |
| Details |
Australian dollar Futures Type: Foreign Exchange |
Futures |
AUD |
CME |
|
USD |
| Details |
Australian dollar Futures Type: Foreign Exchange |
Futures |
ACDX |
CME |
|
CAD |
| Details |
Canadian dollar |
Forex |
CAD |
|
5.71 |
HKD |
| Details |
Canadian dollar |
Forex |
CAD |
|
6.81 |
SEK |
| Details |
Canadian dollar |
Forex |
CAD |
|
0.7612 |
GCU |
| Details |
Canadian dollar |
Forex |
CAD |
|
0.7287 |
USD |
| Details |
Canadian dollar |
Forex |
CAD |
|
1.038 |
AUD |
| Details |
Canadian dollar |
Forex |
CAD |
|
0.6298 |
EUR |
| Details |
Canadian dollar |
Forex |
CAD |
|
5.03 |
CNH |
| Details |
Canadian dollar |
Forex |
CAD |
|
1,096.9 |
KRW |
| Details |
Canadian dollar |
Forex |
CAD |
|
n/a |
CAD |
| Details |
Canadian dollar |
Forex |
CAD |
|
0.5742 |
CHF |
| Details |
Canadian dollar |
Forex |
CAD |
|
0.5462 |
GBP |
| Details |
Canadian dollar |
Forex |
CAD |
|
116.03 |
JPY |
| Details |
Canadian dollar |
CFD |
CAD |
|
5.03 |
CNH |
| Details |
Canadian dollar |
CFD |
CAD |
|
116.03 |
JPY |
| Details |
Canadian dollar |
CFD |
CAD |
|
0.5742 |
CHF |
| Details |
Canadian dollar |
CFD |
CAD |
|
5.71 |
HKD |
| Details |
Canadian dollar Futures Type: Foreign Exchange |
Futures |
CAD |
CME |
|
USD |
| Details |
Canadian dollar Futures Type: Foreign Exchange |
Futures |
CJY |
CME |
|
JPY |
| Details |
Canadian dollar Futures Type: Foreign Exchange |
Futures |
CJY |
NYBOT |
|
JPY |
| Details |
Swiss franc |
Forex |
CHF |
|
21.58 |
ZAR |
| Details |
Swiss franc |
Forex |
CHF |
|
431.30 |
HUF |
| Details |
Swiss franc |
Forex |
CHF |
|
202.06 |
JPY |
| Details |
Swiss franc |
Forex |
CHF |
|
n/a |
CHF |
| Details |
Swiss franc |
Forex |
CHF |
|
1.742 |
CAD |
| Details |
Swiss franc |
Forex |
CHF |
|
157.71 |
ISK |
| Details |
Swiss franc |
Forex |
CHF |
|
8.76 |
CNH |
| Details |
Swiss franc |
Forex |
CHF |
|
22.74 |
MXN |
| Details |
Swiss franc |
Forex |
CHF |
|
1.326 |
GCU |
| Details |
Swiss franc |
Forex |
CHF |
|
11.86 |
SEK |
| Details |
Swiss franc |
Forex |
CHF |
|
0.9512 |
GBP |
| Details |
Swiss franc |
Forex |
CHF |
|
12.14 |
NOK |
| Details |
Swiss franc |
Forex |
CHF |
|
8.19 |
DKK |
| Details |
Swiss franc |
Forex |
CHF |
|
56.21 |
TRY |
| Details |
Swiss franc |
Forex |
CHF |
|
26.83 |
CZK |
| Details |
Swiss franc |
Forex |
CHF |
|
1,910.2 |
KRW |
| Details |
Swiss franc |
Forex |
CHF |
|
4.689 |
PLN |
| Details |
Swiss franc |
Forex |
CHF |
|
1.269 |
USD |
| Details |
Swiss franc |
Forex |
CHF |
|
1.807 |
AUD |
| Details |
Swiss franc |
Forex |
CHF |
|
9.94 |
HKD |
| Details |
Swiss franc |
Forex |
CHF |
|
1.097 |
EUR |
| Details |
Swiss franc |
CFD |
CHF |
|
431.30 |
HUF |
| Details |
Swiss franc |
CFD |
CHF |
|
8.76 |
CNH |
| Details |
Swiss franc |
CFD |
CHF |
|
202.06 |
JPY |
| Details |
Swiss franc |
CFD |
CHF |
|
8.19 |
DKK |
| Details |
Swiss franc |
CFD |
CHF |
|
12.14 |
NOK |
| Details |
Swiss franc |
CFD |
CHF |
|
11.86 |
SEK |
| Details |
Swiss franc |
CFD |
CHF |
|
4.689 |
PLN |
| Details |
Swiss franc |
CFD |
CHF |
|
21.58 |
ZAR |
| Details |
Swiss franc |
CFD |
CHF |
|
26.83 |
CZK |
| Details |
Swiss franc Futures Type: Foreign Exchange |
Futures |
ZY |
ICEUS |
|
JPY |
| Details |
Swiss franc Futures Type: Foreign Exchange |
Futures |
CHF |
CME |
|
USD |
| Details |
Czech koruna |
Forex |
CZK |
|
0.0494 |
GCU |
| Details |
Czech koruna |
Forex |
CZK |
|
0.0473 |
USD |
| Details |
Czech koruna |
Forex |
CZK |
|
0.0409 |
EUR |
| Details |
Czech koruna |
Forex |
CZK |
|
0.0354 |
GBP |
| Details |
Czech koruna |
Forex |
CZK |
|
0.0373 |
CHF |
| Details |
Czech koruna |
Forex |
CZK |
|
n/a |
CZK |
| Details |
Czech koruna Futures Type: Foreign Exchange |
Futures |
ECK |
CME |
|
EUR |
| Details |
Danish krone |
Forex |
DKK |
|
1.447 |
SEK |
| Details |
Danish krone |
Forex |
DKK |
|
0.1549 |
USD |
| Details |
Danish krone |
Forex |
DKK |
|
0.1618 |
GCU |
| Details |
Danish krone |
Forex |
DKK |
|
0.1338 |
EUR |
| Details |
Danish krone |
Forex |
DKK |
|
n/a |
DKK |
| Details |
Danish krone |
Forex |
DKK |
|
1.482 |
NOK |
| Details |
Danish krone |
Forex |
DKK |
|
24.66 |
JPY |
| Details |
Danish krone |
Forex |
DKK |
|
0.1161 |
GBP |
| Details |
Danish krone |
CFD |
DKK |
|
1.447 |
SEK |
| Details |
Danish krone |
CFD |
DKK |
|
24.66 |
JPY |
| Details |
Danish krone |
CFD |
DKK |
|
1.482 |
NOK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
143.80 |
ISK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
7.53 |
HRK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
19.68 |
ZAR |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.9118 |
CHF |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
15.65 |
EEK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.209 |
GCU |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.984 |
NZD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
3.624 |
ILS |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
4.229 |
QAR |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
20.73 |
MXN |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
7.99 |
CNH |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.484 |
SGD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
3.453 |
LTL |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.157 |
USD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
9.06 |
HKD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
5.09 |
RON |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1,741.7 |
KRW |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
4.275 |
PLN |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
96.18 |
RUB |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.4369 |
BHD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.588 |
CAD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
4.345 |
SAR |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
6.15 |
BRL |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
184.24 |
JPY |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
393.27 |
HUF |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
10.81 |
SEK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.3548 |
KWD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.4455 |
OMR |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.4293 |
MTL |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
7.47 |
DKK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
11.07 |
NOK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.5853 |
CYP |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
51.26 |
TRY |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
4.250 |
AED |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.8673 |
GBP |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.648 |
AUD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
239.64 |
SIT |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
37.06 |
TWD |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
n/a |
EUR |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
24.47 |
CZK |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
1.927 |
BGN |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
0.7028 |
LVL |
| Details |
European Monetary Union Euro |
Forex |
EUR |
|
108.41 |
INR |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
96.18 |
RUB |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
1.588 |
CAD |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
20.73 |
MXN |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
19.68 |
ZAR |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
24.47 |
CZK |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
9.06 |
HKD |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
1.484 |
SGD |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
0.8673 |
GBP |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
184.24 |
JPY |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
10.81 |
SEK |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
0.9118 |
CHF |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
7.47 |
DKK |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
1.648 |
AUD |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
4.275 |
PLN |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
393.27 |
HUF |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
1.984 |
NZD |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
7.99 |
CNH |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
3.624 |
ILS |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
11.07 |
NOK |
| Details |
European Monetary Union Euro |
CFD |
EUR |
|
1.157 |
USD |
| Details |
European Monetary Union Euro Futures Type: Foreign Exchange |
Futures |
RY |
CME |
|
JPY |
| Details |
European Monetary Union Euro Futures Type: Foreign Exchange |
Futures |
EUR |
CME |
|
USD |
| Details |
European Monetary Union Euro Futures Type: Foreign Exchange |
Futures |
EURO |
MEXDER |
|
MXN |
| Details |
European Monetary Union Euro Futures Type: Foreign Exchange |
Futures |
EAD |
ICEUS |
|
AUD |
| Details |
European Monetary Union Euro Futures Type: Foreign Exchange |
Futures |
EURHUF |
NYBOT |
|
HUF |
| Details |
Bank Vontobel 1.841 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CER |
SWB |
10.46 |
EUR |
| Details |
Bank Vontobel 1.8453 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CES |
SWB |
10.63 |
EUR |
| Details |
Bank Vontobel 1.8502 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CET |
SWB |
10.95 |
EUR |
| Details |
Bank Vontobel 1.8546 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CEU |
SWB |
11.23 |
EUR |
| Details |
Bank Vontobel 1.8596 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CG0 |
SWB |
11.56 |
EUR |
| Details |
Bank Vontobel 1.864 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CG2 |
SWB |
11.75 |
EUR |
| Details |
Bank Vontobel 1.8465 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CGK |
SWB |
10.74 |
EUR |
| Details |
Bank Vontobel 1.8508 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CGM |
SWB |
11.03 |
EUR |
| Details |
Bank Vontobel 1.8553 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CGY |
SWB |
11.27 |
EUR |
| Details |
Bank Vontobel 12.1339 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNB |
SWB |
8.23 |
EUR |
| Details |
Bank Vontobel 12.1541 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNC |
SWB |
8.49 |
EUR |
| Details |
Bank Vontobel 12.169 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CND |
SWB |
8.60 |
EUR |
| Details |
Bank Vontobel 12.1891 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNE |
SWB |
8.70 |
EUR |
| Details |
Bank Vontobel 12.2039 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNF |
SWB |
8.96 |
EUR |
| Details |
Bank Vontobel 12.2215 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNG |
SWB |
9.07 |
EUR |
| Details |
Bank Vontobel 12.2389 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNH |
SWB |
9.17 |
EUR |
| Details |
Bank Vontobel 12.2565 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNJ |
SWB |
9.42 |
EUR |
| Details |
Bank Vontobel 12.2767 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNK |
SWB |
9.54 |
EUR |
| Details |
Bank Vontobel 12.2915 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNL |
SWB |
9.63 |
EUR |
| Details |
Bank Vontobel 12.309 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNM |
SWB |
9.89 |
EUR |
| Details |
Bank Vontobel 12.3293 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNN |
SWB |
10.01 |
EUR |
| Details |
Bank Vontobel 12.344 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNP |
SWB |
10.10 |
EUR |
| Details |
Bank Vontobel 12.3615 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNQ |
SWB |
10.36 |
EUR |
| Details |
Bank Vontobel 12.3791 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNR |
SWB |
10.48 |
EUR |
| Details |
Bank Vontobel 12.3992 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNS |
SWB |
10.57 |
EUR |
| Details |
Bank Vontobel 12.4168 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNT |
SWB |
10.82 |
EUR |
| Details |
Bank Vontobel 12.4342 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNU |
SWB |
10.94 |
EUR |
| Details |
Bank Vontobel 12.4518 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNV |
SWB |
11.04 |
EUR |
| Details |
Bank Vontobel 12.4693 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNW |
SWB |
11.30 |
EUR |
| Details |
Bank Vontobel 12.4841 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CNX |
SWB |
11.42 |
EUR |
| Details |
Bank Vontobel 12.2071 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CR9 |
SWB |
8.83 |
EUR |
| Details |
Bank Vontobel 12.2221 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSB |
SWB |
9.05 |
EUR |
| Details |
Bank Vontobel 12.2398 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSC |
SWB |
9.14 |
EUR |
| Details |
Bank Vontobel 12.2573 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSD |
SWB |
9.40 |
EUR |
| Details |
Bank Vontobel 12.275 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSE |
SWB |
9.52 |
EUR |
| Details |
Bank Vontobel 12.2953 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSF |
SWB |
9.62 |
EUR |
| Details |
Bank Vontobel 12.3128 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSG |
SWB |
9.87 |
EUR |
| Details |
Bank Vontobel 12.3278 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSH |
SWB |
9.99 |
EUR |
| Details |
Bank Vontobel 12.3453 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSJ |
SWB |
10.09 |
EUR |
| Details |
Bank Vontobel 12.363 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSK |
SWB |
10.34 |
EUR |
| Details |
Bank Vontobel 12.3806 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSL |
SWB |
10.46 |
EUR |
| Details |
Bank Vontobel 12.4008 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSM |
SWB |
10.56 |
EUR |
| Details |
Bank Vontobel 12.4157 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSN |
SWB |
10.82 |
EUR |
| Details |
Bank Vontobel 12.4334 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSP |
SWB |
10.93 |
EUR |
| Details |
Bank Vontobel 12.4511 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSQ |
SWB |
11.03 |
EUR |
| Details |
Bank Vontobel 12.4687 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSR |
SWB |
11.29 |
EUR |
| Details |
Bank Vontobel 12.489 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSS |
SWB |
11.41 |
EUR |
| Details |
Bank Vontobel 12.5065 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CST |
SWB |
11.50 |
EUR |
| Details |
Bank Vontobel 12.5214 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSU |
SWB |
11.75 |
EUR |
| Details |
Bank Vontobel 12.5418 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSV |
SWB |
11.88 |
EUR |
| Details |
Bank Vontobel 12.5567 P Issuer Name: Bank Vontobel |
Structured Product |
VP1CSW |
SWB |
11.96 |
EUR |
| Details |
Bank Vontobel 0.23173 P Issuer Name: Bank Vontobel |
Structured Product |
VP2ALB |
SWB |
17.66 |
EUR |
| Details |
Bank Vontobel 0.233753 P Issuer Name: Bank Vontobel |
Structured Product |
VP2ALC |
SWB |
18.66 |
EUR |
| Details |
Bank Vontobel 0.235802 P Issuer Name: Bank Vontobel |
Structured Product |
VP606N |
SWB |
19.63 |
EUR |
| Details |
Bank Vontobel 0.226057 P Issuer Name: Bank Vontobel |
Structured Product |
VS7SR1 |
SWB |
14.69 |
EUR |
| Details |
Bank Vontobel 0.228148 P Issuer Name: Bank Vontobel |
Structured Product |
VS7SR2 |
SWB |
15.84 |
EUR |
| Details |
Bank Vontobel 0.230353 P Issuer Name: Bank Vontobel |
Structured Product |
VS7SR4 |
SWB |
16.86 |
EUR |
| Details |
Bank Vontobel 5.022 P Issuer Name: Bank Vontobel |
Structured Product |
VX7P3J |
SWB |
16.14 |
EUR |
| Details |
Bank Vontobel 5.0421 P Issuer Name: Bank Vontobel |
Structured Product |
VX7R8Z |
SWB |
16.63 |
EUR |
| Details |
Bank Vontobel 5.0622 P Issuer Name: Bank Vontobel |
Structured Product |
VX7R92 |
SWB |
17.04 |
EUR |
| Details |
Bank Vontobel 5.096 P Issuer Name: Bank Vontobel |
Structured Product |
VX7XG6 |
SWB |
17.82 |
EUR |
| Details |
Bank Vontobel 5.1361 P Issuer Name: Bank Vontobel |
Structured Product |
VX7XG9 |
SWB |
18.80 |
EUR |
| Details |
Bank Vontobel 5.1561 P Issuer Name: Bank Vontobel |
Structured Product |
VX7XHA |
SWB |
19.27 |
EUR |
| Details |
Bank Vontobel 5.1761 P Issuer Name: Bank Vontobel |
Structured Product |
VX7XHB |
SWB |
19.68 |
EUR |
| Details |
Bank Vontobel 5.116 P Issuer Name: Bank Vontobel |
Structured Product |
VX7XHD |
SWB |
18.34 |
EUR |
| Details |
Bank Vontobel 5.1962 P Issuer Name: Bank Vontobel |
Structured Product |
VX7Y4W |
SWB |
20.19 |
EUR |
| Details |
Bank Vontobel 5.2362 P Issuer Name: Bank Vontobel |
Structured Product |
VX73M0 |
SWB |
21.12 |
EUR |
| Details |
Bank Vontobel 5.2562 P Issuer Name: Bank Vontobel |
Structured Product |
VX73MW |
SWB |
21.53 |
EUR |
| Details |
Bank Vontobel 5.2963 P Issuer Name: Bank Vontobel |
Structured Product |
VX73MX |
SWB |
22.51 |
EUR |
| Details |
Bank Vontobel 5.2162 P Issuer Name: Bank Vontobel |
Structured Product |
VX73MY |
SWB |
20.66 |
EUR |
| Details |
Bank Vontobel 5.2762 P Issuer Name: Bank Vontobel |
Structured Product |
VX73MZ |
SWB |
21.99 |
EUR |
| Details |
Bank Vontobel 5.4028 P Issuer Name: Bank Vontobel |
Structured Product |
VX750B |
SWB |
24.97 |
EUR |
| Details |
Bank Vontobel 5.3427 P Issuer Name: Bank Vontobel |
Structured Product |
VX750D |
SWB |
23.58 |
EUR |
| Details |
Bank Vontobel 5.3627 P Issuer Name: Bank Vontobel |
Structured Product |
VX750G |
SWB |
23.99 |
EUR |
| Details |
Bank Vontobel 5.3227 P Issuer Name: Bank Vontobel |
Structured Product |
VX750H |
SWB |
23.12 |
EUR |
| Details |
Bank Vontobel 5.4629 P Issuer Name: Bank Vontobel |
Structured Product |
VX750J |
SWB |
26.31 |
EUR |
| Details |
Bank Vontobel 5.4429 P Issuer Name: Bank Vontobel |
Structured Product |
VX750K |
SWB |
25.85 |
EUR |
| Details |
Bank Vontobel 5.3828 P Issuer Name: Bank Vontobel |
Structured Product |
VX750M |
SWB |
24.51 |
EUR |
| Details |
Bank Vontobel 5.4229 P Issuer Name: Bank Vontobel |
Structured Product |
VX750N |
SWB |
25.44 |
EUR |
| Details |
Bank Vontobel 1.6117 C Issuer Name: Bank Vontobel |
Structured Product |
VX75T4 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6255 C Issuer Name: Bank Vontobel |
Structured Product |
VX75TH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6197 C Issuer Name: Bank Vontobel |
Structured Product |
VX75UF |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 5.503 P Issuer Name: Bank Vontobel |
Structured Product |
VX773T |
SWB |
27.24 |
EUR |
| Details |
Bank Vontobel 5.523 P Issuer Name: Bank Vontobel |
Structured Product |
VX773U |
SWB |
27.76 |
EUR |
| Details |
Bank Vontobel 5.5631 P Issuer Name: Bank Vontobel |
Structured Product |
VX773V |
SWB |
28.69 |
EUR |
| Details |
Bank Vontobel 5.483 P Issuer Name: Bank Vontobel |
Structured Product |
VX773W |
SWB |
26.78 |
EUR |
| Details |
Bank Vontobel 5.5832 P Issuer Name: Bank Vontobel |
Structured Product |
VX773X |
SWB |
29.15 |
EUR |
| Details |
Bank Vontobel 5.543 P Issuer Name: Bank Vontobel |
Structured Product |
VX773Y |
SWB |
28.18 |
EUR |
| Details |
Bank Vontobel 5.6032 P Issuer Name: Bank Vontobel |
Structured Product |
VX773Z |
SWB |
29.56 |
EUR |
| Details |
Bank Vontobel 4.942 P Issuer Name: Bank Vontobel |
Structured Product |
VX8CRS |
SWB |
14.31 |
EUR |
| Details |
Bank Vontobel 4.9621 P Issuer Name: Bank Vontobel |
Structured Product |
VX8CRT |
SWB |
14.75 |
EUR |
| Details |
Bank Vontobel 4.902 P Issuer Name: Bank Vontobel |
Structured Product |
VX8CRU |
SWB |
13.34 |
EUR |
| Details |
Bank Vontobel 4.9822 P Issuer Name: Bank Vontobel |
Structured Product |
VX8CRW |
SWB |
15.24 |
EUR |
| Details |
Bank Vontobel 4.922 P Issuer Name: Bank Vontobel |
Structured Product |
VX8CRY |
SWB |
13.85 |
EUR |
| Details |
Bank Vontobel 4.8619 P Issuer Name: Bank Vontobel |
Structured Product |
VX8HFF |
SWB |
12.45 |
EUR |
| Details |
Bank Vontobel 4.882 P Issuer Name: Bank Vontobel |
Structured Product |
VX8HFH |
SWB |
12.92 |
EUR |
| Details |
Bank Vontobel 10.8692 C Issuer Name: Bank Vontobel |
Structured Product |
VX85C8 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.9656 C Issuer Name: Bank Vontobel |
Structured Product |
VX85DB |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.9177 C Issuer Name: Bank Vontobel |
Structured Product |
VX85DC |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.864 C Issuer Name: Bank Vontobel |
Structured Product |
VX89K6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.8157 C Issuer Name: Bank Vontobel |
Structured Product |
VX89K7 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5979 C Issuer Name: Bank Vontobel |
Structured Product |
VX9J9D |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6095 C Issuer Name: Bank Vontobel |
Structured Product |
VX9J9F |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6037 C Issuer Name: Bank Vontobel |
Structured Product |
VX9J9H |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5921 C Issuer Name: Bank Vontobel |
Structured Product |
VX9J9J |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5842 C Issuer Name: Bank Vontobel |
Structured Product |
VX9MAU |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.59 C Issuer Name: Bank Vontobel |
Structured Product |
VX9MAV |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5957 C Issuer Name: Bank Vontobel |
Structured Product |
VX9MAW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6015 C Issuer Name: Bank Vontobel |
Structured Product |
VX9MAX |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5783 C Issuer Name: Bank Vontobel |
Structured Product |
VX9N7J |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5862 C Issuer Name: Bank Vontobel |
Structured Product |
VX9N7K |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7349 C Issuer Name: Bank Vontobel |
Structured Product |
VX9Y7Q |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.8151 C Issuer Name: Bank Vontobel |
Structured Product |
VX97SD |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 5.0088 P Issuer Name: Bank Vontobel |
Structured Product |
VV3N2E |
SWB |
15.60 |
EUR |
| Details |
Bank Vontobel 1.4448 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJ0 |
SWB |
6.61 |
EUR |
| Details |
Bank Vontobel 1.4275 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJ1 |
SWB |
7.75 |
EUR |
| Details |
Bank Vontobel 1.4681 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJ3 |
SWB |
5.13 |
EUR |
| Details |
Bank Vontobel 1.4738 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJ8 |
SWB |
4.740 |
EUR |
| Details |
Bank Vontobel 1.4507 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJ9 |
SWB |
6.23 |
EUR |
| Details |
Bank Vontobel 1.4506 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJX |
SWB |
6.23 |
EUR |
| Details |
Bank Vontobel 1.439 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJY |
SWB |
7.01 |
EUR |
| Details |
Bank Vontobel 1.4334 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TJZ |
SWB |
7.33 |
EUR |
| Details |
Bank Vontobel 1.4679 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TK0 |
SWB |
5.14 |
EUR |
| Details |
Bank Vontobel 1.4612 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TK2 |
SWB |
5.48 |
EUR |
| Details |
Bank Vontobel 1.4449 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKA |
SWB |
6.63 |
EUR |
| Details |
Bank Vontobel 1.4565 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKB |
SWB |
5.86 |
EUR |
| Details |
Bank Vontobel 1.4391 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKC |
SWB |
6.98 |
EUR |
| Details |
Bank Vontobel 1.4624 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKD |
SWB |
5.50 |
EUR |
| Details |
Bank Vontobel 1.5559 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5638 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKL |
SWB |
2.040 |
EUR |
| Details |
Bank Vontobel 1.558 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKP |
SWB |
2.360 |
EUR |
| Details |
Bank Vontobel 1.5408 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKQ |
SWB |
3.400 |
EUR |
| Details |
Bank Vontobel 1.5524 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKS |
SWB |
2.750 |
EUR |
| Details |
Bank Vontobel 1.5694 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKT |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5467 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKV |
SWB |
3.040 |
EUR |
| Details |
Bank Vontobel 1.4564 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TKX |
SWB |
5.85 |
EUR |
| Details |
Bank Vontobel 1.5494 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TLJ |
SWB |
2.830 |
EUR |
| Details |
Bank Vontobel 1.5333 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TLK |
SWB |
3.880 |
EUR |
| Details |
Bank Vontobel 1.539 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TLL |
SWB |
3.590 |
EUR |
| Details |
Bank Vontobel 1.5435 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TLM |
SWB |
3.200 |
EUR |
| Details |
Bank Vontobel 1.5276 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UK5 |
SWB |
4.240 |
EUR |
| Details |
Bank Vontobel 1.5153 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UK6 |
SWB |
5.01 |
EUR |
| Details |
Bank Vontobel 1.5218 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UK8 |
SWB |
4.620 |
EUR |
| Details |
Bank Vontobel 1.5238 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UK9 |
SWB |
4.470 |
EUR |
| Details |
Bank Vontobel 1.4161 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULA |
SWB |
8.49 |
EUR |
| Details |
Bank Vontobel 1.4209 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULB |
SWB |
8.09 |
EUR |
| Details |
Bank Vontobel 1.5295 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULC |
SWB |
4.190 |
EUR |
| Details |
Bank Vontobel 1.5352 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULD |
SWB |
3.780 |
EUR |
| Details |
Bank Vontobel 1.4095 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULE |
SWB |
8.85 |
EUR |
| Details |
Bank Vontobel 1.4218 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULF |
SWB |
8.13 |
EUR |
| Details |
Bank Vontobel 1.4325 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULG |
SWB |
7.36 |
EUR |
| Details |
Bank Vontobel 1.4276 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULH |
SWB |
7.72 |
EUR |
| Details |
Bank Vontobel 5.0851 P Issuer Name: Bank Vontobel |
Structured Product |
VV33QD |
SWB |
17.38 |
EUR |
| Details |
Bank Vontobel 1.4116 C Issuer Name: Bank Vontobel |
Structured Product |
VV4QJJ |
SWB |
8.70 |
EUR |
| Details |
Bank Vontobel 1.3894 C Issuer Name: Bank Vontobel |
Structured Product |
VV4VW2 |
SWB |
10.20 |
EUR |
| Details |
Bank Vontobel 1.4 C Issuer Name: Bank Vontobel |
Structured Product |
VV4VWK |
SWB |
9.46 |
EUR |
| Details |
Bank Vontobel 1.4063 C Issuer Name: Bank Vontobel |
Structured Product |
VV4VWM |
SWB |
9.10 |
EUR |
| Details |
Bank Vontobel 1.4001 C Issuer Name: Bank Vontobel |
Structured Product |
VV4VXA |
SWB |
9.48 |
EUR |
| Details |
Bank Vontobel 1.3945 C Issuer Name: Bank Vontobel |
Structured Product |
VV4VXB |
SWB |
9.81 |
EUR |
| Details |
Bank Vontobel 1.3834 C Issuer Name: Bank Vontobel |
Structured Product |
VV4ZQP |
SWB |
10.57 |
EUR |
| Details |
Bank Vontobel 1.3947 C Issuer Name: Bank Vontobel |
Structured Product |
VV4ZQU |
SWB |
9.86 |
EUR |
| Details |
Bank Vontobel 1.3889 C Issuer Name: Bank Vontobel |
Structured Product |
VV4ZQW |
SWB |
10.23 |
EUR |
| Details |
Bank Vontobel 1.3777 C Issuer Name: Bank Vontobel |
Structured Product |
VV4ZRU |
SWB |
10.95 |
EUR |
| Details |
Bank Vontobel 1.3829 C Issuer Name: Bank Vontobel |
Structured Product |
VV42K6 |
SWB |
10.62 |
EUR |
| Details |
Bank Vontobel 1.3719 C Issuer Name: Bank Vontobel |
Structured Product |
VV42L2 |
SWB |
11.33 |
EUR |
| Details |
Bank Vontobel 1.5136 C Issuer Name: Bank Vontobel |
Structured Product |
VV42LT |
SWB |
5.10 |
EUR |
| Details |
Bank Vontobel 1.5061 C Issuer Name: Bank Vontobel |
Structured Product |
VV42LY |
SWB |
5.65 |
EUR |
| Details |
Bank Vontobel 1.3766 C Issuer Name: Bank Vontobel |
Structured Product |
VV45C8 |
SWB |
11.02 |
EUR |
| Details |
Bank Vontobel 1.3472 C Issuer Name: Bank Vontobel |
Structured Product |
VV4787 |
SWB |
12.87 |
EUR |
| Details |
Bank Vontobel 1.3584 C Issuer Name: Bank Vontobel |
Structured Product |
VV4788 |
SWB |
12.16 |
EUR |
| Details |
Bank Vontobel 1.3649 C Issuer Name: Bank Vontobel |
Structured Product |
VV4789 |
SWB |
11.80 |
EUR |
| Details |
Bank Vontobel 1.3652 C Issuer Name: Bank Vontobel |
Structured Product |
VV4790 |
SWB |
11.76 |
EUR |
| Details |
Bank Vontobel 1.3707 C Issuer Name: Bank Vontobel |
Structured Product |
VV479A |
SWB |
11.41 |
EUR |
| Details |
Bank Vontobel 1.3538 C Issuer Name: Bank Vontobel |
Structured Product |
VV479B |
SWB |
12.49 |
EUR |
| Details |
Bank Vontobel 1.3594 C Issuer Name: Bank Vontobel |
Structured Product |
VV479K |
SWB |
12.16 |
EUR |
| Details |
Bank Vontobel 1.5061 C Issuer Name: Bank Vontobel |
Structured Product |
VV479W |
SWB |
5.52 |
EUR |
| Details |
Bank Vontobel 1.4996 C Issuer Name: Bank Vontobel |
Structured Product |
VV479X |
SWB |
6.06 |
EUR |
| Details |
Bank Vontobel 1.4909 C Issuer Name: Bank Vontobel |
Structured Product |
VV5TW9 |
SWB |
6.53 |
EUR |
| Details |
Bank Vontobel 1.4974 C Issuer Name: Bank Vontobel |
Structured Product |
VV5TYH |
SWB |
6.08 |
EUR |
| Details |
Bank Vontobel 1.4759 C Issuer Name: Bank Vontobel |
Structured Product |
VV0JK8 |
SWB |
7.54 |
EUR |
| Details |
Bank Vontobel 1.4824 C Issuer Name: Bank Vontobel |
Structured Product |
VV0JKE |
SWB |
7.02 |
EUR |
| Details |
Bank Vontobel 1.4889 C Issuer Name: Bank Vontobel |
Structured Product |
VV0JKK |
SWB |
6.69 |
EUR |
| Details |
Bank Vontobel 1.4815 C Issuer Name: Bank Vontobel |
Structured Product |
VV0JLJ |
SWB |
7.15 |
EUR |
| Details |
Bank Vontobel 1.4763 C Issuer Name: Bank Vontobel |
Structured Product |
VV0SMW |
SWB |
7.48 |
EUR |
| Details |
Bank Vontobel 1.4689 C Issuer Name: Bank Vontobel |
Structured Product |
VV0SMX |
SWB |
7.99 |
EUR |
| Details |
Bank Vontobel 1.4705 C Issuer Name: Bank Vontobel |
Structured Product |
VV0TTB |
SWB |
7.82 |
EUR |
| Details |
Bank Vontobel 1.4628 C Issuer Name: Bank Vontobel |
Structured Product |
VV0UF0 |
SWB |
8.32 |
EUR |
| Details |
Bank Vontobel 1.4699 C Issuer Name: Bank Vontobel |
Structured Product |
VV0XG4 |
SWB |
4.970 |
EUR |
| Details |
Bank Vontobel 1.475 C Issuer Name: Bank Vontobel |
Structured Product |
VV0X3S |
SWB |
4.660 |
EUR |
| Details |
Bank Vontobel 1.4811 C Issuer Name: Bank Vontobel |
Structured Product |
VV0X3W |
SWB |
4.300 |
EUR |
| Details |
Bank Vontobel 1.48 C Issuer Name: Bank Vontobel |
Structured Product |
VV65XP |
SWB |
4.370 |
EUR |
| Details |
Bank Vontobel 1.4856 C Issuer Name: Bank Vontobel |
Structured Product |
VV65XQ |
SWB |
3.970 |
EUR |
| Details |
Bank Vontobel 1.4919 C Issuer Name: Bank Vontobel |
Structured Product |
VV65XR |
SWB |
3.600 |
EUR |
| Details |
Bank Vontobel 1.4907 C Issuer Name: Bank Vontobel |
Structured Product |
VV7D0D |
SWB |
3.620 |
EUR |
| Details |
Bank Vontobel 1.4963 C Issuer Name: Bank Vontobel |
Structured Product |
VV7D1J |
SWB |
3.270 |
EUR |
| Details |
Bank Vontobel 1.562 C Issuer Name: Bank Vontobel |
Structured Product |
VV7JSC |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 4.8395 P Issuer Name: Bank Vontobel |
Structured Product |
VV7JU5 |
SWB |
11.72 |
EUR |
| Details |
Bank Vontobel 4.8164 P Issuer Name: Bank Vontobel |
Structured Product |
VV76FF |
SWB |
11.14 |
EUR |
| Details |
Bank Vontobel 4.7956 P Issuer Name: Bank Vontobel |
Structured Product |
VV8DLQ |
SWB |
10.69 |
EUR |
| Details |
Bank Vontobel 4.7755 P Issuer Name: Bank Vontobel |
Structured Product |
VV8FSQ |
SWB |
10.18 |
EUR |
| Details |
Bank Vontobel 4.755 P Issuer Name: Bank Vontobel |
Structured Product |
VV8FSR |
SWB |
9.78 |
EUR |
| Details |
Bank Vontobel 4.7342 P Issuer Name: Bank Vontobel |
Structured Product |
VV8LUZ |
SWB |
9.29 |
EUR |
| Details |
Bank Vontobel 10.7006 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A39 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6095 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A3Y |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.5185 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A3Z |
SWB |
1.920 |
EUR |
| Details |
Bank Vontobel 10.5867 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A4E |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.564 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A4H |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6778 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A4J |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.5412 C Issuer Name: Bank Vontobel |
Structured Product |
VV9A4K |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7131 C Issuer Name: Bank Vontobel |
Structured Product |
VV99TQ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.8275 C Issuer Name: Bank Vontobel |
Structured Product |
VU05LS |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 4.7077 P Issuer Name: Bank Vontobel |
Structured Product |
VU3KJ6 |
SWB |
8.68 |
EUR |
| Details |
Bank Vontobel 4.6876 P Issuer Name: Bank Vontobel |
Structured Product |
VU3PXY |
SWB |
8.17 |
EUR |
| Details |
Bank Vontobel 4.6674 P Issuer Name: Bank Vontobel |
Structured Product |
VU3WHU |
SWB |
7.75 |
EUR |
| Details |
Bank Vontobel 4.6484 P Issuer Name: Bank Vontobel |
Structured Product |
VU3XSX |
SWB |
7.29 |
EUR |
| Details |
Bank Vontobel 4.6259 P Issuer Name: Bank Vontobel |
Structured Product |
VU46EQ |
SWB |
6.78 |
EUR |
| Details |
Bank Vontobel 0.239466 P Issuer Name: Bank Vontobel |
Structured Product |
VU7QF4 |
SWB |
21.61 |
EUR |
| Details |
Bank Vontobel 11.4503 P Issuer Name: Bank Vontobel |
Structured Product |
VU8VCZ |
SWB |
3.380 |
EUR |
| Details |
Bank Vontobel 11.3317 P Issuer Name: Bank Vontobel |
Structured Product |
VU8VDE |
SWB |
2.320 |
EUR |
| Details |
Bank Vontobel 11.3998 P Issuer Name: Bank Vontobel |
Structured Product |
VU9F0B |
SWB |
2.890 |
EUR |
| Details |
Bank Vontobel 11.514 P Issuer Name: Bank Vontobel |
Structured Product |
VU9F0X |
SWB |
3.970 |
EUR |
| Details |
Bank Vontobel 11.4417 P Issuer Name: Bank Vontobel |
Structured Product |
VU9J19 |
SWB |
3.330 |
EUR |
| Details |
Bank Vontobel 11.6115 P Issuer Name: Bank Vontobel |
Structured Product |
VU9J1Q |
SWB |
4.730 |
EUR |
| Details |
Bank Vontobel 11.4875 P Issuer Name: Bank Vontobel |
Structured Product |
VU9J1U |
SWB |
3.740 |
EUR |
| Details |
Bank Vontobel 11.5357 P Issuer Name: Bank Vontobel |
Structured Product |
VM0562 |
SWB |
4.130 |
EUR |
| Details |
Bank Vontobel 11.7583 P Issuer Name: Bank Vontobel |
Structured Product |
VM1DE7 |
SWB |
6.12 |
EUR |
| Details |
Bank Vontobel 11.5905 P Issuer Name: Bank Vontobel |
Structured Product |
VM1DED |
SWB |
4.620 |
EUR |
| Details |
Bank Vontobel 11.7171 P Issuer Name: Bank Vontobel |
Structured Product |
VM1DEJ |
SWB |
5.70 |
EUR |
| Details |
Bank Vontobel 11.6365 P Issuer Name: Bank Vontobel |
Structured Product |
VM1DEQ |
SWB |
5.04 |
EUR |
| Details |
Bank Vontobel 4.6024 P Issuer Name: Bank Vontobel |
Structured Product |
VM2CT4 |
SWB |
6.25 |
EUR |
| Details |
Bank Vontobel 4.5838 P Issuer Name: Bank Vontobel |
Structured Product |
VM2PV5 |
SWB |
5.82 |
EUR |
| Details |
Bank Vontobel 4.5643 P Issuer Name: Bank Vontobel |
Structured Product |
VM2QV1 |
SWB |
5.36 |
EUR |
| Details |
Bank Vontobel 4.5276 P Issuer Name: Bank Vontobel |
Structured Product |
VM3FP7 |
SWB |
4.520 |
EUR |
| Details |
Bank Vontobel 4.5095 P Issuer Name: Bank Vontobel |
Structured Product |
VM3NE3 |
SWB |
4.080 |
EUR |
| Details |
Bank Vontobel 4.4901 P Issuer Name: Bank Vontobel |
Structured Product |
VM3RVB |
SWB |
3.640 |
EUR |
| Details |
Bank Vontobel 4.4699 P Issuer Name: Bank Vontobel |
Structured Product |
VM3T7C |
SWB |
3.140 |
EUR |
| Details |
Bank Vontobel 4.4323 P Issuer Name: Bank Vontobel |
Structured Product |
VM30T0 |
SWB |
2.270 |
EUR |
| Details |
Bank Vontobel 4.4119 P Issuer Name: Bank Vontobel |
Structured Product |
VM30T2 |
SWB |
1.840 |
EUR |
| Details |
Bank Vontobel 4.4519 P Issuer Name: Bank Vontobel |
Structured Product |
VM30TC |
SWB |
2.750 |
EUR |
| Details |
Bank Vontobel 4.3773 P Issuer Name: Bank Vontobel |
Structured Product |
VM48PA |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4855 C Issuer Name: Bank Vontobel |
Structured Product |
VD0DL1 |
SWB |
3.960 |
EUR |
| Details |
Bank Vontobel 1.497 C Issuer Name: Bank Vontobel |
Structured Product |
VD4BWZ |
SWB |
3.240 |
EUR |
| Details |
Bank Vontobel 11.6597 P Issuer Name: Bank Vontobel |
Structured Product |
VD5CAL |
SWB |
5.28 |
EUR |
| Details |
Bank Vontobel 11.6909 P Issuer Name: Bank Vontobel |
Structured Product |
VC0KTT |
SWB |
5.58 |
EUR |
| Details |
Bank Vontobel 11.8708 P Issuer Name: Bank Vontobel |
Structured Product |
VC0VF3 |
SWB |
7.08 |
EUR |
| Details |
Bank Vontobel 11.7425 P Issuer Name: Bank Vontobel |
Structured Product |
VC0VGT |
SWB |
5.98 |
EUR |
| Details |
Bank Vontobel 12.6545 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZ7 |
SWB |
12.84 |
EUR |
| Details |
Bank Vontobel 12.6769 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZL |
SWB |
13.12 |
EUR |
| Details |
Bank Vontobel 12.7919 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZM |
SWB |
14.13 |
EUR |
| Details |
Bank Vontobel 12.7134 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZR |
SWB |
13.37 |
EUR |
| Details |
Bank Vontobel 12.7722 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZS |
SWB |
13.98 |
EUR |
| Details |
Bank Vontobel 12.6348 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZT |
SWB |
12.68 |
EUR |
| Details |
Bank Vontobel 12.6937 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZW |
SWB |
13.20 |
EUR |
| Details |
Bank Vontobel 12.7526 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZY |
SWB |
13.78 |
EUR |
| Details |
Bank Vontobel 12.7358 P Issuer Name: Bank Vontobel |
Structured Product |
VC1DZZ |
SWB |
13.55 |
EUR |
| Details |
Bank Vontobel 12.8521 P Issuer Name: Bank Vontobel |
Structured Product |
VC1HMD |
SWB |
14.71 |
EUR |
| Details |
Bank Vontobel 12.8325 P Issuer Name: Bank Vontobel |
Structured Product |
VC1HMF |
SWB |
14.43 |
EUR |
| Details |
Bank Vontobel 12.8128 P Issuer Name: Bank Vontobel |
Structured Product |
VC1HMM |
SWB |
14.36 |
EUR |
| Details |
Bank Vontobel 1.4132 C Issuer Name: Bank Vontobel |
Structured Product |
VC41PG |
SWB |
3.010 |
EUR |
| Details |
Bank Vontobel 1.3995 C Issuer Name: Bank Vontobel |
Structured Product |
VC41PQ |
SWB |
3.970 |
EUR |
| Details |
Bank Vontobel 1.4064 C Issuer Name: Bank Vontobel |
Structured Product |
VC54Q5 |
SWB |
3.520 |
EUR |
| Details |
Bank Vontobel 1.3923 C Issuer Name: Bank Vontobel |
Structured Product |
VC54Q8 |
SWB |
4.460 |
EUR |
| Details |
Bank Vontobel 1.4006 C Issuer Name: Bank Vontobel |
Structured Product |
VC59W9 |
SWB |
3.930 |
EUR |
| Details |
Bank Vontobel 1.387 C Issuer Name: Bank Vontobel |
Structured Product |
VC59XB |
SWB |
4.800 |
EUR |
| Details |
Bank Vontobel 0.177635 C Issuer Name: Bank Vontobel |
Structured Product |
VC7KE5 |
SWB |
5.70 |
EUR |
| Details |
Bank Vontobel 1.3922 C Issuer Name: Bank Vontobel |
Structured Product |
VC8D85 |
SWB |
4.480 |
EUR |
| Details |
Bank Vontobel 4.3508 P Issuer Name: Bank Vontobel |
Structured Product |
VC8D88 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3783 C Issuer Name: Bank Vontobel |
Structured Product |
VC8D8Y |
SWB |
5.40 |
EUR |
| Details |
Bank Vontobel 1.3726 C Issuer Name: Bank Vontobel |
Structured Product |
VC8HD3 |
SWB |
5.83 |
EUR |
| Details |
Bank Vontobel 1.3865 C Issuer Name: Bank Vontobel |
Structured Product |
VC8HEA |
SWB |
4.850 |
EUR |
| Details |
Bank Vontobel 1.3808 C Issuer Name: Bank Vontobel |
Structured Product |
VC888F |
SWB |
5.27 |
EUR |
| Details |
Bank Vontobel 1.3669 C Issuer Name: Bank Vontobel |
Structured Product |
VC888M |
SWB |
6.26 |
EUR |
| Details |
Bank Vontobel 1.5098 C Issuer Name: Bank Vontobel |
Structured Product |
VC9EA7 |
SWB |
2.410 |
EUR |
| Details |
Bank Vontobel 1.5046 C Issuer Name: Bank Vontobel |
Structured Product |
VC9EA9 |
SWB |
2.740 |
EUR |
| Details |
Bank Vontobel 1.5029 C Issuer Name: Bank Vontobel |
Structured Product |
VC9EBD |
SWB |
2.850 |
EUR |
| Details |
Bank Vontobel 1.4977 C Issuer Name: Bank Vontobel |
Structured Product |
VC9EBF |
SWB |
3.180 |
EUR |
| Details |
Bank Vontobel 4.3334 P Issuer Name: Bank Vontobel |
Structured Product |
VC9ECA |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3604 C Issuer Name: Bank Vontobel |
Structured Product |
VC91G3 |
SWB |
6.70 |
EUR |
| Details |
Bank Vontobel 1.3741 C Issuer Name: Bank Vontobel |
Structured Product |
VC91GG |
SWB |
5.76 |
EUR |
| Details |
Bank Vontobel 1.3506 C Issuer Name: Bank Vontobel |
Structured Product |
VG2A51 |
SWB |
7.27 |
EUR |
| Details |
Bank Vontobel 1.3643 C Issuer Name: Bank Vontobel |
Structured Product |
VG2A5X |
SWB |
6.36 |
EUR |
| Details |
Bank Vontobel 1.3551 C Issuer Name: Bank Vontobel |
Structured Product |
VG4WJM |
SWB |
7.01 |
EUR |
| Details |
Bank Vontobel 1.3419 C Issuer Name: Bank Vontobel |
Structured Product |
VG4WJW |
SWB |
7.93 |
EUR |
| Details |
Bank Vontobel 1.4209 C Issuer Name: Bank Vontobel |
Structured Product |
VG5NHB |
SWB |
2.550 |
EUR |
| Details |
Bank Vontobel 1.4062 C Issuer Name: Bank Vontobel |
Structured Product |
VG5NJJ |
SWB |
3.530 |
EUR |
| Details |
Bank Vontobel 1.5158 C Issuer Name: Bank Vontobel |
Structured Product |
VG5S7H |
SWB |
2.040 |
EUR |
| Details |
Bank Vontobel 1.5076 C Issuer Name: Bank Vontobel |
Structured Product |
VG50DW |
SWB |
2.520 |
EUR |
| Details |
Bank Vontobel 4.0534 C Issuer Name: Bank Vontobel |
Structured Product |
VG53HD |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5114 C Issuer Name: Bank Vontobel |
Structured Product |
VG6HUY |
SWB |
2.260 |
EUR |
| Details |
Bank Vontobel 1.5167 C Issuer Name: Bank Vontobel |
Structured Product |
VG6LV3 |
SWB |
1.980 |
EUR |
| Details |
Bank Vontobel 1.4094 C Issuer Name: Bank Vontobel |
Structured Product |
VG6LVT |
SWB |
3.280 |
EUR |
| Details |
Bank Vontobel 1.4388 C Issuer Name: Bank Vontobel |
Structured Product |
VG7BC5 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 4.0238 C Issuer Name: Bank Vontobel |
Structured Product |
VG7BDF |
SWB |
2.750 |
EUR |
| Details |
Bank Vontobel 1.555 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQ0 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5346 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQR |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5253 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQS |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5456 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQT |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5406 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQU |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5295 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5499 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DQY |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4232 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DRF |
SWB |
2.310 |
EUR |
| Details |
Bank Vontobel 1.4333 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DRJ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4182 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DRL |
SWB |
2.650 |
EUR |
| Details |
Bank Vontobel 1.4288 C Issuer Name: Bank Vontobel |
Structured Product |
VG7DRW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4502 C Issuer Name: Bank Vontobel |
Structured Product |
VG7MR6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4355 C Issuer Name: Bank Vontobel |
Structured Product |
VG7MSK |
SWB |
1.520 |
EUR |
| Details |
Bank Vontobel 1.5379 C Issuer Name: Bank Vontobel |
Structured Product |
VG7MSN |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5545 C Issuer Name: Bank Vontobel |
Structured Product |
VG7MSX |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4418 C Issuer Name: Bank Vontobel |
Structured Product |
VG8R2V |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4469 C Issuer Name: Bank Vontobel |
Structured Product |
VG8R2W |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5556 C Issuer Name: Bank Vontobel |
Structured Product |
VG9JCW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 12.5586 P Issuer Name: Bank Vontobel |
Structured Product |
VK1NBB |
SWB |
12.02 |
EUR |
| Details |
Bank Vontobel 1.8809 P Issuer Name: Bank Vontobel |
Structured Product |
VK1NBZ |
SWB |
12.79 |
EUR |
| Details |
Bank Vontobel 1.8985 P Issuer Name: Bank Vontobel |
Structured Product |
VK1NCP |
SWB |
13.82 |
EUR |
| Details |
Bank Vontobel 13.0448 P Issuer Name: Bank Vontobel |
Structured Product |
VK14J0 |
SWB |
16.36 |
EUR |
| Details |
Bank Vontobel 13.1021 P Issuer Name: Bank Vontobel |
Structured Product |
VK14J1 |
SWB |
16.88 |
EUR |
| Details |
Bank Vontobel 13.1422 P Issuer Name: Bank Vontobel |
Structured Product |
VK14J2 |
SWB |
17.26 |
EUR |
| Details |
Bank Vontobel 13.0821 P Issuer Name: Bank Vontobel |
Structured Product |
VK14J3 |
SWB |
16.72 |
EUR |
| Details |
Bank Vontobel 13.125 P Issuer Name: Bank Vontobel |
Structured Product |
VK14J4 |
SWB |
17.08 |
EUR |
| Details |
Bank Vontobel 13.1852 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JL |
SWB |
17.62 |
EUR |
| Details |
Bank Vontobel 13.1652 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JM |
SWB |
17.44 |
EUR |
| Details |
Bank Vontobel 12.9618 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JR |
SWB |
15.65 |
EUR |
| Details |
Bank Vontobel 12.9418 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JT |
SWB |
15.45 |
EUR |
| Details |
Bank Vontobel 13.0019 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JU |
SWB |
16.01 |
EUR |
| Details |
Bank Vontobel 13.0219 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JV |
SWB |
16.19 |
EUR |
| Details |
Bank Vontobel 13.062 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JW |
SWB |
16.54 |
EUR |
| Details |
Bank Vontobel 12.9847 P Issuer Name: Bank Vontobel |
Structured Product |
VK14JY |
SWB |
15.83 |
EUR |
| Details |
Bank Vontobel 12.9217 P Issuer Name: Bank Vontobel |
Structured Product |
VK14KD |
SWB |
15.27 |
EUR |
| Details |
Bank Vontobel 12.2202 P Issuer Name: Bank Vontobel |
Structured Product |
VK14KE |
SWB |
9.03 |
EUR |
| Details |
Bank Vontobel 12.2429 P Issuer Name: Bank Vontobel |
Structured Product |
VK14KF |
SWB |
9.20 |
EUR |
| Details |
Bank Vontobel 12.9017 P Issuer Name: Bank Vontobel |
Structured Product |
VK14KH |
SWB |
15.09 |
EUR |
| Details |
Bank Vontobel 0.243443 P Issuer Name: Bank Vontobel |
Structured Product |
VK14M6 |
SWB |
23.61 |
EUR |
| Details |
Bank Vontobel 0.245475 P Issuer Name: Bank Vontobel |
Structured Product |
VK14NM |
SWB |
24.67 |
EUR |
| Details |
Bank Vontobel 0.247567 P Issuer Name: Bank Vontobel |
Structured Product |
VK14NP |
SWB |
25.62 |
EUR |
| Details |
Bank Vontobel 0.223132 P Issuer Name: Bank Vontobel |
Structured Product |
VK14NR |
SWB |
13.29 |
EUR |
| Details |
Bank Vontobel 0.221155 P Issuer Name: Bank Vontobel |
Structured Product |
VK14NT |
SWB |
12.29 |
EUR |
| Details |
Bank Vontobel 1.8499 P Issuer Name: Bank Vontobel |
Structured Product |
VK14P9 |
SWB |
10.92 |
EUR |
| Details |
Bank Vontobel 1.8394 P Issuer Name: Bank Vontobel |
Structured Product |
VK14PN |
SWB |
10.35 |
EUR |
| Details |
Bank Vontobel 1.8443 P Issuer Name: Bank Vontobel |
Structured Product |
VK14PZ |
SWB |
10.65 |
EUR |
| Details |
Bank Vontobel 1.8848 P Issuer Name: Bank Vontobel |
Structured Product |
VK14QA |
SWB |
13.05 |
EUR |
| Details |
Bank Vontobel 1.9449 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R0 |
SWB |
16.65 |
EUR |
| Details |
Bank Vontobel 1.9044 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R1 |
SWB |
14.23 |
EUR |
| Details |
Bank Vontobel 1.9349 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R2 |
SWB |
16.05 |
EUR |
| Details |
Bank Vontobel 1.9094 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R3 |
SWB |
14.51 |
EUR |
| Details |
Bank Vontobel 1.9544 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R5 |
SWB |
17.24 |
EUR |
| Details |
Bank Vontobel 1.9594 P Issuer Name: Bank Vontobel |
Structured Product |
VK14R8 |
SWB |
17.55 |
EUR |
| Details |
Bank Vontobel 1.9499 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RJ |
SWB |
16.95 |
EUR |
| Details |
Bank Vontobel 1.9695 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RN |
SWB |
18.15 |
EUR |
| Details |
Bank Vontobel 1.9744 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RP |
SWB |
18.44 |
EUR |
| Details |
Bank Vontobel 1.9644 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RQ |
SWB |
17.84 |
EUR |
| Details |
Bank Vontobel 1.9795 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RV |
SWB |
18.76 |
EUR |
| Details |
Bank Vontobel 1.9299 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RX |
SWB |
15.72 |
EUR |
| Details |
Bank Vontobel 1.8999 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RY |
SWB |
13.95 |
EUR |
| Details |
Bank Vontobel 1.9394 P Issuer Name: Bank Vontobel |
Structured Product |
VK14RZ |
SWB |
16.32 |
EUR |
| Details |
Bank Vontobel 1.8899 P Issuer Name: Bank Vontobel |
Structured Product |
VK14SC |
SWB |
13.35 |
EUR |
| Details |
Bank Vontobel 1.8949 P Issuer Name: Bank Vontobel |
Structured Product |
VK14SF |
SWB |
13.62 |
EUR |
| Details |
Bank Vontobel 1.9194 P Issuer Name: Bank Vontobel |
Structured Product |
VK14SG |
SWB |
15.15 |
EUR |
| Details |
Bank Vontobel 1.9144 P Issuer Name: Bank Vontobel |
Structured Product |
VK14SH |
SWB |
14.85 |
EUR |
| Details |
Bank Vontobel 1.9249 P Issuer Name: Bank Vontobel |
Structured Product |
VK14SM |
SWB |
15.41 |
EUR |
| Details |
Bank Vontobel 1.68 P Issuer Name: Bank Vontobel |
Structured Product |
VK14W3 |
SWB |
3.880 |
EUR |
| Details |
Bank Vontobel 1.6844 P Issuer Name: Bank Vontobel |
Structured Product |
VK14W4 |
SWB |
4.150 |
EUR |
| Details |
Bank Vontobel 1.67 P Issuer Name: Bank Vontobel |
Structured Product |
VK14W5 |
SWB |
3.240 |
EUR |
| Details |
Bank Vontobel 1.6949 P Issuer Name: Bank Vontobel |
Structured Product |
VK14WE |
SWB |
4.770 |
EUR |
| Details |
Bank Vontobel 1.5623 C Issuer Name: Bank Vontobel |
Structured Product |
VK14WF |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6999 P Issuer Name: Bank Vontobel |
Structured Product |
VK14WL |
SWB |
5.08 |
EUR |
| Details |
Bank Vontobel 1.6894 P Issuer Name: Bank Vontobel |
Structured Product |
VK14WY |
SWB |
4.470 |
EUR |
| Details |
Bank Vontobel 1.6745 P Issuer Name: Bank Vontobel |
Structured Product |
VK14WZ |
SWB |
3.590 |
EUR |
| Details |
Bank Vontobel 1.5734 P Issuer Name: Bank Vontobel |
Structured Product |
VK14YN |
SWB |
3.220 |
EUR |
| Details |
Bank Vontobel 1.5685 P Issuer Name: Bank Vontobel |
Structured Product |
VK14YR |
SWB |
2.900 |
EUR |
| Details |
Bank Vontobel 0.219025 P Issuer Name: Bank Vontobel |
Structured Product |
VK3VEY |
SWB |
11.12 |
EUR |
| Details |
Bank Vontobel 0.217019 P Issuer Name: Bank Vontobel |
Structured Product |
VK32Q7 |
SWB |
10.09 |
EUR |
| Details |
Bank Vontobel 0.214926 P Issuer Name: Bank Vontobel |
Structured Product |
VK28LZ |
SWB |
9.13 |
EUR |
| Details |
Bank Vontobel 1.5732 C Issuer Name: Bank Vontobel |
Structured Product |
VK35F5 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4686 C Issuer Name: Bank Vontobel |
Structured Product |
VK5M29 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L10 |
SWB |
9.40 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L11 |
SWB |
22.57 |
EUR |
| Details |
Bank Vontobel 11.7906 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L12 |
SWB |
8.09 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L13 |
SWB |
24.17 |
EUR |
| Details |
Bank Vontobel 11.7366 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L14 |
SWB |
25.45 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L15 |
SWB |
26.43 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L16 |
SWB |
5.25 |
EUR |
| Details |
Bank Vontobel 11.7366 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L17 |
SWB |
27.19 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L18 |
SWB |
5.73 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L19 |
SWB |
6.86 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1S |
SWB |
11.71 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1T |
SWB |
21.03 |
EUR |
| Details |
Bank Vontobel 11.7366 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1U |
SWB |
12.52 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1V |
SWB |
20.09 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1W |
SWB |
10.91 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1X |
SWB |
19.32 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1Y |
SWB |
10.15 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L1Z |
SWB |
21.68 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L35 |
SWB |
14.88 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L36 |
SWB |
15.50 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L37 |
SWB |
14.63 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L38 |
SWB |
14.35 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L39 |
SWB |
15.59 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4A |
SWB |
15.60 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4B |
SWB |
14.06 |
EUR |
| Details |
Bank Vontobel 11.0698 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4C |
SWB |
13.76 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4D |
SWB |
15.64 |
EUR |
| Details |
Bank Vontobel 11.0698 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4E |
SWB |
15.69 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4F |
SWB |
13.42 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4G |
SWB |
15.61 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4H |
SWB |
13.10 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4J |
SWB |
15.62 |
EUR |
| Details |
Bank Vontobel 11.1202 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4K |
SWB |
12.37 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4L |
SWB |
15.38 |
EUR |
| Details |
Bank Vontobel 11.0698 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4M |
SWB |
11.65 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4N |
SWB |
15.21 |
EUR |
| Details |
Bank Vontobel 11.1202 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L4P |
SWB |
10.95 |
EUR |
| Details |
Bank Vontobel 11.7397 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L52 |
SWB |
14.24 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L53 |
SWB |
17.68 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L54 |
SWB |
13.36 |
EUR |
| Details |
Bank Vontobel 11.7318 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L55 |
SWB |
18.44 |
EUR |
| Details |
Bank Vontobel 11.0127 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L5B |
SWB |
14.88 |
EUR |
| Details |
Bank Vontobel 11.0698 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L5C |
SWB |
10.56 |
EUR |
| Details |
Bank Vontobel 11.0698 C Issuer Name: Bank Vontobel |
Structured Product |
VK6L5D |
SWB |
14.69 |
EUR |
| Details |
Bank Vontobel 11.2025 P Issuer Name: Bank Vontobel |
Structured Product |
VH0KBS |
SWB |
1.140 |
EUR |
| Details |
Bank Vontobel 12.9389 P Issuer Name: Bank Vontobel |
Structured Product |
VH2590 |
SWB |
15.50 |
EUR |
| Details |
Bank Vontobel 12.7628 P Issuer Name: Bank Vontobel |
Structured Product |
VH2591 |
SWB |
13.86 |
EUR |
| Details |
Bank Vontobel 12.8802 P Issuer Name: Bank Vontobel |
Structured Product |
VH2592 |
SWB |
15.01 |
EUR |
| Details |
Bank Vontobel 13.2324 P Issuer Name: Bank Vontobel |
Structured Product |
VH2593 |
SWB |
18.12 |
EUR |
| Details |
Bank Vontobel 13.115 P Issuer Name: Bank Vontobel |
Structured Product |
VH2596 |
SWB |
17.07 |
EUR |
| Details |
Bank Vontobel 12.6454 P Issuer Name: Bank Vontobel |
Structured Product |
VH2598 |
SWB |
12.87 |
EUR |
| Details |
Bank Vontobel 13.1737 P Issuer Name: Bank Vontobel |
Structured Product |
VH2599 |
SWB |
17.59 |
EUR |
| Details |
Bank Vontobel 12.8215 P Issuer Name: Bank Vontobel |
Structured Product |
VH259Y |
SWB |
14.45 |
EUR |
| Details |
Bank Vontobel 13.0563 P Issuer Name: Bank Vontobel |
Structured Product |
VH259Z |
SWB |
16.54 |
EUR |
| Details |
Bank Vontobel 10.399 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B0 |
SWB |
3.090 |
EUR |
| Details |
Bank Vontobel 10.1055 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B1 |
SWB |
5.86 |
EUR |
| Details |
Bank Vontobel 9.9881 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B2 |
SWB |
6.95 |
EUR |
| Details |
Bank Vontobel 10.1642 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B3 |
SWB |
5.36 |
EUR |
| Details |
Bank Vontobel 9.5185 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B4 |
SWB |
11.30 |
EUR |
| Details |
Bank Vontobel 9.8707 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B5 |
SWB |
8.05 |
EUR |
| Details |
Bank Vontobel 10.0468 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B6 |
SWB |
6.45 |
EUR |
| Details |
Bank Vontobel 9.6359 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B7 |
SWB |
10.20 |
EUR |
| Details |
Bank Vontobel 9.7533 C Issuer Name: Bank Vontobel |
Structured Product |
VH26B8 |
SWB |
9.14 |
EUR |
| Details |
Bank Vontobel 13.9955 P Issuer Name: Bank Vontobel |
Structured Product |
VH26B9 |
SWB |
24.86 |
EUR |
| Details |
Bank Vontobel 10.4577 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BT |
SWB |
2.640 |
EUR |
| Details |
Bank Vontobel 10.6338 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BU |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.3403 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BV |
SWB |
3.670 |
EUR |
| Details |
Bank Vontobel 10.5164 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BW |
SWB |
2.070 |
EUR |
| Details |
Bank Vontobel 10.2229 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BX |
SWB |
4.720 |
EUR |
| Details |
Bank Vontobel 10.5751 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BY |
SWB |
1.480 |
EUR |
| Details |
Bank Vontobel 10.2816 C Issuer Name: Bank Vontobel |
Structured Product |
VH26BZ |
SWB |
4.260 |
EUR |
| Details |
Bank Vontobel 1.9377 P Issuer Name: Bank Vontobel |
Structured Product |
VH26C9 |
SWB |
16.19 |
EUR |
| Details |
Bank Vontobel 9.812 C Issuer Name: Bank Vontobel |
Structured Product |
VH26CA |
SWB |
8.56 |
EUR |
| Details |
Bank Vontobel 9.5772 C Issuer Name: Bank Vontobel |
Structured Product |
VH26CB |
SWB |
10.78 |
EUR |
| Details |
Bank Vontobel 9.6946 C Issuer Name: Bank Vontobel |
Structured Product |
VH26CC |
SWB |
9.68 |
EUR |
| Details |
Bank Vontobel 9.9294 C Issuer Name: Bank Vontobel |
Structured Product |
VH26CD |
SWB |
7.55 |
EUR |
| Details |
Bank Vontobel 13.9368 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CE |
SWB |
24.45 |
EUR |
| Details |
Bank Vontobel 9.4598 C Issuer Name: Bank Vontobel |
Structured Product |
VH26CF |
SWB |
11.88 |
EUR |
| Details |
Bank Vontobel 13.8781 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CG |
SWB |
23.81 |
EUR |
| Details |
Bank Vontobel 13.6433 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CH |
SWB |
21.83 |
EUR |
| Details |
Bank Vontobel 13.8194 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CJ |
SWB |
23.36 |
EUR |
| Details |
Bank Vontobel 13.2911 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CK |
SWB |
18.58 |
EUR |
| Details |
Bank Vontobel 13.702 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CL |
SWB |
22.33 |
EUR |
| Details |
Bank Vontobel 13.5259 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CM |
SWB |
20.73 |
EUR |
| Details |
Bank Vontobel 13.5846 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CN |
SWB |
21.25 |
EUR |
| Details |
Bank Vontobel 13.7607 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CP |
SWB |
22.76 |
EUR |
| Details |
Bank Vontobel 13.3498 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CQ |
SWB |
19.20 |
EUR |
| Details |
Bank Vontobel 13.4672 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CR |
SWB |
20.21 |
EUR |
| Details |
Bank Vontobel 12.7041 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CS |
SWB |
13.34 |
EUR |
| Details |
Bank Vontobel 13.4085 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CT |
SWB |
19.72 |
EUR |
| Details |
Bank Vontobel 12.9976 P Issuer Name: Bank Vontobel |
Structured Product |
VH26CV |
SWB |
15.96 |
EUR |
| Details |
Bank Vontobel 1.3382 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D0 |
SWB |
8.26 |
EUR |
| Details |
Bank Vontobel 1.3232 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D2 |
SWB |
9.22 |
EUR |
| Details |
Bank Vontobel 1.2182 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D3 |
SWB |
16.48 |
EUR |
| Details |
Bank Vontobel 1.2932 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D4 |
SWB |
11.35 |
EUR |
| Details |
Bank Vontobel 1.7291 P Issuer Name: Bank Vontobel |
Structured Product |
VH26D5 |
SWB |
13.57 |
EUR |
| Details |
Bank Vontobel 1.2632 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D6 |
SWB |
13.37 |
EUR |
| Details |
Bank Vontobel 1.7891 P Issuer Name: Bank Vontobel |
Structured Product |
VH26D7 |
SWB |
17.44 |
EUR |
| Details |
Bank Vontobel 1.2332 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D8 |
SWB |
15.42 |
EUR |
| Details |
Bank Vontobel 1.2482 C Issuer Name: Bank Vontobel |
Structured Product |
VH26D9 |
SWB |
14.40 |
EUR |
| Details |
Bank Vontobel 2.0272 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DA |
SWB |
21.62 |
EUR |
| Details |
Bank Vontobel 1.3285 C Issuer Name: Bank Vontobel |
Structured Product |
VH26DB |
SWB |
14.21 |
EUR |
| Details |
Bank Vontobel 1.9556 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DC |
SWB |
17.27 |
EUR |
| Details |
Bank Vontobel 1.9198 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DD |
SWB |
15.18 |
EUR |
| Details |
Bank Vontobel 2.0451 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DE |
SWB |
22.73 |
EUR |
| Details |
Bank Vontobel 1.2963 C Issuer Name: Bank Vontobel |
Structured Product |
VH26DF |
SWB |
16.26 |
EUR |
| Details |
Bank Vontobel 1.3124 C Issuer Name: Bank Vontobel |
Structured Product |
VH26DG |
SWB |
15.23 |
EUR |
| Details |
Bank Vontobel 1.8702 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DH |
SWB |
15.69 |
EUR |
| Details |
Bank Vontobel 1.9024 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DJ |
SWB |
17.72 |
EUR |
| Details |
Bank Vontobel 1.9185 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DK |
SWB |
18.72 |
EUR |
| Details |
Bank Vontobel 1.8541 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DL |
SWB |
14.73 |
EUR |
| Details |
Bank Vontobel 1.7897 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DM |
SWB |
10.72 |
EUR |
| Details |
Bank Vontobel 1.8863 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DN |
SWB |
16.73 |
EUR |
| Details |
Bank Vontobel 1.7575 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DP |
SWB |
8.76 |
EUR |
| Details |
Bank Vontobel 1.8058 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DQ |
SWB |
11.72 |
EUR |
| Details |
Bank Vontobel 1.8219 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DR |
SWB |
12.74 |
EUR |
| Details |
Bank Vontobel 1.7092 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DS |
SWB |
5.77 |
EUR |
| Details |
Bank Vontobel 1.2782 C Issuer Name: Bank Vontobel |
Structured Product |
VH26DT |
SWB |
12.38 |
EUR |
| Details |
Bank Vontobel 1.7414 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DU |
SWB |
7.77 |
EUR |
| Details |
Bank Vontobel 1.7253 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DV |
SWB |
6.77 |
EUR |
| Details |
Bank Vontobel 1.7736 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DW |
SWB |
9.75 |
EUR |
| Details |
Bank Vontobel 1.6931 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DX |
SWB |
4.740 |
EUR |
| Details |
Bank Vontobel 1.677 P Issuer Name: Bank Vontobel |
Structured Product |
VH26DY |
SWB |
3.780 |
EUR |
| Details |
Bank Vontobel 1.3082 C Issuer Name: Bank Vontobel |
Structured Product |
VH26DZ |
SWB |
10.28 |
EUR |
| Details |
Bank Vontobel 9.5687 C Issuer Name: Bank Vontobel |
Structured Product |
VH26E3 |
SWB |
9.75 |
EUR |
| Details |
Bank Vontobel 10.1187 C Issuer Name: Bank Vontobel |
Structured Product |
VH26E4 |
SWB |
4.600 |
EUR |
| Details |
Bank Vontobel 10.3387 C Issuer Name: Bank Vontobel |
Structured Product |
VH26E5 |
SWB |
2.480 |
EUR |
| Details |
Bank Vontobel 9.3487 C Issuer Name: Bank Vontobel |
Structured Product |
VH26E8 |
SWB |
11.86 |
EUR |
| Details |
Bank Vontobel 9.7887 C Issuer Name: Bank Vontobel |
Structured Product |
VH26E9 |
SWB |
7.68 |
EUR |
| Details |
Bank Vontobel 1.7741 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EA |
SWB |
16.46 |
EUR |
| Details |
Bank Vontobel 1.7141 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EB |
SWB |
12.58 |
EUR |
| Details |
Bank Vontobel 1.6241 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EC |
SWB |
6.69 |
EUR |
| Details |
Bank Vontobel 1.7591 P Issuer Name: Bank Vontobel |
Structured Product |
VH26ED |
SWB |
15.48 |
EUR |
| Details |
Bank Vontobel 1.7441 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EE |
SWB |
14.49 |
EUR |
| Details |
Bank Vontobel 1.6541 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EF |
SWB |
8.65 |
EUR |
| Details |
Bank Vontobel 1.6391 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EG |
SWB |
7.64 |
EUR |
| Details |
Bank Vontobel 1.5791 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EH |
SWB |
3.660 |
EUR |
| Details |
Bank Vontobel 1.6091 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EJ |
SWB |
5.68 |
EUR |
| Details |
Bank Vontobel 1.6691 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EK |
SWB |
9.61 |
EUR |
| Details |
Bank Vontobel 1.5941 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EL |
SWB |
4.640 |
EUR |
| Details |
Bank Vontobel 1.5641 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EN |
SWB |
2.750 |
EUR |
| Details |
Bank Vontobel 1.6841 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EP |
SWB |
10.55 |
EUR |
| Details |
Bank Vontobel 1.4533 C Issuer Name: Bank Vontobel |
Structured Product |
VH26F0 |
SWB |
9.02 |
EUR |
| Details |
Bank Vontobel 1.9914 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F1 |
SWB |
19.46 |
EUR |
| Details |
Bank Vontobel 2.0988 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F2 |
SWB |
25.95 |
EUR |
| Details |
Bank Vontobel 1.9735 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F3 |
SWB |
18.34 |
EUR |
| Details |
Bank Vontobel 2.0093 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F4 |
SWB |
20.49 |
EUR |
| Details |
Bank Vontobel 2.0809 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F5 |
SWB |
24.87 |
EUR |
| Details |
Bank Vontobel 2.063 P Issuer Name: Bank Vontobel |
Structured Product |
VH26F6 |
SWB |
23.77 |
EUR |
| Details |
Bank Vontobel 10.2287 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FA |
SWB |
3.520 |
EUR |
| Details |
Bank Vontobel 9.6787 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FB |
SWB |
8.77 |
EUR |
| Details |
Bank Vontobel 9.4587 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FC |
SWB |
10.78 |
EUR |
| Details |
Bank Vontobel 10.0087 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FD |
SWB |
5.60 |
EUR |
| Details |
Bank Vontobel 9.8987 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FE |
SWB |
6.67 |
EUR |
| Details |
Bank Vontobel 1.838 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FF |
SWB |
13.73 |
EUR |
| Details |
Bank Vontobel 9.0187 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FG |
SWB |
14.94 |
EUR |
| Details |
Bank Vontobel 9.1287 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FH |
SWB |
13.94 |
EUR |
| Details |
Bank Vontobel 9.2387 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FJ |
SWB |
12.89 |
EUR |
| Details |
Bank Vontobel 8.9087 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FK |
SWB |
15.98 |
EUR |
| Details |
Bank Vontobel 2.1167 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FL |
SWB |
26.98 |
EUR |
| Details |
Bank Vontobel 12.4647 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FM |
SWB |
12.54 |
EUR |
| Details |
Bank Vontobel 12.7947 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FN |
SWB |
15.60 |
EUR |
| Details |
Bank Vontobel 13.0147 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FP |
SWB |
17.57 |
EUR |
| Details |
Bank Vontobel 12.9047 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FQ |
SWB |
16.53 |
EUR |
| Details |
Bank Vontobel 12.6847 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FR |
SWB |
14.60 |
EUR |
| Details |
Bank Vontobel 12.5747 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FS |
SWB |
13.61 |
EUR |
| Details |
Bank Vontobel 12.1347 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FT |
SWB |
9.58 |
EUR |
| Details |
Bank Vontobel 12.0247 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FU |
SWB |
8.58 |
EUR |
| Details |
Bank Vontobel 11.9147 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FV |
SWB |
7.64 |
EUR |
| Details |
Bank Vontobel 12.2447 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FW |
SWB |
10.58 |
EUR |
| Details |
Bank Vontobel 12.3547 P Issuer Name: Bank Vontobel |
Structured Product |
VH26FX |
SWB |
11.54 |
EUR |
| Details |
Bank Vontobel 1.4354 C Issuer Name: Bank Vontobel |
Structured Product |
VH26FZ |
SWB |
10.07 |
EUR |
| Details |
Bank Vontobel 1.6991 P Issuer Name: Bank Vontobel |
Structured Product |
VH26GH |
SWB |
11.61 |
EUR |
| Details |
Bank Vontobel 9.349 C Issuer Name: Bank Vontobel |
Structured Product |
VH3HG4 |
SWB |
13.04 |
EUR |
| Details |
Bank Vontobel 9.4071 C Issuer Name: Bank Vontobel |
Structured Product |
VH3HGZ |
SWB |
12.44 |
EUR |
| Details |
Bank Vontobel 1.9381 P Issuer Name: Bank Vontobel |
Structured Product |
VH5SJX |
SWB |
20.28 |
EUR |
| Details |
Bank Vontobel 1.4208 C Issuer Name: Bank Vontobel |
Structured Product |
VH50VP |
SWB |
11.52 |
EUR |
| Details |
Bank Vontobel 2.1356 P Issuer Name: Bank Vontobel |
Structured Product |
VH6TWM |
SWB |
28.42 |
EUR |
| Details |
Bank Vontobel 1.8098 P Issuer Name: Bank Vontobel |
Structured Product |
VH6TWN |
SWB |
8.87 |
EUR |
| Details |
Bank Vontobel 13.1287 P Issuer Name: Bank Vontobel |
Structured Product |
VH8DXF |
SWB |
19.47 |
EUR |
| Details |
Bank Vontobel 8.8514 C Issuer Name: Bank Vontobel |
Structured Product |
VH8R92 |
SWB |
17.11 |
EUR |
| Details |
Bank Vontobel 13.9955 P Issuer Name: Bank Vontobel |
Structured Product |
VJ0EPY |
SWB |
25.66 |
EUR |
| Details |
Bank Vontobel 1.7964 P Issuer Name: Bank Vontobel |
Structured Product |
VJ0EQG |
SWB |
19.43 |
EUR |
| Details |
Bank Vontobel 14.0597 P Issuer Name: Bank Vontobel |
Structured Product |
VJ01Q4 |
SWB |
26.18 |
EUR |
| Details |
Bank Vontobel 14.1225 P Issuer Name: Bank Vontobel |
Structured Product |
VJ08T5 |
SWB |
26.78 |
EUR |
| Details |
Bank Vontobel 14.1872 P Issuer Name: Bank Vontobel |
Structured Product |
VJ1B3N |
SWB |
27.48 |
EUR |
| Details |
Bank Vontobel 11.9726 P Issuer Name: Bank Vontobel |
Structured Product |
VJ1HY9 |
SWB |
7.51 |
EUR |
| Details |
Bank Vontobel 10.9342 P Issuer Name: Bank Vontobel |
Structured Product |
VJ1HZB |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.7795 P Issuer Name: Bank Vontobel |
Structured Product |
VJ1HZC |
SWB |
7.44 |
EUR |
| Details |
Bank Vontobel 11.8719 P Issuer Name: Bank Vontobel |
Structured Product |
VJ1YK4 |
SWB |
6.67 |
EUR |
| Details |
Bank Vontobel 1.751 P Issuer Name: Bank Vontobel |
Structured Product |
VJ2M4P |
SWB |
5.85 |
EUR |
| Details |
Bank Vontobel 1.4068 C Issuer Name: Bank Vontobel |
Structured Product |
VJ2M4Q |
SWB |
13.64 |
EUR |
| Details |
Bank Vontobel 8.7016 C Issuer Name: Bank Vontobel |
Structured Product |
VJ2M4S |
SWB |
18.97 |
EUR |
| Details |
Bank Vontobel 11.7677 P Issuer Name: Bank Vontobel |
Structured Product |
VJ28FH |
SWB |
5.97 |
EUR |
| Details |
Bank Vontobel 9.4779 C Issuer Name: Bank Vontobel |
Structured Product |
VJ3B1H |
SWB |
13.49 |
EUR |
| Details |
Bank Vontobel 10.7467 P Issuer Name: Bank Vontobel |
Structured Product |
VJ3NKZ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 9.3986 C Issuer Name: Bank Vontobel |
Structured Product |
VJ3VU0 |
SWB |
14.34 |
EUR |
| Details |
Bank Vontobel 11.6715 P Issuer Name: Bank Vontobel |
Structured Product |
VJ3VU5 |
SWB |
5.14 |
EUR |
| Details |
Bank Vontobel 1.7202 P Issuer Name: Bank Vontobel |
Structured Product |
VJ4A3N |
SWB |
4.170 |
EUR |
| Details |
Bank Vontobel 1.6245 P Issuer Name: Bank Vontobel |
Structured Product |
VJ4A3P |
SWB |
1.960 |
EUR |
| Details |
Bank Vontobel 1.3942 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4A3R |
SWB |
14.65 |
EUR |
| Details |
Bank Vontobel 9.3381 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4JM0 |
SWB |
15.04 |
EUR |
| Details |
Bank Vontobel 9.2809 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V6K |
SWB |
15.60 |
EUR |
| Details |
Bank Vontobel 9.1665 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V6L |
SWB |
16.64 |
EUR |
| Details |
Bank Vontobel 9.2237 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V6N |
SWB |
16.12 |
EUR |
| Details |
Bank Vontobel 8.445 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7F |
SWB |
21.58 |
EUR |
| Details |
Bank Vontobel 1.4304 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7G |
SWB |
12.55 |
EUR |
| Details |
Bank Vontobel 1.3632 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7J |
SWB |
16.67 |
EUR |
| Details |
Bank Vontobel 1.2032 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7K |
SWB |
18.52 |
EUR |
| Details |
Bank Vontobel 1.2963 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7L |
SWB |
17.81 |
EUR |
| Details |
Bank Vontobel 1.3464 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7M |
SWB |
17.69 |
EUR |
| Details |
Bank Vontobel 8.5506 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7N |
SWB |
20.60 |
EUR |
| Details |
Bank Vontobel 1.2182 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7P |
SWB |
17.51 |
EUR |
| Details |
Bank Vontobel 11.5176 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5BSV |
SWB |
3.870 |
EUR |
| Details |
Bank Vontobel 11.5749 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5BSW |
SWB |
4.380 |
EUR |
| Details |
Bank Vontobel 1.6902 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5HK3 |
SWB |
2.470 |
EUR |
| Details |
Bank Vontobel 11.3673 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5MWW |
SWB |
2.580 |
EUR |
| Details |
Bank Vontobel 11.424 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5MWZ |
SWB |
3.090 |
EUR |
| Details |
Bank Vontobel 1.5075 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5MXD |
SWB |
1.190 |
EUR |
| Details |
Bank Vontobel 1.7944 P Issuer Name: Bank Vontobel |
Structured Product |
VJ5MXE |
SWB |
20.45 |
EUR |
| Details |
Bank Vontobel 9.067 C Issuer Name: Bank Vontobel |
Structured Product |
VJ5SNF |
SWB |
17.65 |
EUR |
| Details |
Bank Vontobel 11.2867 C Issuer Name: Bank Vontobel |
Structured Product |
VJ563C |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6302 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6A20 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2729 P Issuer Name: Bank Vontobel |
Structured Product |
VJ6A2H |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6306 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6EZ6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2729 P Issuer Name: Bank Vontobel |
Structured Product |
VJ6EZX |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2691 P Issuer Name: Bank Vontobel |
Structured Product |
VJ6NHD |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6893 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6RYH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6843 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6V3P |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2691 P Issuer Name: Bank Vontobel |
Structured Product |
VJ6V3S |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2904 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6ZZ6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6749 C Issuer Name: Bank Vontobel |
Structured Product |
VJ6ZZ7 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6633 P Issuer Name: Bank Vontobel |
Structured Product |
VJ63ST |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6687 C Issuer Name: Bank Vontobel |
Structured Product |
VJ63SU |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4874 C Issuer Name: Bank Vontobel |
Structured Product |
VJ63SV |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2867 C Issuer Name: Bank Vontobel |
Structured Product |
VJ63SW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2767 P Issuer Name: Bank Vontobel |
Structured Product |
VJ664H |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6816 C Issuer Name: Bank Vontobel |
Structured Product |
VJ664J |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.1919 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7PAL |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.2767 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PAM |
SWB |
1.830 |
EUR |
| Details |
Bank Vontobel 11.2206 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PAN |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6999 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7PHH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5917 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PHK |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4844 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PHL |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6656 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PHM |
SWB |
1.030 |
EUR |
| Details |
Bank Vontobel 1.4827 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.2835 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNJ |
SWB |
18.95 |
EUR |
| Details |
Bank Vontobel 1.3184 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNK |
SWB |
19.75 |
EUR |
| Details |
Bank Vontobel 10.6783 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNL |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.1906 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNM |
SWB |
19.60 |
EUR |
| Details |
Bank Vontobel 1.3349 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNN |
SWB |
18.74 |
EUR |
| Details |
Bank Vontobel 11.1882 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNP |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 9.0042 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7TNS |
SWB |
18.45 |
EUR |
| Details |
Bank Vontobel 1.4822 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7ZGR |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6942 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7ZGT |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.2677 C Issuer Name: Bank Vontobel |
Structured Product |
VJ7ZGU |
SWB |
19.93 |
EUR |
| Details |
Bank Vontobel 11.1664 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8GFC |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5679 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8GFG |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.4772 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8GFH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6239 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8GFJ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6401 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8GFK |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.571 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8ML7 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7067 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8ML9 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.1664 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8MMA |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.1664 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8S7N |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5675 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8S8U |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.1805 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8YKB |
SWB |
1.050 |
EUR |
| Details |
Bank Vontobel 1.5702 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8YKY |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7439 P Issuer Name: Bank Vontobel |
Structured Product |
VJ83EX |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7218 C Issuer Name: Bank Vontobel |
Structured Product |
VJ83EY |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7354 C Issuer Name: Bank Vontobel |
Structured Product |
VJ86VC |
SWB |
0.0010 |
EUR |
| Details |
Bank Vontobel 11.0239 C Issuer Name: Bank Vontobel |
Structured Product |
VJ86VH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 11.0793 C Issuer Name: Bank Vontobel |
Structured Product |
VJ86VJ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1 C Issuer Name: Bank Vontobel |
Structured Product |
VJ8888 |
SWB |
17.28 |
EUR |
| Details |
Bank Vontobel 11.0985 P Issuer Name: Bank Vontobel |
Structured Product |
VJ9CBJ |
SWB |
0.3800 |
EUR |
| Details |
Bank Vontobel 8.911 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9CBK |
SWB |
19.47 |
EUR |
| Details |
Bank Vontobel 11.0435 P Issuer Name: Bank Vontobel |
Structured Product |
VJ9CBL |
SWB |
0.3200 |
EUR |
| Details |
Bank Vontobel 8.966 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9CBM |
SWB |
18.97 |
EUR |
| Details |
Bank Vontobel 11.001 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9CBR |
SWB |
0.0010 |
EUR |
| Details |
Bank Vontobel 11.0227 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GB6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.9676 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GB8 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.6318 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.7705 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCJ |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.48 P Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCK |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5845 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCL |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 10.6628 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCM |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.5876 P Issuer Name: Bank Vontobel |
Structured Product |
VJ9GCN |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.7572 P Issuer Name: BNP Paribas SA |
Structured Product |
AA3T8T |
SWB |
18.24 |
EUR |
| Details |
BNP Paribas SA 5.38 P Issuer Name: BNP Paribas SA |
Structured Product |
PR72MJ |
SWB |
25.75 |
EUR |
| Details |
BNP Paribas SA 14.3018 P Issuer Name: BNP Paribas SA |
Structured Product |
PF0HVT |
SWB |
29.24 |
EUR |
| Details |
BNP Paribas SA 1.4667 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R72 |
SWB |
10.99 |
EUR |
| Details |
BNP Paribas SA 1.0981 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R73 |
SWB |
33.32 |
EUR |
| Details |
BNP Paribas SA 0.9843 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R74 |
SWB |
40.23 |
EUR |
| Details |
BNP Paribas SA 2.0706 P Issuer Name: BNP Paribas SA |
Structured Product |
PF6R75 |
SWB |
25.77 |
EUR |
| Details |
BNP Paribas SA 1.5782 C Issuer Name: BNP Paribas SA |
Structured Product |
PF7EP9 |
SWB |
4.180 |
EUR |
| Details |
BNP Paribas SA 10.6247 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R84 |
SWB |
3.990 |
EUR |
| Details |
BNP Paribas SA 10.3243 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R85 |
SWB |
6.70 |
EUR |
| Details |
BNP Paribas SA 9.6874 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R86 |
SWB |
12.45 |
EUR |
| Details |
BNP Paribas SA 8.1119 C Issuer Name: BNP Paribas SA |
Structured Product |
PF7EQZ |
SWB |
26.68 |
EUR |
| Details |
BNP Paribas SA 10.9239 C Issuer Name: BNP Paribas SA |
Structured Product |
PF81LT |
SWB |
1.290 |
EUR |
| Details |
BNP Paribas SA 1.9868 P Issuer Name: BNP Paribas SA |
Structured Product |
PS8NA6 |
SWB |
20.68 |
EUR |
| Details |
BNP Paribas SA 2.0091 P Issuer Name: BNP Paribas SA |
Structured Product |
PX9CXX |
SWB |
22.04 |
EUR |
| Details |
BNP Paribas SA 2.1754 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ8QVQ |
SWB |
32.09 |
EUR |
| Details |
BNP Paribas SA 2.0845 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ8QVR |
SWB |
26.57 |
EUR |
| Details |
BNP Paribas SA 8.2106 C Issuer Name: BNP Paribas SA |
Structured Product |
PR72LC |
SWB |
25.74 |
EUR |
| Details |
BNP Paribas SA 13.4654 P Issuer Name: BNP Paribas SA |
Structured Product |
PX8453 |
SWB |
21.63 |
EUR |
| Details |
BNP Paribas SA 12.8858 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ61DY |
SWB |
16.40 |
EUR |
| Details |
BNP Paribas SA 12.9044 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ77X1 |
SWB |
16.62 |
EUR |
| Details |
BNP Paribas SA 291.9689 C Issuer Name: BNP Paribas SA |
Structured Product |
PF6R8Q |
SWB |
25.85 |
EUR |
| Details |
BNP Paribas SA 523.1724 P Issuer Name: BNP Paribas SA |
Structured Product |
PF6R8U |
SWB |
33.12 |
EUR |
| Details |
BNP Paribas SA 570.7356 P Issuer Name: BNP Paribas SA |
Structured Product |
PF6R8V |
SWB |
45.21 |
EUR |
| Details |
BNP Paribas SA 594.5171 P Issuer Name: BNP Paribas SA |
Structured Product |
PF6R8W |
SWB |
51.25 |
EUR |
| Details |
BNP Paribas SA 0.26535 P Issuer Name: BNP Paribas SA |
Structured Product |
PA4H7Y |
SWB |
34.54 |
EUR |
| Details |
BNP Paribas SA 0.232419 P Issuer Name: BNP Paribas SA |
Structured Product |
PD0EQH |
SWB |
17.80 |
EUR |
| Details |
BNP Paribas SA 0.268543 P Issuer Name: BNP Paribas SA |
Structured Product |
PF2LBG |
SWB |
36.15 |
EUR |
| Details |
BNP Paribas SA 2.0949 P Issuer Name: BNP Paribas SA |
Structured Product |
PN1VTG |
SWB |
32.04 |
EUR |
| Details |
BNP Paribas SA 1.5685 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TLT |
SWB |
4.730 |
EUR |
| Details |
BNP Paribas SA 320.9413 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TN3 |
SWB |
18.29 |
EUR |
| Details |
BNP Paribas SA 4.0468 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TQ4 |
SWB |
5.34 |
EUR |
| Details |
BNP Paribas SA 3.3748 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TQ5 |
SWB |
21.06 |
EUR |
| Details |
BNP Paribas SA 6.0412 P Issuer Name: BNP Paribas SA |
Structured Product |
PF9TQ8 |
SWB |
41.20 |
EUR |
| Details |
BNP Paribas SA 0.131157 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TTA |
SWB |
33.57 |
EUR |
| Details |
BNP Paribas SA 11.0958 C Issuer Name: BNP Paribas SA |
Structured Product |
PH2EGX |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 10.1608 C Issuer Name: BNP Paribas SA |
Structured Product |
PH23FN |
SWB |
8.18 |
EUR |
| Details |
BNP Paribas SA 9.8373 C Issuer Name: BNP Paribas SA |
Structured Product |
PH3D1E |
SWB |
11.10 |
EUR |
| Details |
BNP Paribas SA 1.5017 C Issuer Name: BNP Paribas SA |
Structured Product |
PH3ZA3 |
SWB |
8.82 |
EUR |
| Details |
BNP Paribas SA 2.182 P Issuer Name: BNP Paribas SA |
Structured Product |
PH3ZA4 |
SWB |
32.48 |
EUR |
| Details |
BNP Paribas SA 11.0248 C Issuer Name: BNP Paribas SA |
Structured Product |
PH3ZB4 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.6275 C Issuer Name: BNP Paribas SA |
Structured Product |
PH32TQ |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 12.2907 P Issuer Name: BNP Paribas SA |
Structured Product |
PH4E91 |
SWB |
11.08 |
EUR |
| Details |
BNP Paribas SA 2.1898 P Issuer Name: BNP Paribas SA |
Structured Product |
PH4459 |
SWB |
33.00 |
EUR |
| Details |
BNP Paribas SA 9.4734 C Issuer Name: BNP Paribas SA |
Structured Product |
PH446E |
SWB |
14.39 |
EUR |
| Details |
BNP Paribas SA 10.7383 C Issuer Name: BNP Paribas SA |
Structured Product |
PH5KP5 |
SWB |
2.900 |
EUR |
| Details |
BNP Paribas SA 10.9673 C Issuer Name: BNP Paribas SA |
Structured Product |
PH5V13 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 10.474 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6A5Z |
SWB |
5.35 |
EUR |
| Details |
BNP Paribas SA 1.5964 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6A6X |
SWB |
3.040 |
EUR |
| Details |
BNP Paribas SA 10.8327 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6A7X |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 9.9806 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6A7Y |
SWB |
9.75 |
EUR |
| Details |
BNP Paribas SA 6.0758 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6RX3 |
SWB |
45.02 |
EUR |
| Details |
BNP Paribas SA 6.3152 P Issuer Name: BNP Paribas SA |
Structured Product |
PH6RX4 |
SWB |
47.60 |
EUR |
| Details |
BNP Paribas SA 344.9122 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6RXV |
SWB |
12.20 |
EUR |
| Details |
BNP Paribas SA 528.5861 P Issuer Name: BNP Paribas SA |
Structured Product |
PH6RXW |
SWB |
34.30 |
EUR |
| Details |
BNP Paribas SA 540.5996 P Issuer Name: BNP Paribas SA |
Structured Product |
PH6RXX |
SWB |
37.36 |
EUR |
| Details |
BNP Paribas SA 540.5996 P Issuer Name: BNP Paribas SA |
Structured Product |
PH6RZ3 |
SWB |
37.55 |
EUR |
| Details |
BNP Paribas SA 11.1529 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6RZ7 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 6.0758 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6RZ8 |
SWB |
45.08 |
EUR |
| Details |
BNP Paribas SA 1.433 C Issuer Name: BNP Paribas SA |
Structured Product |
PH6RZW |
SWB |
13.00 |
EUR |
| Details |
BNP Paribas SA 1.4272 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8G4D |
SWB |
13.34 |
EUR |
| Details |
BNP Paribas SA 1.064 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8G4E |
SWB |
35.39 |
EUR |
| Details |
BNP Paribas SA 342.0348 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8G7V |
SWB |
13.13 |
EUR |
| Details |
BNP Paribas SA 11.0812 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8SUN |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.3037 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8SVV |
SWB |
20.84 |
EUR |
| Details |
BNP Paribas SA 9.6606 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8WHV |
SWB |
12.64 |
EUR |
| Details |
BNP Paribas SA 1.3647 C Issuer Name: BNP Paribas SA |
Structured Product |
PH8XKA |
SWB |
17.13 |
EUR |
| Details |
BNP Paribas SA 0.243079 P Issuer Name: BNP Paribas SA |
Structured Product |
PH8XKX |
SWB |
23.22 |
EUR |
| Details |
BNP Paribas SA 0.179012 C Issuer Name: BNP Paribas SA |
Structured Product |
PD1QU5 |
SWB |
9.26 |
EUR |
| Details |
BNP Paribas SA 10.2689 C Issuer Name: BNP Paribas SA |
Structured Product |
PD1369 |
SWB |
4.870 |
EUR |
| Details |
BNP Paribas SA 550.5827 P Issuer Name: BNP Paribas SA |
Structured Product |
PD136T |
SWB |
39.89 |
EUR |
| Details |
BNP Paribas SA 9.9863 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137A |
SWB |
7.49 |
EUR |
| Details |
BNP Paribas SA 9.7093 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137B |
SWB |
10.05 |
EUR |
| Details |
BNP Paribas SA 9.4236 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137C |
SWB |
12.69 |
EUR |
| Details |
BNP Paribas SA 9.1352 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137D |
SWB |
15.35 |
EUR |
| Details |
BNP Paribas SA 8.5632 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137E |
SWB |
20.64 |
EUR |
| Details |
BNP Paribas SA 7.9994 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137F |
SWB |
25.85 |
EUR |
| Details |
BNP Paribas SA 7.4168 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137G |
SWB |
31.24 |
EUR |
| Details |
BNP Paribas SA 6.8585 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137H |
SWB |
36.40 |
EUR |
| Details |
BNP Paribas SA 6.276 C Issuer Name: BNP Paribas SA |
Structured Product |
PD137J |
SWB |
41.78 |
EUR |
| Details |
BNP Paribas SA 11.3692 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137R |
SWB |
5.000 |
EUR |
| Details |
BNP Paribas SA 11.5982 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137S |
SWB |
7.12 |
EUR |
| Details |
BNP Paribas SA 11.8255 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137T |
SWB |
9.22 |
EUR |
| Details |
BNP Paribas SA 12.0474 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137U |
SWB |
11.27 |
EUR |
| Details |
BNP Paribas SA 12.4886 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137V |
SWB |
15.35 |
EUR |
| Details |
BNP Paribas SA 12.9375 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137W |
SWB |
19.49 |
EUR |
| Details |
BNP Paribas SA 13.3841 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137X |
SWB |
23.62 |
EUR |
| Details |
BNP Paribas SA 13.8245 P Issuer Name: BNP Paribas SA |
Structured Product |
PD137Y |
SWB |
27.69 |
EUR |
| Details |
BNP Paribas SA 508.554 P Issuer Name: BNP Paribas SA |
Structured Product |
PD2G0S |
SWB |
29.26 |
EUR |
| Details |
BNP Paribas SA 5.407 P Issuer Name: BNP Paribas SA |
Structured Product |
PD2GY6 |
SWB |
26.38 |
EUR |
| Details |
BNP Paribas SA 5.4548 P Issuer Name: BNP Paribas SA |
Structured Product |
PD2GY7 |
SWB |
27.50 |
EUR |
| Details |
BNP Paribas SA 1.5523 C Issuer Name: BNP Paribas SA |
Structured Product |
PD2GYC |
SWB |
5.75 |
EUR |
| Details |
BNP Paribas SA 514.5351 P Issuer Name: BNP Paribas SA |
Structured Product |
PD2GYX |
SWB |
30.73 |
EUR |
| Details |
BNP Paribas SA 14.2808 P Issuer Name: BNP Paribas SA |
Structured Product |
PD2GZA |
SWB |
31.91 |
EUR |
| Details |
BNP Paribas SA 8.9742 C Issuer Name: BNP Paribas SA |
Structured Product |
PD24AL |
SWB |
18.90 |
EUR |
| Details |
BNP Paribas SA 10.6458 C Issuer Name: BNP Paribas SA |
Structured Product |
PD24CQ |
SWB |
3.740 |
EUR |
| Details |
BNP Paribas SA 5.0015 P Issuer Name: BNP Paribas SA |
Structured Product |
PD24CT |
SWB |
16.91 |
EUR |
| Details |
BNP Paribas SA 5.0522 P Issuer Name: BNP Paribas SA |
Structured Product |
PD24CU |
SWB |
18.09 |
EUR |
| Details |
BNP Paribas SA 5.1039 P Issuer Name: BNP Paribas SA |
Structured Product |
PD24CV |
SWB |
19.30 |
EUR |
| Details |
BNP Paribas SA 5.1548 P Issuer Name: BNP Paribas SA |
Structured Product |
PD24CW |
SWB |
20.49 |
EUR |
| Details |
BNP Paribas SA 8.6641 C Issuer Name: BNP Paribas SA |
Structured Product |
PD3T6X |
SWB |
21.29 |
EUR |
| Details |
BNP Paribas SA 9.3252 C Issuer Name: BNP Paribas SA |
Structured Product |
PD3WU6 |
SWB |
15.67 |
EUR |
| Details |
BNP Paribas SA 5.7024 P Issuer Name: BNP Paribas SA |
Structured Product |
PD3WVC |
SWB |
33.28 |
EUR |
| Details |
BNP Paribas SA 549.1229 P Issuer Name: BNP Paribas SA |
Structured Product |
PD4AB6 |
SWB |
39.57 |
EUR |
| Details |
BNP Paribas SA 1.4824 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4ADR |
SWB |
9.99 |
EUR |
| Details |
BNP Paribas SA 10.275 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4AEK |
SWB |
7.09 |
EUR |
| Details |
BNP Paribas SA 1.6198 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4N65 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 8.8121 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4N7S |
SWB |
18.34 |
EUR |
| Details |
BNP Paribas SA 0.163694 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4N8T |
SWB |
17.04 |
EUR |
| Details |
BNP Paribas SA 0.109108 C Issuer Name: BNP Paribas SA |
Structured Product |
PD4N8U |
SWB |
44.77 |
EUR |
| Details |
BNP Paribas SA 5.2463 P Issuer Name: BNP Paribas SA |
Structured Product |
PD4ZQA |
SWB |
22.62 |
EUR |
| Details |
BNP Paribas SA 10.8357 C Issuer Name: BNP Paribas SA |
Structured Product |
PD40GS |
SWB |
2.080 |
EUR |
| Details |
BNP Paribas SA 581.0043 P Issuer Name: BNP Paribas SA |
Structured Product |
PD6SP0 |
SWB |
47.67 |
EUR |
| Details |
BNP Paribas SA 503.9327 P Issuer Name: BNP Paribas SA |
Structured Product |
PD6SPZ |
SWB |
28.08 |
EUR |
| Details |
BNP Paribas SA 533.5755 P Issuer Name: BNP Paribas SA |
Structured Product |
PD6SWS |
SWB |
35.57 |
EUR |
| Details |
BNP Paribas SA 0.121358 C Issuer Name: BNP Paribas SA |
Structured Product |
PD6SXN |
SWB |
38.55 |
EUR |
| Details |
BNP Paribas SA 527.4655 P Issuer Name: BNP Paribas SA |
Structured Product |
PD6WVR |
SWB |
34.06 |
EUR |
| Details |
BNP Paribas SA 1.6312 C Issuer Name: BNP Paribas SA |
Structured Product |
PD67ZV |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 11.0216 C Issuer Name: BNP Paribas SA |
Structured Product |
PD9SSN |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 5.3319 P Issuer Name: BNP Paribas SA |
Structured Product |
PD9198 |
SWB |
24.63 |
EUR |
| Details |
BNP Paribas SA 1.58 C Issuer Name: BNP Paribas SA |
Structured Product |
PD973S |
SWB |
4.070 |
EUR |
| Details |
BNP Paribas SA 512.3464 P Issuer Name: BNP Paribas SA |
Structured Product |
PE1PS1 |
SWB |
30.22 |
EUR |
| Details |
BNP Paribas SA 570.5681 P Issuer Name: BNP Paribas SA |
Structured Product |
PE1QX6 |
SWB |
44.97 |
EUR |
| Details |
BNP Paribas SA 1.6436 C Issuer Name: BNP Paribas SA |
Structured Product |
PE1QXS |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.6109 C Issuer Name: BNP Paribas SA |
Structured Product |
PE2AHC |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5119 C Issuer Name: BNP Paribas SA |
Structured Product |
PE2RHK |
SWB |
4.750 |
EUR |
| Details |
BNP Paribas SA 12.2071 P Issuer Name: BNP Paribas SA |
Structured Product |
PE2RK0 |
SWB |
12.74 |
EUR |
| Details |
BNP Paribas SA 555.24 P Issuer Name: BNP Paribas SA |
Structured Product |
PE282P |
SWB |
41.08 |
EUR |
| Details |
BNP Paribas SA 506.0803 P Issuer Name: BNP Paribas SA |
Structured Product |
PE28AT |
SWB |
28.63 |
EUR |
| Details |
BNP Paribas SA 514.7536 P Issuer Name: BNP Paribas SA |
Structured Product |
PE28AU |
SWB |
30.83 |
EUR |
| Details |
BNP Paribas SA 4.9585 P Issuer Name: BNP Paribas SA |
Structured Product |
PE3QE9 |
SWB |
15.90 |
EUR |
| Details |
BNP Paribas SA 588.6841 P Issuer Name: BNP Paribas SA |
Structured Product |
PE3QEU |
SWB |
49.58 |
EUR |
| Details |
BNP Paribas SA 611.7712 P Issuer Name: BNP Paribas SA |
Structured Product |
PE3QEV |
SWB |
55.44 |
EUR |
| Details |
BNP Paribas SA 6.9773 C Issuer Name: BNP Paribas SA |
Structured Product |
PE38Q2 |
SWB |
36.87 |
EUR |
| Details |
BNP Paribas SA 4.905 P Issuer Name: BNP Paribas SA |
Structured Product |
PE38Q3 |
SWB |
14.65 |
EUR |
| Details |
BNP Paribas SA 483.3934 P Issuer Name: BNP Paribas SA |
Structured Product |
PE38QG |
SWB |
22.82 |
EUR |
| Details |
BNP Paribas SA 489.1492 P Issuer Name: BNP Paribas SA |
Structured Product |
PE38QH |
SWB |
24.28 |
EUR |
| Details |
BNP Paribas SA 494.9041 P Issuer Name: BNP Paribas SA |
Structured Product |
PE38QJ |
SWB |
25.74 |
EUR |
| Details |
BNP Paribas SA 500.6594 P Issuer Name: BNP Paribas SA |
Structured Product |
PE38QK |
SWB |
27.21 |
EUR |
| Details |
BNP Paribas SA 505.5152 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4C9A |
SWB |
28.44 |
EUR |
| Details |
BNP Paribas SA 14.9436 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4C9J |
SWB |
38.04 |
EUR |
| Details |
BNP Paribas SA 494.0254 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4EAS |
SWB |
25.56 |
EUR |
| Details |
BNP Paribas SA 496.8983 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4EAT |
SWB |
26.29 |
EUR |
| Details |
BNP Paribas SA 499.7693 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4EAU |
SWB |
27.02 |
EUR |
| Details |
BNP Paribas SA 487.7648 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4K1V |
SWB |
23.97 |
EUR |
| Details |
BNP Paribas SA 490.6341 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4K1W |
SWB |
24.70 |
EUR |
| Details |
BNP Paribas SA 4.8523 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4K3J |
SWB |
13.42 |
EUR |
| Details |
BNP Paribas SA 483.2269 P Issuer Name: BNP Paribas SA |
Structured Product |
PE4V99 |
SWB |
22.82 |
EUR |
| Details |
BNP Paribas SA 477.1888 P Issuer Name: BNP Paribas SA |
Structured Product |
PE401L |
SWB |
21.29 |
EUR |
| Details |
BNP Paribas SA 480.047 P Issuer Name: BNP Paribas SA |
Structured Product |
PE401M |
SWB |
22.01 |
EUR |
| Details |
BNP Paribas SA 484.9668 P Issuer Name: BNP Paribas SA |
Structured Product |
PE47SN |
SWB |
23.26 |
EUR |
| Details |
BNP Paribas SA 468.2166 P Issuer Name: BNP Paribas SA |
Structured Product |
PE6XAB |
SWB |
18.96 |
EUR |
| Details |
BNP Paribas SA 473.8583 P Issuer Name: BNP Paribas SA |
Structured Product |
PE6XAC |
SWB |
20.40 |
EUR |
| Details |
BNP Paribas SA 3.8735 C Issuer Name: BNP Paribas SA |
Structured Product |
PE6XAM |
SWB |
9.40 |
EUR |
| Details |
BNP Paribas SA 473.2296 P Issuer Name: BNP Paribas SA |
Structured Product |
PE6372 |
SWB |
20.28 |
EUR |
| Details |
BNP Paribas SA 478.8622 P Issuer Name: BNP Paribas SA |
Structured Product |
PE6390 |
SWB |
21.67 |
EUR |
| Details |
BNP Paribas SA 461.9631 P Issuer Name: BNP Paribas SA |
Structured Product |
PE639Z |
SWB |
17.37 |
EUR |
| Details |
BNP Paribas SA 454.3593 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7DRV |
SWB |
15.44 |
EUR |
| Details |
BNP Paribas SA 272.6205 C Issuer Name: BNP Paribas SA |
Structured Product |
PE7DTQ |
SWB |
30.62 |
EUR |
| Details |
BNP Paribas SA 465.5783 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7DTS |
SWB |
18.33 |
EUR |
| Details |
BNP Paribas SA 468.3839 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7DTU |
SWB |
19.05 |
EUR |
| Details |
BNP Paribas SA 15.1664 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7JY4 |
SWB |
37.05 |
EUR |
| Details |
BNP Paribas SA 470.5658 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7JYX |
SWB |
19.60 |
EUR |
| Details |
BNP Paribas SA 15.1664 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7JZ4 |
SWB |
36.99 |
EUR |
| Details |
BNP Paribas SA 12.7433 P Issuer Name: BNP Paribas SA |
Structured Product |
PE7JZ6 |
SWB |
17.70 |
EUR |
| Details |
BNP Paribas SA 453.2908 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8FTF |
SWB |
15.21 |
EUR |
| Details |
BNP Paribas SA 456.0712 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8FTG |
SWB |
15.92 |
EUR |
| Details |
BNP Paribas SA 458.8526 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8FTH |
SWB |
16.63 |
EUR |
| Details |
BNP Paribas SA 1.5366 C Issuer Name: BNP Paribas SA |
Structured Product |
PE8FUK |
SWB |
6.67 |
EUR |
| Details |
BNP Paribas SA 269.1433 C Issuer Name: BNP Paribas SA |
Structured Product |
PE8FUU |
SWB |
31.46 |
EUR |
| Details |
BNP Paribas SA 449.3375 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8SJR |
SWB |
14.16 |
EUR |
| Details |
BNP Paribas SA 15.5105 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8SJY |
SWB |
43.27 |
EUR |
| Details |
BNP Paribas SA 14.7235 P Issuer Name: BNP Paribas SA |
Structured Product |
PE8TDN |
SWB |
33.05 |
EUR |
| Details |
BNP Paribas SA 14.614 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TNS |
SWB |
34.99 |
EUR |
| Details |
BNP Paribas SA 0.229488 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TPE |
SWB |
16.32 |
EUR |
| Details |
BNP Paribas SA 0.23482 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TPF |
SWB |
19.02 |
EUR |
| Details |
BNP Paribas SA 441.6374 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TQC |
SWB |
12.25 |
EUR |
| Details |
BNP Paribas SA 444.3977 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TQD |
SWB |
12.95 |
EUR |
| Details |
BNP Paribas SA 447.1588 P Issuer Name: BNP Paribas SA |
Structured Product |
PE9TQE |
SWB |
13.65 |
EUR |
| Details |
BNP Paribas SA 4.7655 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0E31 |
SWB |
11.39 |
EUR |
| Details |
BNP Paribas SA 4.8158 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0E32 |
SWB |
12.57 |
EUR |
| Details |
BNP Paribas SA 0.237262 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0E4N |
SWB |
20.26 |
EUR |
| Details |
BNP Paribas SA 2.2563 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0QV8 |
SWB |
36.99 |
EUR |
| Details |
BNP Paribas SA 13.7992 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0QWR |
SWB |
24.64 |
EUR |
| Details |
BNP Paribas SA 16.183 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0QWS |
SWB |
46.17 |
EUR |
| Details |
BNP Paribas SA 16.183 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0QX9 |
SWB |
46.23 |
EUR |
| Details |
BNP Paribas SA 2.2563 P Issuer Name: BNP Paribas SA |
Structured Product |
PE0QXW |
SWB |
36.99 |
EUR |
| Details |
BNP Paribas SA 437.8159 P Issuer Name: BNP Paribas SA |
Structured Product |
PE034W |
SWB |
11.24 |
EUR |
| Details |
BNP Paribas SA 443.2883 P Issuer Name: BNP Paribas SA |
Structured Product |
PE034X |
SWB |
12.63 |
EUR |
| Details |
BNP Paribas SA 431.5319 P Issuer Name: BNP Paribas SA |
Structured Product |
PC0FEJ |
SWB |
9.64 |
EUR |
| Details |
BNP Paribas SA 426.9223 P Issuer Name: BNP Paribas SA |
Structured Product |
PC0X74 |
SWB |
8.51 |
EUR |
| Details |
BNP Paribas SA 429.6419 P Issuer Name: BNP Paribas SA |
Structured Product |
PC0X75 |
SWB |
9.20 |
EUR |
| Details |
BNP Paribas SA 432.3603 P Issuer Name: BNP Paribas SA |
Structured Product |
PC0X76 |
SWB |
9.89 |
EUR |
| Details |
BNP Paribas SA 435.0786 P Issuer Name: BNP Paribas SA |
Structured Product |
PC0X77 |
SWB |
10.58 |
EUR |
| Details |
BNP Paribas SA 2.962 C Issuer Name: BNP Paribas SA |
Structured Product |
PC0X9U |
SWB |
30.70 |
EUR |
| Details |
BNP Paribas SA 13.5908 P Issuer Name: BNP Paribas SA |
Structured Product |
PC02PK |
SWB |
22.82 |
EUR |
| Details |
BNP Paribas SA 13.1679 P Issuer Name: BNP Paribas SA |
Structured Product |
PC02QD |
SWB |
18.94 |
EUR |
| Details |
BNP Paribas SA 4.7105 P Issuer Name: BNP Paribas SA |
Structured Product |
PC02QE |
SWB |
10.11 |
EUR |
| Details |
BNP Paribas SA 12.8843 P Issuer Name: BNP Paribas SA |
Structured Product |
PC06YR |
SWB |
16.44 |
EUR |
| Details |
BNP Paribas SA 371.5073 C Issuer Name: BNP Paribas SA |
Structured Product |
PN2SHH |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 12.3205 P Issuer Name: BNP Paribas SA |
Structured Product |
PN2SJG |
SWB |
11.29 |
EUR |
| Details |
BNP Paribas SA 370.9728 C Issuer Name: BNP Paribas SA |
Structured Product |
PN3D7R |
SWB |
5.62 |
EUR |
| Details |
BNP Paribas SA 12.4287 P Issuer Name: BNP Paribas SA |
Structured Product |
PN3D7Z |
SWB |
12.32 |
EUR |
| Details |
BNP Paribas SA 0.249557 P Issuer Name: BNP Paribas SA |
Structured Product |
PN3D92 |
SWB |
26.50 |
EUR |
| Details |
BNP Paribas SA 13.1042 P Issuer Name: BNP Paribas SA |
Structured Product |
PN3ZFM |
SWB |
21.04 |
EUR |
| Details |
BNP Paribas SA 14.1115 P Issuer Name: BNP Paribas SA |
Structured Product |
PN3ZG7 |
SWB |
27.52 |
EUR |
| Details |
BNP Paribas SA 15.7847 P Issuer Name: BNP Paribas SA |
Structured Product |
PN3ZG8 |
SWB |
42.63 |
EUR |
| Details |
BNP Paribas SA 254.6534 C Issuer Name: BNP Paribas SA |
Structured Product |
PN3ZGZ |
SWB |
35.18 |
EUR |
| Details |
BNP Paribas SA 0.25195 P Issuer Name: BNP Paribas SA |
Structured Product |
PN4C1B |
SWB |
27.72 |
EUR |
| Details |
BNP Paribas SA 0.272943 P Issuer Name: BNP Paribas SA |
Structured Product |
PN4C1C |
SWB |
38.39 |
EUR |
| Details |
BNP Paribas SA 12.8425 P Issuer Name: BNP Paribas SA |
Structured Product |
PN4RR8 |
SWB |
16.00 |
EUR |
| Details |
BNP Paribas SA 0.8968 C Issuer Name: BNP Paribas SA |
Structured Product |
PN4RRR |
SWB |
45.53 |
EUR |
| Details |
BNP Paribas SA 0.8968 C Issuer Name: BNP Paribas SA |
Structured Product |
PN4RTC |
SWB |
45.58 |
EUR |
| Details |
BNP Paribas SA 458.0298 P Issuer Name: BNP Paribas SA |
Structured Product |
PN40WJ |
SWB |
16.37 |
EUR |
| Details |
BNP Paribas SA 251.0277 C Issuer Name: BNP Paribas SA |
Structured Product |
PN5DNQ |
SWB |
36.06 |
EUR |
| Details |
BNP Paribas SA 13.6063 P Issuer Name: BNP Paribas SA |
Structured Product |
PN5RBE |
SWB |
25.68 |
EUR |
| Details |
BNP Paribas SA 1.9975 P Issuer Name: BNP Paribas SA |
Structured Product |
PN5U73 |
SWB |
21.29 |
EUR |
| Details |
BNP Paribas SA 1.3956 C Issuer Name: BNP Paribas SA |
Structured Product |
PN6D40 |
SWB |
15.27 |
EUR |
| Details |
BNP Paribas SA 2.3721 P Issuer Name: BNP Paribas SA |
Structured Product |
PN6Y53 |
SWB |
44.06 |
EUR |
| Details |
BNP Paribas SA 2.3721 P Issuer Name: BNP Paribas SA |
Structured Product |
PN6ZC5 |
SWB |
43.98 |
EUR |
| Details |
BNP Paribas SA 1.8469 P Issuer Name: BNP Paribas SA |
Structured Product |
PN7HLA |
SWB |
12.15 |
EUR |
| Details |
BNP Paribas SA 2.0881 P Issuer Name: BNP Paribas SA |
Structured Product |
PN7HLB |
SWB |
26.79 |
EUR |
| Details |
BNP Paribas SA 4.1473 C Issuer Name: BNP Paribas SA |
Structured Product |
PN71K2 |
SWB |
3.000 |
EUR |
| Details |
BNP Paribas SA 13.3103 P Issuer Name: BNP Paribas SA |
Structured Product |
PN8J22 |
SWB |
20.23 |
EUR |
| Details |
BNP Paribas SA 4.6533 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9A33 |
SWB |
8.77 |
EUR |
| Details |
BNP Paribas SA 4.6034 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9KXX |
SWB |
7.59 |
EUR |
| Details |
BNP Paribas SA 4.5044 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9WEH |
SWB |
5.29 |
EUR |
| Details |
BNP Paribas SA 4.5543 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9WEJ |
SWB |
6.45 |
EUR |
| Details |
BNP Paribas SA 12.468 P Issuer Name: BNP Paribas SA |
Structured Product |
PN95E6 |
SWB |
12.62 |
EUR |
| Details |
BNP Paribas SA 12.5668 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9655 |
SWB |
13.57 |
EUR |
| Details |
BNP Paribas SA 12.1895 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ06D0 |
SWB |
10.16 |
EUR |
| Details |
BNP Paribas SA 4.4583 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ1FQZ |
SWB |
4.210 |
EUR |
| Details |
BNP Paribas SA 237.9056 C Issuer Name: BNP Paribas SA |
Structured Product |
PZ1N74 |
SWB |
39.54 |
EUR |
| Details |
BNP Paribas SA 0.239611 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ1R6B |
SWB |
21.45 |
EUR |
| Details |
BNP Paribas SA 3.9618 C Issuer Name: BNP Paribas SA |
Structured Product |
PC2UNB |
SWB |
7.34 |
EUR |
| Details |
BNP Paribas SA 234.538 C Issuer Name: BNP Paribas SA |
Structured Product |
PC28KF |
SWB |
40.25 |
EUR |
| Details |
BNP Paribas SA 304.3349 C Issuer Name: BNP Paribas SA |
Structured Product |
PC3G96 |
SWB |
22.51 |
EUR |
| Details |
BNP Paribas SA 325.5883 C Issuer Name: BNP Paribas SA |
Structured Product |
PC406H |
SWB |
17.25 |
EUR |
| Details |
BNP Paribas SA 3.1394 C Issuer Name: BNP Paribas SA |
Structured Product |
PC6CUA |
SWB |
26.56 |
EUR |
| Details |
BNP Paribas SA 16.5225 P Issuer Name: BNP Paribas SA |
Structured Product |
PC83XT |
SWB |
52.63 |
EUR |
| Details |
BNP Paribas SA 330.6809 C Issuer Name: BNP Paribas SA |
Structured Product |
PC9X2W |
SWB |
15.82 |
EUR |
| Details |
BNP Paribas SA 0.9718 C Issuer Name: BNP Paribas SA |
Structured Product |
PG1KL3 |
SWB |
40.98 |
EUR |
| Details |
BNP Paribas SA 1.6477 C Issuer Name: BNP Paribas SA |
Structured Product |
PG2UMF |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 14.7389 P Issuer Name: BNP Paribas SA |
Structured Product |
PG36EK |
SWB |
33.13 |
EUR |
| Details |
BNP Paribas SA 12.683 P Issuer Name: BNP Paribas SA |
Structured Product |
PG4NB9 |
SWB |
14.56 |
EUR |
| Details |
BNP Paribas SA 13.9584 P Issuer Name: BNP Paribas SA |
Structured Product |
PG4NCA |
SWB |
26.08 |
EUR |
| Details |
BNP Paribas SA 14.4999 P Issuer Name: BNP Paribas SA |
Structured Product |
PG4QEV |
SWB |
31.03 |
EUR |
| Details |
BNP Paribas SA 14.1665 P Issuer Name: BNP Paribas SA |
Structured Product |
PG5U0P |
SWB |
27.96 |
EUR |
| Details |
BNP Paribas SA 17.7073 P Issuer Name: BNP Paribas SA |
Structured Product |
PG5U0Q |
SWB |
59.94 |
EUR |
| Details |
BNP Paribas SA 17.7073 P Issuer Name: BNP Paribas SA |
Structured Product |
PG5U4D |
SWB |
59.99 |
EUR |
| Details |
BNP Paribas SA 0.174945 C Issuer Name: BNP Paribas SA |
Structured Product |
PG7M52 |
SWB |
11.31 |
EUR |
| Details |
BNP Paribas SA 12.9131 P Issuer Name: BNP Paribas SA |
Structured Product |
PG7RVD |
SWB |
16.64 |
EUR |
| Details |
BNP Paribas SA 13.6064 P Issuer Name: BNP Paribas SA |
Structured Product |
PG73HP |
SWB |
22.90 |
EUR |
| Details |
BNP Paribas SA 13.0669 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8BFC |
SWB |
18.09 |
EUR |
| Details |
BNP Paribas SA 1.2586 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8LQC |
SWB |
20.72 |
EUR |
| Details |
BNP Paribas SA 1.7412 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8LQD |
SWB |
9.75 |
EUR |
| Details |
BNP Paribas SA 1.4705 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN2 |
SWB |
7.36 |
EUR |
| Details |
BNP Paribas SA 1.4134 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN4 |
SWB |
10.96 |
EUR |
| Details |
BNP Paribas SA 1.3618 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN5 |
SWB |
14.21 |
EUR |
| Details |
BNP Paribas SA 1.3115 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN6 |
SWB |
17.38 |
EUR |
| Details |
BNP Paribas SA 1.207 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN8 |
SWB |
23.97 |
EUR |
| Details |
BNP Paribas SA 1.1553 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SN9 |
SWB |
27.22 |
EUR |
| Details |
BNP Paribas SA 1.8404 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SP1 |
SWB |
16.00 |
EUR |
| Details |
BNP Paribas SA 1.9392 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SP2 |
SWB |
22.23 |
EUR |
| Details |
BNP Paribas SA 2.0341 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SP3 |
SWB |
28.21 |
EUR |
| Details |
BNP Paribas SA 334.0185 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SP4 |
SWB |
15.11 |
EUR |
| Details |
BNP Paribas SA 1.0533 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPC |
SWB |
33.65 |
EUR |
| Details |
BNP Paribas SA 0.9529 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPE |
SWB |
39.98 |
EUR |
| Details |
BNP Paribas SA 0.8478 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPH |
SWB |
46.59 |
EUR |
| Details |
BNP Paribas SA 1.6431 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPV |
SWB |
3.570 |
EUR |
| Details |
BNP Paribas SA 1.6925 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPW |
SWB |
6.68 |
EUR |
| Details |
BNP Paribas SA 1.7911 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SPZ |
SWB |
12.90 |
EUR |
| Details |
BNP Paribas SA 1.3115 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ0 |
SWB |
17.33 |
EUR |
| Details |
BNP Paribas SA 1.258 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ1 |
SWB |
20.71 |
EUR |
| Details |
BNP Paribas SA 1.207 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ2 |
SWB |
23.92 |
EUR |
| Details |
BNP Paribas SA 1.1553 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ3 |
SWB |
27.18 |
EUR |
| Details |
BNP Paribas SA 1.1038 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ4 |
SWB |
30.42 |
EUR |
| Details |
BNP Paribas SA 1.0533 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ5 |
SWB |
33.60 |
EUR |
| Details |
BNP Paribas SA 0.9529 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ6 |
SWB |
39.93 |
EUR |
| Details |
BNP Paribas SA 0.8478 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQ7 |
SWB |
46.56 |
EUR |
| Details |
BNP Paribas SA 1.4705 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQX |
SWB |
7.32 |
EUR |
| Details |
BNP Paribas SA 1.4134 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQY |
SWB |
10.91 |
EUR |
| Details |
BNP Paribas SA 1.3618 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8SQZ |
SWB |
14.17 |
EUR |
| Details |
BNP Paribas SA 1.6925 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRC |
SWB |
6.64 |
EUR |
| Details |
BNP Paribas SA 1.7417 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRD |
SWB |
9.74 |
EUR |
| Details |
BNP Paribas SA 1.7911 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRE |
SWB |
12.85 |
EUR |
| Details |
BNP Paribas SA 1.8404 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRF |
SWB |
15.96 |
EUR |
| Details |
BNP Paribas SA 1.8897 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRG |
SWB |
19.07 |
EUR |
| Details |
BNP Paribas SA 1.9392 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRH |
SWB |
22.18 |
EUR |
| Details |
BNP Paribas SA 2.0341 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRJ |
SWB |
28.15 |
EUR |
| Details |
BNP Paribas SA 2.1225 P Issuer Name: BNP Paribas SA |
Structured Product |
PG8SRL |
SWB |
33.73 |
EUR |
| Details |
BNP Paribas SA 1.4925 C Issuer Name: BNP Paribas SA |
Structured Product |
PG90MY |
SWB |
5.98 |
EUR |
| Details |
BNP Paribas SA 0.185833 C Issuer Name: BNP Paribas SA |
Structured Product |
PL0PD1 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.7907 C Issuer Name: BNP Paribas SA |
Structured Product |
PL0PDC |
SWB |
11.34 |
EUR |
| Details |
BNP Paribas SA 437.797 P Issuer Name: BNP Paribas SA |
Structured Product |
PL0PEF |
SWB |
11.37 |
EUR |
| Details |
BNP Paribas SA 0.181068 C Issuer Name: BNP Paribas SA |
Structured Product |
PL0VFK |
SWB |
8.21 |
EUR |
| Details |
BNP Paribas SA 0.9978 C Issuer Name: BNP Paribas SA |
Structured Product |
PL1Z8S |
SWB |
37.10 |
EUR |
| Details |
BNP Paribas SA 1.4327 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2AAQ |
SWB |
9.75 |
EUR |
| Details |
BNP Paribas SA 4.3943 P Issuer Name: BNP Paribas SA |
Structured Product |
PL2DUQ |
SWB |
2.710 |
EUR |
| Details |
BNP Paribas SA 4.1051 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2P52 |
SWB |
3.990 |
EUR |
| Details |
BNP Paribas SA 362.8961 C Issuer Name: BNP Paribas SA |
Structured Product |
PL3D63 |
SWB |
7.77 |
EUR |
| Details |
BNP Paribas SA 0.17701 C Issuer Name: BNP Paribas SA |
Structured Product |
PL3K75 |
SWB |
10.26 |
EUR |
| Details |
BNP Paribas SA 2.4575 P Issuer Name: BNP Paribas SA |
Structured Product |
PL4JRX |
SWB |
49.16 |
EUR |
| Details |
BNP Paribas SA 0.159509 C Issuer Name: BNP Paribas SA |
Structured Product |
PL4NRZ |
SWB |
19.16 |
EUR |
| Details |
BNP Paribas SA 427.1513 P Issuer Name: BNP Paribas SA |
Structured Product |
PL42M2 |
SWB |
8.53 |
EUR |
| Details |
BNP Paribas SA 1.5075 C Issuer Name: BNP Paribas SA |
Structured Product |
PL45CG |
SWB |
4.990 |
EUR |
| Details |
BNP Paribas SA 439.8054 P Issuer Name: BNP Paribas SA |
Structured Product |
PL5H77 |
SWB |
11.88 |
EUR |
| Details |
BNP Paribas SA 4.0063 C Issuer Name: BNP Paribas SA |
Structured Product |
PL6M7X |
SWB |
6.35 |
EUR |
| Details |
BNP Paribas SA 9.2798 C Issuer Name: BNP Paribas SA |
Structured Product |
PL6W3B |
SWB |
16.14 |
EUR |
| Details |
BNP Paribas SA 15.9805 P Issuer Name: BNP Paribas SA |
Structured Product |
PL7951 |
SWB |
47.62 |
EUR |
| Details |
BNP Paribas SA 1.6344 C Issuer Name: BNP Paribas SA |
Structured Product |
PL795J |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 2.4637 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9KCR |
SWB |
49.58 |
EUR |
| Details |
BNP Paribas SA 216.4101 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9KCV |
SWB |
45.00 |
EUR |
| Details |
BNP Paribas SA 421.5707 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9KCW |
SWB |
7.25 |
EUR |
| Details |
BNP Paribas SA 424.1111 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9KCX |
SWB |
7.90 |
EUR |
| Details |
BNP Paribas SA 1.9082 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZU5 |
SWB |
15.87 |
EUR |
| Details |
BNP Paribas SA 1.5539 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZU6 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 2.2431 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZU7 |
SWB |
41.33 |
EUR |
| Details |
BNP Paribas SA 367.7559 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZVF |
SWB |
6.39 |
EUR |
| Details |
BNP Paribas SA 216.3262 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZVG |
SWB |
44.88 |
EUR |
| Details |
BNP Paribas SA 5.6826 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZVX |
SWB |
47.27 |
EUR |
| Details |
BNP Paribas SA 1.5554 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZY4 |
SWB |
2.010 |
EUR |
| Details |
BNP Paribas SA 2.2431 P Issuer Name: BNP Paribas SA |
Structured Product |
PL9ZY5 |
SWB |
41.37 |
EUR |
| Details |
BNP Paribas SA 2.5643 P Issuer Name: BNP Paribas SA |
Structured Product |
PL16JD |
SWB |
55.72 |
EUR |
| Details |
BNP Paribas SA 1.5794 C Issuer Name: BNP Paribas SA |
Structured Product |
PL16JE |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.9487 P Issuer Name: BNP Paribas SA |
Structured Product |
PL16KH |
SWB |
18.33 |
EUR |
| Details |
BNP Paribas SA 2.2172 P Issuer Name: BNP Paribas SA |
Structured Product |
PL16KJ |
SWB |
34.58 |
EUR |
| Details |
BNP Paribas SA 2.5643 P Issuer Name: BNP Paribas SA |
Structured Product |
PL16KK |
SWB |
55.68 |
EUR |
| Details |
BNP Paribas SA 0.306124 P Issuer Name: BNP Paribas SA |
Structured Product |
PL16LQ |
SWB |
55.26 |
EUR |
| Details |
BNP Paribas SA 3.9212 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8JDC |
SWB |
8.34 |
EUR |
| Details |
BNP Paribas SA 0.315914 P Issuer Name: BNP Paribas SA |
Structured Product |
PC8HHP |
SWB |
60.24 |
EUR |
| Details |
BNP Paribas SA 374.7278 C Issuer Name: BNP Paribas SA |
Structured Product |
PC8HTS |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 16.8778 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0CAM |
SWB |
52.50 |
EUR |
| Details |
BNP Paribas SA 1.8912 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T05 |
SWB |
14.84 |
EUR |
| Details |
BNP Paribas SA 2.0309 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T06 |
SWB |
23.32 |
EUR |
| Details |
BNP Paribas SA 2.0509 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T07 |
SWB |
24.53 |
EUR |
| Details |
BNP Paribas SA 2.3183 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T08 |
SWB |
40.75 |
EUR |
| Details |
BNP Paribas SA 2.6664 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T09 |
SWB |
61.87 |
EUR |
| Details |
BNP Paribas SA 16.879 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T1V |
SWB |
52.46 |
EUR |
| Details |
BNP Paribas SA 0.326006 P Issuer Name: BNP Paribas SA |
Structured Product |
PG0T3C |
SWB |
65.36 |
EUR |
| Details |
BNP Paribas SA 2.6668 P Issuer Name: BNP Paribas SA |
Structured Product |
PG01JN |
SWB |
61.94 |
EUR |
| Details |
BNP Paribas SA 12.7128 P Issuer Name: BNP Paribas SA |
Structured Product |
PG01JY |
SWB |
14.89 |
EUR |
| Details |
BNP Paribas SA 1.8319 P Issuer Name: BNP Paribas SA |
Structured Product |
PG01PT |
SWB |
11.24 |
EUR |
| Details |
BNP Paribas SA 0.280083 P Issuer Name: BNP Paribas SA |
Structured Product |
PG01TF |
SWB |
42.03 |
EUR |
| Details |
BNP Paribas SA 0.336095 P Issuer Name: BNP Paribas SA |
Structured Product |
PG01TG |
SWB |
70.48 |
EUR |
| Details |
BNP Paribas SA 2.0119 P Issuer Name: BNP Paribas SA |
Structured Product |
PG3MCK |
SWB |
22.16 |
EUR |
| Details |
BNP Paribas SA 12.2168 P Issuer Name: BNP Paribas SA |
Structured Product |
PG3MD0 |
SWB |
10.35 |
EUR |
| Details |
BNP Paribas SA 0.22394 P Issuer Name: BNP Paribas SA |
Structured Product |
PG3NAS |
SWB |
13.48 |
EUR |
| Details |
BNP Paribas SA 0.22648 P Issuer Name: BNP Paribas SA |
Structured Product |
PG3NC0 |
SWB |
14.79 |
EUR |
| Details |
BNP Paribas SA 12.1174 P Issuer Name: BNP Paribas SA |
Structured Product |
PG3NSQ |
SWB |
9.51 |
EUR |
| Details |
BNP Paribas SA 420.8242 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0BNM |
SWB |
6.92 |
EUR |
| Details |
BNP Paribas SA 0.221315 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0BPT |
SWB |
12.17 |
EUR |
| Details |
BNP Paribas SA 12.0188 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0BQE |
SWB |
8.62 |
EUR |
| Details |
BNP Paribas SA 0.216106 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ04VL |
SWB |
9.52 |
EUR |
| Details |
BNP Paribas SA 0.218637 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ04VM |
SWB |
10.80 |
EUR |
| Details |
BNP Paribas SA 1.9235 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0590 |
SWB |
16.81 |
EUR |
| Details |
BNP Paribas SA 2.1232 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0591 |
SWB |
28.95 |
EUR |
| Details |
BNP Paribas SA 352.2433 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0593 |
SWB |
10.48 |
EUR |
| Details |
BNP Paribas SA 7.3241 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0596 |
SWB |
33.80 |
EUR |
| Details |
BNP Paribas SA 13.4137 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0597 |
SWB |
21.22 |
EUR |
| Details |
BNP Paribas SA 13.9103 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ0598 |
SWB |
25.70 |
EUR |
| Details |
BNP Paribas SA 1.5121 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ059X |
SWB |
8.20 |
EUR |
| Details |
BNP Paribas SA 1.8241 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ059Y |
SWB |
10.77 |
EUR |
| Details |
BNP Paribas SA 1.8736 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ059Z |
SWB |
13.77 |
EUR |
| Details |
BNP Paribas SA 1.3075 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A1 |
SWB |
20.57 |
EUR |
| Details |
BNP Paribas SA 1.2572 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A2 |
SWB |
23.62 |
EUR |
| Details |
BNP Paribas SA 1.1386 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A3 |
SWB |
30.82 |
EUR |
| Details |
BNP Paribas SA 1.8736 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A4 |
SWB |
13.77 |
EUR |
| Details |
BNP Paribas SA 1.9335 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A5 |
SWB |
17.41 |
EUR |
| Details |
BNP Paribas SA 1.9734 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A6 |
SWB |
19.83 |
EUR |
| Details |
BNP Paribas SA 2.1232 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A7 |
SWB |
28.91 |
EUR |
| Details |
BNP Paribas SA 10.4652 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06A9 |
SWB |
5.37 |
EUR |
| Details |
BNP Paribas SA 8.8948 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BA |
SWB |
19.55 |
EUR |
| Details |
BNP Paribas SA 3.6736 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BB |
SWB |
14.12 |
EUR |
| Details |
BNP Paribas SA 3.5708 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BC |
SWB |
16.53 |
EUR |
| Details |
BNP Paribas SA 0.171206 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BP |
SWB |
13.21 |
EUR |
| Details |
BNP Paribas SA 0.149811 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BQ |
SWB |
24.09 |
EUR |
| Details |
BNP Paribas SA 0.139109 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BR |
SWB |
29.53 |
EUR |
| Details |
BNP Paribas SA 0.259263 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BS |
SWB |
31.44 |
EUR |
| Details |
BNP Paribas SA 0.294846 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BT |
SWB |
49.53 |
EUR |
| Details |
BNP Paribas SA 9.8347 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ1B8Y |
SWB |
11.07 |
EUR |
| Details |
BNP Paribas SA 0.184524 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ1B9M |
SWB |
6.44 |
EUR |
| Details |
BNP Paribas SA 1.3576 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ1B9W |
SWB |
17.61 |
EUR |
| Details |
BNP Paribas SA 1.8376 P Issuer Name: BNP Paribas SA |
Structured Product |
BB08M7 |
SWB |
12.09 |
EUR |
| Details |
BNP Paribas SA 1.5803 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E94 |
SWB |
3.850 |
EUR |
| Details |
BNP Paribas SA 1.5364 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E95 |
SWB |
6.52 |
EUR |
| Details |
BNP Paribas SA 1.4941 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E96 |
SWB |
9.10 |
EUR |
| Details |
BNP Paribas SA 1.4489 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E97 |
SWB |
11.85 |
EUR |
| Details |
BNP Paribas SA 1.362 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E98 |
SWB |
17.14 |
EUR |
| Details |
BNP Paribas SA 1.2721 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0E99 |
SWB |
22.62 |
EUR |
| Details |
BNP Paribas SA 1.1683 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FAA |
SWB |
28.84 |
EUR |
| Details |
BNP Paribas SA 1.8827 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0FAG |
SWB |
15.00 |
EUR |
| Details |
BNP Paribas SA 1.5803 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP3 |
SWB |
3.560 |
EUR |
| Details |
BNP Paribas SA 1.5364 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP4 |
SWB |
6.24 |
EUR |
| Details |
BNP Paribas SA 1.4941 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP5 |
SWB |
8.82 |
EUR |
| Details |
BNP Paribas SA 1.4489 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP6 |
SWB |
11.57 |
EUR |
| Details |
BNP Paribas SA 1.362 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP7 |
SWB |
16.87 |
EUR |
| Details |
BNP Paribas SA 1.2721 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP8 |
SWB |
22.36 |
EUR |
| Details |
BNP Paribas SA 1.1683 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0FP9 |
SWB |
28.69 |
EUR |
| Details |
BNP Paribas SA 1.8827 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0FQF |
SWB |
14.87 |
EUR |
| Details |
BNP Paribas SA 1.6255 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0G74 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.9604 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0G77 |
SWB |
19.60 |
EUR |
| Details |
BNP Paribas SA 1.6257 C Issuer Name: BNP Paribas SA |
Structured Product |
BB0GY0 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.9604 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0GY3 |
SWB |
19.73 |
EUR |
| Details |
BNP Paribas SA 2.0407 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0SJG |
SWB |
24.42 |
EUR |
| Details |
BNP Paribas SA 2.0407 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0TC0 |
SWB |
24.56 |
EUR |
| Details |
BNP Paribas SA 2.1118 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0WW2 |
SWB |
28.89 |
EUR |
| Details |
BNP Paribas SA 2.1118 P Issuer Name: BNP Paribas SA |
Structured Product |
BB0WWY |
SWB |
28.75 |
EUR |
| Details |
BNP Paribas SA 2.1852 P Issuer Name: BNP Paribas SA |
Structured Product |
BB124F |
SWB |
33.21 |
EUR |
| Details |
BNP Paribas SA 2.1852 P Issuer Name: BNP Paribas SA |
Structured Product |
BB125E |
SWB |
33.35 |
EUR |
| Details |
BNP Paribas SA 1.2453 C Issuer Name: BNP Paribas SA |
Structured Product |
BB1Q2A |
SWB |
21.41 |
EUR |
| Details |
BNP Paribas SA 1.6996 P Issuer Name: BNP Paribas SA |
Structured Product |
BB1Q2B |
SWB |
7.23 |
EUR |
| Details |
BNP Paribas SA 1.5406 C Issuer Name: BNP Paribas SA |
Structured Product |
BB26SW |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5305 C Issuer Name: BNP Paribas SA |
Structured Product |
BB26SX |
SWB |
3.440 |
EUR |
| Details |
BNP Paribas SA 1.9288 P Issuer Name: BNP Paribas SA |
Structured Product |
BB28BF |
SWB |
17.59 |
EUR |
| Details |
BNP Paribas SA 2.2862 P Issuer Name: BNP Paribas SA |
Structured Product |
BB28BG |
SWB |
39.37 |
EUR |
| Details |
BNP Paribas SA 1.9288 P Issuer Name: BNP Paribas SA |
Structured Product |
BB28CJ |
SWB |
17.73 |
EUR |
| Details |
BNP Paribas SA 2.2862 P Issuer Name: BNP Paribas SA |
Structured Product |
BB28CK |
SWB |
39.51 |
EUR |
| Details |
BNP Paribas SA 1.4905 C Issuer Name: BNP Paribas SA |
Structured Product |
BB2R5L |
SWB |
5.95 |
EUR |
| Details |
BNP Paribas SA 1.4795 C Issuer Name: BNP Paribas SA |
Structured Product |
BB2R5M |
SWB |
6.64 |
EUR |
| Details |
BNP Paribas SA 1.4636 C Issuer Name: BNP Paribas SA |
Structured Product |
BB2R5N |
SWB |
7.64 |
EUR |
| Details |
BNP Paribas SA 1.8528 P Issuer Name: BNP Paribas SA |
Structured Product |
BB3MG8 |
SWB |
12.96 |
EUR |
| Details |
BNP Paribas SA 1.8514 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ3GT8 |
SWB |
12.46 |
EUR |
| Details |
BNP Paribas SA 360.2126 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ3PTG |
SWB |
8.31 |
EUR |
| Details |
BNP Paribas SA 1.5878 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ30T0 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 414.8076 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ30T2 |
SWB |
5.39 |
EUR |
| Details |
BNP Paribas SA 1.8576 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ4C5X |
SWB |
12.79 |
EUR |
| Details |
BNP Paribas SA 2.357 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ4C5Y |
SWB |
48.50 |
EUR |
| Details |
BNP Paribas SA 1.6715 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ4C7L |
SWB |
5.36 |
EUR |
| Details |
BNP Paribas SA 2.357 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ4C7M |
SWB |
48.54 |
EUR |
| Details |
BNP Paribas SA 2.3753 P Issuer Name: BNP Paribas SA |
Structured Product |
BB3V6K |
SWB |
44.92 |
EUR |
| Details |
BNP Paribas SA 2.3753 P Issuer Name: BNP Paribas SA |
Structured Product |
BB3V7J |
SWB |
44.78 |
EUR |
| Details |
BNP Paribas SA 316.697 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ4XBA |
SWB |
19.51 |
EUR |
| Details |
BNP Paribas SA 419.6062 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ42V2 |
SWB |
6.75 |
EUR |
| Details |
BNP Paribas SA 1.839 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ48B2 |
SWB |
11.68 |
EUR |
| Details |
BNP Paribas SA 2.5989 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ48CG |
SWB |
39.24 |
EUR |
| Details |
BNP Paribas SA 13.0287 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ5PB3 |
SWB |
17.68 |
EUR |
| Details |
BNP Paribas SA 1.535 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ5PC3 |
SWB |
3.300 |
EUR |
| Details |
BNP Paribas SA 2.0652 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ6CY3 |
SWB |
30.13 |
EUR |
| Details |
BNP Paribas SA 10.1275 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ6G99 |
SWB |
8.41 |
EUR |
| Details |
BNP Paribas SA 1.5618 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3103 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 367.067 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ6M1H |
SWB |
6.71 |
EUR |
| Details |
BNP Paribas SA 7.7488 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ6M1K |
SWB |
29.96 |
EUR |
| Details |
BNP Paribas SA 356.5039 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ6QU2 |
SWB |
9.25 |
EUR |
| Details |
BNP Paribas SA 408.9658 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ6QU3 |
SWB |
3.900 |
EUR |
| Details |
BNP Paribas SA 1.9743 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ610R |
SWB |
24.40 |
EUR |
| Details |
BNP Paribas SA 0.212368 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ611P |
SWB |
7.62 |
EUR |
| Details |
BNP Paribas SA 1.9743 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ6Z7Y |
SWB |
24.44 |
EUR |
| Details |
BNP Paribas SA 2.1647 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ6Z7Z |
SWB |
36.43 |
EUR |
| Details |
BNP Paribas SA 416.4284 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ63D8 |
SWB |
5.94 |
EUR |
| Details |
BNP Paribas SA 1.6032 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ7BTV |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.8757 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ7KGB |
SWB |
18.23 |
EUR |
| Details |
BNP Paribas SA 0.167436 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ7PL7 |
SWB |
15.14 |
EUR |
| Details |
BNP Paribas SA 413.7199 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ7RJJ |
SWB |
5.26 |
EUR |
| Details |
BNP Paribas SA 1.8823 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ7U27 |
SWB |
14.30 |
EUR |
| Details |
BNP Paribas SA 313.5017 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ7U28 |
SWB |
20.18 |
EUR |
| Details |
BNP Paribas SA 12.5387 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ72XJ |
SWB |
13.26 |
EUR |
| Details |
BNP Paribas SA 403.3932 P Issuer Name: BNP Paribas SA |
Structured Product |
BY0AQW |
SWB |
2.630 |
EUR |
| Details |
BNP Paribas SA 408.4355 P Issuer Name: BNP Paribas SA |
Structured Product |
BY0AQX |
SWB |
3.910 |
EUR |
| Details |
BNP Paribas SA 359.384 C Issuer Name: BNP Paribas SA |
Structured Product |
BY0AQ2 |
SWB |
8.66 |
EUR |
| Details |
BNP Paribas SA 348.6719 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ8ZTH |
SWB |
11.24 |
EUR |
| Details |
BNP Paribas SA 403.0938 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ8ZTJ |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.4975 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ8ZTM |
SWB |
18.24 |
EUR |
| Details |
BNP Paribas SA 8.3827 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ8ZTN |
SWB |
22.31 |
EUR |
| Details |
BNP Paribas SA 4.3384 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ87J1 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 410.7164 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ9AGH |
SWB |
4.490 |
EUR |
| Details |
BNP Paribas SA 1.2333 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ9FGX |
SWB |
25.11 |
EUR |
| Details |
BNP Paribas SA 1.8251 P Issuer Name: BNP Paribas SA |
Structured Product |
BB38VZ |
SWB |
11.26 |
EUR |
| Details |
BNP Paribas SA 2.1695 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ9HUT |
SWB |
36.69 |
EUR |
| Details |
BNP Paribas SA 0.209307 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ9L8E |
SWB |
6.05 |
EUR |
| Details |
BNP Paribas SA 352.7569 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ9PSG |
SWB |
10.20 |
EUR |
| Details |
BNP Paribas SA 0.214319 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ9S9L |
SWB |
8.60 |
EUR |
| Details |
BNP Paribas SA 289.5889 C Issuer Name: BNP Paribas SA |
Structured Product |
PK0JX0 |
SWB |
26.26 |
EUR |
| Details |
BNP Paribas SA 3.8373 C Issuer Name: BNP Paribas SA |
Structured Product |
PK0JYE |
SWB |
10.30 |
EUR |
| Details |
BNP Paribas SA 0.155214 C Issuer Name: BNP Paribas SA |
Structured Product |
PK0JYH |
SWB |
21.34 |
EUR |
| Details |
BNP Paribas SA 12.7534 P Issuer Name: BNP Paribas SA |
Structured Product |
PK09T2 |
SWB |
15.20 |
EUR |
| Details |
BNP Paribas SA 1.8178 P Issuer Name: BNP Paribas SA |
Structured Product |
PK09TV |
SWB |
10.39 |
EUR |
| Details |
BNP Paribas SA 1.9444 P Issuer Name: BNP Paribas SA |
Structured Product |
BB4EZN |
SWB |
22.66 |
EUR |
| Details |
BNP Paribas SA 309.0996 C Issuer Name: BNP Paribas SA |
Structured Product |
PK1F3V |
SWB |
21.44 |
EUR |
| Details |
BNP Paribas SA 1.8081 P Issuer Name: BNP Paribas SA |
Structured Product |
PK1F4F |
SWB |
9.80 |
EUR |
| Details |
BNP Paribas SA 0.20639 P Issuer Name: BNP Paribas SA |
Structured Product |
PK1P12 |
SWB |
4.570 |
EUR |
| Details |
BNP Paribas SA 339.4356 C Issuer Name: BNP Paribas SA |
Structured Product |
PK15Z8 |
SWB |
13.59 |
EUR |
| Details |
BNP Paribas SA 1.9886 P Issuer Name: BNP Paribas SA |
Structured Product |
BB4FKU |
SWB |
21.37 |
EUR |
| Details |
BNP Paribas SA 1.9887 P Issuer Name: BNP Paribas SA |
Structured Product |
BB4F6D |
SWB |
21.23 |
EUR |
| Details |
BNP Paribas SA 11.1293 P Issuer Name: BNP Paribas SA |
Structured Product |
PK2J7W |
SWB |
2.780 |
EUR |
| Details |
BNP Paribas SA 4.2894 P Issuer Name: BNP Paribas SA |
Structured Product |
PK2W49 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 374.3271 C Issuer Name: BNP Paribas SA |
Structured Product |
PK26LW |
SWB |
4.860 |
EUR |
| Details |
BNP Paribas SA 364.0716 C Issuer Name: BNP Paribas SA |
Structured Product |
PK26M5 |
SWB |
7.33 |
EUR |
| Details |
BNP Paribas SA 1.7113 P Issuer Name: BNP Paribas SA |
Structured Product |
PK3BL7 |
SWB |
7.87 |
EUR |
| Details |
BNP Paribas SA 348.6145 C Issuer Name: BNP Paribas SA |
Structured Product |
PK3BL8 |
SWB |
11.40 |
EUR |
| Details |
BNP Paribas SA 368.9659 C Issuer Name: BNP Paribas SA |
Structured Product |
PK3PHY |
SWB |
6.23 |
EUR |
| Details |
BNP Paribas SA 1.8012 P Issuer Name: BNP Paribas SA |
Structured Product |
PK39F2 |
SWB |
9.38 |
EUR |
| Details |
BNP Paribas SA 296.8478 C Issuer Name: BNP Paribas SA |
Structured Product |
PK39F3 |
SWB |
24.42 |
EUR |
| Details |
BNP Paribas SA 399.1756 P Issuer Name: BNP Paribas SA |
Structured Product |
PK39G0 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0.203544 P Issuer Name: BNP Paribas SA |
Structured Product |
PK39GS |
SWB |
3.130 |
EUR |
| Details |
BNP Paribas SA 1.7919 P Issuer Name: BNP Paribas SA |
Structured Product |
BY0L8B |
SWB |
8.86 |
EUR |
| Details |
BNP Paribas SA 406.6854 P Issuer Name: BNP Paribas SA |
Structured Product |
BY0PA7 |
SWB |
3.470 |
EUR |
| Details |
BNP Paribas SA 1.5198 C Issuer Name: BNP Paribas SA |
Structured Product |
BY0P9S |
SWB |
7.69 |
EUR |
| Details |
BNP Paribas SA 401.6468 P Issuer Name: BNP Paribas SA |
Structured Product |
BY0SRY |
SWB |
2.190 |
EUR |
| Details |
BNP Paribas SA 0.101942 C Issuer Name: BNP Paribas SA |
Structured Product |
BY0561 |
SWB |
48.42 |
EUR |
| Details |
BNP Paribas SA 0.200842 P Issuer Name: BNP Paribas SA |
Structured Product |
BY08KA |
SWB |
1.750 |
EUR |
| Details |
BNP Paribas SA 1.7933 P Issuer Name: BNP Paribas SA |
Structured Product |
BY093N |
SWB |
8.90 |
EUR |
| Details |
BNP Paribas SA 12.0731 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1BGJ |
SWB |
9.05 |
EUR |
| Details |
BNP Paribas SA 0.173135 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1BGL |
SWB |
12.23 |
EUR |
| Details |
BNP Paribas SA 396.093 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GE0 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 11.9754 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GE2 |
SWB |
8.17 |
EUR |
| Details |
BNP Paribas SA 10.9322 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GE3 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.7838 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GEY |
SWB |
8.32 |
EUR |
| Details |
BNP Paribas SA 335.5238 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1GEZ |
SWB |
14.59 |
EUR |
| Details |
BNP Paribas SA 1.7741 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GT6 |
SWB |
7.74 |
EUR |
| Details |
BNP Paribas SA 0.198174 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1GUF |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.7644 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1KLA |
SWB |
7.15 |
EUR |
| Details |
BNP Paribas SA 9.4945 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1KLC |
SWB |
14.14 |
EUR |
| Details |
BNP Paribas SA 1.7695 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1RCK |
SWB |
7.50 |
EUR |
| Details |
BNP Paribas SA 1.7947 P Issuer Name: BNP Paribas SA |
Structured Product |
BB4TY0 |
SWB |
9.39 |
EUR |
| Details |
BNP Paribas SA 1.7951 P Issuer Name: BNP Paribas SA |
Structured Product |
BB4VDT |
SWB |
9.53 |
EUR |
| Details |
BNP Paribas SA 11.8824 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1SH1 |
SWB |
7.33 |
EUR |
| Details |
BNP Paribas SA 0.169438 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1ZSP |
SWB |
14.11 |
EUR |
| Details |
BNP Paribas SA 1.7562 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1510 |
SWB |
6.65 |
EUR |
| Details |
BNP Paribas SA 202.116 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1511 |
SWB |
48.49 |
EUR |
| Details |
BNP Paribas SA 390.5504 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1512 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 10.5763 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1515 |
SWB |
4.370 |
EUR |
| Details |
BNP Paribas SA 11.7846 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1516 |
SWB |
6.45 |
EUR |
| Details |
BNP Paribas SA 2.8201 C Issuer Name: BNP Paribas SA |
Structured Product |
BY1517 |
SWB |
34.07 |
EUR |
| Details |
BNP Paribas SA 1.7462 P Issuer Name: BNP Paribas SA |
Structured Product |
BY151Z |
SWB |
6.04 |
EUR |
| Details |
BNP Paribas SA 338.5444 C Issuer Name: BNP Paribas SA |
Structured Product |
BY166G |
SWB |
13.96 |
EUR |
| Details |
BNP Paribas SA 202.116 C Issuer Name: BNP Paribas SA |
Structured Product |
BY166H |
SWB |
48.64 |
EUR |
| Details |
BNP Paribas SA 11.8846 P Issuer Name: BNP Paribas SA |
Structured Product |
BY166M |
SWB |
7.49 |
EUR |
| Details |
BNP Paribas SA 1.6728 P Issuer Name: BNP Paribas SA |
Structured Product |
BB40AB |
SWB |
5.53 |
EUR |
| Details |
BNP Paribas SA 11.7849 P Issuer Name: BNP Paribas SA |
Structured Product |
BY19DX |
SWB |
6.58 |
EUR |
| Details |
BNP Paribas SA 1.2089 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2CGV |
SWB |
26.55 |
EUR |
| Details |
BNP Paribas SA 1.7365 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2CGW |
SWB |
5.45 |
EUR |
| Details |
BNP Paribas SA 1.6445 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2CGX |
SWB |
3.620 |
EUR |
| Details |
BNP Paribas SA 1.7465 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2DA9 |
SWB |
6.06 |
EUR |
| Details |
BNP Paribas SA 11.6856 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2DBC |
SWB |
5.69 |
EUR |
| Details |
BNP Paribas SA 1.4488 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2EVE |
SWB |
11.99 |
EUR |
| Details |
BNP Paribas SA 1.7268 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2EVH |
SWB |
4.860 |
EUR |
| Details |
BNP Paribas SA 10.3653 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2EVJ |
SWB |
6.27 |
EUR |
| Details |
BNP Paribas SA 1.6089 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2FVX |
SWB |
2.320 |
EUR |
| Details |
BNP Paribas SA 1.7218 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2FVY |
SWB |
4.570 |
EUR |
| Details |
BNP Paribas SA 0.146128 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2F0A |
SWB |
25.96 |
EUR |
| Details |
BNP Paribas SA 0.195179 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2F0B |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.4674 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2FZS |
SWB |
10.87 |
EUR |
| Details |
BNP Paribas SA 1.7074 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2FZT |
SWB |
3.690 |
EUR |
| Details |
BNP Paribas SA 1.7174 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2FZU |
SWB |
4.290 |
EUR |
| Details |
BNP Paribas SA 11.589 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2FZX |
SWB |
4.680 |
EUR |
| Details |
BNP Paribas SA 11.689 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2FZY |
SWB |
5.58 |
EUR |
| Details |
BNP Paribas SA 392.8617 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2HAL |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 395.364 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2HAM |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 10.7558 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2HAP |
SWB |
2.880 |
EUR |
| Details |
BNP Paribas SA 11.589 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2HAQ |
SWB |
4.820 |
EUR |
| Details |
BNP Paribas SA 1.7576 P Issuer Name: BNP Paribas SA |
Structured Product |
BB46LQ |
SWB |
7.14 |
EUR |
| Details |
BNP Paribas SA 1.7176 P Issuer Name: BNP Paribas SA |
Structured Product |
BB46NJ |
SWB |
4.840 |
EUR |
| Details |
BNP Paribas SA 1.7576 P Issuer Name: BNP Paribas SA |
Structured Product |
BB46NK |
SWB |
7.28 |
EUR |
| Details |
BNP Paribas SA 365.1108 C Issuer Name: BNP Paribas SA |
Structured Product |
PK7H0F |
SWB |
7.21 |
EUR |
| Details |
BNP Paribas SA 11.4897 P Issuer Name: BNP Paribas SA |
Structured Product |
PK7HZX |
SWB |
3.790 |
EUR |
| Details |
BNP Paribas SA 10.7464 P Issuer Name: BNP Paribas SA |
Structured Product |
PK7HZY |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 11.4897 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2JUZ |
SWB |
3.920 |
EUR |
| Details |
BNP Paribas SA 1.6511 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2HBS |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 327.2724 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2HBT |
SWB |
16.68 |
EUR |
| Details |
BNP Paribas SA 385.082 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2HBU |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 12.3896 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2JV6 |
SWB |
11.91 |
EUR |
| Details |
BNP Paribas SA 301.782 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2KXH |
SWB |
23.30 |
EUR |
| Details |
BNP Paribas SA 1.6038 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2JWF |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.6982 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2JWG |
SWB |
3.130 |
EUR |
| Details |
BNP Paribas SA 385 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2JWJ |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.7185 P Issuer Name: BNP Paribas SA |
Structured Product |
BB49BY |
SWB |
4.760 |
EUR |
| Details |
BNP Paribas SA 1.6888 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2RB1 |
SWB |
2.560 |
EUR |
| Details |
BNP Paribas SA 385.0139 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2RB2 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 10.5097 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2RB6 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0.192535 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2RCE |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.6988 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2UYS |
SWB |
3.210 |
EUR |
| Details |
BNP Paribas SA 356.5154 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2UYT |
SWB |
9.39 |
EUR |
| Details |
BNP Paribas SA 11.4 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2SL0 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5532 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2088 |
SWB |
5.74 |
EUR |
| Details |
BNP Paribas SA 1.6232 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2089 |
SWB |
2.320 |
EUR |
| Details |
BNP Paribas SA 11.3952 P Issuer Name: BNP Paribas SA |
Structured Product |
BY209E |
SWB |
3.070 |
EUR |
| Details |
BNP Paribas SA 1.4032 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2TTE |
SWB |
14.76 |
EUR |
| Details |
BNP Paribas SA 376.2194 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2TTG |
SWB |
4.240 |
EUR |
| Details |
BNP Paribas SA 0.165556 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2WJK |
SWB |
16.09 |
EUR |
| Details |
BNP Paribas SA 10.0211 C Issuer Name: BNP Paribas SA |
Structured Product |
BY22WT |
SWB |
9.52 |
EUR |
| Details |
BNP Paribas SA 1.6364 P Issuer Name: BNP Paribas SA |
Structured Product |
BB5CNY |
SWB |
3.120 |
EUR |
| Details |
BNP Paribas SA 1.6475 P Issuer Name: BNP Paribas SA |
Structured Product |
BB5CNZ |
SWB |
3.830 |
EUR |
| Details |
BNP Paribas SA 11.3958 P Issuer Name: BNP Paribas SA |
Structured Product |
BY21AY |
SWB |
2.940 |
EUR |
| Details |
BNP Paribas SA 1.6795 P Issuer Name: BNP Paribas SA |
Structured Product |
BY21BB |
SWB |
1.990 |
EUR |
| Details |
BNP Paribas SA 380.2315 C Issuer Name: BNP Paribas SA |
Structured Product |
BY21BC |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.2017 C Issuer Name: BNP Paribas SA |
Structured Product |
BY21BD |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.35 P Issuer Name: BNP Paribas SA |
Structured Product |
BY21BE |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0.187618 C Issuer Name: BNP Paribas SA |
Structured Product |
BY226B |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.4014 C Issuer Name: BNP Paribas SA |
Structured Product |
BB5FMB |
SWB |
14.69 |
EUR |
| Details |
BNP Paribas SA 1.6799 P Issuer Name: BNP Paribas SA |
Structured Product |
BB5FMC |
SWB |
2.560 |
EUR |
| Details |
BNP Paribas SA 1.4014 C Issuer Name: BNP Paribas SA |
Structured Product |
BB5FN8 |
SWB |
14.54 |
EUR |
| Details |
BNP Paribas SA 1.6799 P Issuer Name: BNP Paribas SA |
Structured Product |
BB5FN9 |
SWB |
2.420 |
EUR |
| Details |
BNP Paribas SA 0.195 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XS6 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5614 C Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSF |
SWB |
5.16 |
EUR |
| Details |
BNP Paribas SA 1.3814 C Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSG |
SWB |
16.08 |
EUR |
| Details |
BNP Paribas SA 1.65 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSH |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.6599 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSJ |
SWB |
1.010 |
EUR |
| Details |
BNP Paribas SA 1.6699 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSK |
SWB |
1.410 |
EUR |
| Details |
BNP Paribas SA 1.55 C Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSL |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5993 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSM |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 380.54 C Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSN |
SWB |
3.140 |
EUR |
| Details |
BNP Paribas SA 395 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSP |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 400.0869 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSQ |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 405.1025 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSR |
SWB |
2.920 |
EUR |
| Details |
BNP Paribas SA 4.2041 C Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSU |
SWB |
1.720 |
EUR |
| Details |
BNP Paribas SA 4.3492 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XSV |
SWB |
1.710 |
EUR |
| Details |
BNP Paribas SA 1.6749 P Issuer Name: BNP Paribas SA |
Structured Product |
PK8XTD |
SWB |
1.720 |
EUR |
| Details |
BNP Paribas SA 3.7535 C Issuer Name: BNP Paribas SA |
Structured Product |
BY295B |
SWB |
12.26 |
EUR |
| Details |
BNP Paribas SA 10.5062 C Issuer Name: BNP Paribas SA |
Structured Product |
BY295C |
SWB |
2.680 |
EUR |
| Details |
BNP Paribas SA 0.187776 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3CGS |
SWB |
4.790 |
EUR |
| Details |
BNP Paribas SA 1.6499 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3FW6 |
SWB |
0.2200 |
EUR |
| Details |
BNP Paribas SA 10.2085 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3CG0 |
SWB |
7.69 |
EUR |
| Details |
BNP Paribas SA 385 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3CGX |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0.19 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3F3J |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.5997 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3HHV |
SWB |
0.8400 |
EUR |
| Details |
BNP Paribas SA 11.2994 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3JV1 |
SWB |
2.070 |
EUR |
| Details |
BNP Paribas SA 1.5502 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3JVY |
SWB |
2.300 |
EUR |
| Details |
BNP Paribas SA 11.2 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3K5V |
SWB |
1.170 |
EUR |
| Details |
BNP Paribas SA 10.4 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3NNP |
SWB |
6.09 |
EUR |
| Details |
BNP Paribas SA 11.3 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3NNQ |
SWB |
2.210 |
EUR |
| Details |
BNP Paribas SA 1.59 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3MF5 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 385 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3MF7 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 400 P Issuer Name: BNP Paribas SA |
Structured Product |
BY3NQ7 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0.19 C Issuer Name: BNP Paribas SA |
Structured Product |
BY3Q6J |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.3782 C Issuer Name: DZ Bank |
Structured Product |
DF551Q |
SWB |
16.32 |
EUR |
| Details |
DZ Bank 1.9013 P Issuer Name: DZ Bank |
Structured Product |
DF551R |
SWB |
15.42 |
EUR |
| Details |
DZ Bank 1.6364 C Issuer Name: DZ Bank |
Structured Product |
DF56ML |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6404 C Issuer Name: DZ Bank |
Structured Product |
DF56MM |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.643 C Issuer Name: DZ Bank |
Structured Product |
DF56MN |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6486 C Issuer Name: DZ Bank |
Structured Product |
DF56MP |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 27.634 P Issuer Name: DZ Bank |
Structured Product |
DF59Y3 |
SWB |
13.54 |
EUR |
| Details |
DZ Bank 12.7684 P Issuer Name: DZ Bank |
Structured Product |
DFN2US |
SWB |
15.35 |
EUR |
| Details |
DZ Bank 1.7938 C Issuer Name: DZ Bank |
Structured Product |
DFN2UT |
SWB |
9.55 |
EUR |
| Details |
DZ Bank 9.9129 C Issuer Name: DZ Bank |
Structured Product |
DFN2UV |
SWB |
8.08 |
EUR |
| Details |
DZ Bank 0.256505 P Issuer Name: DZ Bank |
Structured Product |
DFN2X1 |
SWB |
30.57 |
EUR |
| Details |
DZ Bank 1.8559 C Issuer Name: DZ Bank |
Structured Product |
DFN3P0 |
SWB |
6.45 |
EUR |
| Details |
DZ Bank 1.7574 C Issuer Name: DZ Bank |
Structured Product |
DFN3PH |
SWB |
11.38 |
EUR |
| Details |
DZ Bank 1.7636 C Issuer Name: DZ Bank |
Structured Product |
DFN3PJ |
SWB |
11.07 |
EUR |
| Details |
DZ Bank 1.7719 C Issuer Name: DZ Bank |
Structured Product |
DFN3PK |
SWB |
10.65 |
EUR |
| Details |
DZ Bank 1.783 C Issuer Name: DZ Bank |
Structured Product |
DFN3PL |
SWB |
10.09 |
EUR |
| Details |
DZ Bank 1.8051 C Issuer Name: DZ Bank |
Structured Product |
DFN3PM |
SWB |
8.98 |
EUR |
| Details |
DZ Bank 1.8101 C Issuer Name: DZ Bank |
Structured Product |
DFN3PN |
SWB |
8.73 |
EUR |
| Details |
DZ Bank 1.8174 C Issuer Name: DZ Bank |
Structured Product |
DFN3PP |
SWB |
8.36 |
EUR |
| Details |
DZ Bank 1.8209 C Issuer Name: DZ Bank |
Structured Product |
DFN3PQ |
SWB |
8.20 |
EUR |
| Details |
DZ Bank 1.8244 C Issuer Name: DZ Bank |
Structured Product |
DFN3PR |
SWB |
8.03 |
EUR |
| Details |
DZ Bank 1.8279 C Issuer Name: DZ Bank |
Structured Product |
DFN3PS |
SWB |
7.85 |
EUR |
| Details |
DZ Bank 1.8314 C Issuer Name: DZ Bank |
Structured Product |
DFN3PT |
SWB |
7.67 |
EUR |
| Details |
DZ Bank 1.8349 C Issuer Name: DZ Bank |
Structured Product |
DFN3PU |
SWB |
7.50 |
EUR |
| Details |
DZ Bank 1.8384 C Issuer Name: DZ Bank |
Structured Product |
DFN3PV |
SWB |
7.32 |
EUR |
| Details |
DZ Bank 1.8419 C Issuer Name: DZ Bank |
Structured Product |
DFN3PW |
SWB |
7.15 |
EUR |
| Details |
DZ Bank 1.8454 C Issuer Name: DZ Bank |
Structured Product |
DFN3PX |
SWB |
6.98 |
EUR |
| Details |
DZ Bank 1.8489 C Issuer Name: DZ Bank |
Structured Product |
DFN3PY |
SWB |
6.80 |
EUR |
| Details |
DZ Bank 1.8524 C Issuer Name: DZ Bank |
Structured Product |
DFN3PZ |
SWB |
6.63 |
EUR |
| Details |
DZ Bank 1.5623 C Issuer Name: DZ Bank |
Structured Product |
DFN430 |
SWB |
5.24 |
EUR |
| Details |
DZ Bank 1.5741 C Issuer Name: DZ Bank |
Structured Product |
DFN431 |
SWB |
4.520 |
EUR |
| Details |
DZ Bank 1.5865 C Issuer Name: DZ Bank |
Structured Product |
DFN432 |
SWB |
3.790 |
EUR |
| Details |
DZ Bank 1.5993 C Issuer Name: DZ Bank |
Structured Product |
DFN433 |
SWB |
3.010 |
EUR |
| Details |
DZ Bank 1.6124 C Issuer Name: DZ Bank |
Structured Product |
DFN434 |
SWB |
2.220 |
EUR |
| Details |
DZ Bank 1.6206 C Issuer Name: DZ Bank |
Structured Product |
DFN435 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.3938 C Issuer Name: DZ Bank |
Structured Product |
DFN43K |
SWB |
15.38 |
EUR |
| Details |
DZ Bank 1.4051 C Issuer Name: DZ Bank |
Structured Product |
DFN43L |
SWB |
14.69 |
EUR |
| Details |
DZ Bank 1.4151 C Issuer Name: DZ Bank |
Structured Product |
DFN43M |
SWB |
14.08 |
EUR |
| Details |
DZ Bank 1.4251 C Issuer Name: DZ Bank |
Structured Product |
DFN43N |
SWB |
13.48 |
EUR |
| Details |
DZ Bank 1.4351 C Issuer Name: DZ Bank |
Structured Product |
DFN43P |
SWB |
12.87 |
EUR |
| Details |
DZ Bank 1.4451 C Issuer Name: DZ Bank |
Structured Product |
DFN43Q |
SWB |
12.26 |
EUR |
| Details |
DZ Bank 1.4551 C Issuer Name: DZ Bank |
Structured Product |
DFN43R |
SWB |
11.66 |
EUR |
| Details |
DZ Bank 1.4682 C Issuer Name: DZ Bank |
Structured Product |
DFN43S |
SWB |
10.86 |
EUR |
| Details |
DZ Bank 1.4812 C Issuer Name: DZ Bank |
Structured Product |
DFN43T |
SWB |
10.07 |
EUR |
| Details |
DZ Bank 1.4912 C Issuer Name: DZ Bank |
Structured Product |
DFN43U |
SWB |
9.51 |
EUR |
| Details |
DZ Bank 1.5012 C Issuer Name: DZ Bank |
Structured Product |
DFN43V |
SWB |
8.91 |
EUR |
| Details |
DZ Bank 1.5112 C Issuer Name: DZ Bank |
Structured Product |
DFN43W |
SWB |
8.30 |
EUR |
| Details |
DZ Bank 1.524 C Issuer Name: DZ Bank |
Structured Product |
DFN43X |
SWB |
7.53 |
EUR |
| Details |
DZ Bank 1.5362 C Issuer Name: DZ Bank |
Structured Product |
DFN43Y |
SWB |
6.79 |
EUR |
| Details |
DZ Bank 1.5503 C Issuer Name: DZ Bank |
Structured Product |
DFN43Z |
SWB |
5.97 |
EUR |
| Details |
DZ Bank 1.8237 P Issuer Name: DZ Bank |
Structured Product |
DFN44E |
SWB |
10.74 |
EUR |
| Details |
DZ Bank 1.8337 P Issuer Name: DZ Bank |
Structured Product |
DFN44F |
SWB |
11.34 |
EUR |
| Details |
DZ Bank 1.8407 P Issuer Name: DZ Bank |
Structured Product |
DFN44G |
SWB |
11.77 |
EUR |
| Details |
DZ Bank 1.8507 P Issuer Name: DZ Bank |
Structured Product |
DFN44H |
SWB |
12.37 |
EUR |
| Details |
DZ Bank 1.8607 P Issuer Name: DZ Bank |
Structured Product |
DFN44J |
SWB |
12.93 |
EUR |
| Details |
DZ Bank 1.8707 P Issuer Name: DZ Bank |
Structured Product |
DFN44K |
SWB |
13.56 |
EUR |
| Details |
DZ Bank 1.8807 P Issuer Name: DZ Bank |
Structured Product |
DFN44L |
SWB |
14.17 |
EUR |
| Details |
DZ Bank 1.8907 P Issuer Name: DZ Bank |
Structured Product |
DFN44M |
SWB |
14.77 |
EUR |
| Details |
DZ Bank 1.6949 C Issuer Name: DZ Bank |
Structured Product |
DFN488 |
SWB |
14.54 |
EUR |
| Details |
DZ Bank 1.7009 C Issuer Name: DZ Bank |
Structured Product |
DFN489 |
SWB |
14.23 |
EUR |
| Details |
DZ Bank 1.7079 C Issuer Name: DZ Bank |
Structured Product |
DFN49A |
SWB |
13.88 |
EUR |
| Details |
DZ Bank 1.7148 C Issuer Name: DZ Bank |
Structured Product |
DFN49B |
SWB |
13.53 |
EUR |
| Details |
DZ Bank 1.7209 C Issuer Name: DZ Bank |
Structured Product |
DFN49C |
SWB |
13.22 |
EUR |
| Details |
DZ Bank 1.7259 C Issuer Name: DZ Bank |
Structured Product |
DFN49D |
SWB |
12.97 |
EUR |
| Details |
DZ Bank 1.7309 C Issuer Name: DZ Bank |
Structured Product |
DFN49E |
SWB |
12.72 |
EUR |
| Details |
DZ Bank 1.7359 C Issuer Name: DZ Bank |
Structured Product |
DFN49F |
SWB |
12.47 |
EUR |
| Details |
DZ Bank 1.7414 C Issuer Name: DZ Bank |
Structured Product |
DFN49G |
SWB |
12.19 |
EUR |
| Details |
DZ Bank 1.7493 C Issuer Name: DZ Bank |
Structured Product |
DFN49H |
SWB |
11.79 |
EUR |
| Details |
DZ Bank 9.9828 C Issuer Name: DZ Bank |
Structured Product |
DFN4PB |
SWB |
7.44 |
EUR |
| Details |
DZ Bank 10.0507 C Issuer Name: DZ Bank |
Structured Product |
DFN4PC |
SWB |
6.81 |
EUR |
| Details |
DZ Bank 10.1095 C Issuer Name: DZ Bank |
Structured Product |
DFN4PD |
SWB |
6.26 |
EUR |
| Details |
DZ Bank 10.1701 C Issuer Name: DZ Bank |
Structured Product |
DFN4PE |
SWB |
5.70 |
EUR |
| Details |
DZ Bank 10.2309 C Issuer Name: DZ Bank |
Structured Product |
DFN4PF |
SWB |
5.14 |
EUR |
| Details |
DZ Bank 10.2979 C Issuer Name: DZ Bank |
Structured Product |
DFN4PG |
SWB |
4.520 |
EUR |
| Details |
DZ Bank 10.3661 C Issuer Name: DZ Bank |
Structured Product |
DFN4PH |
SWB |
3.890 |
EUR |
| Details |
DZ Bank 10.4292 C Issuer Name: DZ Bank |
Structured Product |
DFN4PJ |
SWB |
3.310 |
EUR |
| Details |
DZ Bank 10.4973 C Issuer Name: DZ Bank |
Structured Product |
DFN4PK |
SWB |
2.680 |
EUR |
| Details |
DZ Bank 12.1463 P Issuer Name: DZ Bank |
Structured Product |
DFN4SC |
SWB |
9.77 |
EUR |
| Details |
DZ Bank 12.1962 P Issuer Name: DZ Bank |
Structured Product |
DFN4SD |
SWB |
10.22 |
EUR |
| Details |
DZ Bank 12.242 P Issuer Name: DZ Bank |
Structured Product |
DFN4SE |
SWB |
10.63 |
EUR |
| Details |
DZ Bank 12.289 P Issuer Name: DZ Bank |
Structured Product |
DFN4SF |
SWB |
11.06 |
EUR |
| Details |
DZ Bank 12.3389 P Issuer Name: DZ Bank |
Structured Product |
DFN4SG |
SWB |
11.51 |
EUR |
| Details |
DZ Bank 12.3858 P Issuer Name: DZ Bank |
Structured Product |
DFN4SH |
SWB |
11.92 |
EUR |
| Details |
DZ Bank 12.4267 P Issuer Name: DZ Bank |
Structured Product |
DFN4SJ |
SWB |
12.30 |
EUR |
| Details |
DZ Bank 12.4737 P Issuer Name: DZ Bank |
Structured Product |
DFN4SK |
SWB |
12.73 |
EUR |
| Details |
DZ Bank 12.5203 P Issuer Name: DZ Bank |
Structured Product |
DFN4SL |
SWB |
13.15 |
EUR |
| Details |
DZ Bank 12.5677 P Issuer Name: DZ Bank |
Structured Product |
DFN4SM |
SWB |
13.58 |
EUR |
| Details |
DZ Bank 12.6086 P Issuer Name: DZ Bank |
Structured Product |
DFN4SN |
SWB |
13.95 |
EUR |
| Details |
DZ Bank 12.6523 P Issuer Name: DZ Bank |
Structured Product |
DFN4SP |
SWB |
14.30 |
EUR |
| Details |
DZ Bank 12.6994 P Issuer Name: DZ Bank |
Structured Product |
DFN4SQ |
SWB |
14.73 |
EUR |
| Details |
DZ Bank 9.3591 C Issuer Name: DZ Bank |
Structured Product |
DFN4SR |
SWB |
13.20 |
EUR |
| Details |
DZ Bank 9.4379 C Issuer Name: DZ Bank |
Structured Product |
DFN4SS |
SWB |
12.48 |
EUR |
| Details |
DZ Bank 9.5195 C Issuer Name: DZ Bank |
Structured Product |
DFN4ST |
SWB |
11.72 |
EUR |
| Details |
DZ Bank 9.6055 C Issuer Name: DZ Bank |
Structured Product |
DFN4SU |
SWB |
10.93 |
EUR |
| Details |
DZ Bank 9.6844 C Issuer Name: DZ Bank |
Structured Product |
DFN4SV |
SWB |
10.20 |
EUR |
| Details |
DZ Bank 9.7637 C Issuer Name: DZ Bank |
Structured Product |
DFN4SW |
SWB |
9.46 |
EUR |
| Details |
DZ Bank 9.8337 C Issuer Name: DZ Bank |
Structured Product |
DFN4SX |
SWB |
8.82 |
EUR |
| Details |
DZ Bank 2.5363 P Issuer Name: DZ Bank |
Structured Product |
DFN5BK |
SWB |
27.97 |
EUR |
| Details |
DZ Bank 1.3877 C Issuer Name: DZ Bank |
Structured Product |
DFN6JN |
SWB |
15.75 |
EUR |
| Details |
DZ Bank 8.9408 C Issuer Name: DZ Bank |
Structured Product |
DFN6JZ |
SWB |
17.06 |
EUR |
| Details |
DZ Bank 1.3971 C Issuer Name: DZ Bank |
Structured Product |
DV5EKJ |
SWB |
15.18 |
EUR |
| Details |
DZ Bank 1.8317 P Issuer Name: DZ Bank |
Structured Product |
DV5EKK |
SWB |
11.22 |
EUR |
| Details |
DZ Bank 12.4075 P Issuer Name: DZ Bank |
Structured Product |
DV5EKT |
SWB |
12.13 |
EUR |
| Details |
DZ Bank 1.7166 C Issuer Name: DZ Bank |
Structured Product |
DV5EKU |
SWB |
13.44 |
EUR |
| Details |
DZ Bank 9.8031 C Issuer Name: DZ Bank |
Structured Product |
DV5EKW |
SWB |
9.10 |
EUR |
| Details |
DZ Bank 26.259 P Issuer Name: DZ Bank |
Structured Product |
DV5FDA |
SWB |
7.98 |
EUR |
| Details |
DZ Bank 26.359 P Issuer Name: DZ Bank |
Structured Product |
DV5FDB |
SWB |
8.38 |
EUR |
| Details |
DZ Bank 26.459 P Issuer Name: DZ Bank |
Structured Product |
DV5FDC |
SWB |
8.79 |
EUR |
| Details |
DZ Bank 26.559 P Issuer Name: DZ Bank |
Structured Product |
DV5FDD |
SWB |
9.20 |
EUR |
| Details |
DZ Bank 26.659 P Issuer Name: DZ Bank |
Structured Product |
DV5FDE |
SWB |
9.61 |
EUR |
| Details |
DZ Bank 26.759 P Issuer Name: DZ Bank |
Structured Product |
DV5FDF |
SWB |
10.02 |
EUR |
| Details |
DZ Bank 26.859 P Issuer Name: DZ Bank |
Structured Product |
DV5FDG |
SWB |
10.42 |
EUR |
| Details |
DZ Bank 26.959 P Issuer Name: DZ Bank |
Structured Product |
DV5FDH |
SWB |
10.83 |
EUR |
| Details |
DZ Bank 27.028 P Issuer Name: DZ Bank |
Structured Product |
DV5FDJ |
SWB |
11.11 |
EUR |
| Details |
DZ Bank 27.128 P Issuer Name: DZ Bank |
Structured Product |
DV5FDK |
SWB |
11.52 |
EUR |
| Details |
DZ Bank 27.232 P Issuer Name: DZ Bank |
Structured Product |
DV5FDL |
SWB |
11.95 |
EUR |
| Details |
DZ Bank 27.327 P Issuer Name: DZ Bank |
Structured Product |
DV5FDM |
SWB |
12.33 |
EUR |
| Details |
DZ Bank 27.427 P Issuer Name: DZ Bank |
Structured Product |
DV5FDN |
SWB |
12.74 |
EUR |
| Details |
DZ Bank 27.555 P Issuer Name: DZ Bank |
Structured Product |
DV5FDP |
SWB |
13.26 |
EUR |
| Details |
DZ Bank 509.17 P Issuer Name: DZ Bank |
Structured Product |
DV5FJ7 |
SWB |
30.08 |
EUR |
| Details |
DZ Bank 511.49 P Issuer Name: DZ Bank |
Structured Product |
DV5FJ8 |
SWB |
30.67 |
EUR |
| Details |
DZ Bank 513.78 P Issuer Name: DZ Bank |
Structured Product |
DV5FJ9 |
SWB |
31.25 |
EUR |
| Details |
DZ Bank 516.22 P Issuer Name: DZ Bank |
Structured Product |
DV5FKA |
SWB |
31.87 |
EUR |
| Details |
DZ Bank 518.5 P Issuer Name: DZ Bank |
Structured Product |
DV5FKB |
SWB |
32.45 |
EUR |
| Details |
DZ Bank 552.9 P Issuer Name: DZ Bank |
Structured Product |
DV5FKR |
SWB |
41.53 |
EUR |
| Details |
DZ Bank 26.107 P Issuer Name: DZ Bank |
Structured Product |
DV5N38 |
SWB |
7.36 |
EUR |
| Details |
DZ Bank 26.157 P Issuer Name: DZ Bank |
Structured Product |
DV5N39 |
SWB |
7.56 |
EUR |
| Details |
DZ Bank 26.207 P Issuer Name: DZ Bank |
Structured Product |
DV5N4A |
SWB |
7.76 |
EUR |
| Details |
DZ Bank 25.69 P Issuer Name: DZ Bank |
Structured Product |
DV5PSN |
SWB |
5.69 |
EUR |
| Details |
DZ Bank 25.905 P Issuer Name: DZ Bank |
Structured Product |
DV5PSP |
SWB |
6.53 |
EUR |
| Details |
DZ Bank 27.702 P Issuer Name: DZ Bank |
Structured Product |
DV5QHP |
SWB |
13.86 |
EUR |
| Details |
DZ Bank 27.821 P Issuer Name: DZ Bank |
Structured Product |
DV5QHQ |
SWB |
14.35 |
EUR |
| Details |
DZ Bank 27.971 P Issuer Name: DZ Bank |
Structured Product |
DV5QHR |
SWB |
14.96 |
EUR |
| Details |
DZ Bank 28.121 P Issuer Name: DZ Bank |
Structured Product |
DV5QHS |
SWB |
15.57 |
EUR |
| Details |
DZ Bank 28.89 P Issuer Name: DZ Bank |
Structured Product |
DV5QHT |
SWB |
18.71 |
EUR |
| Details |
DZ Bank 29.04 P Issuer Name: DZ Bank |
Structured Product |
DV5QHU |
SWB |
19.32 |
EUR |
| Details |
DZ Bank 29.19 P Issuer Name: DZ Bank |
Structured Product |
DV5QHV |
SWB |
19.93 |
EUR |
| Details |
DZ Bank 29.34 P Issuer Name: DZ Bank |
Structured Product |
DV5QHW |
SWB |
20.54 |
EUR |
| Details |
DZ Bank 29.701 P Issuer Name: DZ Bank |
Structured Product |
DV5QHX |
SWB |
22.02 |
EUR |
| Details |
DZ Bank 0.177307 C Issuer Name: DZ Bank |
Structured Product |
DV5RFC |
SWB |
10.70 |
EUR |
| Details |
DZ Bank 0.178967 C Issuer Name: DZ Bank |
Structured Product |
DV5RFD |
SWB |
9.82 |
EUR |
| Details |
DZ Bank 0.180337 C Issuer Name: DZ Bank |
Structured Product |
DV5RFE |
SWB |
9.00 |
EUR |
| Details |
DZ Bank 0.181599 C Issuer Name: DZ Bank |
Structured Product |
DV5RFF |
SWB |
8.35 |
EUR |
| Details |
DZ Bank 0.182806 C Issuer Name: DZ Bank |
Structured Product |
DV5RFG |
SWB |
7.75 |
EUR |
| Details |
DZ Bank 0.184474 C Issuer Name: DZ Bank |
Structured Product |
DV5RFH |
SWB |
6.91 |
EUR |
| Details |
DZ Bank 0.185734 C Issuer Name: DZ Bank |
Structured Product |
DV5RFJ |
SWB |
6.25 |
EUR |
| Details |
DZ Bank 0.187114 C Issuer Name: DZ Bank |
Structured Product |
DV5RFK |
SWB |
5.55 |
EUR |
| Details |
DZ Bank 0.18747 C Issuer Name: DZ Bank |
Structured Product |
DV5RFL |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6205 C Issuer Name: DZ Bank |
Structured Product |
DV5RHH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6256 C Issuer Name: DZ Bank |
Structured Product |
DV5RHJ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.632 C Issuer Name: DZ Bank |
Structured Product |
DV5RHK |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.638 C Issuer Name: DZ Bank |
Structured Product |
DV5RHL |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.642 C Issuer Name: DZ Bank |
Structured Product |
DV5RHM |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6446 C Issuer Name: DZ Bank |
Structured Product |
DV5RHN |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6512 C Issuer Name: DZ Bank |
Structured Product |
DV5RHP |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.5687 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ0 |
SWB |
4.850 |
EUR |
| Details |
DZ Bank 1.5751 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ1 |
SWB |
4.460 |
EUR |
| Details |
DZ Bank 1.5819 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ2 |
SWB |
4.070 |
EUR |
| Details |
DZ Bank 1.5875 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ3 |
SWB |
3.730 |
EUR |
| Details |
DZ Bank 1.5948 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ4 |
SWB |
3.290 |
EUR |
| Details |
DZ Bank 1.5998 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ5 |
SWB |
2.980 |
EUR |
| Details |
DZ Bank 1.6079 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ6 |
SWB |
2.490 |
EUR |
| Details |
DZ Bank 1.6129 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ7 |
SWB |
2.190 |
EUR |
| Details |
DZ Bank 1.6161 C Issuer Name: DZ Bank |
Structured Product |
DV5RQ8 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.5067 C Issuer Name: DZ Bank |
Structured Product |
DV5RQQ |
SWB |
8.57 |
EUR |
| Details |
DZ Bank 1.5117 C Issuer Name: DZ Bank |
Structured Product |
DV5RQR |
SWB |
8.27 |
EUR |
| Details |
DZ Bank 1.5195 C Issuer Name: DZ Bank |
Structured Product |
DV5RQS |
SWB |
7.80 |
EUR |
| Details |
DZ Bank 1.5245 C Issuer Name: DZ Bank |
Structured Product |
DV5RQT |
SWB |
7.53 |
EUR |
| Details |
DZ Bank 1.5295 C Issuer Name: DZ Bank |
Structured Product |
DV5RQU |
SWB |
7.23 |
EUR |
| Details |
DZ Bank 1.5372 C Issuer Name: DZ Bank |
Structured Product |
DV5RQV |
SWB |
6.76 |
EUR |
| Details |
DZ Bank 1.544 C Issuer Name: DZ Bank |
Structured Product |
DV5RQW |
SWB |
6.35 |
EUR |
| Details |
DZ Bank 1.5508 C Issuer Name: DZ Bank |
Structured Product |
DV5RQX |
SWB |
5.94 |
EUR |
| Details |
DZ Bank 1.5558 C Issuer Name: DZ Bank |
Structured Product |
DV5RQY |
SWB |
5.63 |
EUR |
| Details |
DZ Bank 1.5633 C Issuer Name: DZ Bank |
Structured Product |
DV5RQZ |
SWB |
5.18 |
EUR |
| Details |
DZ Bank 25.499 P Issuer Name: DZ Bank |
Structured Product |
DV5TZ0 |
SWB |
4.800 |
EUR |
| Details |
DZ Bank 25.299 P Issuer Name: DZ Bank |
Structured Product |
DV5TZZ |
SWB |
3.980 |
EUR |
| Details |
DZ Bank 1.6528 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ0 |
SWB |
16.66 |
EUR |
| Details |
DZ Bank 1.6588 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ1 |
SWB |
16.35 |
EUR |
| Details |
DZ Bank 1.6648 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ2 |
SWB |
16.05 |
EUR |
| Details |
DZ Bank 1.6708 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ3 |
SWB |
15.75 |
EUR |
| Details |
DZ Bank 1.6768 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ4 |
SWB |
15.45 |
EUR |
| Details |
DZ Bank 1.6828 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ5 |
SWB |
15.14 |
EUR |
| Details |
DZ Bank 1.6888 C Issuer Name: DZ Bank |
Structured Product |
DV5VZ6 |
SWB |
14.84 |
EUR |
| Details |
DZ Bank 1.6048 C Issuer Name: DZ Bank |
Structured Product |
DV5VZS |
SWB |
19.08 |
EUR |
| Details |
DZ Bank 1.6108 C Issuer Name: DZ Bank |
Structured Product |
DV5VZT |
SWB |
18.77 |
EUR |
| Details |
DZ Bank 1.6168 C Issuer Name: DZ Bank |
Structured Product |
DV5VZU |
SWB |
18.47 |
EUR |
| Details |
DZ Bank 1.6228 C Issuer Name: DZ Bank |
Structured Product |
DV5VZV |
SWB |
18.17 |
EUR |
| Details |
DZ Bank 1.6288 C Issuer Name: DZ Bank |
Structured Product |
DV5VZW |
SWB |
17.87 |
EUR |
| Details |
DZ Bank 1.6348 C Issuer Name: DZ Bank |
Structured Product |
DV5VZX |
SWB |
17.56 |
EUR |
| Details |
DZ Bank 1.6408 C Issuer Name: DZ Bank |
Structured Product |
DV5VZY |
SWB |
17.26 |
EUR |
| Details |
DZ Bank 1.6468 C Issuer Name: DZ Bank |
Structured Product |
DV5VZZ |
SWB |
16.96 |
EUR |
| Details |
DZ Bank 1.654 C Issuer Name: DZ Bank |
Structured Product |
DV505A |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6563 C Issuer Name: DZ Bank |
Structured Product |
DV505B |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6584 C Issuer Name: DZ Bank |
Structured Product |
DV505C |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6607 C Issuer Name: DZ Bank |
Structured Product |
DV5091 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6632 C Issuer Name: DZ Bank |
Structured Product |
DV5092 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.5396 C Issuer Name: DZ Bank |
Structured Product |
DV549J |
SWB |
6.62 |
EUR |
| Details |
DZ Bank 1.5509 C Issuer Name: DZ Bank |
Structured Product |
DV549K |
SWB |
5.93 |
EUR |
| Details |
DZ Bank 1.5595 C Issuer Name: DZ Bank |
Structured Product |
DV549L |
SWB |
5.41 |
EUR |
| Details |
DZ Bank 1.5698 C Issuer Name: DZ Bank |
Structured Product |
DV549M |
SWB |
4.780 |
EUR |
| Details |
DZ Bank 1.581 C Issuer Name: DZ Bank |
Structured Product |
DV549N |
SWB |
4.100 |
EUR |
| Details |
DZ Bank 1.5917 C Issuer Name: DZ Bank |
Structured Product |
DV549P |
SWB |
3.480 |
EUR |
| Details |
DZ Bank 1.5999 C Issuer Name: DZ Bank |
Structured Product |
DV549Q |
SWB |
2.980 |
EUR |
| Details |
DZ Bank 1.6092 C Issuer Name: DZ Bank |
Structured Product |
DV549R |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6172 C Issuer Name: DZ Bank |
Structured Product |
DV549S |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6268 C Issuer Name: DZ Bank |
Structured Product |
DV549T |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6373 C Issuer Name: DZ Bank |
Structured Product |
DV549U |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6447 C Issuer Name: DZ Bank |
Structured Product |
DV549V |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6553 C Issuer Name: DZ Bank |
Structured Product |
DV549W |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 29.814 P Issuer Name: DZ Bank |
Structured Product |
DW0FGA |
SWB |
22.48 |
EUR |
| Details |
DZ Bank 559.02 P Issuer Name: DZ Bank |
Structured Product |
DW0FGE |
SWB |
43.09 |
EUR |
| Details |
DZ Bank 12.8086 P Issuer Name: DZ Bank |
Structured Product |
DW0FGM |
SWB |
15.72 |
EUR |
| Details |
DZ Bank 443.22 P Issuer Name: DZ Bank |
Structured Product |
DW0FJE |
SWB |
12.97 |
EUR |
| Details |
DZ Bank 453.78 P Issuer Name: DZ Bank |
Structured Product |
DW0FJF |
SWB |
15.95 |
EUR |
| Details |
DZ Bank 465.66 P Issuer Name: DZ Bank |
Structured Product |
DW0FJG |
SWB |
19.00 |
EUR |
| Details |
DZ Bank 476.47 P Issuer Name: DZ Bank |
Structured Product |
DW0FJH |
SWB |
21.76 |
EUR |
| Details |
DZ Bank 487.21 P Issuer Name: DZ Bank |
Structured Product |
DW0FJJ |
SWB |
24.49 |
EUR |
| Details |
DZ Bank 498.06 P Issuer Name: DZ Bank |
Structured Product |
DW0FJK |
SWB |
27.25 |
EUR |
| Details |
DZ Bank 448.39 P Issuer Name: DZ Bank |
Structured Product |
DW0FKY |
SWB |
14.61 |
EUR |
| Details |
DZ Bank 0.226262 P Issuer Name: DZ Bank |
Structured Product |
DW0GR9 |
SWB |
14.63 |
EUR |
| Details |
DZ Bank 0.227277 P Issuer Name: DZ Bank |
Structured Product |
DW0GSA |
SWB |
15.14 |
EUR |
| Details |
DZ Bank 0.228377 P Issuer Name: DZ Bank |
Structured Product |
DW0GSB |
SWB |
15.70 |
EUR |
| Details |
DZ Bank 0.229489 P Issuer Name: DZ Bank |
Structured Product |
DW0GSC |
SWB |
16.27 |
EUR |
| Details |
DZ Bank 0.230568 P Issuer Name: DZ Bank |
Structured Product |
DW0GSD |
SWB |
16.81 |
EUR |
| Details |
DZ Bank 0.231606 P Issuer Name: DZ Bank |
Structured Product |
DW0GSE |
SWB |
17.34 |
EUR |
| Details |
DZ Bank 0.232703 P Issuer Name: DZ Bank |
Structured Product |
DW0GVF |
SWB |
17.90 |
EUR |
| Details |
DZ Bank 0.233714 P Issuer Name: DZ Bank |
Structured Product |
DW0GVG |
SWB |
18.40 |
EUR |
| Details |
DZ Bank 0.234749 P Issuer Name: DZ Bank |
Structured Product |
DW0GVH |
SWB |
18.93 |
EUR |
| Details |
DZ Bank 0.235764 P Issuer Name: DZ Bank |
Structured Product |
DW0GVJ |
SWB |
19.45 |
EUR |
| Details |
DZ Bank 0.236795 P Issuer Name: DZ Bank |
Structured Product |
DW0GVK |
SWB |
19.97 |
EUR |
| Details |
DZ Bank 0.237848 P Issuer Name: DZ Bank |
Structured Product |
DW0GVL |
SWB |
20.50 |
EUR |
| Details |
DZ Bank 0.238848 P Issuer Name: DZ Bank |
Structured Product |
DW0GVM |
SWB |
21.00 |
EUR |
| Details |
DZ Bank 0.239932 P Issuer Name: DZ Bank |
Structured Product |
DW0GVN |
SWB |
21.62 |
EUR |
| Details |
DZ Bank 0.241022 P Issuer Name: DZ Bank |
Structured Product |
DW0GVP |
SWB |
22.16 |
EUR |
| Details |
DZ Bank 0.242064 P Issuer Name: DZ Bank |
Structured Product |
DW0GVQ |
SWB |
22.69 |
EUR |
| Details |
DZ Bank 0.243064 P Issuer Name: DZ Bank |
Structured Product |
DW0GVR |
SWB |
23.20 |
EUR |
| Details |
DZ Bank 0.244095 P Issuer Name: DZ Bank |
Structured Product |
DW0GVS |
SWB |
23.73 |
EUR |
| Details |
DZ Bank 0.245122 P Issuer Name: DZ Bank |
Structured Product |
DW0GVT |
SWB |
24.25 |
EUR |
| Details |
DZ Bank 0.246227 P Issuer Name: DZ Bank |
Structured Product |
DW0GVU |
SWB |
24.80 |
EUR |
| Details |
DZ Bank 0.247331 P Issuer Name: DZ Bank |
Structured Product |
DW0GVV |
SWB |
25.36 |
EUR |
| Details |
DZ Bank 0.248388 P Issuer Name: DZ Bank |
Structured Product |
DW0GVW |
SWB |
25.90 |
EUR |
| Details |
DZ Bank 0.249459 P Issuer Name: DZ Bank |
Structured Product |
DW0GVX |
SWB |
26.44 |
EUR |
| Details |
DZ Bank 0.250522 P Issuer Name: DZ Bank |
Structured Product |
DW0GVY |
SWB |
26.98 |
EUR |
| Details |
DZ Bank 0.251522 P Issuer Name: DZ Bank |
Structured Product |
DW0GVZ |
SWB |
27.48 |
EUR |
| Details |
DZ Bank 24.182 C Issuer Name: DZ Bank |
Structured Product |
DW0HGX |
SWB |
1.910 |
EUR |
| Details |
DZ Bank 431.55 P Issuer Name: DZ Bank |
Structured Product |
DW0HW0 |
SWB |
10.00 |
EUR |
| Details |
DZ Bank 437.34 P Issuer Name: DZ Bank |
Structured Product |
DW0HW1 |
SWB |
11.48 |
EUR |
| Details |
DZ Bank 426.37 P Issuer Name: DZ Bank |
Structured Product |
DW0HWZ |
SWB |
8.69 |
EUR |
| Details |
DZ Bank 22.224 C Issuer Name: DZ Bank |
Structured Product |
DW0H6P |
SWB |
10.22 |
EUR |
| Details |
DZ Bank 22.374 C Issuer Name: DZ Bank |
Structured Product |
DW0H6Q |
SWB |
9.50 |
EUR |
| Details |
DZ Bank 22.524 C Issuer Name: DZ Bank |
Structured Product |
DW0H6R |
SWB |
8.89 |
EUR |
| Details |
DZ Bank 22.749 C Issuer Name: DZ Bank |
Structured Product |
DW0H6S |
SWB |
7.97 |
EUR |
| Details |
DZ Bank 22.918 C Issuer Name: DZ Bank |
Structured Product |
DW0H6T |
SWB |
7.28 |
EUR |
| Details |
DZ Bank 23.098 C Issuer Name: DZ Bank |
Structured Product |
DW0H6U |
SWB |
6.55 |
EUR |
| Details |
DZ Bank 23.248 C Issuer Name: DZ Bank |
Structured Product |
DW0H6V |
SWB |
5.94 |
EUR |
| Details |
DZ Bank 23.445 C Issuer Name: DZ Bank |
Structured Product |
DW0H6W |
SWB |
5.13 |
EUR |
| Details |
DZ Bank 23.64 C Issuer Name: DZ Bank |
Structured Product |
DW0H6X |
SWB |
4.340 |
EUR |
| Details |
DZ Bank 23.882 C Issuer Name: DZ Bank |
Structured Product |
DW0H6Y |
SWB |
3.350 |
EUR |
| Details |
DZ Bank 24.032 C Issuer Name: DZ Bank |
Structured Product |
DW0H6Z |
SWB |
2.520 |
EUR |
| Details |
DZ Bank 11.4604 P Issuer Name: DZ Bank |
Structured Product |
DW0KAW |
SWB |
5.77 |
EUR |
| Details |
DZ Bank 11.4992 P Issuer Name: DZ Bank |
Structured Product |
DW0KAX |
SWB |
6.13 |
EUR |
| Details |
DZ Bank 12.8451 P Issuer Name: DZ Bank |
Structured Product |
DW0KX3 |
SWB |
16.05 |
EUR |
| Details |
DZ Bank 12.8701 P Issuer Name: DZ Bank |
Structured Product |
DW0KX4 |
SWB |
16.27 |
EUR |
| Details |
DZ Bank 12.8951 P Issuer Name: DZ Bank |
Structured Product |
DW0KX5 |
SWB |
16.50 |
EUR |
| Details |
DZ Bank 12.9193 P Issuer Name: DZ Bank |
Structured Product |
DW0KX6 |
SWB |
16.72 |
EUR |
| Details |
DZ Bank 12.9417 P Issuer Name: DZ Bank |
Structured Product |
DW0KX7 |
SWB |
16.92 |
EUR |
| Details |
DZ Bank 13.0283 P Issuer Name: DZ Bank |
Structured Product |
DW0LZB |
SWB |
17.70 |
EUR |
| Details |
DZ Bank 13.0783 P Issuer Name: DZ Bank |
Structured Product |
DW0LZC |
SWB |
18.15 |
EUR |
| Details |
DZ Bank 13.1275 P Issuer Name: DZ Bank |
Structured Product |
DW0LZD |
SWB |
18.60 |
EUR |
| Details |
DZ Bank 13.1748 P Issuer Name: DZ Bank |
Structured Product |
DW0LZE |
SWB |
19.03 |
EUR |
| Details |
DZ Bank 13.2201 P Issuer Name: DZ Bank |
Structured Product |
DW0LZF |
SWB |
19.44 |
EUR |
| Details |
DZ Bank 13.2662 P Issuer Name: DZ Bank |
Structured Product |
DW0LZG |
SWB |
19.85 |
EUR |
| Details |
DZ Bank 13.3121 P Issuer Name: DZ Bank |
Structured Product |
DW0LZH |
SWB |
20.27 |
EUR |
| Details |
DZ Bank 11.5544 P Issuer Name: DZ Bank |
Structured Product |
DW0NHC |
SWB |
6.64 |
EUR |
| Details |
DZ Bank 11.6144 P Issuer Name: DZ Bank |
Structured Product |
DW0NHD |
SWB |
7.40 |
EUR |
| Details |
DZ Bank 11.6731 P Issuer Name: DZ Bank |
Structured Product |
DW0NHE |
SWB |
7.94 |
EUR |
| Details |
DZ Bank 11.7274 P Issuer Name: DZ Bank |
Structured Product |
DW0NHF |
SWB |
8.44 |
EUR |
| Details |
DZ Bank 11.7871 P Issuer Name: DZ Bank |
Structured Product |
DW0NHG |
SWB |
8.99 |
EUR |
| Details |
DZ Bank 11.8457 P Issuer Name: DZ Bank |
Structured Product |
DW0NHH |
SWB |
9.54 |
EUR |
| Details |
DZ Bank 11.8981 P Issuer Name: DZ Bank |
Structured Product |
DW0NHJ |
SWB |
10.02 |
EUR |
| Details |
DZ Bank 11.9548 P Issuer Name: DZ Bank |
Structured Product |
DW0NHK |
SWB |
10.55 |
EUR |
| Details |
DZ Bank 12.0121 P Issuer Name: DZ Bank |
Structured Product |
DW0NHL |
SWB |
11.08 |
EUR |
| Details |
DZ Bank 12.0685 P Issuer Name: DZ Bank |
Structured Product |
DW0NHM |
SWB |
11.60 |
EUR |
| Details |
DZ Bank 12.1235 P Issuer Name: DZ Bank |
Structured Product |
DW0NHN |
SWB |
12.11 |
EUR |
| Details |
DZ Bank 12.1742 P Issuer Name: DZ Bank |
Structured Product |
DW0NHP |
SWB |
12.57 |
EUR |
| Details |
DZ Bank 12.2306 P Issuer Name: DZ Bank |
Structured Product |
DW0NHQ |
SWB |
13.10 |
EUR |
| Details |
DZ Bank 12.2882 P Issuer Name: DZ Bank |
Structured Product |
DW0NHR |
SWB |
13.63 |
EUR |
| Details |
DZ Bank 12.3361 P Issuer Name: DZ Bank |
Structured Product |
DW0NHS |
SWB |
13.87 |
EUR |
| Details |
DZ Bank 1.8288 P Issuer Name: DZ Bank |
Structured Product |
DW0QWJ |
SWB |
11.05 |
EUR |
| Details |
DZ Bank 1.8364 P Issuer Name: DZ Bank |
Structured Product |
DW0QWK |
SWB |
11.51 |
EUR |
| Details |
DZ Bank 1.8458 P Issuer Name: DZ Bank |
Structured Product |
DW0QWL |
SWB |
12.08 |
EUR |
| Details |
DZ Bank 1.8558 P Issuer Name: DZ Bank |
Structured Product |
DW0QWM |
SWB |
12.65 |
EUR |
| Details |
DZ Bank 1.8658 P Issuer Name: DZ Bank |
Structured Product |
DW0QWN |
SWB |
13.26 |
EUR |
| Details |
DZ Bank 1.8758 P Issuer Name: DZ Bank |
Structured Product |
DW0QWP |
SWB |
13.87 |
EUR |
| Details |
DZ Bank 1.8858 P Issuer Name: DZ Bank |
Structured Product |
DW0QWQ |
SWB |
14.48 |
EUR |
| Details |
DZ Bank 1.8958 P Issuer Name: DZ Bank |
Structured Product |
DW0QWR |
SWB |
15.08 |
EUR |
| Details |
DZ Bank 1.905 P Issuer Name: DZ Bank |
Structured Product |
DW0RX8 |
SWB |
15.64 |
EUR |
| Details |
DZ Bank 1.9086 P Issuer Name: DZ Bank |
Structured Product |
DW0RX9 |
SWB |
15.86 |
EUR |
| Details |
DZ Bank 1.9136 P Issuer Name: DZ Bank |
Structured Product |
DW0RYA |
SWB |
16.16 |
EUR |
| Details |
DZ Bank 1.9186 P Issuer Name: DZ Bank |
Structured Product |
DW0RYB |
SWB |
16.47 |
EUR |
| Details |
DZ Bank 1.9236 P Issuer Name: DZ Bank |
Structured Product |
DW0RYC |
SWB |
16.77 |
EUR |
| Details |
DZ Bank 1.9286 P Issuer Name: DZ Bank |
Structured Product |
DW0RYD |
SWB |
17.06 |
EUR |
| Details |
DZ Bank 1.9336 P Issuer Name: DZ Bank |
Structured Product |
DW0RYE |
SWB |
18.20 |
EUR |
| Details |
DZ Bank 1.9386 P Issuer Name: DZ Bank |
Structured Product |
DW0RYF |
SWB |
17.67 |
EUR |
| Details |
DZ Bank 1.9436 P Issuer Name: DZ Bank |
Structured Product |
DW0RYG |
SWB |
17.98 |
EUR |
| Details |
DZ Bank 1.9486 P Issuer Name: DZ Bank |
Structured Product |
DW0RYH |
SWB |
18.29 |
EUR |
| Details |
DZ Bank 1.9536 P Issuer Name: DZ Bank |
Structured Product |
DW0RYJ |
SWB |
18.59 |
EUR |
| Details |
DZ Bank 12.3779 P Issuer Name: DZ Bank |
Structured Product |
DW0V83 |
SWB |
14.24 |
EUR |
| Details |
DZ Bank 12.427 P Issuer Name: DZ Bank |
Structured Product |
DW0V84 |
SWB |
14.69 |
EUR |
| Details |
DZ Bank 12.4711 P Issuer Name: DZ Bank |
Structured Product |
DW0V85 |
SWB |
15.10 |
EUR |
| Details |
DZ Bank 12.518 P Issuer Name: DZ Bank |
Structured Product |
DW0V86 |
SWB |
15.53 |
EUR |
| Details |
DZ Bank 12.5567 P Issuer Name: DZ Bank |
Structured Product |
DW0V87 |
SWB |
15.89 |
EUR |
| Details |
DZ Bank 12.6037 P Issuer Name: DZ Bank |
Structured Product |
DW0V88 |
SWB |
16.33 |
EUR |
| Details |
DZ Bank 12.6508 P Issuer Name: DZ Bank |
Structured Product |
DW0V89 |
SWB |
16.76 |
EUR |
| Details |
DZ Bank 12.7005 P Issuer Name: DZ Bank |
Structured Product |
DW0V9A |
SWB |
17.22 |
EUR |
| Details |
DZ Bank 12.7476 P Issuer Name: DZ Bank |
Structured Product |
DW0V9B |
SWB |
17.66 |
EUR |
| Details |
DZ Bank 12.7973 P Issuer Name: DZ Bank |
Structured Product |
DW0V9C |
SWB |
18.12 |
EUR |
| Details |
DZ Bank 12.8447 P Issuer Name: DZ Bank |
Structured Product |
DW0V9D |
SWB |
18.55 |
EUR |
| Details |
DZ Bank 12.8947 P Issuer Name: DZ Bank |
Structured Product |
DW0V9E |
SWB |
19.02 |
EUR |
| Details |
DZ Bank 12.9437 P Issuer Name: DZ Bank |
Structured Product |
DW0V9F |
SWB |
19.47 |
EUR |
| Details |
DZ Bank 12.9899 P Issuer Name: DZ Bank |
Structured Product |
DW0V9G |
SWB |
19.90 |
EUR |
| Details |
DZ Bank 13.0354 P Issuer Name: DZ Bank |
Structured Product |
DW0V9H |
SWB |
20.32 |
EUR |
| Details |
DZ Bank 13.3424 P Issuer Name: DZ Bank |
Structured Product |
DW0Y82 |
SWB |
20.58 |
EUR |
| Details |
DZ Bank 13.3824 P Issuer Name: DZ Bank |
Structured Product |
DW0Y83 |
SWB |
20.94 |
EUR |
| Details |
DZ Bank 13.4224 P Issuer Name: DZ Bank |
Structured Product |
DW0Y84 |
SWB |
21.31 |
EUR |
| Details |
DZ Bank 13.4572 P Issuer Name: DZ Bank |
Structured Product |
DW0Y85 |
SWB |
21.62 |
EUR |
| Details |
DZ Bank 13.497 P Issuer Name: DZ Bank |
Structured Product |
DW0Y86 |
SWB |
21.98 |
EUR |
| Details |
DZ Bank 13.537 P Issuer Name: DZ Bank |
Structured Product |
DW0Y87 |
SWB |
22.34 |
EUR |
| Details |
DZ Bank 13.577 P Issuer Name: DZ Bank |
Structured Product |
DW0Y88 |
SWB |
22.70 |
EUR |
| Details |
DZ Bank 13.617 P Issuer Name: DZ Bank |
Structured Product |
DW0Y89 |
SWB |
23.06 |
EUR |
| Details |
DZ Bank 13.6526 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9A |
SWB |
23.39 |
EUR |
| Details |
DZ Bank 13.6843 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9B |
SWB |
23.67 |
EUR |
| Details |
DZ Bank 13.7238 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9C |
SWB |
24.03 |
EUR |
| Details |
DZ Bank 13.7614 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9D |
SWB |
24.37 |
EUR |
| Details |
DZ Bank 13.8014 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9E |
SWB |
24.73 |
EUR |
| Details |
DZ Bank 13.8414 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9F |
SWB |
25.08 |
EUR |
| Details |
DZ Bank 13.8814 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9G |
SWB |
25.44 |
EUR |
| Details |
DZ Bank 13.9197 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9H |
SWB |
25.79 |
EUR |
| Details |
DZ Bank 13.9597 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9J |
SWB |
26.16 |
EUR |
| Details |
DZ Bank 13.9984 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9K |
SWB |
26.51 |
EUR |
| Details |
DZ Bank 14.0366 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9L |
SWB |
26.86 |
EUR |
| Details |
DZ Bank 14.0766 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9M |
SWB |
27.22 |
EUR |
| Details |
DZ Bank 14.114 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9N |
SWB |
27.56 |
EUR |
| Details |
DZ Bank 14.1536 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9P |
SWB |
27.92 |
EUR |
| Details |
DZ Bank 14.1936 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9Q |
SWB |
28.28 |
EUR |
| Details |
DZ Bank 14.2336 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9R |
SWB |
28.64 |
EUR |
| Details |
DZ Bank 14.2736 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9S |
SWB |
29.00 |
EUR |
| Details |
DZ Bank 14.3136 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9T |
SWB |
29.36 |
EUR |
| Details |
DZ Bank 14.3536 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9U |
SWB |
29.72 |
EUR |
| Details |
DZ Bank 14.3936 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9V |
SWB |
30.08 |
EUR |
| Details |
DZ Bank 14.4336 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9W |
SWB |
30.45 |
EUR |
| Details |
DZ Bank 14.4703 P Issuer Name: DZ Bank |
Structured Product |
DW0Y9X |
SWB |
30.78 |
EUR |
| Details |
DZ Bank 352.62 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL1 |
SWB |
11.07 |
EUR |
| Details |
DZ Bank 355.82 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL2 |
SWB |
10.26 |
EUR |
| Details |
DZ Bank 359.25 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL3 |
SWB |
9.39 |
EUR |
| Details |
DZ Bank 363.43 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL4 |
SWB |
8.32 |
EUR |
| Details |
DZ Bank 367.86 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL5 |
SWB |
7.20 |
EUR |
| Details |
DZ Bank 372.04 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL6 |
SWB |
6.13 |
EUR |
| Details |
DZ Bank 375.4 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL7 |
SWB |
5.28 |
EUR |
| Details |
DZ Bank 376.69 C Issuer Name: DZ Bank |
Structured Product |
DW0ZL8 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 2.062 P Issuer Name: DZ Bank |
Structured Product |
DJ9B88 |
SWB |
3.960 |
EUR |
| Details |
DZ Bank 2.07 P Issuer Name: DZ Bank |
Structured Product |
DJ9B89 |
SWB |
4.360 |
EUR |
| Details |
DZ Bank 2.078 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9A |
SWB |
4.760 |
EUR |
| Details |
DZ Bank 2.086 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9B |
SWB |
5.19 |
EUR |
| Details |
DZ Bank 2.094 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9C |
SWB |
5.59 |
EUR |
| Details |
DZ Bank 2.1019 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9D |
SWB |
5.99 |
EUR |
| Details |
DZ Bank 2.1068 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9E |
SWB |
6.24 |
EUR |
| Details |
DZ Bank 2.1143 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9F |
SWB |
6.61 |
EUR |
| Details |
DZ Bank 2.1169 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9G |
SWB |
6.75 |
EUR |
| Details |
DZ Bank 2.1249 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9H |
SWB |
7.15 |
EUR |
| Details |
DZ Bank 2.1329 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9J |
SWB |
7.55 |
EUR |
| Details |
DZ Bank 2.1409 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9K |
SWB |
7.92 |
EUR |
| Details |
DZ Bank 2.1489 P Issuer Name: DZ Bank |
Structured Product |
DJ9B9L |
SWB |
8.32 |
EUR |
| Details |
DZ Bank 25.092 P Issuer Name: DZ Bank |
Structured Product |
DJ9PW4 |
SWB |
2.890 |
EUR |
| Details |
DZ Bank 10.8145 C Issuer Name: DZ Bank |
Structured Product |
DJ9P30 |
SWB |
2.180 |
EUR |
| Details |
DZ Bank 10.8667 C Issuer Name: DZ Bank |
Structured Product |
DJ9P31 |
SWB |
1.710 |
EUR |
| Details |
DZ Bank 10.9228 C Issuer Name: DZ Bank |
Structured Product |
DJ9P32 |
SWB |
1.210 |
EUR |
| Details |
DZ Bank 10.9762 C Issuer Name: DZ Bank |
Structured Product |
DJ9P33 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.0279 C Issuer Name: DZ Bank |
Structured Product |
DJ9P34 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.0808 C Issuer Name: DZ Bank |
Structured Product |
DJ9P35 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.1234 C Issuer Name: DZ Bank |
Structured Product |
DJ9P36 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.1664 C Issuer Name: DZ Bank |
Structured Product |
DJ9P37 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.2055 C Issuer Name: DZ Bank |
Structured Product |
DJ9P38 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 10.6497 C Issuer Name: DZ Bank |
Structured Product |
DJ9P3X |
SWB |
3.670 |
EUR |
| Details |
DZ Bank 10.7105 C Issuer Name: DZ Bank |
Structured Product |
DJ9P3Y |
SWB |
3.120 |
EUR |
| Details |
DZ Bank 10.7645 C Issuer Name: DZ Bank |
Structured Product |
DJ9P3Z |
SWB |
2.640 |
EUR |
| Details |
DZ Bank 1.6512 C Issuer Name: DZ Bank |
Structured Product |
DJ9TZC |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6545 C Issuer Name: DZ Bank |
Structured Product |
DJ9TZD |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6574 C Issuer Name: DZ Bank |
Structured Product |
DJ9TZE |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6605 C Issuer Name: DZ Bank |
Structured Product |
DJ9TZF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6628 C Issuer Name: DZ Bank |
Structured Product |
DJ9TZG |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.8588 C Issuer Name: DZ Bank |
Structured Product |
DJ909R |
SWB |
6.30 |
EUR |
| Details |
DZ Bank 1.8621 C Issuer Name: DZ Bank |
Structured Product |
DJ909S |
SWB |
6.14 |
EUR |
| Details |
DZ Bank 1.8649 C Issuer Name: DZ Bank |
Structured Product |
DJ91D6 |
SWB |
6.00 |
EUR |
| Details |
DZ Bank 1.8682 C Issuer Name: DZ Bank |
Structured Product |
DJ91D7 |
SWB |
5.83 |
EUR |
| Details |
DZ Bank 24.988 P Issuer Name: DZ Bank |
Structured Product |
DJ93VX |
SWB |
2.460 |
EUR |
| Details |
DZ Bank 1.871 C Issuer Name: DZ Bank |
Structured Product |
DJ9422 |
SWB |
5.69 |
EUR |
| Details |
DZ Bank 424.43 P Issuer Name: DZ Bank |
Structured Product |
DJ9478 |
SWB |
8.19 |
EUR |
| Details |
DZ Bank 1.8738 C Issuer Name: DZ Bank |
Structured Product |
DJ95VE |
SWB |
5.57 |
EUR |
| Details |
DZ Bank 1.8768 C Issuer Name: DZ Bank |
Structured Product |
DJ95VF |
SWB |
5.42 |
EUR |
| Details |
DZ Bank 1.8798 C Issuer Name: DZ Bank |
Structured Product |
DJ95VG |
SWB |
5.27 |
EUR |
| Details |
DZ Bank 1.8828 C Issuer Name: DZ Bank |
Structured Product |
DJ95VH |
SWB |
5.11 |
EUR |
| Details |
DZ Bank 1.8856 C Issuer Name: DZ Bank |
Structured Product |
DJ955X |
SWB |
4.970 |
EUR |
| Details |
DZ Bank 1.8886 C Issuer Name: DZ Bank |
Structured Product |
DJ955Y |
SWB |
4.820 |
EUR |
| Details |
DZ Bank 1.8916 C Issuer Name: DZ Bank |
Structured Product |
DJ955Z |
SWB |
4.670 |
EUR |
| Details |
DZ Bank 1.8947 C Issuer Name: DZ Bank |
Structured Product |
DJ958Y |
SWB |
4.510 |
EUR |
| Details |
DZ Bank 11.1716 P Issuer Name: DZ Bank |
Structured Product |
DJ97XU |
SWB |
3.100 |
EUR |
| Details |
DZ Bank 11.2176 P Issuer Name: DZ Bank |
Structured Product |
DJ97XV |
SWB |
3.530 |
EUR |
| Details |
DZ Bank 11.267 P Issuer Name: DZ Bank |
Structured Product |
DJ97XW |
SWB |
3.980 |
EUR |
| Details |
DZ Bank 11.3169 P Issuer Name: DZ Bank |
Structured Product |
DJ97XX |
SWB |
4.450 |
EUR |
| Details |
DZ Bank 11.3614 P Issuer Name: DZ Bank |
Structured Product |
DJ97XY |
SWB |
4.860 |
EUR |
| Details |
DZ Bank 11.4097 P Issuer Name: DZ Bank |
Structured Product |
DJ97XZ |
SWB |
5.30 |
EUR |
| Details |
DZ Bank 419.4 P Issuer Name: DZ Bank |
Structured Product |
DJ98MT |
SWB |
6.91 |
EUR |
| Details |
DZ Bank 421.9 P Issuer Name: DZ Bank |
Structured Product |
DJ98MU |
SWB |
7.55 |
EUR |
| Details |
DZ Bank 1.8995 C Issuer Name: DZ Bank |
Structured Product |
DY3AVR |
SWB |
4.270 |
EUR |
| Details |
DZ Bank 1.9045 C Issuer Name: DZ Bank |
Structured Product |
DY3AVS |
SWB |
4.020 |
EUR |
| Details |
DZ Bank 1.9095 C Issuer Name: DZ Bank |
Structured Product |
DY3AVT |
SWB |
3.770 |
EUR |
| Details |
DZ Bank 1.9143 C Issuer Name: DZ Bank |
Structured Product |
DY3A11 |
SWB |
3.530 |
EUR |
| Details |
DZ Bank 1.9193 C Issuer Name: DZ Bank |
Structured Product |
DY3A12 |
SWB |
3.270 |
EUR |
| Details |
DZ Bank 1.9243 C Issuer Name: DZ Bank |
Structured Product |
DY3A13 |
SWB |
3.020 |
EUR |
| Details |
DZ Bank 1.9291 C Issuer Name: DZ Bank |
Structured Product |
DY3BF0 |
SWB |
2.800 |
EUR |
| Details |
DZ Bank 1.9341 C Issuer Name: DZ Bank |
Structured Product |
DY3BF1 |
SWB |
2.550 |
EUR |
| Details |
DZ Bank 1.9391 C Issuer Name: DZ Bank |
Structured Product |
DY3BF2 |
SWB |
2.300 |
EUR |
| Details |
DZ Bank 1.8137 P Issuer Name: DZ Bank |
Structured Product |
DY3DTQ |
SWB |
10.13 |
EUR |
| Details |
DZ Bank 1.8062 P Issuer Name: DZ Bank |
Structured Product |
DY3D42 |
SWB |
9.67 |
EUR |
| Details |
DZ Bank 0.221556 P Issuer Name: DZ Bank |
Structured Product |
DY3D54 |
SWB |
12.04 |
EUR |
| Details |
DZ Bank 0.2231 P Issuer Name: DZ Bank |
Structured Product |
DY3D55 |
SWB |
12.82 |
EUR |
| Details |
DZ Bank 0.224663 P Issuer Name: DZ Bank |
Structured Product |
DY3D56 |
SWB |
13.68 |
EUR |
| Details |
DZ Bank 1.9863 P Issuer Name: DZ Bank |
Structured Product |
DY3D70 |
SWB |
20.57 |
EUR |
| Details |
DZ Bank 1.9963 P Issuer Name: DZ Bank |
Structured Product |
DY3D71 |
SWB |
21.18 |
EUR |
| Details |
DZ Bank 2.0063 P Issuer Name: DZ Bank |
Structured Product |
DY3D72 |
SWB |
21.79 |
EUR |
| Details |
DZ Bank 2.0163 P Issuer Name: DZ Bank |
Structured Product |
DY3D73 |
SWB |
22.39 |
EUR |
| Details |
DZ Bank 2.0263 P Issuer Name: DZ Bank |
Structured Product |
DY3D74 |
SWB |
23.00 |
EUR |
| Details |
DZ Bank 2.0363 P Issuer Name: DZ Bank |
Structured Product |
DY3D75 |
SWB |
23.61 |
EUR |
| Details |
DZ Bank 2.0463 P Issuer Name: DZ Bank |
Structured Product |
DY3D76 |
SWB |
24.22 |
EUR |
| Details |
DZ Bank 2.0563 P Issuer Name: DZ Bank |
Structured Product |
DY3D77 |
SWB |
24.82 |
EUR |
| Details |
DZ Bank 2.0663 P Issuer Name: DZ Bank |
Structured Product |
DY3D78 |
SWB |
25.43 |
EUR |
| Details |
DZ Bank 2.0763 P Issuer Name: DZ Bank |
Structured Product |
DY3D79 |
SWB |
26.04 |
EUR |
| Details |
DZ Bank 1.9663 P Issuer Name: DZ Bank |
Structured Product |
DY3D7Y |
SWB |
19.36 |
EUR |
| Details |
DZ Bank 1.9763 P Issuer Name: DZ Bank |
Structured Product |
DY3D7Z |
SWB |
19.97 |
EUR |
| Details |
DZ Bank 2.0863 P Issuer Name: DZ Bank |
Structured Product |
DY3D8A |
SWB |
26.64 |
EUR |
| Details |
DZ Bank 2.0963 P Issuer Name: DZ Bank |
Structured Product |
DY3D8B |
SWB |
27.25 |
EUR |
| Details |
DZ Bank 2.1063 P Issuer Name: DZ Bank |
Structured Product |
DY3D8C |
SWB |
27.86 |
EUR |
| Details |
DZ Bank 2.1163 P Issuer Name: DZ Bank |
Structured Product |
DY3D8D |
SWB |
28.45 |
EUR |
| Details |
DZ Bank 2.1263 P Issuer Name: DZ Bank |
Structured Product |
DY3D8E |
SWB |
29.06 |
EUR |
| Details |
DZ Bank 2.1363 P Issuer Name: DZ Bank |
Structured Product |
DY3D8F |
SWB |
29.67 |
EUR |
| Details |
DZ Bank 2.1463 P Issuer Name: DZ Bank |
Structured Product |
DY3D8G |
SWB |
30.27 |
EUR |
| Details |
DZ Bank 2.1563 P Issuer Name: DZ Bank |
Structured Product |
DY3D8H |
SWB |
30.88 |
EUR |
| Details |
DZ Bank 12.067 P Issuer Name: DZ Bank |
Structured Product |
DY3D8W |
SWB |
9.05 |
EUR |
| Details |
DZ Bank 12.1266 P Issuer Name: DZ Bank |
Structured Product |
DY3ED0 |
SWB |
9.59 |
EUR |
| Details |
DZ Bank 417.41 P Issuer Name: DZ Bank |
Structured Product |
DY3EDA |
SWB |
6.96 |
EUR |
| Details |
DZ Bank 11.9866 P Issuer Name: DZ Bank |
Structured Product |
DY3EDU |
SWB |
8.33 |
EUR |
| Details |
DZ Bank 12.0066 P Issuer Name: DZ Bank |
Structured Product |
DY3EDV |
SWB |
8.51 |
EUR |
| Details |
DZ Bank 12.0266 P Issuer Name: DZ Bank |
Structured Product |
DY3EDW |
SWB |
8.69 |
EUR |
| Details |
DZ Bank 12.0466 P Issuer Name: DZ Bank |
Structured Product |
DY3EDX |
SWB |
8.87 |
EUR |
| Details |
DZ Bank 12.0866 P Issuer Name: DZ Bank |
Structured Product |
DY3EDY |
SWB |
9.23 |
EUR |
| Details |
DZ Bank 12.1066 P Issuer Name: DZ Bank |
Structured Product |
DY3EDZ |
SWB |
9.41 |
EUR |
| Details |
DZ Bank 0.219927 P Issuer Name: DZ Bank |
Structured Product |
DY3EE9 |
SWB |
11.29 |
EUR |
| Details |
DZ Bank 24.789 P Issuer Name: DZ Bank |
Structured Product |
DY3ELS |
SWB |
1.650 |
EUR |
| Details |
DZ Bank 24.889 P Issuer Name: DZ Bank |
Structured Product |
DY3ELT |
SWB |
2.060 |
EUR |
| Details |
DZ Bank 416.39 P Issuer Name: DZ Bank |
Structured Product |
DY3ELW |
SWB |
6.70 |
EUR |
| Details |
DZ Bank 0.216794 P Issuer Name: DZ Bank |
Structured Product |
DY3ES9 |
SWB |
9.70 |
EUR |
| Details |
DZ Bank 0.217797 P Issuer Name: DZ Bank |
Structured Product |
DY3ETA |
SWB |
10.14 |
EUR |
| Details |
DZ Bank 0.218797 P Issuer Name: DZ Bank |
Structured Product |
DY3ETB |
SWB |
10.64 |
EUR |
| Details |
DZ Bank 0.213688 P Issuer Name: DZ Bank |
Structured Product |
DY3E5M |
SWB |
8.13 |
EUR |
| Details |
DZ Bank 0.214688 P Issuer Name: DZ Bank |
Structured Product |
DY3E5N |
SWB |
8.64 |
EUR |
| Details |
DZ Bank 0.215688 P Issuer Name: DZ Bank |
Structured Product |
DY3E5P |
SWB |
9.14 |
EUR |
| Details |
DZ Bank 413.65 P Issuer Name: DZ Bank |
Structured Product |
DY3FGL |
SWB |
6.00 |
EUR |
| Details |
DZ Bank 411.65 P Issuer Name: DZ Bank |
Structured Product |
DY3HX2 |
SWB |
5.49 |
EUR |
| Details |
DZ Bank 24.689 P Issuer Name: DZ Bank |
Structured Product |
DY3HXW |
SWB |
1.240 |
EUR |
| Details |
DZ Bank 1.9498 C Issuer Name: DZ Bank |
Structured Product |
DY3JBJ |
SWB |
1.760 |
EUR |
| Details |
DZ Bank 1.9562 C Issuer Name: DZ Bank |
Structured Product |
DY3JKD |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 2.1826 P Issuer Name: DZ Bank |
Structured Product |
DY3J20 |
SWB |
9.98 |
EUR |
| Details |
DZ Bank 2.2026 P Issuer Name: DZ Bank |
Structured Product |
DY3J21 |
SWB |
10.99 |
EUR |
| Details |
DZ Bank 2.2226 P Issuer Name: DZ Bank |
Structured Product |
DY3J22 |
SWB |
12.00 |
EUR |
| Details |
DZ Bank 2.2426 P Issuer Name: DZ Bank |
Structured Product |
DY3J23 |
SWB |
13.01 |
EUR |
| Details |
DZ Bank 2.2626 P Issuer Name: DZ Bank |
Structured Product |
DY3J24 |
SWB |
14.01 |
EUR |
| Details |
DZ Bank 2.2826 P Issuer Name: DZ Bank |
Structured Product |
DY3J25 |
SWB |
15.02 |
EUR |
| Details |
DZ Bank 2.2998 P Issuer Name: DZ Bank |
Structured Product |
DY3J26 |
SWB |
15.89 |
EUR |
| Details |
DZ Bank 2.3198 P Issuer Name: DZ Bank |
Structured Product |
DY3J27 |
SWB |
16.90 |
EUR |
| Details |
DZ Bank 2.3398 P Issuer Name: DZ Bank |
Structured Product |
DY3J28 |
SWB |
17.91 |
EUR |
| Details |
DZ Bank 2.1626 P Issuer Name: DZ Bank |
Structured Product |
DY3J2Z |
SWB |
9.00 |
EUR |
| Details |
DZ Bank 407.55 P Issuer Name: DZ Bank |
Structured Product |
DY3KGU |
SWB |
4.450 |
EUR |
| Details |
DZ Bank 409.55 P Issuer Name: DZ Bank |
Structured Product |
DY3KGV |
SWB |
4.960 |
EUR |
| Details |
DZ Bank 0.212739 P Issuer Name: DZ Bank |
Structured Product |
DY3LQN |
SWB |
7.77 |
EUR |
| Details |
DZ Bank 24.492 P Issuer Name: DZ Bank |
Structured Product |
DY3L0H |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 24.591 P Issuer Name: DZ Bank |
Structured Product |
DY3L0J |
SWB |
0.8400 |
EUR |
| Details |
DZ Bank 11.0295 P Issuer Name: DZ Bank |
Structured Product |
DY3L3M |
SWB |
1.790 |
EUR |
| Details |
DZ Bank 11.1045 P Issuer Name: DZ Bank |
Structured Product |
DY3L3N |
SWB |
2.480 |
EUR |
| Details |
DZ Bank 0.210656 P Issuer Name: DZ Bank |
Structured Product |
DY3MWE |
SWB |
7.00 |
EUR |
| Details |
DZ Bank 0.211656 P Issuer Name: DZ Bank |
Structured Product |
DY3MWF |
SWB |
7.22 |
EUR |
| Details |
DZ Bank 403.05 P Issuer Name: DZ Bank |
Structured Product |
DY3NGN |
SWB |
3.300 |
EUR |
| Details |
DZ Bank 405.05 P Issuer Name: DZ Bank |
Structured Product |
DY3NGP |
SWB |
3.810 |
EUR |
| Details |
DZ Bank 10.9745 P Issuer Name: DZ Bank |
Structured Product |
DY3P91 |
SWB |
1.280 |
EUR |
| Details |
DZ Bank 0.209615 P Issuer Name: DZ Bank |
Structured Product |
DY3QAL |
SWB |
6.48 |
EUR |
| Details |
DZ Bank 398.92 P Issuer Name: DZ Bank |
Structured Product |
DY3QFQ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 399.92 P Issuer Name: DZ Bank |
Structured Product |
DY3QFR |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 401.05 P Issuer Name: DZ Bank |
Structured Product |
DY3QFS |
SWB |
2.790 |
EUR |
| Details |
DZ Bank 402.05 P Issuer Name: DZ Bank |
Structured Product |
DY3QFT |
SWB |
3.050 |
EUR |
| Details |
DZ Bank 0.20906 P Issuer Name: DZ Bank |
Structured Product |
DY3QP7 |
SWB |
6.19 |
EUR |
| Details |
DZ Bank 24.411 P Issuer Name: DZ Bank |
Structured Product |
DY3QTW |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.208548 P Issuer Name: DZ Bank |
Structured Product |
DY3QUV |
SWB |
5.93 |
EUR |
| Details |
DZ Bank 396.96 P Issuer Name: DZ Bank |
Structured Product |
DY3Q13 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 397.96 P Issuer Name: DZ Bank |
Structured Product |
DY3Q14 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.20753 P Issuer Name: DZ Bank |
Structured Product |
DY3RY0 |
SWB |
5.36 |
EUR |
| Details |
DZ Bank 1.2138 C Issuer Name: DZ Bank |
Structured Product |
DY3RYC |
SWB |
26.41 |
EUR |
| Details |
DZ Bank 0.206506 P Issuer Name: DZ Bank |
Structured Product |
DY3R7Y |
SWB |
4.780 |
EUR |
| Details |
DZ Bank 1.7951 P Issuer Name: DZ Bank |
Structured Product |
DY3T0H |
SWB |
9.02 |
EUR |
| Details |
DZ Bank 0.204514 P Issuer Name: DZ Bank |
Structured Product |
DY3T1K |
SWB |
3.550 |
EUR |
| Details |
DZ Bank 0.205514 P Issuer Name: DZ Bank |
Structured Product |
DY3T1L |
SWB |
4.400 |
EUR |
| Details |
DZ Bank 0.20342 P Issuer Name: DZ Bank |
Structured Product |
DY3UFF |
SWB |
3.280 |
EUR |
| Details |
DZ Bank 393.93 P Issuer Name: DZ Bank |
Structured Product |
DY3UM5 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 394.93 P Issuer Name: DZ Bank |
Structured Product |
DY3UM6 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 395.93 P Issuer Name: DZ Bank |
Structured Product |
DY3UM7 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.202192 P Issuer Name: DZ Bank |
Structured Product |
DY3VH9 |
SWB |
2.660 |
EUR |
| Details |
DZ Bank 2.2879 P Issuer Name: DZ Bank |
Structured Product |
DY3WG9 |
SWB |
15.29 |
EUR |
| Details |
DZ Bank 0.201027 P Issuer Name: DZ Bank |
Structured Product |
DY3WH0 |
SWB |
2.130 |
EUR |
| Details |
DZ Bank 2.3074 P Issuer Name: DZ Bank |
Structured Product |
DY3WHA |
SWB |
16.27 |
EUR |
| Details |
DZ Bank 2.3274 P Issuer Name: DZ Bank |
Structured Product |
DY3WHB |
SWB |
17.28 |
EUR |
| Details |
DZ Bank 2.3474 P Issuer Name: DZ Bank |
Structured Product |
DY3WHC |
SWB |
18.29 |
EUR |
| Details |
DZ Bank 2.3674 P Issuer Name: DZ Bank |
Structured Product |
DY3WHD |
SWB |
19.30 |
EUR |
| Details |
DZ Bank 2.3874 P Issuer Name: DZ Bank |
Structured Product |
DY3WHE |
SWB |
20.30 |
EUR |
| Details |
DZ Bank 2.4074 P Issuer Name: DZ Bank |
Structured Product |
DY3WHF |
SWB |
21.31 |
EUR |
| Details |
DZ Bank 2.4274 P Issuer Name: DZ Bank |
Structured Product |
DY3WHG |
SWB |
22.32 |
EUR |
| Details |
DZ Bank 2.4474 P Issuer Name: DZ Bank |
Structured Product |
DY3WHH |
SWB |
23.33 |
EUR |
| Details |
DZ Bank 2.4674 P Issuer Name: DZ Bank |
Structured Product |
DY3WHJ |
SWB |
24.34 |
EUR |
| Details |
DZ Bank 1.7748 P Issuer Name: DZ Bank |
Structured Product |
DY3WH6 |
SWB |
7.79 |
EUR |
| Details |
DZ Bank 1.7848 P Issuer Name: DZ Bank |
Structured Product |
DY3WH7 |
SWB |
8.40 |
EUR |
| Details |
DZ Bank 2.0418 P Issuer Name: DZ Bank |
Structured Product |
DY3WJE |
SWB |
2.940 |
EUR |
| Details |
DZ Bank 2.0518 P Issuer Name: DZ Bank |
Structured Product |
DY3WJF |
SWB |
3.440 |
EUR |
| Details |
DZ Bank 0.200882 P Issuer Name: DZ Bank |
Structured Product |
DY3W08 |
SWB |
2.060 |
EUR |
| Details |
DZ Bank 0.199873 P Issuer Name: DZ Bank |
Structured Product |
DY3W3F |
SWB |
1.430 |
EUR |
| Details |
DZ Bank 0.198828 P Issuer Name: DZ Bank |
Structured Product |
DY3W8B |
SWB |
0.9300 |
EUR |
| Details |
DZ Bank 391.12 P Issuer Name: DZ Bank |
Structured Product |
DY3XQ3 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.8281 P Issuer Name: DZ Bank |
Structured Product |
DY3XQ8 |
SWB |
6.89 |
EUR |
| Details |
DZ Bank 11.8781 P Issuer Name: DZ Bank |
Structured Product |
DY3XQ9 |
SWB |
7.34 |
EUR |
| Details |
DZ Bank 1.7551 P Issuer Name: DZ Bank |
Structured Product |
DY3XQF |
SWB |
6.59 |
EUR |
| Details |
DZ Bank 1.7651 P Issuer Name: DZ Bank |
Structured Product |
DY3XQG |
SWB |
7.20 |
EUR |
| Details |
DZ Bank 0.19464 P Issuer Name: DZ Bank |
Structured Product |
DY3XR0 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.195748 P Issuer Name: DZ Bank |
Structured Product |
DY3XR1 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.196757 P Issuer Name: DZ Bank |
Structured Product |
DY3XR2 |
SWB |
0.4700 |
EUR |
| Details |
DZ Bank 0.197757 P Issuer Name: DZ Bank |
Structured Product |
DY3XR3 |
SWB |
0.4400 |
EUR |
| Details |
DZ Bank 11.9281 P Issuer Name: DZ Bank |
Structured Product |
DY3XRA |
SWB |
7.80 |
EUR |
| Details |
DZ Bank 2.0327 P Issuer Name: DZ Bank |
Structured Product |
DY3XRD |
SWB |
2.480 |
EUR |
| Details |
DZ Bank 1.7452 P Issuer Name: DZ Bank |
Structured Product |
DY3XWG |
SWB |
5.99 |
EUR |
| Details |
DZ Bank 10.9242 P Issuer Name: DZ Bank |
Structured Product |
DY3YH0 |
SWB |
0.8100 |
EUR |
| Details |
DZ Bank 10.7395 P Issuer Name: DZ Bank |
Structured Product |
DY3YHW |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 10.7895 P Issuer Name: DZ Bank |
Structured Product |
DY3YHX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 10.8296 P Issuer Name: DZ Bank |
Structured Product |
DY3YHY |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 10.8742 P Issuer Name: DZ Bank |
Structured Product |
DY3YHZ |
SWB |
0.3500 |
EUR |
| Details |
DZ Bank 2.0141 P Issuer Name: DZ Bank |
Structured Product |
DY3YLH |
SWB |
1.560 |
EUR |
| Details |
DZ Bank 2.0241 P Issuer Name: DZ Bank |
Structured Product |
DY3YLJ |
SWB |
2.050 |
EUR |
| Details |
DZ Bank 1.7244 P Issuer Name: DZ Bank |
Structured Product |
DY3YT2 |
SWB |
4.730 |
EUR |
| Details |
DZ Bank 1.7344 P Issuer Name: DZ Bank |
Structured Product |
DY3YT3 |
SWB |
5.34 |
EUR |
| Details |
DZ Bank 11.6085 P Issuer Name: DZ Bank |
Structured Product |
DY3YXE |
SWB |
4.910 |
EUR |
| Details |
DZ Bank 11.6835 P Issuer Name: DZ Bank |
Structured Product |
DY3YXF |
SWB |
5.59 |
EUR |
| Details |
DZ Bank 11.7585 P Issuer Name: DZ Bank |
Structured Product |
DY3YXG |
SWB |
6.26 |
EUR |
| Details |
DZ Bank 1.9945 P Issuer Name: DZ Bank |
Structured Product |
DY3YXH |
SWB |
0.5800 |
EUR |
| Details |
DZ Bank 2.0045 P Issuer Name: DZ Bank |
Structured Product |
DY3YXJ |
SWB |
1.080 |
EUR |
| Details |
DZ Bank 383.7 P Issuer Name: DZ Bank |
Structured Product |
DY3YZ4 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 386.2 P Issuer Name: DZ Bank |
Structured Product |
DY3YZ5 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 388.7 P Issuer Name: DZ Bank |
Structured Product |
DY3YZ6 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.7151 P Issuer Name: DZ Bank |
Structured Product |
DY3ZBT |
SWB |
4.170 |
EUR |
| Details |
DZ Bank 0.18822 C Issuer Name: DZ Bank |
Structured Product |
DY3ZMQ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.7058 P Issuer Name: DZ Bank |
Structured Product |
DY3ZS1 |
SWB |
3.600 |
EUR |
| Details |
DZ Bank 1.6962 P Issuer Name: DZ Bank |
Structured Product |
DY3Z1C |
SWB |
3.020 |
EUR |
| Details |
DZ Bank 1.979 P Issuer Name: DZ Bank |
Structured Product |
DY3Z1T |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.191589 P Issuer Name: DZ Bank |
Structured Product |
DY3Z2D |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.192589 P Issuer Name: DZ Bank |
Structured Product |
DY3Z2E |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.193589 P Issuer Name: DZ Bank |
Structured Product |
DY3Z2F |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.3892 P Issuer Name: DZ Bank |
Structured Product |
DY3Z54 |
SWB |
2.920 |
EUR |
| Details |
DZ Bank 11.4642 P Issuer Name: DZ Bank |
Structured Product |
DY3Z55 |
SWB |
3.600 |
EUR |
| Details |
DZ Bank 11.5392 P Issuer Name: DZ Bank |
Structured Product |
DY3Z56 |
SWB |
4.280 |
EUR |
| Details |
DZ Bank 1.6864 P Issuer Name: DZ Bank |
Structured Product |
DY3Z5V |
SWB |
2.420 |
EUR |
| Details |
DZ Bank 0.158 C Issuer Name: DZ Bank |
Structured Product |
DY30K7 |
SWB |
20.53 |
EUR |
| Details |
DZ Bank 0.16002 C Issuer Name: DZ Bank |
Structured Product |
DY30K8 |
SWB |
19.51 |
EUR |
| Details |
DZ Bank 0.16202 C Issuer Name: DZ Bank |
Structured Product |
DY30K9 |
SWB |
18.49 |
EUR |
| Details |
DZ Bank 11.325 P Issuer Name: DZ Bank |
Structured Product |
DY30KQ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.16405 C Issuer Name: DZ Bank |
Structured Product |
DY30LA |
SWB |
17.47 |
EUR |
| Details |
DZ Bank 0.16605 C Issuer Name: DZ Bank |
Structured Product |
DY30LB |
SWB |
16.45 |
EUR |
| Details |
DZ Bank 0.168079 C Issuer Name: DZ Bank |
Structured Product |
DY30LC |
SWB |
15.37 |
EUR |
| Details |
DZ Bank 0.17008 C Issuer Name: DZ Bank |
Structured Product |
DY30LD |
SWB |
14.36 |
EUR |
| Details |
DZ Bank 0.172089 C Issuer Name: DZ Bank |
Structured Product |
DY30LE |
SWB |
13.40 |
EUR |
| Details |
DZ Bank 0.17411 C Issuer Name: DZ Bank |
Structured Product |
DY30LF |
SWB |
12.37 |
EUR |
| Details |
DZ Bank 0.17611 C Issuer Name: DZ Bank |
Structured Product |
DY30LG |
SWB |
11.36 |
EUR |
| Details |
DZ Bank 1.67 C Issuer Name: DZ Bank |
Structured Product |
DY30N3 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6771 P Issuer Name: DZ Bank |
Structured Product |
DY30N4 |
SWB |
1.860 |
EUR |
| Details |
DZ Bank 0.1895 P Issuer Name: DZ Bank |
Structured Product |
DY30PX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1905 P Issuer Name: DZ Bank |
Structured Product |
DY30PY |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.9652 C Issuer Name: DZ Bank |
Structured Product |
DY30RV |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.973 C Issuer Name: DZ Bank |
Structured Product |
DY30RW |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.983 C Issuer Name: DZ Bank |
Structured Product |
DY30RX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1895 P Issuer Name: DZ Bank |
Structured Product |
DY30SH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.98 P Issuer Name: DZ Bank |
Structured Product |
DY30W4 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.9876 P Issuer Name: DZ Bank |
Structured Product |
DY30W5 |
SWB |
0.2300 |
EUR |
| Details |
DZ Bank 0.189527 P Issuer Name: DZ Bank |
Structured Product |
DY3027 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.190554 P Issuer Name: DZ Bank |
Structured Product |
DY3028 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6692 P Issuer Name: DZ Bank |
Structured Product |
DY306D |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1875 P Issuer Name: DZ Bank |
Structured Product |
DY31B1 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1885 P Issuer Name: DZ Bank |
Structured Product |
DY31B2 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.97 P Issuer Name: DZ Bank |
Structured Product |
DY31BG |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.9799 P Issuer Name: DZ Bank |
Structured Product |
DY31BH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.66 P Issuer Name: DZ Bank |
Structured Product |
DY31E8 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.698 P Issuer Name: DZ Bank |
Structured Product |
DY31F1 |
SWB |
3.080 |
EUR |
| Details |
DZ Bank 1.703 P Issuer Name: DZ Bank |
Structured Product |
DY31F2 |
SWB |
3.380 |
EUR |
| Details |
DZ Bank 1.708 P Issuer Name: DZ Bank |
Structured Product |
DY31F3 |
SWB |
3.680 |
EUR |
| Details |
DZ Bank 1.713 P Issuer Name: DZ Bank |
Structured Product |
DY31F4 |
SWB |
3.990 |
EUR |
| Details |
DZ Bank 1.718 P Issuer Name: DZ Bank |
Structured Product |
DY31F5 |
SWB |
4.290 |
EUR |
| Details |
DZ Bank 1.723 P Issuer Name: DZ Bank |
Structured Product |
DY31F6 |
SWB |
4.600 |
EUR |
| Details |
DZ Bank 1.728 P Issuer Name: DZ Bank |
Structured Product |
DY31F7 |
SWB |
4.900 |
EUR |
| Details |
DZ Bank 1.733 P Issuer Name: DZ Bank |
Structured Product |
DY31F8 |
SWB |
5.20 |
EUR |
| Details |
DZ Bank 1.738 P Issuer Name: DZ Bank |
Structured Product |
DY31F9 |
SWB |
5.51 |
EUR |
| Details |
DZ Bank 1.743 P Issuer Name: DZ Bank |
Structured Product |
DY31GA |
SWB |
5.81 |
EUR |
| Details |
DZ Bank 1.748 P Issuer Name: DZ Bank |
Structured Product |
DY31GB |
SWB |
6.11 |
EUR |
| Details |
DZ Bank 1.753 P Issuer Name: DZ Bank |
Structured Product |
DY31GC |
SWB |
6.42 |
EUR |
| Details |
DZ Bank 1.758 P Issuer Name: DZ Bank |
Structured Product |
DY31GD |
SWB |
6.72 |
EUR |
| Details |
DZ Bank 1.763 P Issuer Name: DZ Bank |
Structured Product |
DY31GE |
SWB |
7.02 |
EUR |
| Details |
DZ Bank 1.768 P Issuer Name: DZ Bank |
Structured Product |
DY31GF |
SWB |
7.33 |
EUR |
| Details |
DZ Bank 1.66 P Issuer Name: DZ Bank |
Structured Product |
DY31KZ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1875 P Issuer Name: DZ Bank |
Structured Product |
DY31LT |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1885 P Issuer Name: DZ Bank |
Structured Product |
DY31LU |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.66 P Issuer Name: DZ Bank |
Structured Product |
DY31MX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6684 P Issuer Name: DZ Bank |
Structured Product |
DY31MY |
SWB |
1.330 |
EUR |
| Details |
DZ Bank 1.97 P Issuer Name: DZ Bank |
Structured Product |
DY31NL |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.9785 P Issuer Name: DZ Bank |
Structured Product |
DY31NM |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.18804 C Issuer Name: DZ Bank |
Structured Product |
DY31PE |
SWB |
5.08 |
EUR |
| Details |
DZ Bank 0.1884 C Issuer Name: DZ Bank |
Structured Product |
DY31PF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1894 C Issuer Name: DZ Bank |
Structured Product |
DY31PG |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1904 C Issuer Name: DZ Bank |
Structured Product |
DY31PH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.64 P Issuer Name: DZ Bank |
Structured Product |
DY31P3 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.65 P Issuer Name: DZ Bank |
Structured Product |
DY31P4 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1886 C Issuer Name: DZ Bank |
Structured Product |
DY31RB |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1896 C Issuer Name: DZ Bank |
Structured Product |
DY31RC |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.64 P Issuer Name: DZ Bank |
Structured Product |
DY31YM |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.65 P Issuer Name: DZ Bank |
Structured Product |
DY31YN |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.66 P Issuer Name: DZ Bank |
Structured Product |
DY31YP |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.2461 P Issuer Name: DZ Bank |
Structured Product |
DY31YT |
SWB |
1.630 |
EUR |
| Details |
DZ Bank 11.3211 P Issuer Name: DZ Bank |
Structured Product |
DY31YU |
SWB |
2.310 |
EUR |
| Details |
DZ Bank 0.1906 P Issuer Name: DZ Bank |
Structured Product |
DY31ZE |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1916 P Issuer Name: DZ Bank |
Structured Product |
DY31ZF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1926 P Issuer Name: DZ Bank |
Structured Product |
DY31ZG |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1936 P Issuer Name: DZ Bank |
Structured Product |
DY31ZH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6491 P Issuer Name: DZ Bank |
Structured Product |
DY312K |
SWB |
0.1600 |
EUR |
| Details |
DZ Bank 1.6591 P Issuer Name: DZ Bank |
Structured Product |
DY312L |
SWB |
0.7700 |
EUR |
| Details |
DZ Bank 11.04 P Issuer Name: DZ Bank |
Structured Product |
DY312X |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 11.14 P Issuer Name: DZ Bank |
Structured Product |
DY312Y |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1906 C Issuer Name: DZ Bank |
Structured Product |
DY313P |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1916 C Issuer Name: DZ Bank |
Structured Product |
DY313Q |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1926 C Issuer Name: DZ Bank |
Structured Product |
DY313R |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1936 C Issuer Name: DZ Bank |
Structured Product |
DY313S |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1946 C Issuer Name: DZ Bank |
Structured Product |
DY313T |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.958 C Issuer Name: DZ Bank |
Structured Product |
DY315Z |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.189675 P Issuer Name: DZ Bank |
Structured Product |
DY316K |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.190675 P Issuer Name: DZ Bank |
Structured Product |
DY316L |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.191675 P Issuer Name: DZ Bank |
Structured Product |
DY316M |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.192675 P Issuer Name: DZ Bank |
Structured Product |
DY316N |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.193684 P Issuer Name: DZ Bank |
Structured Product |
DY316P |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.194738 P Issuer Name: DZ Bank |
Structured Product |
DY316Q |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.63 P Issuer Name: DZ Bank |
Structured Product |
DY3178 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.6394 P Issuer Name: DZ Bank |
Structured Product |
DY3179 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.62 C Issuer Name: DZ Bank |
Structured Product |
DY32FE |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.63 C Issuer Name: DZ Bank |
Structured Product |
DY32FF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.9554 C Issuer Name: DZ Bank |
Structured Product |
DY32FU |
SWB |
1.470 |
EUR |
| Details |
DZ Bank 1.9604 C Issuer Name: DZ Bank |
Structured Product |
DY32FV |
SWB |
1.220 |
EUR |
| Details |
DZ Bank 0.18908 C Issuer Name: DZ Bank |
Structured Product |
DY32GU |
SWB |
4.580 |
EUR |
| Details |
DZ Bank 0.19008 C Issuer Name: DZ Bank |
Structured Product |
DY32GV |
SWB |
4.070 |
EUR |
| Details |
DZ Bank 0.19108 C Issuer Name: DZ Bank |
Structured Product |
DY32GW |
SWB |
3.560 |
EUR |
| Details |
DZ Bank 0.192 C Issuer Name: DZ Bank |
Structured Product |
DY32GX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.193 C Issuer Name: DZ Bank |
Structured Product |
DY32GY |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.63 P Issuer Name: DZ Bank |
Structured Product |
DY32KN |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.97 C Issuer Name: DZ Bank |
Structured Product |
DY32KR |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1927 P Issuer Name: DZ Bank |
Structured Product |
DY32LE |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1937 P Issuer Name: DZ Bank |
Structured Product |
DY32LF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1907 P Issuer Name: DZ Bank |
Structured Product |
DY32PV |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1917 P Issuer Name: DZ Bank |
Structured Product |
DY32PW |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.1927 P Issuer Name: DZ Bank |
Structured Product |
DY32PX |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.63 P Issuer Name: DZ Bank |
Structured Product |
DY32P0 |
SWB |
0.0010 |
EUR |
| Details |
DZ Bank 1.62 C Issuer Name: DZ Bank |
Structured Product |
DY32PZ |
SWB |
1.770 |
EUR |
| Details |
DZ Bank 0.192 C Issuer Name: DZ Bank |
Structured Product |
DY32QV |
SWB |
3.120 |
EUR |
| Details |
DZ Bank 0.193 C Issuer Name: DZ Bank |
Structured Product |
DY32QW |
SWB |
2.610 |
EUR |
| Details |
DZ Bank 0.19275 P Issuer Name: DZ Bank |
Structured Product |
DY32QX |
SWB |
0.0010 |
EUR |
| Details |
DZ Bank 0.19375 P Issuer Name: DZ Bank |
Structured Product |
DY32QY |
SWB |
0.0010 |
EUR |
| Details |
DZ Bank 0.19475 P Issuer Name: DZ Bank |
Structured Product |
DY32QZ |
SWB |
0.0010 |
EUR |
| Details |
DZ Bank 1.63 P Issuer Name: DZ Bank |
Structured Product |
DY32V6 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.64 P Issuer Name: DZ Bank |
Structured Product |
DY32V7 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.195675 P Issuer Name: DZ Bank |
Structured Product |
DY32W8 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0.195775 P Issuer Name: DZ Bank |
Structured Product |
DY32W9 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.97 P Issuer Name: DZ Bank |
Structured Product |
DY32WJ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 1.98 P Issuer Name: DZ Bank |
Structured Product |
DY32WK |
SWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.30041 C Issuer Name: ING BANK NV |
Structured Product |
NG3GF7 |
FWB |
6.88 |
EUR |
| Details |
ING BANK NV 1.6616 C Issuer Name: ING BANK NV |
Structured Product |
NG8U3D |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6541 C Issuer Name: ING BANK NV |
Structured Product |
NG8U3E |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 12.37465 P Issuer Name: ING BANK NV |
Structured Product |
NG8VNS |
FWB |
11.93 |
EUR |
| Details |
ING BANK NV 10.90823 C Issuer Name: ING BANK NV |
Structured Product |
NG8VNV |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.60942 C Issuer Name: ING BANK NV |
Structured Product |
NG8VNW |
FWB |
4.110 |
EUR |
| Details |
ING BANK NV 12.74586 P Issuer Name: ING BANK NV |
Structured Product |
NG8VNX |
FWB |
15.27 |
EUR |
| Details |
ING BANK NV 13.12819 P Issuer Name: ING BANK NV |
Structured Product |
NG8VNY |
FWB |
18.74 |
EUR |
| Details |
ING BANK NV 1.6466 C Issuer Name: ING BANK NV |
Structured Product |
NG8XCH |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.64 C Issuer Name: ING BANK NV |
Structured Product |
NG8XSL |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6318 C Issuer Name: ING BANK NV |
Structured Product |
NG8ZD7 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6242 C Issuer Name: ING BANK NV |
Structured Product |
NG80HW |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 12.1205 P Issuer Name: ING BANK NV |
Structured Product |
NG8603 |
FWB |
9.67 |
EUR |
| Details |
ING BANK NV 12.1508 P Issuer Name: ING BANK NV |
Structured Product |
NG8604 |
FWB |
9.94 |
EUR |
| Details |
ING BANK NV 12.1811 P Issuer Name: ING BANK NV |
Structured Product |
NG8605 |
FWB |
10.21 |
EUR |
| Details |
ING BANK NV 12.2114 P Issuer Name: ING BANK NV |
Structured Product |
NG87WS |
FWB |
10.49 |
EUR |
| Details |
ING BANK NV 12.242 P Issuer Name: ING BANK NV |
Structured Product |
NG87WT |
FWB |
10.77 |
EUR |
| Details |
ING BANK NV 12.2725 P Issuer Name: ING BANK NV |
Structured Product |
NG878P |
FWB |
11.04 |
EUR |
| Details |
ING BANK NV 12.3031 P Issuer Name: ING BANK NV |
Structured Product |
NG897X |
FWB |
11.32 |
EUR |
| Details |
ING BANK NV 12.3338 P Issuer Name: ING BANK NV |
Structured Product |
NG897Y |
FWB |
11.60 |
EUR |
| Details |
ING BANK NV 1.6046 C Issuer Name: ING BANK NV |
Structured Product |
NG9MHZ |
FWB |
2.550 |
EUR |
| Details |
ING BANK NV 1.5833 C Issuer Name: ING BANK NV |
Structured Product |
NG9MYS |
FWB |
3.830 |
EUR |
| Details |
ING BANK NV 1.5933 C Issuer Name: ING BANK NV |
Structured Product |
NG9P90 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.62289 C Issuer Name: ING BANK NV |
Structured Product |
NG9P9Y |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.60889 C Issuer Name: ING BANK NV |
Structured Product |
NG9P9Z |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.5617 C Issuer Name: ING BANK NV |
Structured Product |
NB0GX9 |
FWB |
5.13 |
EUR |
| Details |
ING BANK NV 1.5403 C Issuer Name: ING BANK NV |
Structured Product |
NB0GYA |
FWB |
6.47 |
EUR |
| Details |
ING BANK NV 1.57914 C Issuer Name: ING BANK NV |
Structured Product |
NB0HXU |
FWB |
4.100 |
EUR |
| Details |
ING BANK NV 1.87852 P Issuer Name: ING BANK NV |
Structured Product |
NB1JE7 |
FWB |
14.16 |
EUR |
| Details |
ING BANK NV 1.89729 P Issuer Name: ING BANK NV |
Structured Product |
NB1JE8 |
FWB |
15.38 |
EUR |
| Details |
ING BANK NV 1.8493 P Issuer Name: ING BANK NV |
Structured Product |
NB1J64 |
FWB |
12.43 |
EUR |
| Details |
ING BANK NV 1.8691 P Issuer Name: ING BANK NV |
Structured Product |
NB1LKM |
FWB |
13.62 |
EUR |
| Details |
ING BANK NV 1.8888 P Issuer Name: ING BANK NV |
Structured Product |
NB1LXY |
FWB |
14.79 |
EUR |
| Details |
ING BANK NV 1.9086 P Issuer Name: ING BANK NV |
Structured Product |
NB1WNM |
FWB |
16.01 |
EUR |
| Details |
ING BANK NV 1.9283 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB2 |
FWB |
17.20 |
EUR |
| Details |
ING BANK NV 1.9481 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB3 |
FWB |
18.38 |
EUR |
| Details |
ING BANK NV 1.9679 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB4 |
FWB |
19.63 |
EUR |
| Details |
ING BANK NV 1.9876 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB5 |
FWB |
20.80 |
EUR |
| Details |
ING BANK NV 2.0074 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB6 |
FWB |
22.05 |
EUR |
| Details |
ING BANK NV 2.0272 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB7 |
FWB |
23.24 |
EUR |
| Details |
ING BANK NV 2.047 P Issuer Name: ING BANK NV |
Structured Product |
NB1ZB8 |
FWB |
24.38 |
EUR |
| Details |
ING BANK NV 12.3646 P Issuer Name: ING BANK NV |
Structured Product |
NB11T1 |
FWB |
11.87 |
EUR |
| Details |
ING BANK NV 12.3954 P Issuer Name: ING BANK NV |
Structured Product |
NB11T2 |
FWB |
12.17 |
EUR |
| Details |
ING BANK NV 12.4263 P Issuer Name: ING BANK NV |
Structured Product |
NB11T3 |
FWB |
12.43 |
EUR |
| Details |
ING BANK NV 12.4574 P Issuer Name: ING BANK NV |
Structured Product |
NB11T4 |
FWB |
12.73 |
EUR |
| Details |
ING BANK NV 1.8295 P Issuer Name: ING BANK NV |
Structured Product |
NB11TX |
FWB |
11.20 |
EUR |
| Details |
ING BANK NV 2.0667 P Issuer Name: ING BANK NV |
Structured Product |
NB11TY |
FWB |
25.60 |
EUR |
| Details |
ING BANK NV 12.0609 P Issuer Name: ING BANK NV |
Structured Product |
NB13TU |
FWB |
9.13 |
EUR |
| Details |
ING BANK NV 1.8097 P Issuer Name: ING BANK NV |
Structured Product |
NB14B1 |
FWB |
10.00 |
EUR |
| Details |
ING BANK NV 12.0005 P Issuer Name: ING BANK NV |
Structured Product |
NB16BP |
FWB |
8.56 |
EUR |
| Details |
ING BANK NV 12.0307 P Issuer Name: ING BANK NV |
Structured Product |
NB16BQ |
FWB |
8.85 |
EUR |
| Details |
ING BANK NV 1.85967 P Issuer Name: ING BANK NV |
Structured Product |
NB2NU1 |
FWB |
13.02 |
EUR |
| Details |
ING BANK NV 1.91622 P Issuer Name: ING BANK NV |
Structured Product |
NB2NU2 |
FWB |
16.48 |
EUR |
| Details |
ING BANK NV 1.9353 P Issuer Name: ING BANK NV |
Structured Product |
NB2NU3 |
FWB |
17.63 |
EUR |
| Details |
ING BANK NV 1.95462 P Issuer Name: ING BANK NV |
Structured Product |
NB2WAJ |
FWB |
18.82 |
EUR |
| Details |
ING BANK NV 1.97417 P Issuer Name: ING BANK NV |
Structured Product |
NB23RR |
FWB |
20.01 |
EUR |
| Details |
ING BANK NV 1.84104 P Issuer Name: ING BANK NV |
Structured Product |
NB4A2H |
FWB |
11.90 |
EUR |
| Details |
ING BANK NV 1.7897 P Issuer Name: ING BANK NV |
Structured Product |
NB4MJ7 |
FWB |
8.81 |
EUR |
| Details |
ING BANK NV 11.9705 P Issuer Name: ING BANK NV |
Structured Product |
NB4U0T |
FWB |
8.31 |
EUR |
| Details |
ING BANK NV 11.9404 P Issuer Name: ING BANK NV |
Structured Product |
NB4VDL |
FWB |
8.04 |
EUR |
| Details |
ING BANK NV 1.7697 P Issuer Name: ING BANK NV |
Structured Product |
NB4V20 |
FWB |
7.58 |
EUR |
| Details |
ING BANK NV 11.8806 P Issuer Name: ING BANK NV |
Structured Product |
NB4V23 |
FWB |
7.51 |
EUR |
| Details |
ING BANK NV 11.9105 P Issuer Name: ING BANK NV |
Structured Product |
NB4V24 |
FWB |
7.76 |
EUR |
| Details |
ING BANK NV 11.8513 P Issuer Name: ING BANK NV |
Structured Product |
NB4W39 |
FWB |
7.23 |
EUR |
| Details |
ING BANK NV 11.8216 P Issuer Name: ING BANK NV |
Structured Product |
NB4XUF |
FWB |
6.94 |
EUR |
| Details |
ING BANK NV 1.7497 P Issuer Name: ING BANK NV |
Structured Product |
NB4YYE |
FWB |
6.34 |
EUR |
| Details |
ING BANK NV 11.7921 P Issuer Name: ING BANK NV |
Structured Product |
NB41F1 |
FWB |
6.69 |
EUR |
| Details |
ING BANK NV 11.7625 P Issuer Name: ING BANK NV |
Structured Product |
NB426G |
FWB |
6.44 |
EUR |
| Details |
ING BANK NV 11.6743 P Issuer Name: ING BANK NV |
Structured Product |
NB46M0 |
FWB |
5.62 |
EUR |
| Details |
ING BANK NV 11.7037 P Issuer Name: ING BANK NV |
Structured Product |
NB46M1 |
FWB |
5.91 |
EUR |
| Details |
ING BANK NV 11.733 P Issuer Name: ING BANK NV |
Structured Product |
NB46M2 |
FWB |
6.18 |
EUR |
| Details |
ING BANK NV 1.7298 P Issuer Name: ING BANK NV |
Structured Product |
NB462B |
FWB |
5.13 |
EUR |
| Details |
ING BANK NV 11.6163 P Issuer Name: ING BANK NV |
Structured Product |
NB462D |
FWB |
5.13 |
EUR |
| Details |
ING BANK NV 11.6454 P Issuer Name: ING BANK NV |
Structured Product |
NB462E |
FWB |
5.38 |
EUR |
| Details |
ING BANK NV 11.2006 C Issuer Name: ING BANK NV |
Structured Product |
NB47P0 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.213 C Issuer Name: ING BANK NV |
Structured Product |
NB47PZ |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1728 C Issuer Name: ING BANK NV |
Structured Product |
NB5ABL |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1448 C Issuer Name: ING BANK NV |
Structured Product |
NB5ABM |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.5871 P Issuer Name: ING BANK NV |
Structured Product |
NB5ADM |
FWB |
4.840 |
EUR |
| Details |
ING BANK NV 11.1278 C Issuer Name: ING BANK NV |
Structured Product |
NB5BCC |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1 C Issuer Name: ING BANK NV |
Structured Product |
NB5BCD |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.0875 C Issuer Name: ING BANK NV |
Structured Product |
NB5BCE |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.0613 C Issuer Name: ING BANK NV |
Structured Product |
NB5B24 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.0337 C Issuer Name: ING BANK NV |
Structured Product |
NB5B25 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.5202 C Issuer Name: ING BANK NV |
Structured Product |
NB5DR6 |
FWB |
7.66 |
EUR |
| Details |
ING BANK NV 1.7097 P Issuer Name: ING BANK NV |
Structured Product |
NB5DSR |
FWB |
3.880 |
EUR |
| Details |
ING BANK NV 11.5003 P Issuer Name: ING BANK NV |
Structured Product |
NB5GTC |
FWB |
4.070 |
EUR |
| Details |
ING BANK NV 11.5292 P Issuer Name: ING BANK NV |
Structured Product |
NB5GTD |
FWB |
4.340 |
EUR |
| Details |
ING BANK NV 11.5581 P Issuer Name: ING BANK NV |
Structured Product |
NB5GTE |
FWB |
4.580 |
EUR |
| Details |
ING BANK NV 1.6897 P Issuer Name: ING BANK NV |
Structured Product |
NB5HK2 |
FWB |
2.720 |
EUR |
| Details |
ING BANK NV 11.4715 P Issuer Name: ING BANK NV |
Structured Product |
NB5HK4 |
FWB |
3.800 |
EUR |
| Details |
ING BANK NV 11.0062 C Issuer Name: ING BANK NV |
Structured Product |
NB5H05 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.9803 C Issuer Name: ING BANK NV |
Structured Product |
NB5H06 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.357 P Issuer Name: ING BANK NV |
Structured Product |
NB5HV0 |
FWB |
2.760 |
EUR |
| Details |
ING BANK NV 11.3855 P Issuer Name: ING BANK NV |
Structured Product |
NB5HV1 |
FWB |
3.020 |
EUR |
| Details |
ING BANK NV 11.414 P Issuer Name: ING BANK NV |
Structured Product |
NB5HV2 |
FWB |
3.300 |
EUR |
| Details |
ING BANK NV 11.4427 P Issuer Name: ING BANK NV |
Structured Product |
NB5HV3 |
FWB |
3.530 |
EUR |
| Details |
ING BANK NV 1.5001 C Issuer Name: ING BANK NV |
Structured Product |
NB5JCM |
FWB |
8.89 |
EUR |
| Details |
ING BANK NV 10.9529 C Issuer Name: ING BANK NV |
Structured Product |
NB5JCQ |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.9271 C Issuer Name: ING BANK NV |
Structured Product |
NB5JCR |
FWB |
1.280 |
EUR |
| Details |
ING BANK NV 10.8999 C Issuer Name: ING BANK NV |
Structured Product |
NB5JCS |
FWB |
1.520 |
EUR |
| Details |
ING BANK NV 10.8726 C Issuer Name: ING BANK NV |
Structured Product |
NB5J92 |
FWB |
1.760 |
EUR |
| Details |
ING BANK NV 1.48 C Issuer Name: ING BANK NV |
Structured Product |
NB5J9X |
FWB |
10.10 |
EUR |
| Details |
ING BANK NV 11.2395 C Issuer Name: ING BANK NV |
Structured Product |
NB5KXK |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.3383 P Issuer Name: ING BANK NV |
Structured Product |
NB5LA3 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.3096 P Issuer Name: ING BANK NV |
Structured Product |
NB5LPS |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.8454 C Issuer Name: ING BANK NV |
Structured Product |
NB5L90 |
FWB |
2.010 |
EUR |
| Details |
ING BANK NV 11.2526 P Issuer Name: ING BANK NV |
Structured Product |
NB5LSG |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2809 P Issuer Name: ING BANK NV |
Structured Product |
NB5LSH |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.3077 P Issuer Name: ING BANK NV |
Structured Product |
NB5LSJ |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.3285 P Issuer Name: ING BANK NV |
Structured Product |
NB5LSK |
FWB |
2.510 |
EUR |
| Details |
ING BANK NV 11.2177 C Issuer Name: ING BANK NV |
Structured Product |
NB5MSS |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2271 C Issuer Name: ING BANK NV |
Structured Product |
NB5NLB |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6706 P Issuer Name: ING BANK NV |
Structured Product |
NB5N80 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.46 C Issuer Name: ING BANK NV |
Structured Product |
NB5PHD |
FWB |
11.34 |
EUR |
| Details |
ING BANK NV 11.2552 C Issuer Name: ING BANK NV |
Structured Product |
NB5PHH |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2492 P Issuer Name: ING BANK NV |
Structured Product |
NB5QBQ |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2774 P Issuer Name: ING BANK NV |
Structured Product |
NB5QBR |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.3001 P Issuer Name: ING BANK NV |
Structured Product |
NB5QBS |
FWB |
2.250 |
EUR |
| Details |
ING BANK NV 1.6697 P Issuer Name: ING BANK NV |
Structured Product |
NB5Q5P |
FWB |
1.510 |
EUR |
| Details |
ING BANK NV 11.2207 P Issuer Name: ING BANK NV |
Structured Product |
NB5Q5Q |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.44 C Issuer Name: ING BANK NV |
Structured Product |
NB5QR3 |
FWB |
12.54 |
EUR |
| Details |
ING BANK NV 10.8183 C Issuer Name: ING BANK NV |
Structured Product |
NB5QR9 |
FWB |
2.250 |
EUR |
| Details |
ING BANK NV 10.7914 C Issuer Name: ING BANK NV |
Structured Product |
NB5QSA |
FWB |
2.500 |
EUR |
| Details |
ING BANK NV 10.7644 C Issuer Name: ING BANK NV |
Structured Product |
NB5QSB |
FWB |
2.740 |
EUR |
| Details |
ING BANK NV 1.4199 C Issuer Name: ING BANK NV |
Structured Product |
NB5RRV |
FWB |
13.75 |
EUR |
| Details |
ING BANK NV 11.2084 C Issuer Name: ING BANK NV |
Structured Product |
NB5RRW |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.182 C Issuer Name: ING BANK NV |
Structured Product |
NB5RRX |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1541 C Issuer Name: ING BANK NV |
Structured Product |
NB5RRY |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2718 P Issuer Name: ING BANK NV |
Structured Product |
NB5TDS |
FWB |
1.980 |
EUR |
| Details |
ING BANK NV 11.2187 P Issuer Name: ING BANK NV |
Structured Product |
NB5UF0 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.2436 P Issuer Name: ING BANK NV |
Structured Product |
NB5UF1 |
FWB |
1.740 |
EUR |
| Details |
ING BANK NV 11.1338 C Issuer Name: ING BANK NV |
Structured Product |
NB5VKU |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1152 C Issuer Name: ING BANK NV |
Structured Product |
NB5VKV |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6496 P Issuer Name: ING BANK NV |
Structured Product |
NB5WF5 |
FWB |
0.2600 |
EUR |
| Details |
ING BANK NV 11.2155 P Issuer Name: ING BANK NV |
Structured Product |
NB5WF8 |
FWB |
1.500 |
EUR |
| Details |
ING BANK NV 1.3999 C Issuer Name: ING BANK NV |
Structured Product |
NB5WHA |
FWB |
14.98 |
EUR |
| Details |
ING BANK NV 1.3799 C Issuer Name: ING BANK NV |
Structured Product |
NB5WHB |
FWB |
16.16 |
EUR |
| Details |
ING BANK NV 1.3601 C Issuer Name: ING BANK NV |
Structured Product |
NB5WHC |
FWB |
17.40 |
EUR |
| Details |
ING BANK NV 10.7376 C Issuer Name: ING BANK NV |
Structured Product |
NB5WHE |
FWB |
2.990 |
EUR |
| Details |
ING BANK NV 11.1874 P Issuer Name: ING BANK NV |
Structured Product |
NB5YFG |
FWB |
1.240 |
EUR |
| Details |
ING BANK NV 1.6241 C Issuer Name: ING BANK NV |
Structured Product |
NB5YHQ |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 1.6297 P Issuer Name: ING BANK NV |
Structured Product |
NB5YP4 |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 11.1036 P Issuer Name: ING BANK NV |
Structured Product |
NB5YP6 |
FWB |
0.4700 |
EUR |
| Details |
ING BANK NV 11.1315 P Issuer Name: ING BANK NV |
Structured Product |
NB5YP7 |
FWB |
0.7200 |
EUR |
| Details |
ING BANK NV 11.1594 P Issuer Name: ING BANK NV |
Structured Product |
NB5YP8 |
FWB |
0.9800 |
EUR |
| Details |
ING BANK NV 10.7109 C Issuer Name: ING BANK NV |
Structured Product |
NB5YQL |
FWB |
3.230 |
EUR |
| Details |
ING BANK NV 10.6842 C Issuer Name: ING BANK NV |
Structured Product |
NB5YQM |
FWB |
3.470 |
EUR |
| Details |
ING BANK NV 1.6246 C Issuer Name: ING BANK NV |
Structured Product |
NB5Y42 |
FWB |
1.340 |
EUR |
| Details |
ING BANK NV 10.6574 C Issuer Name: ING BANK NV |
Structured Product |
NB5Y45 |
FWB |
3.720 |
EUR |
| Details |
ING BANK NV 11.0202 P Issuer Name: ING BANK NV |
Structured Product |
NB5Z3B |
FWB |
0.1200 |
EUR |
| Details |
ING BANK NV 11.0479 P Issuer Name: ING BANK NV |
Structured Product |
NB5Z3C |
FWB |
0.1700 |
EUR |
| Details |
ING BANK NV 11.0756 P Issuer Name: ING BANK NV |
Structured Product |
NB5Z3D |
FWB |
0.2200 |
EUR |
| Details |
ING BANK NV 10.9559 C Issuer Name: ING BANK NV |
Structured Product |
NB5ZP6 |
FWB |
1.010 |
EUR |
| Details |
ING BANK NV 10.6323 C Issuer Name: ING BANK NV |
Structured Product |
NB5ZP7 |
FWB |
3.960 |
EUR |
| Details |
ING BANK NV 10.6058 C Issuer Name: ING BANK NV |
Structured Product |
NB5ZP8 |
FWB |
4.190 |
EUR |
| Details |
ING BANK NV 10.5793 C Issuer Name: ING BANK NV |
Structured Product |
NB5ZP9 |
FWB |
4.430 |
EUR |
| Details |
ING BANK NV 11.0153 C Issuer Name: ING BANK NV |
Structured Product |
NB504Q |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 10.9878 C Issuer Name: ING BANK NV |
Structured Product |
NB504R |
FWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 15.6925 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JB1URU |
SWB |
45.80 |
EUR |
| Details |
JP Morgan Structured Products B.V. 12.6721 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JB6D52 |
SWB |
18.52 |
EUR |
| Details |
JP Morgan Structured Products B.V. 12.222 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JB7MH7 |
SWB |
14.45 |
EUR |
| Details |
JP Morgan Structured Products B.V. 12.3481 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JB7S63 |
SWB |
15.59 |
EUR |
| Details |
JP Morgan Structured Products B.V. 18.0393 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JH07P7 |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 14.1335 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JZ955R |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 6.9343 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JZ955S |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 9.8006 C Issuer Name: Morgan Stanley |
Structured Product |
MA0CHB |
SWB |
0.0110 |
EUR |
| Details |
Morgan Stanley 5.2503 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VW4 |
SWB |
8.47 |
EUR |
| Details |
Morgan Stanley 2.3476 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VWE |
SWB |
7.18 |
EUR |
| Details |
Morgan Stanley 15.7493 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VYE |
SWB |
6.68 |
EUR |
| Details |
Morgan Stanley 0.786 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VV3 |
SWB |
8.45 |
EUR |
| Details |
Morgan Stanley 2.3577 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VXA |
SWB |
7.10 |
EUR |
| Details |
Morgan Stanley 5.5518 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VW2 |
SWB |
9.25 |
EUR |
| Details |
Morgan Stanley 16.6534 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VY6 |
SWB |
5.69 |
EUR |
| Details |
Morgan Stanley 0.8392 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VVX |
SWB |
9.37 |
EUR |
| Details |
Morgan Stanley 2.5173 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VY1 |
SWB |
5.31 |
EUR |
| Details |
Morgan Stanley 7.042 C Issuer Name: Morgan Stanley |
Structured Product |
MC40KK |
SWB |
11.10 |
EUR |
| Details |
Morgan Stanley 4.2257 C Issuer Name: Morgan Stanley |
Structured Product |
MC40N5 |
SWB |
0.1700 |
EUR |
| Details |
Morgan Stanley 0.7215 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VVD |
SWB |
8.43 |
EUR |
| Details |
Morgan Stanley 2.1644 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VXK |
SWB |
7.63 |
EUR |
| Details |
Morgan Stanley 1.4672 C Issuer Name: Morgan Stanley |
Structured Product |
MC8YE5 |
SWB |
0.0160 |
EUR |
| Details |
Morgan Stanley 1.5106 C Issuer Name: Morgan Stanley |
Structured Product |
MC40NA |
SWB |
0.7600 |
EUR |
| Details |
Morgan Stanley 362.2855 C Issuer Name: Morgan Stanley |
Structured Product |
MC40NF |
SWB |
0.0650 |
EUR |
| Details |
Morgan Stanley 15.7493 C Issuer Name: Morgan Stanley |
Structured Product |
MF7JV4 |
SWB |
4.530 |
EUR |
| Details |
Morgan Stanley 10.3633 C Issuer Name: Morgan Stanley |
Structured Product |
MC9MSG |
SWB |
0.0400 |
EUR |
| Details |
Morgan Stanley 0.272806 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VJU |
SWB |
9.25 |
EUR |
| Details |
Morgan Stanley 0.090945 C Issuer Name: Morgan Stanley |
Structured Product |
MA3VK9 |
SWB |
7.14 |
EUR |
| Details |
Morgan Stanley 1.4122 C Issuer Name: Morgan Stanley |
Structured Product |
MA6Y57 |
SWB |
16.15 |
EUR |
| Details |
Morgan Stanley 0.752 C Issuer Name: Morgan Stanley |
Structured Product |
MD1AWA |
SWB |
44.74 |
EUR |
| Details |
Morgan Stanley 2.0538 P Issuer Name: Morgan Stanley |
Structured Product |
MD1P9T |
SWB |
15.13 |
EUR |
| Details |
Morgan Stanley 15.7313 P Issuer Name: Morgan Stanley |
Structured Product |
MD1VGV |
SWB |
30.19 |
EUR |
| Details |
Morgan Stanley 12.9614 P Issuer Name: Morgan Stanley |
Structured Product |
MD21EN |
SWB |
9.21 |
EUR |
| Details |
Morgan Stanley 13.6472 P Issuer Name: Morgan Stanley |
Structured Product |
MD26Y9 |
SWB |
12.94 |
EUR |
| Details |
Morgan Stanley 1.822 P Issuer Name: Morgan Stanley |
Structured Product |
MD2919 |
SWB |
6.46 |
EUR |
| Details |
Morgan Stanley 12.8446 P Issuer Name: Morgan Stanley |
Structured Product |
MD2YY8 |
SWB |
4.580 |
EUR |
| Details |
Morgan Stanley 1.3228 C Issuer Name: Morgan Stanley |
Structured Product |
MA9CTC |
SWB |
1.570 |
EUR |
| Details |
Morgan Stanley 12.8744 P Issuer Name: Morgan Stanley |
Structured Product |
MD3KYM |
SWB |
4.810 |
EUR |
| Details |
Morgan Stanley 0.8269 C Issuer Name: Morgan Stanley |
Structured Product |
MD4CYM |
SWB |
38.23 |
EUR |
| Details |
Morgan Stanley 13.8185 P Issuer Name: Morgan Stanley |
Structured Product |
MD56QN |
SWB |
14.52 |
EUR |
| Details |
Morgan Stanley 3.3128 C Issuer Name: Morgan Stanley |
Structured Product |
MD7KDV |
SWB |
3.430 |
EUR |
| Details |
Morgan Stanley 0.104907 C Issuer Name: Morgan Stanley |
Structured Product |
MB10Q9 |
SWB |
29.25 |
EUR |
| Details |
Morgan Stanley 13.4377 P Issuer Name: Morgan Stanley |
Structured Product |
MB215Y |
SWB |
9.99 |
EUR |
| Details |
Morgan Stanley 8.731 C Issuer Name: Morgan Stanley |
Structured Product |
MB2SX2 |
SWB |
6.70 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
ME2D6B |
SWB |
37.76 |
EUR |
| Details |
Morgan Stanley 1.14 C Issuer Name: Morgan Stanley |
Structured Product |
ME36C2 |
SWB |
19.36 |
EUR |
| Details |
Morgan Stanley 1.0694 C Issuer Name: Morgan Stanley |
Structured Product |
ME3JT5 |
SWB |
24.42 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
ME3MHF |
SWB |
7.75 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
ME3MHG |
SWB |
12.17 |
EUR |
| Details |
Morgan Stanley 1.7777 P Issuer Name: Morgan Stanley |
Structured Product |
ME3QD5 |
SWB |
3.860 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME3T98 |
SWB |
25.61 |
EUR |
| Details |
Morgan Stanley 15.1515 P Issuer Name: Morgan Stanley |
Structured Product |
ME3ZBD |
SWB |
29.54 |
EUR |
| Details |
Morgan Stanley 13.1313 P Issuer Name: Morgan Stanley |
Structured Product |
ME3ZBE |
SWB |
12.26 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
ME416M |
SWB |
22.81 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
ME416N |
SWB |
13.36 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
ME4JP5 |
SWB |
26.58 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME4K1Y |
SWB |
26.86 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
ME4NJ3 |
SWB |
17.94 |
EUR |
| Details |
Morgan Stanley 1.14 C Issuer Name: Morgan Stanley |
Structured Product |
ME4NJ4 |
SWB |
19.68 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
ME4XNV |
SWB |
28.42 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
ME5H4V |
SWB |
18.54 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
ME5MKU |
SWB |
23.83 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
ME5PXN |
SWB |
36.32 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
ME5Q0S |
SWB |
6.10 |
EUR |
| Details |
Morgan Stanley 5.9406 C Issuer Name: Morgan Stanley |
Structured Product |
ME5RY3 |
SWB |
38.88 |
EUR |
| Details |
Morgan Stanley 13.6363 P Issuer Name: Morgan Stanley |
Structured Product |
ME5UF8 |
SWB |
16.89 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
ME5VL0 |
SWB |
33.19 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
ME5ZEF |
SWB |
32.58 |
EUR |
| Details |
Morgan Stanley 240 C Issuer Name: Morgan Stanley |
Structured Product |
ME68KZ |
SWB |
26.53 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME6AJZ |
SWB |
26.05 |
EUR |
| Details |
Morgan Stanley 0.88 C Issuer Name: Morgan Stanley |
Structured Product |
ME6F44 |
SWB |
38.27 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
ME77CN |
SWB |
18.52 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
ME7HWU |
SWB |
8.23 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
ME7LJ8 |
SWB |
23.42 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
ME7LJ9 |
SWB |
38.98 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME86Y6 |
SWB |
27.39 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
ME89M6 |
SWB |
32.97 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
ME8NSX |
SWB |
22.34 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
ME8QW1 |
SWB |
13.74 |
EUR |
| Details |
Morgan Stanley 0.88 C Issuer Name: Morgan Stanley |
Structured Product |
ME8QWT |
SWB |
38.63 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
ME8QWU |
SWB |
36.90 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
ME93J0 |
SWB |
14.18 |
EUR |
| Details |
Morgan Stanley 1.68 C Issuer Name: Morgan Stanley |
Structured Product |
ME93KL |
SWB |
5.46 |
EUR |
| Details |
Morgan Stanley 15.1515 P Issuer Name: Morgan Stanley |
Structured Product |
ME97ZJ |
SWB |
30.66 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME99RG |
SWB |
26.60 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
ME9HEF |
SWB |
28.06 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
ME9M9K |
SWB |
19.12 |
EUR |
| Details |
Morgan Stanley 9.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG00NV |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MG03DG |
SWB |
33.97 |
EUR |
| Details |
Morgan Stanley 1.64 C Issuer Name: Morgan Stanley |
Structured Product |
MG03HG |
SWB |
7.98 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG03HH |
SWB |
19.67 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MG04YW |
SWB |
44.98 |
EUR |
| Details |
Morgan Stanley 1.4881 C Issuer Name: Morgan Stanley |
Structured Product |
MG07HJ |
SWB |
2.210 |
EUR |
| Details |
Morgan Stanley 1.5157 C Issuer Name: Morgan Stanley |
Structured Product |
MG07HK |
SWB |
1.390 |
EUR |
| Details |
Morgan Stanley 1.5432 C Issuer Name: Morgan Stanley |
Structured Product |
MG07HL |
SWB |
0.6400 |
EUR |
| Details |
Morgan Stanley 0.183533 C Issuer Name: Morgan Stanley |
Structured Product |
MG07HN |
SWB |
0.5700 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MG07HS |
SWB |
9.87 |
EUR |
| Details |
Morgan Stanley 0.15 C Issuer Name: Morgan Stanley |
Structured Product |
MG07LK |
SWB |
8.98 |
EUR |
| Details |
Morgan Stanley 436.964 C Issuer Name: Morgan Stanley |
Structured Product |
MG07LU |
SWB |
7.29 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
MG0A7T |
SWB |
33.33 |
EUR |
| Details |
Morgan Stanley 9 C Issuer Name: Morgan Stanley |
Structured Product |
MG0A7V |
SWB |
8.45 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG0BMG |
SWB |
12.56 |
EUR |
| Details |
Morgan Stanley 12.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG0BMH |
SWB |
5.73 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BN3 |
SWB |
24.20 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BN4 |
SWB |
2.550 |
EUR |
| Details |
Morgan Stanley 1.48 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BN5 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BNR |
SWB |
10.33 |
EUR |
| Details |
Morgan Stanley 8.4 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BNS |
SWB |
15.70 |
EUR |
| Details |
Morgan Stanley 9 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BNT |
SWB |
9.68 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BNZ |
SWB |
2.410 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BP0 |
SWB |
15.14 |
EUR |
| Details |
Morgan Stanley 1.5764 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BPH |
SWB |
11.65 |
EUR |
| Details |
Morgan Stanley 3.5644 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BPK |
SWB |
4.760 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BPL |
SWB |
27.95 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BPX |
SWB |
10.91 |
EUR |
| Details |
Morgan Stanley 316.8317 C Issuer Name: Morgan Stanley |
Structured Product |
MG0BPY |
SWB |
4.960 |
EUR |
| Details |
Morgan Stanley 240 C Issuer Name: Morgan Stanley |
Structured Product |
MG0E84 |
SWB |
28.08 |
EUR |
| Details |
Morgan Stanley 1.104 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCE |
SWB |
9.04 |
EUR |
| Details |
Morgan Stanley 1.1776 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCF |
SWB |
8.64 |
EUR |
| Details |
Morgan Stanley 1.2267 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCG |
SWB |
8.20 |
EUR |
| Details |
Morgan Stanley 1.2617 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCH |
SWB |
7.74 |
EUR |
| Details |
Morgan Stanley 1.288 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCJ |
SWB |
7.26 |
EUR |
| Details |
Morgan Stanley 1.3248 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCK |
SWB |
6.27 |
EUR |
| Details |
Morgan Stanley 1.3739 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCL |
SWB |
3.910 |
EUR |
| Details |
Morgan Stanley 1.6257 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCV |
SWB |
8.92 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GCY |
SWB |
9.42 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MG0GEA |
SWB |
9.16 |
EUR |
| Details |
Morgan Stanley 12.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG0GEB |
SWB |
8.91 |
EUR |
| Details |
Morgan Stanley 565.6565 P Issuer Name: Morgan Stanley |
Structured Product |
MG0GG8 |
SWB |
44.19 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GGM |
SWB |
18.67 |
EUR |
| Details |
Morgan Stanley 1.7707 C Issuer Name: Morgan Stanley |
Structured Product |
MG0KRC |
SWB |
3.960 |
EUR |
| Details |
Morgan Stanley 1.7216 C Issuer Name: Morgan Stanley |
Structured Product |
MG0KRD |
SWB |
3.320 |
EUR |
| Details |
Morgan Stanley 1.6601 C Issuer Name: Morgan Stanley |
Structured Product |
MG0KRE |
SWB |
2.290 |
EUR |
| Details |
Morgan Stanley 1.5986 C Issuer Name: Morgan Stanley |
Structured Product |
MG0KRF |
SWB |
1.010 |
EUR |
| Details |
Morgan Stanley 10.3536 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MEQ |
SWB |
1.460 |
EUR |
| Details |
Morgan Stanley 10.5453 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MER |
SWB |
0.8500 |
EUR |
| Details |
Morgan Stanley 0.9806 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MES |
SWB |
9.43 |
EUR |
| Details |
Morgan Stanley 1.9612 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MP1 |
SWB |
5.47 |
EUR |
| Details |
Morgan Stanley 1.8386 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MP2 |
SWB |
4.630 |
EUR |
| Details |
Morgan Stanley 12.4705 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MP3 |
SWB |
4.360 |
EUR |
| Details |
Morgan Stanley 1.3664 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MPN |
SWB |
5.21 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MPY |
SWB |
28.78 |
EUR |
| Details |
Morgan Stanley 12.6262 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQ3 |
SWB |
7.71 |
EUR |
| Details |
Morgan Stanley 12.1212 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQ4 |
SWB |
3.400 |
EUR |
| Details |
Morgan Stanley 0.242424 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQ6 |
SWB |
24.91 |
EUR |
| Details |
Morgan Stanley 0.227272 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQ7 |
SWB |
17.10 |
EUR |
| Details |
Morgan Stanley 484.8484 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQG |
SWB |
23.58 |
EUR |
| Details |
Morgan Stanley 444.4444 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MQH |
SWB |
13.28 |
EUR |
| Details |
Morgan Stanley 440 P Issuer Name: Morgan Stanley |
Structured Product |
MG0MSX |
SWB |
12.17 |
EUR |
| Details |
Morgan Stanley 1.62 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MTW |
SWB |
9.27 |
EUR |
| Details |
Morgan Stanley 1.66 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MTX |
SWB |
7.03 |
EUR |
| Details |
Morgan Stanley 10 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MTZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.1823 C Issuer Name: Morgan Stanley |
Structured Product |
MG11C5 |
SWB |
20.06 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MG11C6 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.0694 C Issuer Name: Morgan Stanley |
Structured Product |
MG11C8 |
SWB |
25.86 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MG11C9 |
SWB |
17.61 |
EUR |
| Details |
Morgan Stanley 1.2674 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CA |
SWB |
12.12 |
EUR |
| Details |
Morgan Stanley 1.307 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CB |
SWB |
9.39 |
EUR |
| Details |
Morgan Stanley 1.3268 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CC |
SWB |
8.00 |
EUR |
| Details |
Morgan Stanley 1.3466 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CD |
SWB |
6.64 |
EUR |
| Details |
Morgan Stanley 1.3862 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CE |
SWB |
3.890 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CJ |
SWB |
10.66 |
EUR |
| Details |
Morgan Stanley 1.4728 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JT |
SWB |
2.710 |
EUR |
| Details |
Morgan Stanley 1.3064 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JU |
SWB |
6.90 |
EUR |
| Details |
Morgan Stanley 1.3472 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JV |
SWB |
5.43 |
EUR |
| Details |
Morgan Stanley 10.1626 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JX |
SWB |
2.490 |
EUR |
| Details |
Morgan Stanley 10.3223 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JY |
SWB |
1.760 |
EUR |
| Details |
Morgan Stanley 357.7995 C Issuer Name: Morgan Stanley |
Structured Product |
MG11K2 |
SWB |
1.430 |
EUR |
| Details |
Morgan Stanley 2.04 P Issuer Name: Morgan Stanley |
Structured Product |
MG11N7 |
SWB |
17.44 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MG11N8 |
SWB |
10.53 |
EUR |
| Details |
Morgan Stanley 480 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QC |
SWB |
22.36 |
EUR |
| Details |
Morgan Stanley 430 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QD |
SWB |
9.61 |
EUR |
| Details |
Morgan Stanley 2.1319 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QE |
SWB |
22.73 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QT |
SWB |
37.93 |
EUR |
| Details |
Morgan Stanley 13.1313 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QU |
SWB |
12.06 |
EUR |
| Details |
Morgan Stanley 13.1313 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QV |
SWB |
13.56 |
EUR |
| Details |
Morgan Stanley 0.272727 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QX |
SWB |
40.54 |
EUR |
| Details |
Morgan Stanley 0.222222 P Issuer Name: Morgan Stanley |
Structured Product |
MG11QY |
SWB |
14.52 |
EUR |
| Details |
Morgan Stanley 434.3434 P Issuer Name: Morgan Stanley |
Structured Product |
MG11R2 |
SWB |
10.69 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG11T8 |
SWB |
18.87 |
EUR |
| Details |
Morgan Stanley 1.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TB |
SWB |
20.97 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TC |
SWB |
16.81 |
EUR |
| Details |
Morgan Stanley 1.24 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TD |
SWB |
14.03 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TE |
SWB |
11.26 |
EUR |
| Details |
Morgan Stanley 1.3 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TF |
SWB |
9.88 |
EUR |
| Details |
Morgan Stanley 1.32 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TG |
SWB |
8.50 |
EUR |
| Details |
Morgan Stanley 1.33 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TH |
SWB |
7.80 |
EUR |
| Details |
Morgan Stanley 1.34 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TJ |
SWB |
7.11 |
EUR |
| Details |
Morgan Stanley 1.35 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TK |
SWB |
6.42 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TL |
SWB |
5.72 |
EUR |
| Details |
Morgan Stanley 1.37 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TM |
SWB |
5.02 |
EUR |
| Details |
Morgan Stanley 1.38 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TN |
SWB |
4.330 |
EUR |
| Details |
Morgan Stanley 1.39 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TP |
SWB |
3.630 |
EUR |
| Details |
Morgan Stanley 1.4 C Issuer Name: Morgan Stanley |
Structured Product |
MG11TQ |
SWB |
2.940 |
EUR |
| Details |
Morgan Stanley 8.4 C Issuer Name: Morgan Stanley |
Structured Product |
MG11U1 |
SWB |
14.67 |
EUR |
| Details |
Morgan Stanley 300 C Issuer Name: Morgan Stanley |
Structured Product |
MG11V1 |
SWB |
10.21 |
EUR |
| Details |
Morgan Stanley 12.5 P Issuer Name: Morgan Stanley |
Structured Product |
MG12L5 |
SWB |
6.67 |
EUR |
| Details |
Morgan Stanley 13 P Issuer Name: Morgan Stanley |
Structured Product |
MG12L7 |
SWB |
12.42 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MG12L9 |
SWB |
18.55 |
EUR |
| Details |
Morgan Stanley 0.225 P Issuer Name: Morgan Stanley |
Structured Product |
MG12LA |
SWB |
15.96 |
EUR |
| Details |
Morgan Stanley 0.2225 P Issuer Name: Morgan Stanley |
Structured Product |
MG12LB |
SWB |
14.68 |
EUR |
| Details |
Morgan Stanley 1.841 C Issuer Name: Morgan Stanley |
Structured Product |
MG132G |
SWB |
3.720 |
EUR |
| Details |
Morgan Stanley 1.8226 C Issuer Name: Morgan Stanley |
Structured Product |
MG132H |
SWB |
3.150 |
EUR |
| Details |
Morgan Stanley 1.795 C Issuer Name: Morgan Stanley |
Structured Product |
MG132J |
SWB |
2.160 |
EUR |
| Details |
Morgan Stanley 1.633 C Issuer Name: Morgan Stanley |
Structured Product |
MG132K |
SWB |
1.820 |
EUR |
| Details |
Morgan Stanley 1.9822 C Issuer Name: Morgan Stanley |
Structured Product |
MG132M |
SWB |
1.130 |
EUR |
| Details |
Morgan Stanley 12.8621 C Issuer Name: Morgan Stanley |
Structured Product |
MG132N |
SWB |
5.94 |
EUR |
| Details |
Morgan Stanley 12.7033 C Issuer Name: Morgan Stanley |
Structured Product |
MG132P |
SWB |
5.37 |
EUR |
| Details |
Morgan Stanley 13.9351 C Issuer Name: Morgan Stanley |
Structured Product |
MG132Q |
SWB |
8.62 |
EUR |
| Details |
Morgan Stanley 13.548 C Issuer Name: Morgan Stanley |
Structured Product |
MG132R |
SWB |
8.07 |
EUR |
| Details |
Morgan Stanley 13.0641 C Issuer Name: Morgan Stanley |
Structured Product |
MG132S |
SWB |
6.81 |
EUR |
| Details |
Morgan Stanley 12.9028 C Issuer Name: Morgan Stanley |
Structured Product |
MG132T |
SWB |
6.13 |
EUR |
| Details |
Morgan Stanley 12.7738 C Issuer Name: Morgan Stanley |
Structured Product |
MG132U |
SWB |
5.46 |
EUR |
| Details |
Morgan Stanley 12.5803 C Issuer Name: Morgan Stanley |
Structured Product |
MG132V |
SWB |
4.150 |
EUR |
| Details |
Morgan Stanley 12.3867 C Issuer Name: Morgan Stanley |
Structured Product |
MG132W |
SWB |
2.470 |
EUR |
| Details |
Morgan Stanley 0.226199 C Issuer Name: Morgan Stanley |
Structured Product |
MG132Y |
SWB |
5.64 |
EUR |
| Details |
Morgan Stanley 0.282828 P Issuer Name: Morgan Stanley |
Structured Product |
MG163T |
SWB |
45.75 |
EUR |
| Details |
Morgan Stanley 0.232323 P Issuer Name: Morgan Stanley |
Structured Product |
MG163U |
SWB |
19.69 |
EUR |
| Details |
Morgan Stanley 424.2424 P Issuer Name: Morgan Stanley |
Structured Product |
MG164J |
SWB |
8.12 |
EUR |
| Details |
Morgan Stanley 1.04 C Issuer Name: Morgan Stanley |
Structured Product |
MG167J |
SWB |
27.93 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
MG167K |
SWB |
25.15 |
EUR |
| Details |
Morgan Stanley 1.2278 C Issuer Name: Morgan Stanley |
Structured Product |
MG168C |
SWB |
14.91 |
EUR |
| Details |
Morgan Stanley 1.8669 C Issuer Name: Morgan Stanley |
Structured Product |
MG169C |
SWB |
4.400 |
EUR |
| Details |
Morgan Stanley 1.7701 C Issuer Name: Morgan Stanley |
Structured Product |
MG169D |
SWB |
1.130 |
EUR |
| Details |
Morgan Stanley 13.7745 C Issuer Name: Morgan Stanley |
Structured Product |
MG169E |
SWB |
7.83 |
EUR |
| Details |
Morgan Stanley 13.3919 C Issuer Name: Morgan Stanley |
Structured Product |
MG169F |
SWB |
7.30 |
EUR |
| Details |
Morgan Stanley 12.4353 C Issuer Name: Morgan Stanley |
Structured Product |
MG169G |
SWB |
3.990 |
EUR |
| Details |
Morgan Stanley 12.244 C Issuer Name: Morgan Stanley |
Structured Product |
MG169H |
SWB |
2.600 |
EUR |
| Details |
Morgan Stanley 12.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG16CD |
SWB |
7.55 |
EUR |
| Details |
Morgan Stanley 0.255 P Issuer Name: Morgan Stanley |
Structured Product |
MG16CF |
SWB |
31.40 |
EUR |
| Details |
Morgan Stanley 0.22 P Issuer Name: Morgan Stanley |
Structured Product |
MG16CG |
SWB |
13.36 |
EUR |
| Details |
Morgan Stanley 420 P Issuer Name: Morgan Stanley |
Structured Product |
MG16CR |
SWB |
7.07 |
EUR |
| Details |
Morgan Stanley 12.9 P Issuer Name: Morgan Stanley |
Structured Product |
MG18SW |
SWB |
11.60 |
EUR |
| Details |
Morgan Stanley 1.2872 C Issuer Name: Morgan Stanley |
Structured Product |
MG195P |
SWB |
10.85 |
EUR |
| Details |
Morgan Stanley 13 P Issuer Name: Morgan Stanley |
Structured Product |
MG1E00 |
SWB |
11.06 |
EUR |
| Details |
Morgan Stanley 12.7 P Issuer Name: Morgan Stanley |
Structured Product |
MG1E01 |
SWB |
8.50 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MG1E02 |
SWB |
10.77 |
EUR |
| Details |
Morgan Stanley 12.7 P Issuer Name: Morgan Stanley |
Structured Product |
MG1E03 |
SWB |
9.90 |
EUR |
| Details |
Morgan Stanley 0.26 P Issuer Name: Morgan Stanley |
Structured Product |
MG1E05 |
SWB |
33.98 |
EUR |
| Details |
Morgan Stanley 0.88 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0K |
SWB |
39.05 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0L |
SWB |
12.74 |
EUR |
| Details |
Morgan Stanley 1.31 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0M |
SWB |
9.27 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0X |
SWB |
12.78 |
EUR |
| Details |
Morgan Stanley 1.68 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0Y |
SWB |
6.07 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG1E0Z |
SWB |
3.850 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MG1QV5 |
SWB |
8.72 |
EUR |
| Details |
Morgan Stanley 2.1943 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVE |
SWB |
7.56 |
EUR |
| Details |
Morgan Stanley 2.0572 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVF |
SWB |
6.85 |
EUR |
| Details |
Morgan Stanley 1.9749 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVG |
SWB |
6.14 |
EUR |
| Details |
Morgan Stanley 1.92 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVH |
SWB |
5.45 |
EUR |
| Details |
Morgan Stanley 2.3971 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVK |
SWB |
5.11 |
EUR |
| Details |
Morgan Stanley 2.2473 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVL |
SWB |
4.220 |
EUR |
| Details |
Morgan Stanley 2.1574 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVM |
SWB |
3.450 |
EUR |
| Details |
Morgan Stanley 15.37 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVN |
SWB |
8.96 |
EUR |
| Details |
Morgan Stanley 14.4094 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVP |
SWB |
8.53 |
EUR |
| Details |
Morgan Stanley 15.4627 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVQ |
SWB |
9.47 |
EUR |
| Details |
Morgan Stanley 14.4963 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVR |
SWB |
9.09 |
EUR |
| Details |
Morgan Stanley 4.7227 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QW0 |
SWB |
6.06 |
EUR |
| Details |
Morgan Stanley 0.269169 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QW1 |
SWB |
10.30 |
EUR |
| Details |
Morgan Stanley 0.252346 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QW2 |
SWB |
9.83 |
EUR |
| Details |
Morgan Stanley 0.242252 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QW3 |
SWB |
9.19 |
EUR |
| Details |
Morgan Stanley 587.295 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QWA |
SWB |
9.69 |
EUR |
| Details |
Morgan Stanley 522.04 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QWB |
SWB |
9.44 |
EUR |
| Details |
Morgan Stanley 489.4125 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QWC |
SWB |
9.13 |
EUR |
| Details |
Morgan Stanley 469.836 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QWD |
SWB |
8.74 |
EUR |
| Details |
Morgan Stanley 1.2343 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXL |
SWB |
6.82 |
EUR |
| Details |
Morgan Stanley 1.3166 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXM |
SWB |
5.88 |
EUR |
| Details |
Morgan Stanley 1.3714 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXN |
SWB |
5.01 |
EUR |
| Details |
Morgan Stanley 1.4106 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXP |
SWB |
4.220 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXQ |
SWB |
3.520 |
EUR |
| Details |
Morgan Stanley 1.1985 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXW |
SWB |
9.64 |
EUR |
| Details |
Morgan Stanley 1.3484 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXX |
SWB |
9.34 |
EUR |
| Details |
Morgan Stanley 1.4382 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXY |
SWB |
8.96 |
EUR |
| Details |
Morgan Stanley 7.685 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QXZ |
SWB |
7.32 |
EUR |
| Details |
Morgan Stanley 8.6456 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY0 |
SWB |
6.19 |
EUR |
| Details |
Morgan Stanley 9.222 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY1 |
SWB |
5.19 |
EUR |
| Details |
Morgan Stanley 9.6062 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY2 |
SWB |
4.320 |
EUR |
| Details |
Morgan Stanley 9.8807 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY3 |
SWB |
3.560 |
EUR |
| Details |
Morgan Stanley 10.0866 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY4 |
SWB |
2.910 |
EUR |
| Details |
Morgan Stanley 10.3748 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY5 |
SWB |
1.900 |
EUR |
| Details |
Morgan Stanley 10.5669 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY6 |
SWB |
1.200 |
EUR |
| Details |
Morgan Stanley 10.759 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY7 |
SWB |
0.5600 |
EUR |
| Details |
Morgan Stanley 7.7314 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY8 |
SWB |
6.98 |
EUR |
| Details |
Morgan Stanley 9.2776 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QY9 |
SWB |
4.660 |
EUR |
| Details |
Morgan Stanley 9.6642 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYA |
SWB |
3.750 |
EUR |
| Details |
Morgan Stanley 9.9403 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYB |
SWB |
2.980 |
EUR |
| Details |
Morgan Stanley 10.1474 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYC |
SWB |
2.340 |
EUR |
| Details |
Morgan Stanley 0.134585 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYR |
SWB |
6.33 |
EUR |
| Details |
Morgan Stanley 195.765 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QZ1 |
SWB |
8.48 |
EUR |
| Details |
Morgan Stanley 261.02 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QZ2 |
SWB |
7.12 |
EUR |
| Details |
Morgan Stanley 293.6475 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QZ3 |
SWB |
5.94 |
EUR |
| Details |
Morgan Stanley 313.224 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QZ4 |
SWB |
4.920 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG1TF7 |
SWB |
27.92 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG24MY |
SWB |
37.46 |
EUR |
| Details |
Morgan Stanley 0.133664 C Issuer Name: Morgan Stanley |
Structured Product |
MG2AVF |
SWB |
19.49 |
EUR |
| Details |
Morgan Stanley 0.257575 P Issuer Name: Morgan Stanley |
Structured Product |
MG2AVR |
SWB |
32.71 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG2AZE |
SWB |
22.92 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MG2AZF |
SWB |
13.28 |
EUR |
| Details |
Morgan Stanley 0.15 C Issuer Name: Morgan Stanley |
Structured Product |
MG2AZG |
SWB |
9.67 |
EUR |
| Details |
Morgan Stanley 0.156 C Issuer Name: Morgan Stanley |
Structured Product |
MG2AZH |
SWB |
6.06 |
EUR |
| Details |
Morgan Stanley 0.256 P Issuer Name: Morgan Stanley |
Structured Product |
MG2B1K |
SWB |
31.92 |
EUR |
| Details |
Morgan Stanley 0.252 P Issuer Name: Morgan Stanley |
Structured Product |
MG2B1L |
SWB |
29.85 |
EUR |
| Details |
Morgan Stanley 0.234 P Issuer Name: Morgan Stanley |
Structured Product |
MG2B1M |
SWB |
20.55 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MG2B1N |
SWB |
17.46 |
EUR |
| Details |
Morgan Stanley 0.226 P Issuer Name: Morgan Stanley |
Structured Product |
MG2B1P |
SWB |
16.43 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG2M5X |
SWB |
19.70 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MG2MB5 |
SWB |
29.98 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG2Q20 |
SWB |
28.66 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MG2RYV |
SWB |
24.30 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MG2RZ3 |
SWB |
40.11 |
EUR |
| Details |
Morgan Stanley 13.6363 P Issuer Name: Morgan Stanley |
Structured Product |
MG2RZ4 |
SWB |
18.22 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MG2S8E |
SWB |
2.950 |
EUR |
| Details |
Morgan Stanley 12.3 P Issuer Name: Morgan Stanley |
Structured Product |
MG2S8G |
SWB |
5.29 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
MG2SFZ |
SWB |
33.71 |
EUR |
| Details |
Morgan Stanley 1.3 C Issuer Name: Morgan Stanley |
Structured Product |
MG2SG0 |
SWB |
10.23 |
EUR |
| Details |
Morgan Stanley 1.32 C Issuer Name: Morgan Stanley |
Structured Product |
MG2SG1 |
SWB |
8.85 |
EUR |
| Details |
Morgan Stanley 1.64 C Issuer Name: Morgan Stanley |
Structured Product |
MG2SG6 |
SWB |
8.60 |
EUR |
| Details |
Morgan Stanley 7.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG2SG7 |
SWB |
27.14 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG2VKN |
SWB |
11.62 |
EUR |
| Details |
Morgan Stanley 10.9536 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W3X |
SWB |
0.2800 |
EUR |
| Details |
Morgan Stanley 1.24 C Issuer Name: Morgan Stanley |
Structured Product |
MG2YZQ |
SWB |
14.41 |
EUR |
| Details |
Morgan Stanley 12.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG32MT |
SWB |
6.18 |
EUR |
| Details |
Morgan Stanley 1.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AGQ |
SWB |
21.36 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AGR |
SWB |
17.21 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AGT |
SWB |
10.93 |
EUR |
| Details |
Morgan Stanley 9 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AGW |
SWB |
9.00 |
EUR |
| Details |
Morgan Stanley 10 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AGX |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG3AH0 |
SWB |
15.98 |
EUR |
| Details |
Morgan Stanley 13.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG3AUZ |
SWB |
16.24 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
MG3FKZ |
SWB |
25.52 |
EUR |
| Details |
Morgan Stanley 14.1414 P Issuer Name: Morgan Stanley |
Structured Product |
MG3FL8 |
SWB |
22.69 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MG3FM1 |
SWB |
28.52 |
EUR |
| Details |
Morgan Stanley 1.5632 C Issuer Name: Morgan Stanley |
Structured Product |
MG3JN8 |
SWB |
0.4900 |
EUR |
| Details |
Morgan Stanley 1.04 C Issuer Name: Morgan Stanley |
Structured Product |
MG3JQH |
SWB |
28.28 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2H |
SWB |
28.79 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2J |
SWB |
10.99 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2N |
SWB |
23.31 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2P |
SWB |
13.72 |
EUR |
| Details |
Morgan Stanley 0.15 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2Q |
SWB |
10.10 |
EUR |
| Details |
Morgan Stanley 0.156 C Issuer Name: Morgan Stanley |
Structured Product |
MG3M2R |
SWB |
6.52 |
EUR |
| Details |
Morgan Stanley 12.5 P Issuer Name: Morgan Stanley |
Structured Product |
MG3MCA |
SWB |
7.15 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MG3PS7 |
SWB |
20.24 |
EUR |
| Details |
Morgan Stanley 12.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG3PSE |
SWB |
8.02 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PSM |
SWB |
20.18 |
EUR |
| Details |
Morgan Stanley 9 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PSN |
SWB |
10.21 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PSP |
SWB |
8.53 |
EUR |
| Details |
Morgan Stanley 1.46 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PSQ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PSR |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.224747 P Issuer Name: Morgan Stanley |
Structured Product |
MG3WQC |
SWB |
15.72 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG40CK |
SWB |
19.24 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG40CL |
SWB |
28.16 |
EUR |
| Details |
Morgan Stanley 13 P Issuer Name: Morgan Stanley |
Structured Product |
MG40JQ |
SWB |
12.85 |
EUR |
| Details |
Morgan Stanley 1.6749 C Issuer Name: Morgan Stanley |
Structured Product |
MG40ND |
SWB |
6.92 |
EUR |
| Details |
Morgan Stanley 1.3664 C Issuer Name: Morgan Stanley |
Structured Product |
MG46E7 |
SWB |
5.93 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MG46E9 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.48 C Issuer Name: Morgan Stanley |
Structured Product |
MG46JA |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MG46JE |
SWB |
13.36 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG4971 |
SWB |
3.260 |
EUR |
| Details |
Morgan Stanley 8.4 C Issuer Name: Morgan Stanley |
Structured Product |
MG4E1X |
SWB |
16.28 |
EUR |
| Details |
Morgan Stanley 8.4 C Issuer Name: Morgan Stanley |
Structured Product |
MG4E20 |
SWB |
15.28 |
EUR |
| Details |
Morgan Stanley 0.158416 C Issuer Name: Morgan Stanley |
Structured Product |
MG4E9V |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MG4ED1 |
SWB |
13.80 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MG4KB9 |
SWB |
11.15 |
EUR |
| Details |
Morgan Stanley 1.3 C Issuer Name: Morgan Stanley |
Structured Product |
MG4KSA |
SWB |
10.59 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG4KSG |
SWB |
4.370 |
EUR |
| Details |
Morgan Stanley 0.156 C Issuer Name: Morgan Stanley |
Structured Product |
MG4KSJ |
SWB |
6.83 |
EUR |
| Details |
Morgan Stanley 0.15 C Issuer Name: Morgan Stanley |
Structured Product |
MG4M6J |
SWB |
10.46 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MG4MCK |
SWB |
15.00 |
EUR |
| Details |
Morgan Stanley 1.2674 C Issuer Name: Morgan Stanley |
Structured Product |
MG4MFW |
SWB |
12.84 |
EUR |
| Details |
Morgan Stanley 1.307 C Issuer Name: Morgan Stanley |
Structured Product |
MG4MFX |
SWB |
10.12 |
EUR |
| Details |
Morgan Stanley 1.7777 P Issuer Name: Morgan Stanley |
Structured Product |
MG4PZD |
SWB |
5.41 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG4Q25 |
SWB |
12.00 |
EUR |
| Details |
Morgan Stanley 1.1823 C Issuer Name: Morgan Stanley |
Structured Product |
MG4RDU |
SWB |
34.44 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MG4RDV |
SWB |
18.05 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG4RU0 |
SWB |
23.63 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MG4U2D |
SWB |
14.14 |
EUR |
| Details |
Morgan Stanley 1.24 C Issuer Name: Morgan Stanley |
Structured Product |
MG4U2G |
SWB |
14.79 |
EUR |
| Details |
Morgan Stanley 2.16 P Issuer Name: Morgan Stanley |
Structured Product |
MG4ZBZ |
SWB |
3.350 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MG4ZC3 |
SWB |
23.58 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG51R6 |
SWB |
24.89 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG51R7 |
SWB |
17.58 |
EUR |
| Details |
Morgan Stanley 9.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG51R9 |
SWB |
1.310 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG51RA |
SWB |
28.48 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
MG5470 |
SWB |
34.07 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MG54DY |
SWB |
3.250 |
EUR |
| Details |
Morgan Stanley 1.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG56T1 |
SWB |
21.75 |
EUR |
| Details |
Morgan Stanley 316.8317 C Issuer Name: Morgan Stanley |
Structured Product |
MG5943 |
SWB |
6.66 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG599T |
SWB |
19.58 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
MG599U |
SWB |
25.87 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG599W |
SWB |
20.30 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEA |
SWB |
33.00 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEB |
SWB |
14.24 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEC |
SWB |
31.39 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DED |
SWB |
23.16 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEE |
SWB |
13.55 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEH |
SWB |
30.39 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEJ |
SWB |
12.49 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEK |
SWB |
29.59 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEL |
SWB |
11.48 |
EUR |
| Details |
Morgan Stanley 0.125 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEN |
SWB |
25.65 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEP |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DEY |
SWB |
5.72 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DJY |
SWB |
9.23 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DJZ |
SWB |
4.470 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DK3 |
SWB |
7.21 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DK5 |
SWB |
23.86 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DK6 |
SWB |
13.54 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG5DK8 |
SWB |
25.30 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DW0 |
SWB |
23.91 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DW1 |
SWB |
21.23 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DW2 |
SWB |
20.31 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MG5DW7 |
SWB |
12.47 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG5N8V |
SWB |
29.23 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG5N8W |
SWB |
11.53 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MG5NMP |
SWB |
45.69 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MG5NMQ |
SWB |
34.82 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MG5NMR |
SWB |
18.53 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MG5QYU |
SWB |
6.76 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MG5UDD |
SWB |
27.69 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG5UFA |
SWB |
16.87 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MG5UKV |
SWB |
17.67 |
EUR |
| Details |
Morgan Stanley 0.262626 P Issuer Name: Morgan Stanley |
Structured Product |
MG5URW |
SWB |
35.17 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MG5XWB |
SWB |
14.51 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MG61Q5 |
SWB |
14.26 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MG61SG |
SWB |
11.87 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG657P |
SWB |
28.81 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG6580 |
SWB |
15.01 |
EUR |
| Details |
Morgan Stanley 2.0304 P Issuer Name: Morgan Stanley |
Structured Product |
MG65E7 |
SWB |
17.86 |
EUR |
| Details |
Morgan Stanley 0.25 P Issuer Name: Morgan Stanley |
Structured Product |
MG6860 |
SWB |
28.69 |
EUR |
| Details |
Morgan Stanley 5.9406 C Issuer Name: Morgan Stanley |
Structured Product |
MG6CH9 |
SWB |
40.36 |
EUR |
| Details |
Morgan Stanley 10 C Issuer Name: Morgan Stanley |
Structured Product |
MG6D46 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MG6D48 |
SWB |
5.16 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MG6FLF |
SWB |
29.61 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG6HPD |
SWB |
3.670 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG6KH2 |
SWB |
19.75 |
EUR |
| Details |
Morgan Stanley 1.6257 C Issuer Name: Morgan Stanley |
Structured Product |
MG6QV2 |
SWB |
10.42 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG6QYU |
SWB |
17.96 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG6QYY |
SWB |
17.23 |
EUR |
| Details |
Morgan Stanley 1.5848 C Issuer Name: Morgan Stanley |
Structured Product |
MG6QZ3 |
SWB |
8.94 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG6WCP |
SWB |
20.71 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MG70LH |
SWB |
30.40 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MG70Q6 |
SWB |
5.49 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG74F2 |
SWB |
23.51 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG74F7 |
SWB |
4.900 |
EUR |
| Details |
Morgan Stanley 3.5644 C Issuer Name: Morgan Stanley |
Structured Product |
MG75NL |
SWB |
6.60 |
EUR |
| Details |
Morgan Stanley 1.5764 C Issuer Name: Morgan Stanley |
Structured Product |
MG75NM |
SWB |
13.26 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG75NS |
SWB |
24.32 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG75XR |
SWB |
3.940 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MG78QJ |
SWB |
10.80 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MG78WH |
SWB |
30.90 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MG78Y8 |
SWB |
14.17 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG7AUQ |
SWB |
31.74 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MG7AWT |
SWB |
9.54 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG7D6X |
SWB |
14.02 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MG7FQQ |
SWB |
4.810 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MG7J17 |
SWB |
11.72 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MG7J18 |
SWB |
3.630 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MG7J1A |
SWB |
29.61 |
EUR |
| Details |
Morgan Stanley 500 P Issuer Name: Morgan Stanley |
Structured Product |
MG7J1C |
SWB |
27.59 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG7J1H |
SWB |
17.53 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG7M3H |
SWB |
20.87 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG7M3J |
SWB |
11.99 |
EUR |
| Details |
Morgan Stanley 1.0814 C Issuer Name: Morgan Stanley |
Structured Product |
MG7NXL |
SWB |
8.30 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG7PHL |
SWB |
25.75 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MG7UCZ |
SWB |
21.12 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MG7UHD |
SWB |
25.18 |
EUR |
| Details |
Morgan Stanley 13.1313 P Issuer Name: Morgan Stanley |
Structured Product |
MG7UHG |
SWB |
14.73 |
EUR |
| Details |
Morgan Stanley 12.6262 P Issuer Name: Morgan Stanley |
Structured Product |
MG7UHH |
SWB |
10.32 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG7UHP |
SWB |
12.14 |
EUR |
| Details |
Morgan Stanley 1.2674 C Issuer Name: Morgan Stanley |
Structured Product |
MG7US3 |
SWB |
13.62 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MG7US7 |
SWB |
18.42 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG85L1 |
SWB |
13.02 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MG85UV |
SWB |
12.75 |
EUR |
| Details |
Morgan Stanley 1.41 C Issuer Name: Morgan Stanley |
Structured Product |
MG8970 |
SWB |
4.000 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MG8CNG |
SWB |
15.44 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG8FL5 |
SWB |
18.31 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG8FL7 |
SWB |
29.56 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG8JPA |
SWB |
17.86 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MG8NQY |
SWB |
7.48 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MG8TJC |
SWB |
14.55 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG8TMX |
SWB |
14.93 |
EUR |
| Details |
Morgan Stanley 0.125 C Issuer Name: Morgan Stanley |
Structured Product |
MG8TN8 |
SWB |
26.74 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MG916V |
SWB |
30.90 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MG990Z |
SWB |
24.79 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG9910 |
SWB |
15.53 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MG996L |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MG996M |
SWB |
19.25 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MG996P |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG99B1 |
SWB |
23.89 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MG99B5 |
SWB |
20.27 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MG9DWA |
SWB |
23.93 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MG9E06 |
SWB |
30.48 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MG9L2G |
SWB |
9.86 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MG9PMY |
SWB |
14.48 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG9Q0G |
SWB |
32.11 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG9Q0H |
SWB |
29.89 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MG9Q0J |
SWB |
18.20 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MG9RV0 |
SWB |
14.74 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MG9UFV |
SWB |
15.83 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MG9UFY |
SWB |
40.18 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MG9UFZ |
SWB |
41.53 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MG9UHJ |
SWB |
3.930 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MG9UHL |
SWB |
31.36 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG9WVT |
SWB |
33.67 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MG9WVU |
SWB |
7.20 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0A66 |
SWB |
5.42 |
EUR |
| Details |
Morgan Stanley 0.159337 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0A8E |
SWB |
4.710 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MJ0A9D |
SWB |
17.23 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MJ0CSJ |
SWB |
5.19 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0FDB |
SWB |
12.50 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0FDC |
SWB |
21.19 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0035 |
SWB |
30.15 |
EUR |
| Details |
Morgan Stanley 13.6363 P Issuer Name: Morgan Stanley |
Structured Product |
MJ003J |
SWB |
19.50 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ03BB |
SWB |
24.30 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0533 |
SWB |
4.610 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0534 |
SWB |
18.68 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0536 |
SWB |
21.45 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ05JL |
SWB |
26.25 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MJ06SV |
SWB |
13.52 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MJ09BH |
SWB |
14.12 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ09DH |
SWB |
18.52 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0R09 |
SWB |
19.47 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0SKR |
SWB |
30.24 |
EUR |
| Details |
Morgan Stanley 11.9 P Issuer Name: Morgan Stanley |
Structured Product |
MJ0SKY |
SWB |
3.450 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0VHL |
SWB |
16.31 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0VU6 |
SWB |
46.39 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0VU7 |
SWB |
35.66 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ130H |
SWB |
12.36 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ130N |
SWB |
25.26 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ130P |
SWB |
14.94 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MJ16FX |
SWB |
21.73 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ16JT |
SWB |
24.25 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MJ19AY |
SWB |
10.17 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ19B5 |
SWB |
7.18 |
EUR |
| Details |
Morgan Stanley 1.43 C Issuer Name: Morgan Stanley |
Structured Product |
MJ19B6 |
SWB |
3.300 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1CL5 |
SWB |
24.61 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1FH0 |
SWB |
13.53 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MJ1FHQ |
SWB |
23.30 |
EUR |
| Details |
Morgan Stanley 0.145842 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1FJ8 |
SWB |
6.40 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1JF8 |
SWB |
18.87 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MJ1MX8 |
SWB |
25.86 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ1NJJ |
SWB |
14.93 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1ZC6 |
SWB |
20.78 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1ZC9 |
SWB |
8.14 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ25AH |
SWB |
30.62 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ27D1 |
SWB |
7.50 |
EUR |
| Details |
Morgan Stanley 1.76 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2BEM |
SWB |
4.470 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MJ2EKQ |
SWB |
31.83 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2J11 |
SWB |
31.38 |
EUR |
| Details |
Morgan Stanley 8.7406 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2J1T |
SWB |
6.23 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2JE4 |
SWB |
15.62 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2JEA |
SWB |
24.94 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2MMZ |
SWB |
13.02 |
EUR |
| Details |
Morgan Stanley 0.25 P Issuer Name: Morgan Stanley |
Structured Product |
MJ2QLT |
SWB |
28.40 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2WF5 |
SWB |
21.78 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MJ315M |
SWB |
19.94 |
EUR |
| Details |
Morgan Stanley 0.171746 C Issuer Name: Morgan Stanley |
Structured Product |
MJ31UL |
SWB |
2.260 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MJ31X7 |
SWB |
14.02 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MJ326U |
SWB |
5.93 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MJ34R5 |
SWB |
14.40 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ34X0 |
SWB |
7.80 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3771 |
SWB |
31.42 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3ASC |
SWB |
15.16 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3E1X |
SWB |
25.75 |
EUR |
| Details |
Morgan Stanley 11.9 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3E1Y |
SWB |
3.920 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3E43 |
SWB |
30.95 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3E44 |
SWB |
22.04 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3GG8 |
SWB |
26.72 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3GG9 |
SWB |
10.48 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3GJH |
SWB |
24.61 |
EUR |
| Details |
Morgan Stanley 1.5764 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3GL8 |
SWB |
14.66 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3GLA |
SWB |
12.08 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3GLB |
SWB |
20.22 |
EUR |
| Details |
Morgan Stanley 0.158416 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3MJB |
SWB |
8.88 |
EUR |
| Details |
Morgan Stanley 0.9 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3MM9 |
SWB |
39.44 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3S02 |
SWB |
25.26 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3S04 |
SWB |
5.30 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3VFR |
SWB |
21.72 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ409S |
SWB |
15.39 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ43VS |
SWB |
15.37 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MJ45FE |
SWB |
31.14 |
EUR |
| Details |
Morgan Stanley 13.1313 P Issuer Name: Morgan Stanley |
Structured Product |
MJ45GS |
SWB |
14.80 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ45LA |
SWB |
8.18 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MJ49JJ |
SWB |
34.34 |
EUR |
| Details |
Morgan Stanley 0.09901 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4GV1 |
SWB |
43.27 |
EUR |
| Details |
Morgan Stanley 0.163367 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4GV2 |
SWB |
6.38 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4GV3 |
SWB |
2.590 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4HEP |
SWB |
31.26 |
EUR |
| Details |
Morgan Stanley 11.7 P Issuer Name: Morgan Stanley |
Structured Product |
MJ4KUE |
SWB |
2.410 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4L9Z |
SWB |
21.34 |
EUR |
| Details |
Morgan Stanley 1.42 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4PHU |
SWB |
4.690 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4PHV |
SWB |
14.05 |
EUR |
| Details |
Morgan Stanley 1.41 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4SGY |
SWB |
5.37 |
EUR |
| Details |
Morgan Stanley 1.4 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4W3G |
SWB |
6.05 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4YL8 |
SWB |
3.300 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4Z13 |
SWB |
8.50 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ54R6 |
SWB |
13.55 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MJ54R9 |
SWB |
15.51 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MJ54RF |
SWB |
22.37 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5CLF |
SWB |
26.50 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5CLG |
SWB |
16.75 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5CLK |
SWB |
12.95 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5ESE |
SWB |
26.21 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5EWC |
SWB |
32.14 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5EWD |
SWB |
15.19 |
EUR |
| Details |
Morgan Stanley 2.0304 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5FQC |
SWB |
19.46 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5JDR |
SWB |
10.82 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5JK1 |
SWB |
31.31 |
EUR |
| Details |
Morgan Stanley 606.0606 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5LXF |
SWB |
55.05 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5LZZ |
SWB |
31.57 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5M4T |
SWB |
32.30 |
EUR |
| Details |
Morgan Stanley 1.4456 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5TVP |
SWB |
3.180 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5XRW |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5YWU |
SWB |
21.03 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5YWW |
SWB |
16.29 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5YWZ |
SWB |
25.97 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5Z7S |
SWB |
15.84 |
EUR |
| Details |
Morgan Stanley 1.6223 C Issuer Name: Morgan Stanley |
Structured Product |
MJ61SV |
SWB |
2.150 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MJ64ZM |
SWB |
6.10 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MJ64ZN |
SWB |
31.67 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MJ682T |
SWB |
6.44 |
EUR |
| Details |
Morgan Stanley 0.9 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6BM5 |
SWB |
39.82 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6BM6 |
SWB |
22.61 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6FNT |
SWB |
16.19 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6KUC |
SWB |
47.05 |
EUR |
| Details |
Morgan Stanley 1.3862 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6KUD |
SWB |
7.34 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6N5X |
SWB |
36.47 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6NK0 |
SWB |
5.97 |
EUR |
| Details |
Morgan Stanley 0.156 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6NK6 |
SWB |
11.40 |
EUR |
| Details |
Morgan Stanley 0.163367 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6R30 |
SWB |
7.26 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6R58 |
SWB |
31.90 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ6RUT |
SWB |
27.17 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6TS5 |
SWB |
13.28 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MJ6TXC |
SWB |
23.07 |
EUR |
| Details |
Morgan Stanley 11.7 P Issuer Name: Morgan Stanley |
Structured Product |
MJ70AP |
SWB |
2.870 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ70AQ |
SWB |
15.88 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ734A |
SWB |
26.30 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MJ752K |
SWB |
15.88 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MJ78D3 |
SWB |
31.94 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ78D4 |
SWB |
21.88 |
EUR |
| Details |
Morgan Stanley 0.242424 P Issuer Name: Morgan Stanley |
Structured Product |
MJ78DV |
SWB |
24.25 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MJ78DW |
SWB |
42.85 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ78DY |
SWB |
26.72 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MJ78MB |
SWB |
20.71 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MJ78MH |
SWB |
3.700 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7BLJ |
SWB |
11.19 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7BLL |
SWB |
27.11 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7BLM |
SWB |
16.86 |
EUR |
| Details |
Morgan Stanley 1.46 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7BPA |
SWB |
2.620 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7BPD |
SWB |
22.24 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7BPE |
SWB |
14.13 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7BPF |
SWB |
20.82 |
EUR |
| Details |
Morgan Stanley 0.282828 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7EY1 |
SWB |
44.95 |
EUR |
| Details |
Morgan Stanley 0.25 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7F37 |
SWB |
28.14 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7GDY |
SWB |
16.71 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7GJN |
SWB |
32.21 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7L7K |
SWB |
32.89 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7L7L |
SWB |
16.13 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7PN0 |
SWB |
6.43 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7PN2 |
SWB |
16.31 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7PT1 |
SWB |
20.04 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7PTC |
SWB |
14.54 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MJ82NM |
SWB |
13.73 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MJ835E |
SWB |
20.99 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MJ89JZ |
SWB |
21.88 |
EUR |
| Details |
Morgan Stanley 1.2674 C Issuer Name: Morgan Stanley |
Structured Product |
MJ89K0 |
SWB |
15.63 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MJ89KS |
SWB |
35.03 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ89KT |
SWB |
21.11 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8CXW |
SWB |
42.57 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8PFM |
SWB |
27.23 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8PFN |
SWB |
17.44 |
EUR |
| Details |
Morgan Stanley 1.8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8PJX |
SWB |
3.890 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8PJY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8PJZ |
SWB |
32.48 |
EUR |
| Details |
Morgan Stanley 0.262626 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8SSL |
SWB |
34.50 |
EUR |
| Details |
Morgan Stanley 0.227272 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8SSM |
SWB |
16.39 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8SUM |
SWB |
22.99 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8SUN |
SWB |
13.36 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8WVV |
SWB |
16.74 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8ZUC |
SWB |
13.03 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ93FE |
SWB |
16.33 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MJ93FQ |
SWB |
16.99 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MJ93FR |
SWB |
16.25 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ964X |
SWB |
23.20 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MJ964Y |
SWB |
6.97 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MJ96HP |
SWB |
22.98 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MJ96HQ |
SWB |
11.51 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MJ96HS |
SWB |
27.21 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ99UA |
SWB |
6.67 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9J5T |
SWB |
27.07 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9J5U |
SWB |
19.21 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9NXT |
SWB |
13.56 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9NXU |
SWB |
5.51 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9NXX |
SWB |
32.89 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9P0V |
SWB |
21.52 |
EUR |
| Details |
Morgan Stanley 1.32 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9TDD |
SWB |
12.36 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9TDF |
SWB |
22.39 |
EUR |
| Details |
Morgan Stanley 13.6363 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9WUZ |
SWB |
20.81 |
EUR |
| Details |
Morgan Stanley 0.9 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9XRQ |
SWB |
40.25 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK015Q |
SWB |
6.75 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MK01DH |
SWB |
3.990 |
EUR |
| Details |
Morgan Stanley 10 C Issuer Name: Morgan Stanley |
Structured Product |
MK04N4 |
SWB |
3.220 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK04N5 |
SWB |
32.85 |
EUR |
| Details |
Morgan Stanley 1.5764 C Issuer Name: Morgan Stanley |
Structured Product |
MK07JW |
SWB |
16.08 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MK07KX |
SWB |
20.38 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MK07KZ |
SWB |
32.16 |
EUR |
| Details |
Morgan Stanley 0.162 C Issuer Name: Morgan Stanley |
Structured Product |
MK07L0 |
SWB |
9.34 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MK0CXG |
SWB |
27.62 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK0HWV |
SWB |
19.56 |
EUR |
| Details |
Morgan Stanley 12.6 P Issuer Name: Morgan Stanley |
Structured Product |
MK0HWX |
SWB |
11.57 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MK0HX1 |
SWB |
17.01 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MK0QG5 |
SWB |
27.38 |
EUR |
| Details |
Morgan Stanley 450 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XQ3 |
SWB |
15.23 |
EUR |
| Details |
Morgan Stanley 425 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XQ4 |
SWB |
8.83 |
EUR |
| Details |
Morgan Stanley 415 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XQ5 |
SWB |
6.27 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XQA |
SWB |
33.62 |
EUR |
| Details |
Morgan Stanley 250 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XSG |
SWB |
30.18 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MK13Q0 |
SWB |
33.72 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MK13Q1 |
SWB |
22.67 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MK13Q6 |
SWB |
26.53 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MK15UQ |
SWB |
10.79 |
EUR |
| Details |
Morgan Stanley 1.82 C Issuer Name: Morgan Stanley |
Structured Product |
MK16RV |
SWB |
3.340 |
EUR |
| Details |
Morgan Stanley 1.48 C Issuer Name: Morgan Stanley |
Structured Product |
MK16RW |
SWB |
2.000 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MK16TH |
SWB |
11.82 |
EUR |
| Details |
Morgan Stanley 1.49 C Issuer Name: Morgan Stanley |
Structured Product |
MK1AKD |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MK1AXS |
SWB |
16.70 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK1HU9 |
SWB |
33.15 |
EUR |
| Details |
Morgan Stanley 1.84 C Issuer Name: Morgan Stanley |
Structured Product |
MK1KTK |
SWB |
2.350 |
EUR |
| Details |
Morgan Stanley 2.16 P Issuer Name: Morgan Stanley |
Structured Product |
MK1KXQ |
SWB |
5.30 |
EUR |
| Details |
Morgan Stanley 1.8227 C Issuer Name: Morgan Stanley |
Structured Product |
MK1NJ8 |
SWB |
3.280 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK1NPJ |
SWB |
22.75 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MK1NPK |
SWB |
22.10 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK1NPL |
SWB |
19.85 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK1P0L |
SWB |
22.78 |
EUR |
| Details |
Morgan Stanley 1.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK1RPG |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.51 C Issuer Name: Morgan Stanley |
Structured Product |
MK1RPH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MK1RPK |
SWB |
15.04 |
EUR |
| Details |
Morgan Stanley 1.4852 C Issuer Name: Morgan Stanley |
Structured Product |
MK1RQW |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.6437 C Issuer Name: Morgan Stanley |
Structured Product |
MK1VFH |
SWB |
2.430 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKD |
SWB |
37.61 |
EUR |
| Details |
Morgan Stanley 1.7777 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKE |
SWB |
8.12 |
EUR |
| Details |
Morgan Stanley 2.2 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKG |
SWB |
30.37 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKH |
SWB |
17.03 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKJ |
SWB |
9.22 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK1VKK |
SWB |
21.64 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MK1W1X |
SWB |
27.22 |
EUR |
| Details |
Morgan Stanley 1.52 C Issuer Name: Morgan Stanley |
Structured Product |
MK1W1Y |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.505 C Issuer Name: Morgan Stanley |
Structured Product |
MK1WD0 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MK21VU |
SWB |
27.70 |
EUR |
| Details |
Morgan Stanley 10.2032 C Issuer Name: Morgan Stanley |
Structured Product |
MK221N |
SWB |
2.730 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MK23Y5 |
SWB |
32.45 |
EUR |
| Details |
Morgan Stanley 2.1319 P Issuer Name: Morgan Stanley |
Structured Product |
MK23ZD |
SWB |
26.38 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MK269C |
SWB |
11.09 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MK26C2 |
SWB |
17.16 |
EUR |
| Details |
Morgan Stanley 1.6846 C Issuer Name: Morgan Stanley |
Structured Product |
MK26C7 |
SWB |
3.890 |
EUR |
| Details |
Morgan Stanley 1.8269 C Issuer Name: Morgan Stanley |
Structured Product |
MK26C8 |
SWB |
4.820 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK2CQ3 |
SWB |
7.11 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MK2KV4 |
SWB |
26.83 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MK2L0W |
SWB |
37.21 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MK2P23 |
SWB |
7.33 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MK2P24 |
SWB |
23.74 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK2P25 |
SWB |
22.91 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK2P26 |
SWB |
33.44 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MK2P7G |
SWB |
21.51 |
EUR |
| Details |
Morgan Stanley 10.7486 C Issuer Name: Morgan Stanley |
Structured Product |
MK2R5Z |
SWB |
1.230 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MK2RCK |
SWB |
7.53 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK2RCL |
SWB |
20.16 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MK2U4S |
SWB |
17.68 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MK2U4U |
SWB |
7.46 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MK2U4V |
SWB |
22.39 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MK2U5B |
SWB |
23.66 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MK2WXG |
SWB |
27.96 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MK2YUF |
SWB |
18.14 |
EUR |
| Details |
Morgan Stanley 1.7171 P Issuer Name: Morgan Stanley |
Structured Product |
MK2YUG |
SWB |
4.610 |
EUR |
| Details |
Morgan Stanley 5.9406 C Issuer Name: Morgan Stanley |
Structured Product |
MK36CJ |
SWB |
42.86 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MK36CN |
SWB |
17.01 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MK36CS |
SWB |
32.66 |
EUR |
| Details |
Morgan Stanley 1.53 C Issuer Name: Morgan Stanley |
Structured Product |
MK3CJZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK3M3D |
SWB |
21.96 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MK3M61 |
SWB |
23.37 |
EUR |
| Details |
Morgan Stanley 14.1414 P Issuer Name: Morgan Stanley |
Structured Product |
MK3P60 |
SWB |
25.66 |
EUR |
| Details |
Morgan Stanley 1.5248 C Issuer Name: Morgan Stanley |
Structured Product |
MK3RQ2 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.26 P Issuer Name: Morgan Stanley |
Structured Product |
MK3RQM |
SWB |
32.91 |
EUR |
| Details |
Morgan Stanley 9.8091 C Issuer Name: Morgan Stanley |
Structured Product |
MK3RQP |
SWB |
5.22 |
EUR |
| Details |
Morgan Stanley 2.2335 P Issuer Name: Morgan Stanley |
Structured Product |
MK3U5F |
SWB |
9.18 |
EUR |
| Details |
Morgan Stanley 1.9289 P Issuer Name: Morgan Stanley |
Structured Product |
MK3U5K |
SWB |
14.56 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK3U6M |
SWB |
33.03 |
EUR |
| Details |
Morgan Stanley 1.9176 C Issuer Name: Morgan Stanley |
Structured Product |
MK3U86 |
SWB |
12.32 |
EUR |
| Details |
Morgan Stanley 12.8206 C Issuer Name: Morgan Stanley |
Structured Product |
MK3XC5 |
SWB |
16.30 |
EUR |
| Details |
Morgan Stanley 2.0391 C Issuer Name: Morgan Stanley |
Structured Product |
MK3XC6 |
SWB |
18.81 |
EUR |
| Details |
Morgan Stanley 2.0187 C Issuer Name: Morgan Stanley |
Structured Product |
MK3XC7 |
SWB |
19.51 |
EUR |
| Details |
Morgan Stanley 2.1741 C Issuer Name: Morgan Stanley |
Structured Product |
MK3XC8 |
SWB |
5.44 |
EUR |
| Details |
Morgan Stanley 1.96 P Issuer Name: Morgan Stanley |
Structured Product |
MK3YWU |
SWB |
16.39 |
EUR |
| Details |
Morgan Stanley 1.94 P Issuer Name: Morgan Stanley |
Structured Product |
MK3YWV |
SWB |
15.20 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MK3YX1 |
SWB |
11.45 |
EUR |
| Details |
Morgan Stanley 0.275 P Issuer Name: Morgan Stanley |
Structured Product |
MK3YX3 |
SWB |
40.55 |
EUR |
| Details |
Morgan Stanley 12.3 P Issuer Name: Morgan Stanley |
Structured Product |
MK4CGH |
SWB |
9.33 |
EUR |
| Details |
Morgan Stanley 12.89 C Issuer Name: Morgan Stanley |
Structured Product |
MK4K8X |
SWB |
14.94 |
EUR |
| Details |
Morgan Stanley 2.0146 C Issuer Name: Morgan Stanley |
Structured Product |
MK4K8Y |
SWB |
15.21 |
EUR |
| Details |
Morgan Stanley 1.9101 C Issuer Name: Morgan Stanley |
Structured Product |
MK4K8Z |
SWB |
16.83 |
EUR |
| Details |
Morgan Stanley 0.235363 C Issuer Name: Morgan Stanley |
Structured Product |
MK4K90 |
SWB |
17.60 |
EUR |
| Details |
Morgan Stanley 1.54 C Issuer Name: Morgan Stanley |
Structured Product |
MK4K92 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.8781 P Issuer Name: Morgan Stanley |
Structured Product |
MK4K9G |
SWB |
11.58 |
EUR |
| Details |
Morgan Stanley 0.237373 P Issuer Name: Morgan Stanley |
Structured Product |
MK4K9M |
SWB |
21.30 |
EUR |
| Details |
Morgan Stanley 2.4365 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLH |
SWB |
19.17 |
EUR |
| Details |
Morgan Stanley 15.1515 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLJ |
SWB |
34.73 |
EUR |
| Details |
Morgan Stanley 0.323232 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLM |
SWB |
65.15 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLQ |
SWB |
9.33 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLR |
SWB |
7.46 |
EUR |
| Details |
Morgan Stanley 0.28 P Issuer Name: Morgan Stanley |
Structured Product |
MK4RLV |
SWB |
43.06 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MK4URU |
SWB |
27.59 |
EUR |
| Details |
Morgan Stanley 0.22 P Issuer Name: Morgan Stanley |
Structured Product |
MK4V7M |
SWB |
12.38 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MK4X9Y |
SWB |
23.59 |
EUR |
| Details |
Morgan Stanley 0.2175 P Issuer Name: Morgan Stanley |
Structured Product |
MK4XA4 |
SWB |
11.11 |
EUR |
| Details |
Morgan Stanley 1.7575 P Issuer Name: Morgan Stanley |
Structured Product |
MK57EW |
SWB |
7.32 |
EUR |
| Details |
Morgan Stanley 1.7373 P Issuer Name: Morgan Stanley |
Structured Product |
MK59ZN |
SWB |
6.15 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MK5EVQ |
SWB |
17.33 |
EUR |
| Details |
Morgan Stanley 0.215 P Issuer Name: Morgan Stanley |
Structured Product |
MK5EVX |
SWB |
9.79 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MK5HMD |
SWB |
5.48 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK5HMJ |
SWB |
23.44 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MK5HMK |
SWB |
15.78 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MK5HMM |
SWB |
12.13 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MK5HRV |
SWB |
38.28 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MK5LCQ |
SWB |
14.75 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK5S66 |
SWB |
22.28 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MK5S67 |
SWB |
12.50 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MK5Z8U |
SWB |
17.53 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK5Z9W |
SWB |
23.25 |
EUR |
| Details |
Morgan Stanley 0.217171 P Issuer Name: Morgan Stanley |
Structured Product |
MK5ZDV |
SWB |
10.85 |
EUR |
| Details |
Morgan Stanley 0.2125 P Issuer Name: Morgan Stanley |
Structured Product |
MK61T7 |
SWB |
8.48 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK6495 |
SWB |
9.73 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MK64A6 |
SWB |
24.29 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MK68DD |
SWB |
7.95 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MK6CSJ |
SWB |
24.36 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MK6CSK |
SWB |
5.45 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MK6CSL |
SWB |
33.51 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MK6JVP |
SWB |
22.36 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MK6PQ2 |
SWB |
33.21 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MK6RNG |
SWB |
27.26 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MK6RQG |
SWB |
34.41 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MK6RQH |
SWB |
32.95 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MK79J5 |
SWB |
28.73 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MK79J6 |
SWB |
18.82 |
EUR |
| Details |
Morgan Stanley 1.7777 P Issuer Name: Morgan Stanley |
Structured Product |
MK79J7 |
SWB |
8.92 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MK7C7N |
SWB |
35.18 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK7CME |
SWB |
7.85 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MK7F4Z |
SWB |
17.65 |
EUR |
| Details |
Morgan Stanley 1.52 C Issuer Name: Morgan Stanley |
Structured Product |
MK7J5C |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK7MG0 |
SWB |
22.60 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MK7P39 |
SWB |
16.25 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MK7TUA |
SWB |
12.82 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK7V4Q |
SWB |
23.96 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MK7XHQ |
SWB |
17.65 |
EUR |
| Details |
Morgan Stanley 1.8227 C Issuer Name: Morgan Stanley |
Structured Product |
MK87KB |
SWB |
4.660 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MK8BKH |
SWB |
22.35 |
EUR |
| Details |
Morgan Stanley 1.88 C Issuer Name: Morgan Stanley |
Structured Product |
MK8ES1 |
SWB |
1.690 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MK8LY6 |
SWB |
45.02 |
EUR |
| Details |
Morgan Stanley 669.2917 C Issuer Name: Morgan Stanley |
Structured Product |
MK8M9R |
SWB |
10.60 |
EUR |
| Details |
Morgan Stanley 0.344746 C Issuer Name: Morgan Stanley |
Structured Product |
MK8M9S |
SWB |
11.28 |
EUR |
| Details |
Morgan Stanley 3.1998 C Issuer Name: Morgan Stanley |
Structured Product |
MK8M9T |
SWB |
8.61 |
EUR |
| Details |
Morgan Stanley 0.64 C Issuer Name: Morgan Stanley |
Structured Product |
MK8MFT |
SWB |
9.95 |
EUR |
| Details |
Morgan Stanley 0.068949 C Issuer Name: Morgan Stanley |
Structured Product |
MK8MFU |
SWB |
9.40 |
EUR |
| Details |
Morgan Stanley 133.8583 C Issuer Name: Morgan Stanley |
Structured Product |
MK8MFV |
SWB |
9.53 |
EUR |
| Details |
Morgan Stanley 10.4822 C Issuer Name: Morgan Stanley |
Structured Product |
MK8RH6 |
SWB |
3.350 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK8VRK |
SWB |
33.63 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MK8Y2F |
SWB |
39.03 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MK8Y2J |
SWB |
8.47 |
EUR |
| Details |
Morgan Stanley 2.0304 P Issuer Name: Morgan Stanley |
Structured Product |
MK9008 |
SWB |
21.14 |
EUR |
| Details |
Morgan Stanley 2.1319 P Issuer Name: Morgan Stanley |
Structured Product |
MK9009 |
SWB |
4.820 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MK900A |
SWB |
44.14 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MK900R |
SWB |
34.77 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MK900U |
SWB |
24.83 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK901Y |
SWB |
19.33 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MK901Z |
SWB |
17.99 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK9020 |
SWB |
8.16 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MK923F |
SWB |
23.74 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MK963N |
SWB |
22.93 |
EUR |
| Details |
Morgan Stanley 1.7704 C Issuer Name: Morgan Stanley |
Structured Product |
MK96A1 |
SWB |
7.55 |
EUR |
| Details |
Morgan Stanley 414.1414 P Issuer Name: Morgan Stanley |
Structured Product |
MK99S5 |
SWB |
5.91 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MK99WV |
SWB |
13.26 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MK99Z5 |
SWB |
35.56 |
EUR |
| Details |
Morgan Stanley 410 P Issuer Name: Morgan Stanley |
Structured Product |
MK9ANM |
SWB |
4.880 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MK9ANP |
SWB |
18.07 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MK9FFQ |
SWB |
16.77 |
EUR |
| Details |
Morgan Stanley 1.8181 P Issuer Name: Morgan Stanley |
Structured Product |
MK9R5H |
SWB |
11.81 |
EUR |
| Details |
Morgan Stanley 2.12 P Issuer Name: Morgan Stanley |
Structured Product |
MK9U18 |
SWB |
4.320 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MM009Q |
SWB |
24.44 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MM00E1 |
SWB |
12.23 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MM0DQ5 |
SWB |
24.28 |
EUR |
| Details |
Morgan Stanley 1.84 P Issuer Name: Morgan Stanley |
Structured Product |
MM0FDP |
SWB |
9.94 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MM0GEG |
SWB |
33.44 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MM0LJR |
SWB |
5.86 |
EUR |
| Details |
Morgan Stanley 12.0642 C Issuer Name: Morgan Stanley |
Structured Product |
MM0NE6 |
SWB |
10.83 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MM0RUL |
SWB |
9.20 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MM0RUX |
SWB |
27.93 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MM0RV0 |
SWB |
16.03 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MM0RV1 |
SWB |
6.71 |
EUR |
| Details |
Morgan Stanley 0.222222 P Issuer Name: Morgan Stanley |
Structured Product |
MM0S0E |
SWB |
13.10 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MM0S0R |
SWB |
29.43 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MM0S0S |
SWB |
19.46 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM105E |
SWB |
18.31 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM11S4 |
SWB |
23.27 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM159H |
SWB |
22.08 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MM15C0 |
SWB |
8.49 |
EUR |
| Details |
Morgan Stanley 12.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM15C2 |
SWB |
8.09 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MM15C3 |
SWB |
22.15 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MM1BNK |
SWB |
35.11 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MM1GYJ |
SWB |
28.64 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MM1GYL |
SWB |
17.29 |
EUR |
| Details |
Morgan Stanley 11.3 P Issuer Name: Morgan Stanley |
Structured Product |
MM1H8H |
SWB |
1.910 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MM1KD1 |
SWB |
25.57 |
EUR |
| Details |
Morgan Stanley 0.212121 P Issuer Name: Morgan Stanley |
Structured Product |
MM1KPL |
SWB |
7.89 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MM1NN5 |
SWB |
6.84 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM1NVM |
SWB |
4.190 |
EUR |
| Details |
Morgan Stanley 9.6 C Issuer Name: Morgan Stanley |
Structured Product |
MM1QQZ |
SWB |
8.96 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MM1R1A |
SWB |
7.06 |
EUR |
| Details |
Morgan Stanley 404.0404 P Issuer Name: Morgan Stanley |
Structured Product |
MM1SSG |
SWB |
3.240 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MM1T12 |
SWB |
20.27 |
EUR |
| Details |
Morgan Stanley 2.16 P Issuer Name: Morgan Stanley |
Structured Product |
MM1V23 |
SWB |
6.61 |
EUR |
| Details |
Morgan Stanley 1.505 C Issuer Name: Morgan Stanley |
Structured Product |
MM1V36 |
SWB |
2.460 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MM1V8G |
SWB |
25.36 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MM1Y1W |
SWB |
36.54 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MM1Y7Q |
SWB |
24.92 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MM2J2B |
SWB |
24.24 |
EUR |
| Details |
Morgan Stanley 1.8157 C Issuer Name: Morgan Stanley |
Structured Product |
MM2J7S |
SWB |
9.27 |
EUR |
| Details |
Morgan Stanley 1.7754 C Issuer Name: Morgan Stanley |
Structured Product |
MM2J7T |
SWB |
9.01 |
EUR |
| Details |
Morgan Stanley 2.1827 P Issuer Name: Morgan Stanley |
Structured Product |
MM2MQD |
SWB |
7.80 |
EUR |
| Details |
Morgan Stanley 400 P Issuer Name: Morgan Stanley |
Structured Product |
MM2MTB |
SWB |
2.260 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MM2PMY |
SWB |
39.75 |
EUR |
| Details |
Morgan Stanley 1.7777 P Issuer Name: Morgan Stanley |
Structured Product |
MM2PMZ |
SWB |
9.80 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MM2PT6 |
SWB |
15.63 |
EUR |
| Details |
Morgan Stanley 12.4 P Issuer Name: Morgan Stanley |
Structured Product |
MM2SZ9 |
SWB |
12.06 |
EUR |
| Details |
Morgan Stanley 1.7979 P Issuer Name: Morgan Stanley |
Structured Product |
MM2VPM |
SWB |
11.10 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM2VRP |
SWB |
29.77 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM2VRQ |
SWB |
18.65 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MM2VRS |
SWB |
18.60 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM2XWU |
SWB |
23.59 |
EUR |
| Details |
Morgan Stanley 360 C Issuer Name: Morgan Stanley |
Structured Product |
MM305E |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.2 P Issuer Name: Morgan Stanley |
Structured Product |
MM30HB |
SWB |
1.280 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MM31G7 |
SWB |
17.26 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM39CW |
SWB |
22.44 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MM3BM3 |
SWB |
34.27 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MM3BM4 |
SWB |
8.82 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MM3BM6 |
SWB |
18.11 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MM3BMC |
SWB |
16.80 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MM3CRP |
SWB |
34.22 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MM3CRS |
SWB |
12.74 |
EUR |
| Details |
Morgan Stanley 10.3 C Issuer Name: Morgan Stanley |
Structured Product |
MM3D5M |
SWB |
2.640 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MM3HAE |
SWB |
14.63 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MM3K53 |
SWB |
9.85 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM3K54 |
SWB |
4.670 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MM3PQ6 |
SWB |
17.80 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MM3PQ8 |
SWB |
35.44 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MM3PQ9 |
SWB |
28.99 |
EUR |
| Details |
Morgan Stanley 10.4 C Issuer Name: Morgan Stanley |
Structured Product |
MM3S8M |
SWB |
2.890 |
EUR |
| Details |
Morgan Stanley 1.38 C Issuer Name: Morgan Stanley |
Structured Product |
MM3TXU |
SWB |
10.94 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MM3U54 |
SWB |
23.71 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MM3XCH |
SWB |
34.69 |
EUR |
| Details |
Morgan Stanley 0.2075 P Issuer Name: Morgan Stanley |
Structured Product |
MM3XD5 |
SWB |
5.46 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MM3XD7 |
SWB |
28.90 |
EUR |
| Details |
Morgan Stanley 351.3285 C Issuer Name: Morgan Stanley |
Structured Product |
MM3Z7W |
SWB |
5.90 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MM3ZL1 |
SWB |
33.93 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MM44JZ |
SWB |
28.79 |
EUR |
| Details |
Morgan Stanley 1.7382 C Issuer Name: Morgan Stanley |
Structured Product |
MM44K7 |
SWB |
10.19 |
EUR |
| Details |
Morgan Stanley 2.1319 P Issuer Name: Morgan Stanley |
Structured Product |
MM49ZZ |
SWB |
27.94 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MM4A00 |
SWB |
30.14 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MM4A01 |
SWB |
20.12 |
EUR |
| Details |
Morgan Stanley 1.8181 P Issuer Name: Morgan Stanley |
Structured Product |
MM4A02 |
SWB |
12.62 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM4CPR |
SWB |
30.10 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM4HYC |
SWB |
23.92 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM4HYD |
SWB |
18.96 |
EUR |
| Details |
Morgan Stanley 0.20707 P Issuer Name: Morgan Stanley |
Structured Product |
MM4S35 |
SWB |
5.19 |
EUR |
| Details |
Morgan Stanley 0.205 P Issuer Name: Morgan Stanley |
Structured Product |
MM4T90 |
SWB |
4.150 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MM4T91 |
SWB |
24.89 |
EUR |
| Details |
Morgan Stanley 0.22 P Issuer Name: Morgan Stanley |
Structured Product |
MM4XQV |
SWB |
11.75 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM533F |
SWB |
22.80 |
EUR |
| Details |
Morgan Stanley 0.125 C Issuer Name: Morgan Stanley |
Structured Product |
MM533H |
SWB |
34.16 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MM54XK |
SWB |
37.05 |
EUR |
| Details |
Morgan Stanley 346.5347 C Issuer Name: Morgan Stanley |
Structured Product |
MM54XL |
SWB |
8.22 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MM57HE |
SWB |
20.26 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM57HG |
SWB |
5.19 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MM5BRM |
SWB |
7.99 |
EUR |
| Details |
Morgan Stanley 0.282828 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLA |
SWB |
43.63 |
EUR |
| Details |
Morgan Stanley 0.262626 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLB |
SWB |
33.38 |
EUR |
| Details |
Morgan Stanley 0.242424 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLC |
SWB |
23.10 |
EUR |
| Details |
Morgan Stanley 0.232323 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLD |
SWB |
17.97 |
EUR |
| Details |
Morgan Stanley 0.219696 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLE |
SWB |
11.55 |
EUR |
| Details |
Morgan Stanley 0.214646 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLF |
SWB |
8.99 |
EUR |
| Details |
Morgan Stanley 0.209595 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DLG |
SWB |
6.43 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MM5DLN |
SWB |
37.47 |
EUR |
| Details |
Morgan Stanley 0.138614 C Issuer Name: Morgan Stanley |
Structured Product |
MM5DLP |
SWB |
27.05 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVK |
SWB |
25.95 |
EUR |
| Details |
Morgan Stanley 0.218 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVL |
SWB |
10.72 |
EUR |
| Details |
Morgan Stanley 0.213 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVM |
SWB |
8.18 |
EUR |
| Details |
Morgan Stanley 0.211 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVN |
SWB |
7.16 |
EUR |
| Details |
Morgan Stanley 0.209 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVP |
SWB |
6.15 |
EUR |
| Details |
Morgan Stanley 0.207 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVQ |
SWB |
5.13 |
EUR |
| Details |
Morgan Stanley 0.206 P Issuer Name: Morgan Stanley |
Structured Product |
MM5DVR |
SWB |
4.620 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MM5LJY |
SWB |
38.91 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MM5LJZ |
SWB |
28.72 |
EUR |
| Details |
Morgan Stanley 1.4852 C Issuer Name: Morgan Stanley |
Structured Product |
MM5LK0 |
SWB |
4.540 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MM5MJ7 |
SWB |
24.72 |
EUR |
| Details |
Morgan Stanley 1.53 C Issuer Name: Morgan Stanley |
Structured Product |
MM5MJ9 |
SWB |
1.690 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MM5Q2N |
SWB |
29.32 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MM5RPG |
SWB |
29.11 |
EUR |
| Details |
Morgan Stanley 1.56 C Issuer Name: Morgan Stanley |
Structured Product |
MM5SHL |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 2.4242 P Issuer Name: Morgan Stanley |
Structured Product |
MM5ZHT |
SWB |
50.55 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MM60B1 |
SWB |
21.88 |
EUR |
| Details |
Morgan Stanley 0.234 P Issuer Name: Morgan Stanley |
Structured Product |
MM60B2 |
SWB |
18.84 |
EUR |
| Details |
Morgan Stanley 0.215 P Issuer Name: Morgan Stanley |
Structured Product |
MM60B3 |
SWB |
9.18 |
EUR |
| Details |
Morgan Stanley 0.212 P Issuer Name: Morgan Stanley |
Structured Product |
MM60B4 |
SWB |
7.65 |
EUR |
| Details |
Morgan Stanley 1.9 P Issuer Name: Morgan Stanley |
Structured Product |
MM60B7 |
SWB |
14.25 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MM60D5 |
SWB |
11.80 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MM637X |
SWB |
10.48 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MM6380 |
SWB |
35.80 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM63Y2 |
SWB |
30.42 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MM64S0 |
SWB |
21.62 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MM64S5 |
SWB |
17.37 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MM64WB |
SWB |
40.53 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MM67S1 |
SWB |
17.27 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM69CG |
SWB |
24.25 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM6B2N |
SWB |
19.30 |
EUR |
| Details |
Morgan Stanley 9.8114 C Issuer Name: Morgan Stanley |
Structured Product |
MM6B7V |
SWB |
7.64 |
EUR |
| Details |
Morgan Stanley 0.204 P Issuer Name: Morgan Stanley |
Structured Product |
MM6HFP |
SWB |
3.560 |
EUR |
| Details |
Morgan Stanley 0.203 P Issuer Name: Morgan Stanley |
Structured Product |
MM6HFQ |
SWB |
3.050 |
EUR |
| Details |
Morgan Stanley 0.202 P Issuer Name: Morgan Stanley |
Structured Product |
MM6HFR |
SWB |
2.560 |
EUR |
| Details |
Morgan Stanley 0.204545 P Issuer Name: Morgan Stanley |
Structured Product |
MM6HFU |
SWB |
3.820 |
EUR |
| Details |
Morgan Stanley 0.18 C Issuer Name: Morgan Stanley |
Structured Product |
MM6KVG |
SWB |
5.78 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MM6V5E |
SWB |
6.58 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MM6XQ2 |
SWB |
26.76 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM6XQ3 |
SWB |
5.69 |
EUR |
| Details |
Morgan Stanley 2.24 P Issuer Name: Morgan Stanley |
Structured Product |
MM7482 |
SWB |
34.89 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MM7484 |
SWB |
34.68 |
EUR |
| Details |
Morgan Stanley 1.4258 C Issuer Name: Morgan Stanley |
Structured Product |
MM76U1 |
SWB |
8.71 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MM76U3 |
SWB |
12.66 |
EUR |
| Details |
Morgan Stanley 0.201 P Issuer Name: Morgan Stanley |
Structured Product |
MM76U4 |
SWB |
2.030 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM772D |
SWB |
37.39 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MM772E |
SWB |
16.01 |
EUR |
| Details |
Morgan Stanley 0.175743 C Issuer Name: Morgan Stanley |
Structured Product |
MM7CP6 |
SWB |
8.28 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MM7G3U |
SWB |
47.40 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MM7G4L |
SWB |
15.69 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM7PL0 |
SWB |
30.78 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MM7PRM |
SWB |
16.61 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MM7PRN |
SWB |
12.44 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MM7S1S |
SWB |
30.85 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MM7S1T |
SWB |
20.78 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MM7S3L |
SWB |
18.56 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MM7W9D |
SWB |
34.40 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM7WAB |
SWB |
24.57 |
EUR |
| Details |
Morgan Stanley 1.9289 P Issuer Name: Morgan Stanley |
Structured Product |
MM85TC |
SWB |
16.24 |
EUR |
| Details |
Morgan Stanley 0.217171 P Issuer Name: Morgan Stanley |
Structured Product |
MM85TU |
SWB |
10.16 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MM86RX |
SWB |
29.67 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MM87A6 |
SWB |
38.13 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MM88LG |
SWB |
29.38 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM88LM |
SWB |
19.65 |
EUR |
| Details |
Morgan Stanley 14.4 P Issuer Name: Morgan Stanley |
Structured Product |
MM8E0N |
SWB |
29.39 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM8E0P |
SWB |
19.66 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MM8KBE |
SWB |
8.47 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM8RFN |
SWB |
37.67 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MM8RFP |
SWB |
12.74 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MM8RFQ |
SWB |
36.12 |
EUR |
| Details |
Morgan Stanley 1.6 C Issuer Name: Morgan Stanley |
Structured Product |
MM8RFR |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MM8RTL |
SWB |
16.93 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MM8T7U |
SWB |
20.98 |
EUR |
| Details |
Morgan Stanley 14 P Issuer Name: Morgan Stanley |
Structured Product |
MM8VWW |
SWB |
27.94 |
EUR |
| Details |
Morgan Stanley 1.6414 C Issuer Name: Morgan Stanley |
Structured Product |
MM92Y5 |
SWB |
2.780 |
EUR |
| Details |
Morgan Stanley 0.2 P Issuer Name: Morgan Stanley |
Structured Product |
MM92YE |
SWB |
1.460 |
EUR |
| Details |
Morgan Stanley 0.20202 P Issuer Name: Morgan Stanley |
Structured Product |
MM93D2 |
SWB |
2.430 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MM93LE |
SWB |
11.16 |
EUR |
| Details |
Morgan Stanley 10.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM93LG |
SWB |
6.20 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MM9505 |
SWB |
9.57 |
EUR |
| Details |
Morgan Stanley 11 P Issuer Name: Morgan Stanley |
Structured Product |
MM96FG |
SWB |
0.6000 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MM9971 |
SWB |
25.20 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MM9FG7 |
SWB |
25.98 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MM9FJW |
SWB |
13.02 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MM9FJX |
SWB |
17.77 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MM9GGE |
SWB |
25.55 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MM9GGF |
SWB |
24.91 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MM9JZM |
SWB |
31.16 |
EUR |
| Details |
Morgan Stanley 0.199 P Issuer Name: Morgan Stanley |
Structured Product |
MM9M7V |
SWB |
0.9300 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MM9MCY |
SWB |
41.33 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MM9PLR |
SWB |
8.97 |
EUR |
| Details |
Morgan Stanley 12.1212 P Issuer Name: Morgan Stanley |
Structured Product |
MM9R69 |
SWB |
9.04 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM9TSE |
SWB |
37.99 |
EUR |
| Details |
Morgan Stanley 1.78 P Issuer Name: Morgan Stanley |
Structured Product |
MM9TXG |
SWB |
7.46 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MM9TXH |
SWB |
19.99 |
EUR |
| Details |
Morgan Stanley 16.1616 P Issuer Name: Morgan Stanley |
Structured Product |
MM9TZY |
SWB |
45.39 |
EUR |
| Details |
Morgan Stanley 2.4365 P Issuer Name: Morgan Stanley |
Structured Product |
MM9TZZ |
SWB |
21.74 |
EUR |
| Details |
Morgan Stanley 10.9 P Issuer Name: Morgan Stanley |
Structured Product |
MM9ZWG |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.9 P Issuer Name: Morgan Stanley |
Structured Product |
MN05DU |
SWB |
7.12 |
EUR |
| Details |
Morgan Stanley 393.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MN09J3 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.199494 P Issuer Name: Morgan Stanley |
Structured Product |
MN09J4 |
SWB |
1.050 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MN09NM |
SWB |
30.02 |
EUR |
| Details |
Morgan Stanley 0.198 P Issuer Name: Morgan Stanley |
Structured Product |
MN09PF |
SWB |
0.3400 |
EUR |
| Details |
Morgan Stanley 0.197 P Issuer Name: Morgan Stanley |
Structured Product |
MN09PG |
SWB |
0.0010 |
EUR |
| Details |
Morgan Stanley 390 P Issuer Name: Morgan Stanley |
Structured Product |
MN09PH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 237.6238 C Issuer Name: Morgan Stanley |
Structured Product |
MN09ZL |
SWB |
38.42 |
EUR |
| Details |
Morgan Stanley 297.0298 C Issuer Name: Morgan Stanley |
Structured Product |
MN09ZM |
SWB |
23.02 |
EUR |
| Details |
Morgan Stanley 0.196969 P Issuer Name: Morgan Stanley |
Structured Product |
MN0FLU |
SWB |
1.050 |
EUR |
| Details |
Morgan Stanley 0.196 P Issuer Name: Morgan Stanley |
Structured Product |
MN0FYN |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.172547 C Issuer Name: Morgan Stanley |
Structured Product |
MN0KL7 |
SWB |
9.95 |
EUR |
| Details |
Morgan Stanley 0.195 P Issuer Name: Morgan Stanley |
Structured Product |
MN0KSH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN0KSL |
SWB |
17.42 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MN0KSM |
SWB |
6.36 |
EUR |
| Details |
Morgan Stanley 1.7766 P Issuer Name: Morgan Stanley |
Structured Product |
MN0PGD |
SWB |
7.38 |
EUR |
| Details |
Morgan Stanley 11.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN0UJU |
SWB |
6.28 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MN0WVM |
SWB |
38.29 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MN0WYS |
SWB |
31.52 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MN0WYT |
SWB |
25.27 |
EUR |
| Details |
Morgan Stanley 10.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN0WYU |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.9505 C Issuer Name: Morgan Stanley |
Structured Product |
MN0Z20 |
SWB |
39.59 |
EUR |
| Details |
Morgan Stanley 1.109 C Issuer Name: Morgan Stanley |
Structured Product |
MN0Z21 |
SWB |
29.52 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MN0Z26 |
SWB |
38.90 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MN0Z54 |
SWB |
36.45 |
EUR |
| Details |
Morgan Stanley 0.194 P Issuer Name: Morgan Stanley |
Structured Product |
MN132U |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 15 P Issuer Name: Morgan Stanley |
Structured Product |
MN16XA |
SWB |
35.12 |
EUR |
| Details |
Morgan Stanley 9.5158 C Issuer Name: Morgan Stanley |
Structured Product |
MN16YX |
SWB |
9.98 |
EUR |
| Details |
Morgan Stanley 2.101 P Issuer Name: Morgan Stanley |
Structured Product |
MN1AUP |
SWB |
31.69 |
EUR |
| Details |
Morgan Stanley 1.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MN1AUQ |
SWB |
21.56 |
EUR |
| Details |
Morgan Stanley 2.2335 P Issuer Name: Morgan Stanley |
Structured Product |
MN1AUR |
SWB |
11.92 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MN1AX3 |
SWB |
20.34 |
EUR |
| Details |
Morgan Stanley 320 C Issuer Name: Morgan Stanley |
Structured Product |
MN1B6U |
SWB |
17.42 |
EUR |
| Details |
Morgan Stanley 9.5294 C Issuer Name: Morgan Stanley |
Structured Product |
MN1D0K |
SWB |
9.92 |
EUR |
| Details |
Morgan Stanley 8.9109 C Issuer Name: Morgan Stanley |
Structured Product |
MN1JMM |
SWB |
18.65 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MN1QRZ |
SWB |
21.60 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MN1QS0 |
SWB |
11.80 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MN1QS1 |
SWB |
26.92 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MN1QS2 |
SWB |
36.12 |
EUR |
| Details |
Morgan Stanley 11.8686 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QS9 |
SWB |
6.96 |
EUR |
| Details |
Morgan Stanley 1.74 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX3 |
SWB |
5.27 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX4 |
SWB |
20.29 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX5 |
SWB |
14.28 |
EUR |
| Details |
Morgan Stanley 2.04 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX6 |
SWB |
2.250 |
EUR |
| Details |
Morgan Stanley 2.02 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX7 |
SWB |
1.260 |
EUR |
| Details |
Morgan Stanley 11.7 P Issuer Name: Morgan Stanley |
Structured Product |
MN1QX9 |
SWB |
5.44 |
EUR |
| Details |
Morgan Stanley 9.8882 C Issuer Name: Morgan Stanley |
Structured Product |
MN1TER |
SWB |
11.41 |
EUR |
| Details |
Morgan Stanley 2.0304 P Issuer Name: Morgan Stanley |
Structured Product |
MN1TYW |
SWB |
1.790 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MN1XX6 |
SWB |
0.3100 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MN1XX7 |
SWB |
21.61 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MN1YCC |
SWB |
34.89 |
EUR |
| Details |
Morgan Stanley 1.5703 C Issuer Name: Morgan Stanley |
Structured Product |
MN1YCE |
SWB |
5.60 |
EUR |
| Details |
Morgan Stanley 10.3867 C Issuer Name: Morgan Stanley |
Structured Product |
MN1YCF |
SWB |
6.07 |
EUR |
| Details |
Morgan Stanley 11.6 P Issuer Name: Morgan Stanley |
Structured Product |
MN224P |
SWB |
4.570 |
EUR |
| Details |
Morgan Stanley 316.8317 C Issuer Name: Morgan Stanley |
Structured Product |
MN2275 |
SWB |
18.35 |
EUR |
| Details |
Morgan Stanley 0.09901 C Issuer Name: Morgan Stanley |
Structured Product |
MN260R |
SWB |
49.30 |
EUR |
| Details |
Morgan Stanley 1.72 P Issuer Name: Morgan Stanley |
Structured Product |
MN268L |
SWB |
4.110 |
EUR |
| Details |
Morgan Stanley 1.63 P Issuer Name: Morgan Stanley |
Structured Product |
MN268M |
SWB |
2.270 |
EUR |
| Details |
Morgan Stanley 13.2 P Issuer Name: Morgan Stanley |
Structured Product |
MN268P |
SWB |
19.00 |
EUR |
| Details |
Morgan Stanley 1.4779 C Issuer Name: Morgan Stanley |
Structured Product |
MN28KG |
SWB |
25.08 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MN2CFC |
SWB |
38.61 |
EUR |
| Details |
Morgan Stanley 10.1183 C Issuer Name: Morgan Stanley |
Structured Product |
MN2LSN |
SWB |
7.30 |
EUR |
| Details |
Morgan Stanley 10.6242 C Issuer Name: Morgan Stanley |
Structured Product |
MN2LSP |
SWB |
5.57 |
EUR |
| Details |
Morgan Stanley 7.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MN2T5E |
SWB |
27.91 |
EUR |
| Details |
Morgan Stanley 12 P Issuer Name: Morgan Stanley |
Structured Product |
MN2T5F |
SWB |
10.49 |
EUR |
| Details |
Morgan Stanley 0.194444 P Issuer Name: Morgan Stanley |
Structured Product |
MN2T5H |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.7258 P Issuer Name: Morgan Stanley |
Structured Product |
MN2VYD |
SWB |
4.520 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MN2W96 |
SWB |
25.70 |
EUR |
| Details |
Morgan Stanley 8.8 C Issuer Name: Morgan Stanley |
Structured Product |
MN2W97 |
SWB |
18.27 |
EUR |
| Details |
Morgan Stanley 1.7 P Issuer Name: Morgan Stanley |
Structured Product |
MN2WB0 |
SWB |
2.960 |
EUR |
| Details |
Morgan Stanley 2.1 P Issuer Name: Morgan Stanley |
Structured Product |
MN2WB1 |
SWB |
31.90 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MN2WB2 |
SWB |
25.62 |
EUR |
| Details |
Morgan Stanley 0.193 P Issuer Name: Morgan Stanley |
Structured Product |
MN2WB4 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MN31EH |
SWB |
4.810 |
EUR |
| Details |
Morgan Stanley 11.5 P Issuer Name: Morgan Stanley |
Structured Product |
MN31HB |
SWB |
3.760 |
EUR |
| Details |
Morgan Stanley 1.6363 P Issuer Name: Morgan Stanley |
Structured Product |
MN34ZE |
SWB |
2.800 |
EUR |
| Details |
Morgan Stanley 14.1414 P Issuer Name: Morgan Stanley |
Structured Product |
MN34ZF |
SWB |
27.58 |
EUR |
| Details |
Morgan Stanley 5.9406 C Issuer Name: Morgan Stanley |
Structured Product |
MN3554 |
SWB |
45.97 |
EUR |
| Details |
Morgan Stanley 1.62 P Issuer Name: Morgan Stanley |
Structured Product |
MN355V |
SWB |
1.780 |
EUR |
| Details |
Morgan Stanley 1.98 P Issuer Name: Morgan Stanley |
Structured Product |
MN355W |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN355X |
SWB |
17.90 |
EUR |
| Details |
Morgan Stanley 10.7 P Issuer Name: Morgan Stanley |
Structured Product |
MN355Y |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.4 P Issuer Name: Morgan Stanley |
Structured Product |
MN355Z |
SWB |
2.840 |
EUR |
| Details |
Morgan Stanley 0.192 P Issuer Name: Morgan Stanley |
Structured Product |
MN3560 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.1 C Issuer Name: Morgan Stanley |
Structured Product |
MN37QZ |
SWB |
30.35 |
EUR |
| Details |
Morgan Stanley 10.8 C Issuer Name: Morgan Stanley |
Structured Product |
MN37R1 |
SWB |
1.780 |
EUR |
| Details |
Morgan Stanley 0.148515 C Issuer Name: Morgan Stanley |
Structured Product |
MN3AFM |
SWB |
24.24 |
EUR |
| Details |
Morgan Stanley 2.2626 P Issuer Name: Morgan Stanley |
Structured Product |
MN3DB3 |
SWB |
42.21 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MN3DB5 |
SWB |
33.70 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MN3DB6 |
SWB |
20.68 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN3EZX |
SWB |
13.16 |
EUR |
| Details |
Morgan Stanley 11.1387 C Issuer Name: Morgan Stanley |
Structured Product |
MN3HP2 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.96 C Issuer Name: Morgan Stanley |
Structured Product |
MN3HQH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.3 P Issuer Name: Morgan Stanley |
Structured Product |
MN3LQZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.68 P Issuer Name: Morgan Stanley |
Structured Product |
MN3LR0 |
SWB |
1.830 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MN3M6M |
SWB |
19.02 |
EUR |
| Details |
Morgan Stanley 10.6 C Issuer Name: Morgan Stanley |
Structured Product |
MN3NLR |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.5644 C Issuer Name: Morgan Stanley |
Structured Product |
MN3QET |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 9.901 C Issuer Name: Morgan Stanley |
Structured Product |
MN3QEX |
SWB |
8.18 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MN3QU2 |
SWB |
38.92 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MN430L |
SWB |
36.78 |
EUR |
| Details |
Morgan Stanley 0.191919 P Issuer Name: Morgan Stanley |
Structured Product |
MN430Z |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.191 P Issuer Name: Morgan Stanley |
Structured Product |
MN431L |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 383.8383 P Issuer Name: Morgan Stanley |
Structured Product |
MN44T0 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.4925 C Issuer Name: Morgan Stanley |
Structured Product |
MN456F |
SWB |
8.97 |
EUR |
| Details |
Morgan Stanley 0.185644 C Issuer Name: Morgan Stanley |
Structured Product |
MN4A6Z |
SWB |
5.65 |
EUR |
| Details |
Morgan Stanley 2.08 P Issuer Name: Morgan Stanley |
Structured Product |
MN4AAQ |
SWB |
26.15 |
EUR |
| Details |
Morgan Stanley 1.63 P Issuer Name: Morgan Stanley |
Structured Product |
MN4AAR |
SWB |
2.610 |
EUR |
| Details |
Morgan Stanley 1.61 P Issuer Name: Morgan Stanley |
Structured Product |
MN4AAS |
SWB |
1.360 |
EUR |
| Details |
Morgan Stanley 11.3 P Issuer Name: Morgan Stanley |
Structured Product |
MN4AAW |
SWB |
2.070 |
EUR |
| Details |
Morgan Stanley 11.3636 P Issuer Name: Morgan Stanley |
Structured Product |
MN4AAZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MN4DZ1 |
SWB |
1.740 |
EUR |
| Details |
Morgan Stanley 376.2377 C Issuer Name: Morgan Stanley |
Structured Product |
MN4FGZ |
SWB |
3.810 |
EUR |
| Details |
Morgan Stanley 1.66 P Issuer Name: Morgan Stanley |
Structured Product |
MN4FNA |
SWB |
0.7000 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MN4G28 |
SWB |
39.15 |
EUR |
| Details |
Morgan Stanley 380 C Issuer Name: Morgan Stanley |
Structured Product |
MN4K4D |
SWB |
2.920 |
EUR |
| Details |
Morgan Stanley 0.188 C Issuer Name: Morgan Stanley |
Structured Product |
MN4K4E |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MN4KB9 |
SWB |
0.7500 |
EUR |
| Details |
Morgan Stanley 1.98 P Issuer Name: Morgan Stanley |
Structured Product |
MN4KBA |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.202 P Issuer Name: Morgan Stanley |
Structured Product |
MN4KBB |
SWB |
2.300 |
EUR |
| Details |
Morgan Stanley 393.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MN4NYQ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.118812 C Issuer Name: Morgan Stanley |
Structured Product |
MN4T6D |
SWB |
39.71 |
EUR |
| Details |
Morgan Stanley 0.189 C Issuer Name: Morgan Stanley |
Structured Product |
MN4T6W |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 11.3636 P Issuer Name: Morgan Stanley |
Structured Product |
MN4U0G |
SWB |
2.640 |
EUR |
| Details |
Morgan Stanley 1.5959 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W5X |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 2 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W62 |
SWB |
25.98 |
EUR |
| Details |
Morgan Stanley 1.59 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W63 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.58 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W64 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 2.4 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W67 |
SWB |
20.83 |
EUR |
| Details |
Morgan Stanley 2.28 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W68 |
SWB |
14.79 |
EUR |
| Details |
Morgan Stanley 11.2 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W69 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MN4W6A |
SWB |
25.54 |
EUR |
| Details |
Morgan Stanley 9.7308 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W71 |
SWB |
9.47 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7P |
SWB |
12.46 |
EUR |
| Details |
Morgan Stanley 7 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7Q |
SWB |
36.61 |
EUR |
| Details |
Morgan Stanley 0.168 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7S |
SWB |
14.79 |
EUR |
| Details |
Morgan Stanley 0.19 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7T |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.191 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7U |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 390 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7W |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 386.1387 C Issuer Name: Morgan Stanley |
Structured Product |
MN4WFX |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.188119 C Issuer Name: Morgan Stanley |
Structured Product |
MN4WFY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.194444 P Issuer Name: Morgan Stanley |
Structured Product |
MN51AC |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.6751 P Issuer Name: Morgan Stanley |
Structured Product |
MN51AE |
SWB |
1.640 |
EUR |
| Details |
Morgan Stanley 393.9393 P Issuer Name: Morgan Stanley |
Structured Product |
MN51AF |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.194 P Issuer Name: Morgan Stanley |
Structured Product |
MN51BH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.193 P Issuer Name: Morgan Stanley |
Structured Product |
MN51BJ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 10.7 P Issuer Name: Morgan Stanley |
Structured Product |
MN51BL |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.57 C Issuer Name: Morgan Stanley |
Structured Product |
MN51BS |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 10.6 C Issuer Name: Morgan Stanley |
Structured Product |
MN5604 |
SWB |
1.870 |
EUR |
| Details |
Morgan Stanley 10 C Issuer Name: Morgan Stanley |
Structured Product |
MN5605 |
SWB |
9.48 |
EUR |
| Details |
Morgan Stanley 1.64 P Issuer Name: Morgan Stanley |
Structured Product |
MN5648 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.5125 C Issuer Name: Morgan Stanley |
Structured Product |
MN5649 |
SWB |
12.16 |
EUR |
| Details |
Morgan Stanley 1.58 P Issuer Name: Morgan Stanley |
Structured Product |
MN5835 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.4396 C Issuer Name: Morgan Stanley |
Structured Product |
MN583D |
SWB |
11.31 |
EUR |
| Details |
Morgan Stanley 1.5959 P Issuer Name: Morgan Stanley |
Structured Product |
MN583Q |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.188 C Issuer Name: Morgan Stanley |
Structured Product |
MN584B |
SWB |
4.710 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A60 |
SWB |
22.25 |
EUR |
| Details |
Morgan Stanley 1.62 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A61 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.68 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A62 |
SWB |
15.29 |
EUR |
| Details |
Morgan Stanley 10.7 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A63 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 8 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A64 |
SWB |
27.63 |
EUR |
| Details |
Morgan Stanley 0.189 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A65 |
SWB |
4.270 |
EUR |
| Details |
Morgan Stanley 0.19 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A66 |
SWB |
3.760 |
EUR |
| Details |
Morgan Stanley 0.25 P Issuer Name: Morgan Stanley |
Structured Product |
MN5A6F |
SWB |
26.55 |
EUR |
| Details |
Morgan Stanley 0.188119 C Issuer Name: Morgan Stanley |
Structured Product |
MN5A6H |
SWB |
4.690 |
EUR |
| Details |
Morgan Stanley 1.92 P Issuer Name: Morgan Stanley |
Structured Product |
MN5DUV |
SWB |
21.03 |
EUR |
| Details |
Morgan Stanley 2.04 P Issuer Name: Morgan Stanley |
Structured Product |
MN5DUW |
SWB |
2.790 |
EUR |
| Details |
Morgan Stanley 11.2 P Issuer Name: Morgan Stanley |
Structured Product |
MN5DUX |
SWB |
1.230 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MN5DV2 |
SWB |
39.24 |
EUR |
| Details |
Morgan Stanley 1.96 C Issuer Name: Morgan Stanley |
Structured Product |
MN5FMY |
SWB |
1.200 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MN5JRD |
SWB |
25.08 |
EUR |
| Details |
Morgan Stanley 10.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN5JT0 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.57 C Issuer Name: Morgan Stanley |
Structured Product |
MN5JT1 |
SWB |
1.020 |
EUR |
| Details |
Morgan Stanley 0.191 C Issuer Name: Morgan Stanley |
Structured Product |
MN5MS4 |
SWB |
3.340 |
EUR |
| Details |
Morgan Stanley 10.7 C Issuer Name: Morgan Stanley |
Structured Product |
MN5MS5 |
SWB |
1.050 |
EUR |
| Details |
Morgan Stanley 386.1387 C Issuer Name: Morgan Stanley |
Structured Product |
MN5MWC |
SWB |
1.710 |
EUR |
| Details |
Morgan Stanley 11.1 P Issuer Name: Morgan Stanley |
Structured Product |
MN5N75 |
SWB |
0.3600 |
EUR |
| Details |
Morgan Stanley 12.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN5N79 |
SWB |
18.40 |
EUR |
| Details |
Morgan Stanley 0.190595 C Issuer Name: Morgan Stanley |
Structured Product |
MN5PTT |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MN5PUH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.62 C Issuer Name: Morgan Stanley |
Structured Product |
MN5QF3 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.44 C Issuer Name: Morgan Stanley |
Structured Product |
MN5QF5 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.192 C Issuer Name: Morgan Stanley |
Structured Product |
MN5QF6 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.193 C Issuer Name: Morgan Stanley |
Structured Product |
MN5QF7 |
SWB |
0.0000 |
EUR |
| Details |
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Structured Product |
CJ9J50 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.49297 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL96Y2 |
SWB |
3.000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.37196 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL98PS |
SWB |
4.100 |
EUR |
| Details |
Societe Generale Acceptance NV 1.62425 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB70WU |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.57881 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD92C6 |
SWB |
4.110 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66242 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9BDL |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6451 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9MA2 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.63519 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9NQ2 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.61396 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9TKC |
SWB |
1.940 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6022 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9W0L |
SWB |
2.670 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59052 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9YD0 |
SWB |
3.460 |
EUR |
| Details |
Societe Generale Acceptance NV 10.44453 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8D1D |
SWB |
5.52 |
EUR |
| Details |
Societe Generale Acceptance NV 10.56136 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD93J9 |
SWB |
4.450 |
EUR |
| Details |
Societe Generale Acceptance NV 10.80669 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9RG9 |
SWB |
2.230 |
EUR |
| Details |
Societe Generale Acceptance NV 10.68494 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9T8X |
SWB |
3.340 |
EUR |
| Details |
Societe Generale Acceptance NV 10.25048 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB928Q |
SWB |
5.19 |
EUR |
| Details |
Societe Generale Acceptance NV 10.12731 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD097T |
SWB |
6.33 |
EUR |
| Details |
Societe Generale Acceptance NV 10.00717 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9B8L |
SWB |
7.45 |
EUR |
| Details |
Societe Generale Acceptance NV 9.8852 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9QTU |
SWB |
8.56 |
EUR |
| Details |
Societe Generale Acceptance NV 1.63286 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB9ERT |
SWB |
2.890 |
EUR |
| Details |
Societe Generale Acceptance NV 1.53051 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8C4K |
SWB |
3.490 |
EUR |
| Details |
Societe Generale Acceptance NV 1.51849 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8MRU |
SWB |
4.250 |
EUR |
| Details |
Societe Generale Acceptance NV 10.32676 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8WRG |
SWB |
6.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50603 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD7FDN |
SWB |
5.03 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49416 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD7NPV |
SWB |
5.77 |
EUR |
| Details |
Societe Generale Acceptance NV 9.76174 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD7MPF |
SWB |
9.69 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48173 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF7AR8 |
SWB |
6.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.46902 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8ARX |
SWB |
7.38 |
EUR |
| Details |
Societe Generale Acceptance NV 1.45731 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8KY7 |
SWB |
8.10 |
EUR |
| Details |
Societe Generale Acceptance NV 10.08734 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF7TH0 |
SWB |
8.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44564 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8KZS |
SWB |
8.83 |
EUR |
| Details |
Societe Generale Acceptance NV 1.56675 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8QSL |
SWB |
4.890 |
EUR |
| Details |
Societe Generale Acceptance NV 9.52569 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF761Q |
SWB |
11.89 |
EUR |
| Details |
Societe Generale Acceptance NV 1.55495 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8SWX |
SWB |
5.53 |
EUR |
| Details |
Societe Generale Acceptance NV 1.43285 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8UGK |
SWB |
9.66 |
EUR |
| Details |
Societe Generale Acceptance NV 1.42119 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8395 |
SWB |
10.41 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40899 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF997F |
SWB |
11.15 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54297 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH414D |
SWB |
6.35 |
EUR |
| Details |
Societe Generale Acceptance NV 1.53021 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5ALH |
SWB |
7.09 |
EUR |
| Details |
Societe Generale Acceptance NV 1.39611 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5CMM |
SWB |
11.98 |
EUR |
| Details |
Societe Generale Acceptance NV 1.51845 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5CMN |
SWB |
7.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50645 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3M7G |
SWB |
8.47 |
EUR |
| Details |
Societe Generale Acceptance NV 1.38416 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3M7H |
SWB |
12.72 |
EUR |
| Details |
Societe Generale Acceptance NV 9.84341 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3M7K |
SWB |
10.97 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48295 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5JJM |
SWB |
9.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.4947 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5JJN |
SWB |
9.18 |
EUR |
| Details |
Societe Generale Acceptance NV 1.46021 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3T4Q |
SWB |
11.36 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47108 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3T4R |
SWB |
10.62 |
EUR |
| Details |
Societe Generale Acceptance NV 1.36047 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3T4S |
SWB |
14.20 |
EUR |
| Details |
Societe Generale Acceptance NV 1.37227 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3T4T |
SWB |
13.46 |
EUR |
| Details |
Societe Generale Acceptance NV 11.06023 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH5EZP |
SWB |
2.340 |
EUR |
| Details |
Societe Generale Acceptance NV 9.60774 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH7X76 |
SWB |
13.10 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44758 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH731S |
SWB |
12.09 |
EUR |
| Details |
Societe Generale Acceptance NV 1.34877 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH731T |
SWB |
14.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.42297 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH6DB5 |
SWB |
13.53 |
EUR |
| Details |
Societe Generale Acceptance NV 1.43478 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH6DB7 |
SWB |
12.91 |
EUR |
| Details |
Societe Generale Acceptance NV 1.33642 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH6HJ4 |
SWB |
15.75 |
EUR |
| Details |
Societe Generale Acceptance NV 1.32477 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH6WG5 |
SWB |
16.45 |
EUR |
| Details |
Societe Generale Acceptance NV 1.31271 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN22W3 |
SWB |
17.21 |
EUR |
| Details |
Societe Generale Acceptance NV 1.30054 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN151F |
SWB |
17.98 |
EUR |
| Details |
Societe Generale Acceptance NV 1.28897 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN1605 |
SWB |
18.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.27705 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4SS7 |
SWB |
19.47 |
EUR |
| Details |
Societe Generale Acceptance NV 1.26528 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4VXJ |
SWB |
20.22 |
EUR |
| Details |
Societe Generale Acceptance NV 9.78405 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H00 |
SWB |
11.49 |
EUR |
| Details |
Societe Generale Acceptance NV 9.91232 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H01 |
SWB |
10.33 |
EUR |
| Details |
Societe Generale Acceptance NV 9.97014 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H02 |
SWB |
9.81 |
EUR |
| Details |
Societe Generale Acceptance NV 10.02792 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H03 |
SWB |
9.28 |
EUR |
| Details |
Societe Generale Acceptance NV 10.15158 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H04 |
SWB |
8.17 |
EUR |
| Details |
Societe Generale Acceptance NV 10.20946 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H05 |
SWB |
7.64 |
EUR |
| Details |
Societe Generale Acceptance NV 10.26848 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H06 |
SWB |
7.11 |
EUR |
| Details |
Societe Generale Acceptance NV 10.38496 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H07 |
SWB |
6.05 |
EUR |
| Details |
Societe Generale Acceptance NV 10.50182 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H08 |
SWB |
5.000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.62515 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H09 |
SWB |
3.890 |
EUR |
| Details |
Societe Generale Acceptance NV 9.72616 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H0Z |
SWB |
12.01 |
EUR |
| Details |
Societe Generale Acceptance NV 10.74536 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1A |
SWB |
2.800 |
EUR |
| Details |
Societe Generale Acceptance NV 10.87101 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1B |
SWB |
1.710 |
EUR |
| Details |
Societe Generale Acceptance NV 10.93001 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1C |
SWB |
1.210 |
EUR |
| Details |
Societe Generale Acceptance NV 10.98481 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1D |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.10097 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1E |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.13909 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1F |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.18776 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7H1G |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 9.66101 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7N12 |
SWB |
12.59 |
EUR |
| Details |
Societe Generale Acceptance NV 1.41062 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN754D |
SWB |
14.38 |
EUR |
| Details |
Societe Generale Acceptance NV 1.39899 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN56L2 |
SWB |
15.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.25325 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8HZL |
SWB |
20.97 |
EUR |
| Details |
Societe Generale Acceptance NV 9.54938 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN9B7Z |
SWB |
13.61 |
EUR |
| Details |
Societe Generale Acceptance NV 1.38727 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8PD7 |
SWB |
15.75 |
EUR |
| Details |
Societe Generale Acceptance NV 1.24153 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8PD8 |
SWB |
21.72 |
EUR |
| Details |
Societe Generale Acceptance NV 9.3755 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8PD9 |
SWB |
15.15 |
EUR |
| Details |
Societe Generale Acceptance NV 9.49034 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8PEA |
SWB |
14.16 |
EUR |
| Details |
Societe Generale Acceptance NV 9.43394 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN9JYR |
SWB |
14.67 |
EUR |
| Details |
Societe Generale Acceptance NV 11.24245 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0S9Q |
SWB |
4.000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.4126 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1U6C |
SWB |
5.56 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47571 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH86Y6 |
SWB |
10.45 |
EUR |
| Details |
Societe Generale Acceptance NV 1.53419 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH86Y7 |
SWB |
6.90 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59261 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH86Y8 |
SWB |
3.350 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64583 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN03DZ |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.41772 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN7HXQ |
SWB |
13.97 |
EUR |
| Details |
Societe Generale Acceptance NV 1.35183 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43U5 |
SWB |
14.78 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40896 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43U6 |
SWB |
11.17 |
EUR |
| Details |
Societe Generale Acceptance NV 1.46606 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43U7 |
SWB |
7.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.52327 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43U8 |
SWB |
3.970 |
EUR |
| Details |
Societe Generale Acceptance NV 9.96603 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43V1 |
SWB |
0.7900 |
EUR |
| Details |
Societe Generale Acceptance NV 10.53613 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43V2 |
SWB |
0.2600 |
EUR |
| Details |
Societe Generale Acceptance NV 10.02664 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43VP |
SWB |
9.39 |
EUR |
| Details |
Societe Generale Acceptance NV 10.59777 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43VQ |
SWB |
4.230 |
EUR |
| Details |
Societe Generale Acceptance NV 11.14423 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43VR |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.14826 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43WD |
SWB |
0.3200 |
EUR |
| Details |
Societe Generale Acceptance NV 11.59012 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ6QK3 |
SWB |
0.7300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.59258 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ7ACN |
SWB |
7.20 |
EUR |
| Details |
Societe Generale Acceptance NV 11.76947 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ7LET |
SWB |
8.83 |
EUR |
| Details |
Societe Generale Acceptance NV 11.99782 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ8N96 |
SWB |
8.52 |
EUR |
| Details |
Societe Generale Acceptance NV 12.17804 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV3FJX |
SWB |
10.03 |
EUR |
| Details |
Societe Generale Acceptance NV 11.94797 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1XYQ |
SWB |
10.48 |
EUR |
| Details |
Societe Generale Acceptance NV 12.29505 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV10NF |
SWB |
11.09 |
EUR |
| Details |
Societe Generale Acceptance NV 12.44316 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV2DMS |
SWB |
12.55 |
EUR |
| Details |
Societe Generale Acceptance NV 12.55104 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV3SVA |
SWB |
13.41 |
EUR |
| Details |
Societe Generale Acceptance NV 12.03591 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV28BN |
SWB |
1.140 |
EUR |
| Details |
Societe Generale Acceptance NV 12.73489 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV5C03 |
SWB |
15.08 |
EUR |
| Details |
Societe Generale Acceptance NV 12.88933 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4S61 |
SWB |
16.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.81865 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4T3N |
SWB |
10.42 |
EUR |
| Details |
Societe Generale Acceptance NV 1.82769 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4T3P |
SWB |
10.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.83659 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4T3Q |
SWB |
11.44 |
EUR |
| Details |
Societe Generale Acceptance NV 12.91074 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4T3T |
SWB |
16.65 |
EUR |
| Details |
Societe Generale Acceptance NV 12.12749 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV4T3V |
SWB |
12.13 |
EUR |
| Details |
Societe Generale Acceptance NV 13.06734 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV5LSE |
SWB |
18.11 |
EUR |
| Details |
Societe Generale Acceptance NV 12.30618 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV8AFG |
SWB |
13.79 |
EUR |
| Details |
Societe Generale Acceptance NV 11.32822 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV6WV3 |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 12.48421 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV8R7X |
SWB |
15.43 |
EUR |
| Details |
Societe Generale Acceptance NV 12.48511 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV7TZX |
SWB |
1.550 |
EUR |
| Details |
Societe Generale Acceptance NV 12.66886 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9H30 |
SWB |
17.13 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1ELG |
SWB |
6.62 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1ELM |
SWB |
11.31 |
EUR |
| Details |
Societe Generale Acceptance NV 11.199 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1H5Q |
SWB |
10.16 |
EUR |
| Details |
Societe Generale Acceptance NV 11.199 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1H5R |
SWB |
5.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.85107 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1S94 |
SWB |
12.32 |
EUR |
| Details |
Societe Generale Acceptance NV 1.86019 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW11DE |
SWB |
12.95 |
EUR |
| Details |
Societe Generale Acceptance NV 1.86917 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW11DF |
SWB |
13.43 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1898 |
SWB |
8.03 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1899 |
SWB |
9.94 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW189W |
SWB |
3.420 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW189X |
SWB |
4.700 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW189Y |
SWB |
9.07 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19A9 |
SWB |
8.34 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AA |
SWB |
11.47 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AB |
SWB |
12.38 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AC |
SWB |
13.47 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AD |
SWB |
13.39 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AE |
SWB |
12.00 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AX |
SWB |
10.92 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AY |
SWB |
10.40 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19AZ |
SWB |
9.29 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BA |
SWB |
2.950 |
EUR |
| Details |
Societe Generale Acceptance NV 11.415 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BB |
SWB |
1.770 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BC |
SWB |
8.17 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BD |
SWB |
5.26 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BE |
SWB |
3.050 |
EUR |
| Details |
Societe Generale Acceptance NV 11.868 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW19BF |
SWB |
1.950 |
EUR |
| Details |
Societe Generale Acceptance NV 1.8788 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2FHA |
SWB |
14.06 |
EUR |
| Details |
Societe Generale Acceptance NV 11.77177 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2JZG |
SWB |
0.8900 |
EUR |
| Details |
Societe Generale Acceptance NV 1.8782 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2LKM |
SWB |
14.03 |
EUR |
| Details |
Societe Generale Acceptance NV 1.8854 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2LKN |
SWB |
14.44 |
EUR |
| Details |
Societe Generale Acceptance NV 12.85081 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2LKQ |
SWB |
18.82 |
EUR |
| Details |
Societe Generale Acceptance NV 11.462 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3AB0 |
SWB |
5.49 |
EUR |
| Details |
Societe Generale Acceptance NV 11.918 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3AB1 |
SWB |
5.23 |
EUR |
| Details |
Societe Generale Acceptance NV 1.465 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3ABW |
SWB |
11.75 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E0B |
SWB |
8.85 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E0C |
SWB |
14.49 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E0J |
SWB |
10.83 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E0N |
SWB |
1.740 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E0P |
SWB |
1.800 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E14 |
SWB |
11.45 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E15 |
SWB |
11.97 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E27 |
SWB |
11.38 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E28 |
SWB |
12.19 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E29 |
SWB |
11.89 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2C |
SWB |
8.45 |
EUR |
| Details |
Societe Generale Acceptance NV 11.458 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2D |
SWB |
3.610 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2E |
SWB |
8.18 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2F |
SWB |
3.520 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2V |
SWB |
5.09 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2W |
SWB |
6.59 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E2X |
SWB |
9.09 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E3A |
SWB |
15.20 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E3B |
SWB |
14.61 |
EUR |
| Details |
Societe Generale Acceptance NV 11.913 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3E3C |
SWB |
12.61 |
EUR |
| Details |
Societe Generale Acceptance NV 1.454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3EZ7 |
SWB |
3.170 |
EUR |
| Details |
Societe Generale Acceptance NV 1.29751 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3N72 |
SWB |
18.20 |
EUR |
| Details |
Societe Generale Acceptance NV 1.4285 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0K65 |
SWB |
9.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.4616 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0K66 |
SWB |
7.87 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49478 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0K67 |
SWB |
5.78 |
EUR |
| Details |
Societe Generale Acceptance NV 1.51139 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0K68 |
SWB |
4.730 |
EUR |
| Details |
Societe Generale Acceptance NV 1.52793 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0K69 |
SWB |
3.690 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64966 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0NKB |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 12.06068 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0QSH |
SWB |
9.08 |
EUR |
| Details |
Societe Generale Acceptance NV 1.42702 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TN0 |
SWB |
10.03 |
EUR |
| Details |
Societe Generale Acceptance NV 1.4601 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TN1 |
SWB |
7.94 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49327 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TN2 |
SWB |
5.85 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50977 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TN3 |
SWB |
4.810 |
EUR |
| Details |
Societe Generale Acceptance NV 1.5364 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0UE0 |
SWB |
3.140 |
EUR |
| Details |
Societe Generale Acceptance NV 12.28993 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU03C5 |
SWB |
11.18 |
EUR |
| Details |
Societe Generale Acceptance NV 12.34459 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU04XH |
SWB |
11.61 |
EUR |
| Details |
Societe Generale Acceptance NV 13.27407 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU080C |
SWB |
19.95 |
EUR |
| Details |
Societe Generale Acceptance NV 12.18131 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1AT3 |
SWB |
10.17 |
EUR |
| Details |
Societe Generale Acceptance NV 13.34624 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1Z2C |
SWB |
20.70 |
EUR |
| Details |
Societe Generale Acceptance NV 12.51896 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1ZZP |
SWB |
13.23 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6529 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU3YZ3 |
SWB |
4.140 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64256 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU3YZ4 |
SWB |
3.470 |
EUR |
| Details |
Societe Generale Acceptance NV 1.63902 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU248V |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48924 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU4DF1 |
SWB |
9.51 |
EUR |
| Details |
Societe Generale Acceptance NV 1.30686 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU4DFW |
SWB |
17.60 |
EUR |
| Details |
Societe Generale Acceptance NV 1.61875 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU53QV |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.60726 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU5322 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7BR8 |
SWB |
11.54 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7BR9 |
SWB |
6.22 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW4 |
SWB |
11.87 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW5 |
SWB |
12.19 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW6 |
SWB |
12.13 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW7 |
SWB |
12.02 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW8 |
SWB |
7.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZW9 |
SWB |
8.31 |
EUR |
| Details |
Societe Generale Acceptance NV 1.473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZXA |
SWB |
4.290 |
EUR |
| Details |
Societe Generale Acceptance NV 1.474 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW7ZXB |
SWB |
4.860 |
EUR |
| Details |
Societe Generale Acceptance NV 13.46368 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9PS1 |
SWB |
21.67 |
EUR |
| Details |
Societe Generale Acceptance NV 12.95012 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9RE5 |
SWB |
1.980 |
EUR |
| Details |
Societe Generale Acceptance NV 1.58864 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW90CK |
SWB |
3.580 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66232 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6PBL |
SWB |
4.740 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66468 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY0UXZ |
SWB |
4.990 |
EUR |
| Details |
Societe Generale Acceptance NV 1.67187 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1B16 |
SWB |
5.31 |
EUR |
| Details |
Societe Generale Acceptance NV 1.57693 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1US7 |
SWB |
4.260 |
EUR |
| Details |
Societe Generale Acceptance NV 1.63524 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY11T6 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.01385 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1377 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.62333 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY15P5 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.55628 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY2CQL |
SWB |
5.58 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6815 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY28S5 |
SWB |
5.95 |
EUR |
| Details |
Societe Generale Acceptance NV 12.63175 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY53GP |
SWB |
14.25 |
EUR |
| Details |
Societe Generale Acceptance NV 13.65243 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY54XA |
SWB |
23.38 |
EUR |
| Details |
Societe Generale Acceptance NV 13.03925 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY54XB |
SWB |
20.56 |
EUR |
| Details |
Societe Generale Acceptance NV 13.8158 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY58MJ |
SWB |
24.94 |
EUR |
| Details |
Societe Generale Acceptance NV 1.90625 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY59C0 |
SWB |
15.75 |
EUR |
| Details |
Societe Generale Acceptance NV 1.69051 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY59C2 |
SWB |
6.51 |
EUR |
| Details |
Societe Generale Acceptance NV 13.84072 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY59C4 |
SWB |
25.08 |
EUR |
| Details |
Societe Generale Acceptance NV 1.89687 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY59CZ |
SWB |
15.16 |
EUR |
| Details |
Societe Generale Acceptance NV 1.91596 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PB6 |
SWB |
16.20 |
EUR |
| Details |
Societe Generale Acceptance NV 1.92533 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PB7 |
SWB |
16.82 |
EUR |
| Details |
Societe Generale Acceptance NV 1.93471 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PB8 |
SWB |
17.33 |
EUR |
| Details |
Societe Generale Acceptance NV 1.94409 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PB9 |
SWB |
18.08 |
EUR |
| Details |
Societe Generale Acceptance NV 1.95347 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PCA |
SWB |
18.58 |
EUR |
| Details |
Societe Generale Acceptance NV 1.70065 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PCB |
SWB |
7.15 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71006 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6PCC |
SWB |
7.74 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71984 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ0MK6 |
SWB |
8.34 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54549 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ0NUT |
SWB |
6.20 |
EUR |
| Details |
Societe Generale Acceptance NV 1.72951 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ181D |
SWB |
8.98 |
EUR |
| Details |
Societe Generale Acceptance NV 1.60493 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ29ZQ |
SWB |
2.620 |
EUR |
| Details |
Societe Generale Acceptance NV 1.5931 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ6C7J |
SWB |
3.280 |
EUR |
| Details |
Societe Generale Acceptance NV 1.24437 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ6CXC |
SWB |
21.54 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54095 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ3R7C |
SWB |
2.840 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71247 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ7EL2 |
SWB |
7.99 |
EUR |
| Details |
Societe Generale Acceptance NV 1.81815 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ7WSZ |
SWB |
10.39 |
EUR |
| Details |
Societe Generale Acceptance NV 9.44326 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0YWZ |
SWB |
1.270 |
EUR |
| Details |
Societe Generale Acceptance NV 9.31658 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1RZ6 |
SWB |
13.82 |
EUR |
| Details |
Societe Generale Acceptance NV 1.55121 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX11DK |
SWB |
2.210 |
EUR |
| Details |
Societe Generale Acceptance NV 1.73935 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX18VV |
SWB |
9.58 |
EUR |
| Details |
Societe Generale Acceptance NV 1.97522 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5ADX |
SWB |
19.93 |
EUR |
| Details |
Societe Generale Acceptance NV 1.8403 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5AZZ |
SWB |
11.71 |
EUR |
| Details |
Societe Generale Acceptance NV 1.57292 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5CLF |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.55429 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5D06 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.85204 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5D0J |
SWB |
12.45 |
EUR |
| Details |
Societe Generale Acceptance NV 10.32726 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5F76 |
SWB |
0.4600 |
EUR |
| Details |
Societe Generale Acceptance NV 9.10767 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5G4R |
SWB |
15.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.58018 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ4ENS |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.56162 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ4ENT |
SWB |
1.600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.77769 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ4FT0 |
SWB |
12.00 |
EUR |
| Details |
Societe Generale Acceptance NV 1.75846 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ4FT1 |
SWB |
10.75 |
EUR |
| Details |
Societe Generale Acceptance NV 1.74892 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ4FT2 |
SWB |
10.19 |
EUR |
| Details |
Societe Generale Acceptance NV 1.96341 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5NZW |
SWB |
19.12 |
EUR |
| Details |
Societe Generale Acceptance NV 1.78604 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5QRH |
SWB |
12.49 |
EUR |
| Details |
Societe Generale Acceptance NV 1.76799 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5QRJ |
SWB |
11.38 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59019 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5QRK |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.56992 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5QRL |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 2.01139 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SC2 |
SWB |
21.99 |
EUR |
| Details |
Societe Generale Acceptance NV 2.00182 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SCS |
SWB |
21.43 |
EUR |
| Details |
Societe Generale Acceptance NV 1.99221 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SCT |
SWB |
20.83 |
EUR |
| Details |
Societe Generale Acceptance NV 1.98261 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SCU |
SWB |
20.25 |
EUR |
| Details |
Societe Generale Acceptance NV 1.97299 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SCV |
SWB |
19.67 |
EUR |
| Details |
Societe Generale Acceptance NV 1.79692 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ5SDH |
SWB |
13.19 |
EUR |
| Details |
Societe Generale Acceptance NV 1.83457 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5HYU |
SWB |
11.37 |
EUR |
| Details |
Societe Generale Acceptance NV 1.80876 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5SPE |
SWB |
14.05 |
EUR |
| Details |
Societe Generale Acceptance NV 2.02121 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5V62 |
SWB |
22.65 |
EUR |
| Details |
Societe Generale Acceptance NV 1.80665 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5V64 |
SWB |
13.83 |
EUR |
| Details |
Societe Generale Acceptance NV 1.81623 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5WQS |
SWB |
14.43 |
EUR |
| Details |
Societe Generale Acceptance NV 1.87435 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5289 |
SWB |
13.80 |
EUR |
| Details |
Societe Generale Acceptance NV 1.58028 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX529P |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.79608 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX550J |
SWB |
2.430 |
EUR |
| Details |
Societe Generale Acceptance NV 10.95321 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX6HVE |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.88609 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX62ZK |
SWB |
14.51 |
EUR |
| Details |
Societe Generale Acceptance NV 1.60016 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX63WA |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.13615 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX654J |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 2.03133 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX67BT |
SWB |
23.21 |
EUR |
| Details |
Societe Generale Acceptance NV 8.89923 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX67BU |
SWB |
17.67 |
EUR |
| Details |
Societe Generale Acceptance NV 2.04099 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX68TZ |
SWB |
23.81 |
EUR |
| Details |
Societe Generale Acceptance NV 2.05099 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7CTT |
SWB |
24.54 |
EUR |
| Details |
Societe Generale Acceptance NV 2.06066 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7CTU |
SWB |
25.04 |
EUR |
| Details |
Societe Generale Acceptance NV 2.06999 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7CTV |
SWB |
25.58 |
EUR |
| Details |
Societe Generale Acceptance NV 2.08008 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD2 |
SWB |
26.28 |
EUR |
| Details |
Societe Generale Acceptance NV 2.08973 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD3 |
SWB |
26.77 |
EUR |
| Details |
Societe Generale Acceptance NV 2.09939 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD4 |
SWB |
27.34 |
EUR |
| Details |
Societe Generale Acceptance NV 2.10898 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD5 |
SWB |
27.92 |
EUR |
| Details |
Societe Generale Acceptance NV 2.11863 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD6 |
SWB |
28.62 |
EUR |
| Details |
Societe Generale Acceptance NV 14.03729 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HD9 |
SWB |
26.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.92733 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7PDG |
SWB |
17.00 |
EUR |
| Details |
Societe Generale Acceptance NV 1.79872 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7Q0L |
SWB |
9.21 |
EUR |
| Details |
Societe Generale Acceptance NV 1.80938 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7Q0M |
SWB |
9.77 |
EUR |
| Details |
Societe Generale Acceptance NV 2.12862 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7V80 |
SWB |
29.21 |
EUR |
| Details |
Societe Generale Acceptance NV 2.13821 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7V81 |
SWB |
29.81 |
EUR |
| Details |
Societe Generale Acceptance NV 1.82652 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7V82 |
SWB |
15.08 |
EUR |
| Details |
Societe Generale Acceptance NV 14.23285 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7V83 |
SWB |
28.62 |
EUR |
| Details |
Societe Generale Acceptance NV 11.9907 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX71S2 |
SWB |
8.37 |
EUR |
| Details |
Societe Generale Acceptance NV 1.9198 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX78YB |
SWB |
16.55 |
EUR |
| Details |
Societe Generale Acceptance NV 1.7995 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8DT9 |
SWB |
9.28 |
EUR |
| Details |
Societe Generale Acceptance NV 1.70685 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8DUA |
SWB |
7.65 |
EUR |
| Details |
Societe Generale Acceptance NV 1.83634 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8JHL |
SWB |
15.68 |
EUR |
| Details |
Societe Generale Acceptance NV 1.82119 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8M51 |
SWB |
10.54 |
EUR |
| Details |
Societe Generale Acceptance NV 1.70545 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8M52 |
SWB |
7.51 |
EUR |
| Details |
Societe Generale Acceptance NV 13.02102 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8M54 |
SWB |
17.72 |
EUR |
| Details |
Societe Generale Acceptance NV 1.94202 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8WG7 |
SWB |
17.88 |
EUR |
| Details |
Societe Generale Acceptance NV 2.07186 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8WMP |
SWB |
25.79 |
EUR |
| Details |
Societe Generale Acceptance NV 1.90859 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX82J4 |
SWB |
15.85 |
EUR |
| Details |
Societe Generale Acceptance NV 1.83283 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX88T0 |
SWB |
11.29 |
EUR |
| Details |
Societe Generale Acceptance NV 8.92573 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1N7L |
SWB |
1.750 |
EUR |
| Details |
Societe Generale Acceptance NV 1.60993 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX30JH |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.95415 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5TST |
SWB |
18.66 |
EUR |
| Details |
Societe Generale Acceptance NV 1.84606 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA2JGS |
SWB |
16.28 |
EUR |
| Details |
Societe Generale Acceptance NV 1.85593 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA57AQ |
SWB |
16.93 |
EUR |
| Details |
Societe Generale Acceptance NV 1.86581 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA6BAB |
SWB |
17.53 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66785 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA6BRR |
SWB |
5.20 |
EUR |
| Details |
Societe Generale Acceptance NV 1.87583 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA6LNF |
SWB |
18.17 |
EUR |
| Details |
Societe Generale Acceptance NV 1.97639 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA6US1 |
SWB |
19.97 |
EUR |
| Details |
Societe Generale Acceptance NV 13.20465 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA8DLT |
SWB |
19.44 |
EUR |
| Details |
Societe Generale Acceptance NV 1.88572 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA9CSL |
SWB |
18.81 |
EUR |
| Details |
Societe Generale Acceptance NV 1.98858 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA8W9P |
SWB |
20.74 |
EUR |
| Details |
Societe Generale Acceptance NV 1.8955 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA9KRD |
SWB |
19.42 |
EUR |
| Details |
Societe Generale Acceptance NV 10.95373 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0F0Z |
SWB |
0.1380 |
EUR |
| Details |
Societe Generale Acceptance NV 1.9056 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QSX |
SWB |
20.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.90702 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0TRX |
SWB |
20.24 |
EUR |
| Details |
Societe Generale Acceptance NV 1.9154 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC0GPY |
SWB |
20.68 |
EUR |
| Details |
Societe Generale Acceptance NV 1.75603 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
10.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.65652 P Issuer Name: Societe Generale Acceptance NV |
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FD1JNM |
SWB |
4.430 |
EUR |
| Details |
Societe Generale Acceptance NV 1.92573 P Issuer Name: Societe Generale Acceptance NV |
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FC0UV7 |
SWB |
21.33 |
EUR |
| Details |
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SWB |
13.76 |
EUR |
| Details |
Societe Generale Acceptance NV 2.14831 P Issuer Name: Societe Generale Acceptance NV |
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SWB |
31.59 |
EUR |
| Details |
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SWB |
21.90 |
EUR |
| Details |
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FC1ATQ |
SWB |
8.62 |
EUR |
| Details |
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FD23SY |
SWB |
14.02 |
EUR |
| Details |
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FC1NQB |
SWB |
0.0000 |
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| Details |
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FC2AGY |
SWB |
7.92 |
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| Details |
Societe Generale Acceptance NV 1.76953 P Issuer Name: Societe Generale Acceptance NV |
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FC2J1M |
SWB |
7.43 |
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| Details |
Societe Generale Acceptance NV 1.80145 P Issuer Name: Societe Generale Acceptance NV |
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FD7DQR |
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9.33 |
EUR |
| Details |
Societe Generale Acceptance NV 10.86239 P Issuer Name: Societe Generale Acceptance NV |
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FC3RRD |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 12.6918 P Issuer Name: Societe Generale Acceptance NV |
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14.74 |
EUR |
| Details |
Societe Generale Acceptance NV 1.75964 P Issuer Name: Societe Generale Acceptance NV |
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FC3LYL |
SWB |
6.82 |
EUR |
| Details |
Societe Generale Acceptance NV 1.86706 P Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.340 |
EUR |
| Details |
Societe Generale Acceptance NV 1.85534 P Issuer Name: Societe Generale Acceptance NV |
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FD7D8H |
SWB |
1.260 |
EUR |
| Details |
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19.53 |
EUR |
| Details |
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SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 1.7497 P Issuer Name: Societe Generale Acceptance NV |
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FC3PYW |
SWB |
6.24 |
EUR |
| Details |
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SWB |
0.8300 |
EUR |
| Details |
Societe Generale Acceptance NV 1.78654 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7E0Z |
SWB |
0.8400 |
EUR |
| Details |
Societe Generale Acceptance NV 1.78491 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8CVK |
SWB |
8.40 |
EUR |
| Details |
Societe Generale Acceptance NV 11.79201 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4YWC |
SWB |
6.56 |
EUR |
| Details |
Societe Generale Acceptance NV 1.72971 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD664L |
SWB |
5.03 |
EUR |
| Details |
Societe Generale Acceptance NV 1.73978 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD664M |
SWB |
5.52 |
EUR |
| Details |
Societe Generale Acceptance NV 1.76973 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7C7F |
SWB |
0.7400 |
EUR |
| Details |
Societe Generale Acceptance NV 1.77162 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7F19 |
SWB |
0.7500 |
EUR |
| Details |
Societe Generale Acceptance NV 11.99685 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7F6P |
SWB |
0.8500 |
EUR |
| Details |
Societe Generale Acceptance NV 10.34386 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7GA3 |
SWB |
0.6500 |
EUR |
| Details |
Societe Generale Acceptance NV 11.79912 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7ARN |
SWB |
6.72 |
EUR |
| Details |
Societe Generale Acceptance NV 1.52099 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7DLQ |
SWB |
0.7700 |
EUR |
| Details |
Societe Generale Acceptance NV 8.49621 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9BYH |
SWB |
21.40 |
EUR |
| Details |
Societe Generale Acceptance NV 1.94553 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9D5A |
SWB |
22.55 |
EUR |
| Details |
Societe Generale Acceptance NV 1.80651 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9FL5 |
SWB |
1.390 |
EUR |
| Details |
Societe Generale Acceptance NV 11.59305 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5CKS |
SWB |
4.760 |
EUR |
| Details |
Societe Generale Acceptance NV 10.39659 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7ARL |
SWB |
6.05 |
EUR |
| Details |
Societe Generale Acceptance NV 1.37655 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9K0T |
SWB |
16.43 |
EUR |
| Details |
Societe Generale Acceptance NV 1.72002 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9K0U |
SWB |
4.370 |
EUR |
| Details |
Societe Generale Acceptance NV 1.75492 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7HC3 |
SWB |
0.6500 |
EUR |
| Details |
Societe Generale Acceptance NV 1.62338 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9NKX |
SWB |
2.270 |
EUR |
| Details |
Societe Generale Acceptance NV 1.70009 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4FT0 |
SWB |
3.220 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71006 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4FT1 |
SWB |
3.800 |
EUR |
| Details |
Societe Generale Acceptance NV 1.35643 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4FTH |
SWB |
17.63 |
EUR |
| Details |
Societe Generale Acceptance NV 1.36649 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4FTZ |
SWB |
16.97 |
EUR |
| Details |
Societe Generale Acceptance NV 1.74183 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7HZ3 |
SWB |
0.5700 |
EUR |
| Details |
Societe Generale Acceptance NV 1.56173 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7HZ4 |
SWB |
0.5200 |
EUR |
| Details |
Societe Generale Acceptance NV 11.60028 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8EE9 |
SWB |
4.920 |
EUR |
| Details |
Societe Generale Acceptance NV 1.75691 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9UP5 |
SWB |
0.6600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6901 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4W5L |
SWB |
2.630 |
EUR |
| Details |
Societe Generale Acceptance NV 1.73996 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JAN |
SWB |
0.5600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.34623 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD97J4 |
SWB |
18.25 |
EUR |
| Details |
Societe Generale Acceptance NV 9.17128 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD97J8 |
SWB |
17.03 |
EUR |
| Details |
Societe Generale Acceptance NV 11.39454 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD97J9 |
SWB |
2.970 |
EUR |
| Details |
Societe Generale Acceptance NV 10.70102 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD97KA |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.68016 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC43ZR |
SWB |
2.020 |
EUR |
| Details |
Societe Generale Acceptance NV 10.69681 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7H85 |
SWB |
0.3300 |
EUR |
| Details |
Societe Generale Acceptance NV 1.72691 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7H88 |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 1.51025 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7H89 |
SWB |
0.8300 |
EUR |
| Details |
Societe Generale Acceptance NV 1.57354 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JAL |
SWB |
0.4500 |
EUR |
| Details |
Societe Generale Acceptance NV 11.64836 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JDP |
SWB |
0.5300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.71226 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JEY |
SWB |
0.5900 |
EUR |
| Details |
Societe Generale Acceptance NV 1.72501 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JEZ |
SWB |
0.4700 |
EUR |
| Details |
Societe Generale Acceptance NV 10.19494 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8FHW |
SWB |
7.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48552 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD99EJ |
SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 10.09078 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD99EK |
SWB |
0.8800 |
EUR |
| Details |
Societe Generale Acceptance NV 9.01187 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE0KYA |
SWB |
18.57 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54121 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JEX |
SWB |
0.6400 |
EUR |
| Details |
Societe Generale Acceptance NV 1.4751 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JH3 |
SWB |
1.040 |
EUR |
| Details |
Societe Generale Acceptance NV 1.33621 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5FY3 |
SWB |
18.89 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71191 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7KYJ |
SWB |
0.3900 |
EUR |
| Details |
Societe Generale Acceptance NV 1.71003 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JPQ |
SWB |
0.3800 |
EUR |
| Details |
Societe Generale Acceptance NV 1.61341 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5HSY |
SWB |
1.680 |
EUR |
| Details |
Societe Generale Acceptance NV 8.96905 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC6GDP |
SWB |
18.85 |
EUR |
| Details |
Societe Generale Acceptance NV 10.4448 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JKJ |
SWB |
0.5600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.53038 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7KYL |
SWB |
0.7100 |
EUR |
| Details |
Societe Generale Acceptance NV 11.40083 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8FHX |
SWB |
3.140 |
EUR |
| Details |
Societe Generale Acceptance NV 1.67015 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5HS9 |
SWB |
1.300 |
EUR |
| Details |
Societe Generale Acceptance NV 1.6034 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5KGA |
SWB |
1.080 |
EUR |
| Details |
Societe Generale Acceptance NV 1.32571 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE1FVA |
SWB |
19.52 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59344 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5NX4 |
SWB |
0.4500 |
EUR |
| Details |
Societe Generale Acceptance NV 1.58365 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5NY5 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66018 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5SDH |
SWB |
0.7200 |
EUR |
| Details |
Societe Generale Acceptance NV 1.31546 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE1UED |
SWB |
20.11 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64029 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5T4G |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.65019 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC5T4H |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 1.69696 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7A9A |
SWB |
0.3000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49518 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7A9B |
SWB |
0.9200 |
EUR |
| Details |
Societe Generale Acceptance NV 1.68007 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JT9 |
SWB |
0.1960 |
EUR |
| Details |
Societe Generale Acceptance NV 1.30524 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE10HJ |
SWB |
20.69 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44499 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7A89 |
SWB |
1.230 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50596 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7JYU |
SWB |
0.8600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.62286 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7K3H |
SWB |
0.2310 |
EUR |
| Details |
Societe Generale Acceptance NV 1.68197 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7KYG |
SWB |
0.2080 |
EUR |
| Details |
Societe Generale Acceptance NV 1.45517 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE11WA |
SWB |
1.170 |
EUR |
| Details |
Societe Generale Acceptance NV 1.69507 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7BE1 |
SWB |
0.2900 |
EUR |
| Details |
Societe Generale Acceptance NV 1.61155 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7LBV |
SWB |
0.1560 |
EUR |
| Details |
Societe Generale Acceptance NV 11.19462 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC6W19 |
SWB |
1.240 |
EUR |
| Details |
Societe Generale Acceptance NV 11.3623 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7BE2 |
SWB |
0.2800 |
EUR |
| Details |
Societe Generale Acceptance NV 11.2984 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7BW2 |
SWB |
0.2140 |
EUR |
| Details |
Societe Generale Acceptance NV 9.6439 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7BW3 |
SWB |
1.280 |
EUR |
| Details |
Societe Generale Acceptance NV 11.2008 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8FHY |
SWB |
1.320 |
EUR |
| Details |
Societe Generale Acceptance NV 8.7691 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FE2JVA |
SWB |
20.27 |
EUR |
| Details |
UBS AG - London Office 1.50229 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3QZD |
FWB |
8.71 |
EUR |
| Details |
UBS AG - London Office 1.50229 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3T3C |
FWB |
8.70 |
EUR |
| Details |
UBS AG - London Office 1.49614 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3X4J |
FWB |
5.66 |
EUR |
| Details |
UBS AG - London Office 1.4946 P Issuer Name: UBS AG - London Office |
Structured Product |
UE7H1A |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 9.75654 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1QJL |
SWB |
11.79 |
EUR |
| Details |
UBS AG - London Office 1.4559 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1UBU |
SWB |
8.20 |
EUR |
| Details |
UBS AG - London Office 1.62807 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2RVP |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 9.75546 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2T4N |
SWB |
11.83 |
EUR |
| Details |
UBS AG - London Office 1.57037 C Issuer Name: UBS AG - London Office |
Structured Product |
UH16LQ |
SWB |
4.610 |
EUR |
| Details |
UBS AG - London Office 1.57019 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2G1C |
SWB |
4.580 |
EUR |
| Details |
UBS AG - London Office 9.75558 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2P1L |
SWB |
11.80 |
EUR |
| Details |
UBS AG - London Office 9.75449 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2T33 |
SWB |
11.84 |
EUR |
| Details |
UBS AG - London Office 9.21269 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1UKB |
SWB |
16.75 |
EUR |
| Details |
UBS AG - London Office 9.21269 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2A1Z |
SWB |
16.71 |
EUR |
| Details |
UBS AG - London Office 1.63982 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2CMV |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.6513 P Issuer Name: UBS AG - London Office |
Structured Product |
UH1TPA |
SWB |
4.110 |
EUR |
| Details |
UBS AG - London Office 9.94466 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2Y3Y |
SWB |
10.12 |
EUR |
| Details |
UBS AG - London Office 1.4494 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3FR6 |
SWB |
8.60 |
EUR |
| Details |
UBS AG - London Office 1.38886 C Issuer Name: UBS AG - London Office |
Structured Product |
UH29KP |
SWB |
12.41 |
EUR |
| Details |
UBS AG - London Office 9.71094 C Issuer Name: UBS AG - London Office |
Structured Product |
UH25WK |
SWB |
12.24 |
EUR |
| Details |
UBS AG - London Office 9.71094 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2XTH |
SWB |
12.21 |
EUR |
| Details |
UBS AG - London Office 9.49212 C Issuer Name: UBS AG - London Office |
Structured Product |
UH249V |
SWB |
14.21 |
EUR |
| Details |
UBS AG - London Office 9.49212 C Issuer Name: UBS AG - London Office |
Structured Product |
UH267S |
SWB |
14.18 |
EUR |
| Details |
UBS AG - London Office 1.47263 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2W3H |
SWB |
7.14 |
EUR |
| Details |
UBS AG - London Office 1.56285 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3DC4 |
SWB |
5.04 |
EUR |
| Details |
UBS AG - London Office 1.56285 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3FKF |
SWB |
5.02 |
EUR |
| Details |
UBS AG - London Office 1.60797 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3J0Z |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.61062 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3KU4 |
SWB |
2.250 |
EUR |
| Details |
UBS AG - London Office 1.58531 C Issuer Name: UBS AG - London Office |
Structured Product |
UH301A |
SWB |
3.680 |
EUR |
| Details |
UBS AG - London Office 1.58296 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3JEC |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 9.05008 C Issuer Name: UBS AG - London Office |
Structured Product |
UH33SC |
SWB |
18.19 |
EUR |
| Details |
UBS AG - London Office 1.40086 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3GM9 |
SWB |
11.66 |
EUR |
| Details |
UBS AG - London Office 1.53831 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3H44 |
SWB |
6.51 |
EUR |
| Details |
UBS AG - London Office 9.3733 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3LMH |
SWB |
15.27 |
EUR |
| Details |
UBS AG - London Office 9.578 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3NJV |
SWB |
13.43 |
EUR |
| Details |
UBS AG - London Office 1.48307 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3UNP |
SWB |
9.89 |
EUR |
| Details |
UBS AG - London Office 1.4191 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3URK |
SWB |
10.44 |
EUR |
| Details |
UBS AG - London Office 1.43582 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3V3K |
SWB |
9.45 |
EUR |
| Details |
UBS AG - London Office 9.15782 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3VQL |
SWB |
17.22 |
EUR |
| Details |
UBS AG - London Office 1.5191 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3ZGC |
SWB |
7.72 |
EUR |
| Details |
UBS AG - London Office 8.95212 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3ZTU |
SWB |
19.10 |
EUR |
| Details |
UBS AG - London Office 9.07046 C Issuer Name: UBS AG - London Office |
Structured Product |
UH32SZ |
SWB |
17.99 |
EUR |
| Details |
UBS AG - London Office 9.37667 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3GNM |
SWB |
15.25 |
EUR |
| Details |
UBS AG - London Office 8.85926 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3JAC |
SWB |
19.91 |
EUR |
| Details |
UBS AG - London Office 8.9648 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3LC8 |
SWB |
18.95 |
EUR |
| Details |
UBS AG - London Office 9.27101 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3NQG |
SWB |
16.19 |
EUR |
| Details |
UBS AG - London Office 1.59548 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3PV8 |
SWB |
3.080 |
EUR |
| Details |
UBS AG - London Office 9.87652 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3RPQ |
SWB |
10.74 |
EUR |
| Details |
UBS AG - London Office 9.57732 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3SHW |
SWB |
13.42 |
EUR |
| Details |
UBS AG - London Office 8.76426 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3ZKP |
SWB |
20.76 |
EUR |
| Details |
UBS AG - London Office 1.48599 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3M2P |
SWB |
6.30 |
EUR |
| Details |
UBS AG - London Office 1.47108 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3PJT |
SWB |
10.62 |
EUR |
| Details |
UBS AG - London Office 1.54269 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3RVL |
SWB |
6.30 |
EUR |
| Details |
UBS AG - London Office 1.48872 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3RVN |
SWB |
9.57 |
EUR |
| Details |
UBS AG - London Office 1.52521 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3S7N |
SWB |
7.30 |
EUR |
| Details |
UBS AG - London Office 1.45343 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3UBE |
SWB |
11.67 |
EUR |
| Details |
UBS AG - London Office 1.59557 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3XUQ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.5519 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3K00 |
SWB |
5.70 |
EUR |
| Details |
UBS AG - London Office 1.61797 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3LU5 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.51558 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3NFD |
SWB |
7.92 |
EUR |
| Details |
UBS AG - London Office 9.27141 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3RZ0 |
SWB |
16.20 |
EUR |
| Details |
UBS AG - London Office 9.16152 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3LK1 |
SWB |
17.17 |
EUR |
| Details |
UBS AG - London Office 1.55042 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3ZCC |
SWB |
5.79 |
EUR |
| Details |
UBS AG - London Office 1.49267 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3TMS |
SWB |
9.29 |
EUR |
| Details |
UBS AG - London Office 9.65146 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4MUM |
SWB |
12.74 |
EUR |
| Details |
UBS AG - London Office 1.65096 C Issuer Name: UBS AG - London Office |
Structured Product |
UH338F |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.37055 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4EF2 |
SWB |
13.56 |
EUR |
| Details |
UBS AG - London Office 9.65444 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4ATW |
SWB |
12.73 |
EUR |
| Details |
UBS AG - London Office 9.82542 C Issuer Name: UBS AG - London Office |
Structured Product |
UH37U9 |
SWB |
11.19 |
EUR |
| Details |
UBS AG - London Office 1.40997 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4EYK |
SWB |
11.10 |
EUR |
| Details |
UBS AG - London Office 1.61603 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4W45 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.37994 C Issuer Name: UBS AG - London Office |
Structured Product |
UH5RMA |
SWB |
12.99 |
EUR |
| Details |
UBS AG - London Office 1.5292 C Issuer Name: UBS AG - London Office |
Structured Product |
UH5ZUM |
SWB |
7.12 |
EUR |
| Details |
UBS AG - London Office 1.35557 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7TGF |
SWB |
14.52 |
EUR |
| Details |
UBS AG - London Office 1.47299 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8323 |
SWB |
10.50 |
EUR |
| Details |
UBS AG - London Office 1.44422 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8K1F |
SWB |
12.27 |
EUR |
| Details |
UBS AG - London Office 1.42716 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8S1J |
SWB |
10.01 |
EUR |
| Details |
UBS AG - London Office 1.46234 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7Z7N |
SWB |
11.15 |
EUR |
| Details |
UBS AG - London Office 1.43347 C Issuer Name: UBS AG - London Office |
Structured Product |
UH81WF |
SWB |
12.90 |
EUR |
| Details |
UBS AG - London Office 1.63483 C Issuer Name: UBS AG - London Office |
Structured Product |
UH70UP |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.44796 C Issuer Name: UBS AG - London Office |
Structured Product |
UH74W8 |
SWB |
12.05 |
EUR |
| Details |
UBS AG - London Office 1.41946 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7YC2 |
SWB |
13.74 |
EUR |
| Details |
UBS AG - London Office 1.60292 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8BMN |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.34118 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8WHP |
SWB |
15.42 |
EUR |
| Details |
UBS AG - London Office 1.61133 C Issuer Name: UBS AG - London Office |
Structured Product |
UH698D |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.33285 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7DAR |
SWB |
15.95 |
EUR |
| Details |
UBS AG - London Office 1.64342 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7TRK |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.3921 C Issuer Name: UBS AG - London Office |
Structured Product |
UH699L |
SWB |
15.40 |
EUR |
| Details |
UBS AG - London Office 1.43654 C Issuer Name: UBS AG - London Office |
Structured Product |
UH6X1V |
SWB |
12.71 |
EUR |
| Details |
UBS AG - London Office 1.61451 C Issuer Name: UBS AG - London Office |
Structured Product |
UH6ZMX |
SWB |
1.890 |
EUR |
| Details |
UBS AG - London Office 1.41995 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7E6M |
SWB |
13.73 |
EUR |
| Details |
UBS AG - London Office 1.40849 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7GLN |
SWB |
14.42 |
EUR |
| Details |
UBS AG - London Office 1.57469 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7LA9 |
SWB |
4.350 |
EUR |
| Details |
UBS AG - London Office 1.58976 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7VM6 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.31308 C Issuer Name: UBS AG - London Office |
Structured Product |
UH781D |
SWB |
17.20 |
EUR |
| Details |
UBS AG - London Office 9.43086 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7YKH |
SWB |
14.75 |
EUR |
| Details |
UBS AG - London Office 1.62262 C Issuer Name: UBS AG - London Office |
Structured Product |
UH85SY |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.53387 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8B1U |
SWB |
6.83 |
EUR |
| Details |
UBS AG - London Office 1.39152 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8B6J |
SWB |
15.48 |
EUR |
| Details |
UBS AG - London Office 1.40811 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8FK7 |
SWB |
14.45 |
EUR |
| Details |
UBS AG - London Office 1.36426 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8P09 |
SWB |
17.09 |
EUR |
| Details |
UBS AG - London Office 1.38034 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8RH4 |
SWB |
16.11 |
EUR |
| Details |
UBS AG - London Office 1.59065 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8RLC |
SWB |
3.340 |
EUR |
| Details |
UBS AG - London Office 1.60557 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8YMZ |
SWB |
2.470 |
EUR |
| Details |
UBS AG - London Office 1.32425 C Issuer Name: UBS AG - London Office |
Structured Product |
UH890S |
SWB |
16.48 |
EUR |
| Details |
UBS AG - London Office 1.58047 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9E2T |
SWB |
4.000 |
EUR |
| Details |
UBS AG - London Office 8.81151 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9NA6 |
SWB |
20.35 |
EUR |
| Details |
UBS AG - London Office 8.63878 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9S5B |
SWB |
21.89 |
EUR |
| Details |
UBS AG - London Office 9.42992 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9WTH |
SWB |
14.75 |
EUR |
| Details |
UBS AG - London Office 1.49138 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9AC3 |
SWB |
5.94 |
EUR |
| Details |
UBS AG - London Office 1.60008 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9ATE |
SWB |
2.800 |
EUR |
| Details |
UBS AG - London Office 8.5007 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9CMZ |
SWB |
23.14 |
EUR |
| Details |
UBS AG - London Office 8.66976 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9QVX |
SWB |
21.63 |
EUR |
| Details |
UBS AG - London Office 1.55752 C Issuer Name: UBS AG - London Office |
Structured Product |
UH90SG |
SWB |
5.34 |
EUR |
| Details |
UBS AG - London Office 1.58035 C Issuer Name: UBS AG - London Office |
Structured Product |
UH93MA |
SWB |
4.000 |
EUR |
| Details |
UBS AG - London Office 1.468 C Issuer Name: UBS AG - London Office |
Structured Product |
UH90Q9 |
SWB |
7.43 |
EUR |
| Details |
UBS AG - London Office 1.37557 C Issuer Name: UBS AG - London Office |
Structured Product |
UH95SF |
SWB |
16.42 |
EUR |
| Details |
UBS AG - London Office 1.3486 C Issuer Name: UBS AG - London Office |
Structured Product |
UH99XV |
SWB |
18.08 |
EUR |
| Details |
UBS AG - London Office 1.55653 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9MJF |
SWB |
5.41 |
EUR |
| Details |
UBS AG - London Office 1.29829 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9SNW |
SWB |
18.13 |
EUR |
| Details |
UBS AG - London Office 1.62023 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9ZAN |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.47871 C Issuer Name: UBS AG - London Office |
Structured Product |
UH91FP |
SWB |
6.69 |
EUR |
| Details |
UBS AG - London Office 1.5745 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9KQT |
SWB |
4.350 |
EUR |
| Details |
UBS AG - London Office 1.54692 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9VDR |
SWB |
5.99 |
EUR |
| Details |
UBS AG - London Office 1.47978 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9VE3 |
SWB |
10.09 |
EUR |
| Details |
UBS AG - London Office 1.35909 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0CA9 |
SWB |
17.41 |
EUR |
| Details |
UBS AG - London Office 1.54564 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0K7N |
SWB |
6.07 |
EUR |
| Details |
UBS AG - London Office 1.50622 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0NBB |
SWB |
8.50 |
EUR |
| Details |
UBS AG - London Office 1.49807 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0QKK |
SWB |
8.98 |
EUR |
| Details |
UBS AG - London Office 1.33235 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0SQQ |
SWB |
19.04 |
EUR |
| Details |
UBS AG - London Office 9.01676 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0BDU |
SWB |
18.47 |
EUR |
| Details |
UBS AG - London Office 1.46162 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0G1F |
SWB |
7.84 |
EUR |
| Details |
UBS AG - London Office 1.28678 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0GAR |
SWB |
18.87 |
EUR |
| Details |
UBS AG - London Office 9.32393 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0BZJ |
SWB |
15.73 |
EUR |
| Details |
UBS AG - London Office 9.32405 C Issuer Name: UBS AG - London Office |
Structured Product |
UK05Z1 |
SWB |
15.69 |
EUR |
| Details |
UBS AG - London Office 1.44378 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0TWY |
SWB |
8.96 |
EUR |
| Details |
UBS AG - London Office 1.27705 C Issuer Name: UBS AG - London Office |
Structured Product |
UK0U8Y |
SWB |
19.47 |
EUR |
| Details |
UBS AG - London Office 1.43934 C Issuer Name: UBS AG - London Office |
Structured Product |
UK2JPP |
SWB |
9.24 |
EUR |
| Details |
UBS AG - London Office 1.46169 C Issuer Name: UBS AG - London Office |
Structured Product |
UK1NV6 |
SWB |
11.14 |
EUR |
| Details |
UBS AG - London Office 1.26679 C Issuer Name: UBS AG - London Office |
Structured Product |
UK1T03 |
SWB |
20.11 |
EUR |
| Details |
UBS AG - London Office 1.43104 C Issuer Name: UBS AG - London Office |
Structured Product |
UK2ZSY |
SWB |
9.76 |
EUR |
| Details |
UBS AG - London Office 1.25872 C Issuer Name: UBS AG - London Office |
Structured Product |
UK2XPS |
SWB |
20.63 |
EUR |
| Details |
UBS AG - London Office 1.41537 C Issuer Name: UBS AG - London Office |
Structured Product |
UK2ZJE |
SWB |
10.76 |
EUR |
| Details |
UBS AG - London Office 1.24413 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4VVT |
SWB |
21.53 |
EUR |
| Details |
UBS AG - London Office 1.2319 C Issuer Name: UBS AG - London Office |
Structured Product |
UK43P9 |
SWB |
22.30 |
EUR |
| Details |
UBS AG - London Office 1.3935 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5A0T |
SWB |
12.12 |
EUR |
| Details |
UBS AG - London Office 1.40481 C Issuer Name: UBS AG - London Office |
Structured Product |
UK3990 |
SWB |
11.42 |
EUR |
| Details |
UBS AG - London Office 1.22219 C Issuer Name: UBS AG - London Office |
Structured Product |
UK46KP |
SWB |
22.92 |
EUR |
| Details |
UBS AG - London Office 1.38355 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5A0H |
SWB |
12.76 |
EUR |
| Details |
UBS AG - London Office 1.51948 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4JWV |
SWB |
7.69 |
EUR |
| Details |
UBS AG - London Office 1.53806 C Issuer Name: UBS AG - London Office |
Structured Product |
UK49CX |
SWB |
6.54 |
EUR |
| Details |
UBS AG - London Office 1.51126 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6GM1 |
SWB |
8.14 |
EUR |
| Details |
UBS AG - London Office 1.34654 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6A31 |
SWB |
18.20 |
EUR |
| Details |
UBS AG - London Office 1.32012 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6FXY |
SWB |
19.80 |
EUR |
| Details |
UBS AG - London Office 1.52344 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6HHF |
SWB |
7.45 |
EUR |
| Details |
UBS AG - London Office 1.53371 C Issuer Name: UBS AG - London Office |
Structured Product |
UK57GD |
SWB |
6.82 |
EUR |
| Details |
UBS AG - London Office 1.42285 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6AX8 |
SWB |
10.20 |
EUR |
| Details |
UBS AG - London Office 1.49313 C Issuer Name: UBS AG - London Office |
Structured Product |
UK57Y3 |
SWB |
9.26 |
EUR |
| Details |
UBS AG - London Office 1.51355 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6DXM |
SWB |
8.07 |
EUR |
| Details |
UBS AG - London Office 1.52925 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5G81 |
SWB |
7.07 |
EUR |
| Details |
UBS AG - London Office 1.37573 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5HTQ |
SWB |
13.25 |
EUR |
| Details |
UBS AG - London Office 1.20362 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5JZU |
SWB |
24.11 |
EUR |
| Details |
UBS AG - London Office 1.36062 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5SU1 |
SWB |
14.22 |
EUR |
| Details |
UBS AG - London Office 1.21065 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5W64 |
SWB |
23.65 |
EUR |
| Details |
UBS AG - London Office 1.33643 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5G4F |
SWB |
18.81 |
EUR |
| Details |
UBS AG - London Office 1.31028 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5HW6 |
SWB |
20.39 |
EUR |
| Details |
UBS AG - London Office 1.36389 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5MFW |
SWB |
14.00 |
EUR |
| Details |
UBS AG - London Office 1.34863 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5MG8 |
SWB |
14.96 |
EUR |
| Details |
UBS AG - London Office 1.50706 C Issuer Name: UBS AG - London Office |
Structured Product |
UK50R7 |
SWB |
8.39 |
EUR |
| Details |
UBS AG - London Office 1.62673 C Issuer Name: UBS AG - London Office |
Structured Product |
UK52UN |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 9.84452 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5HY0 |
SWB |
11.00 |
EUR |
| Details |
UBS AG - London Office 10.0414 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5KF3 |
SWB |
9.23 |
EUR |
| Details |
UBS AG - London Office 1.65924 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5P0U |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.50063 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4GC4 |
SWB |
5.36 |
EUR |
| Details |
UBS AG - London Office 10.19458 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4THZ |
SWB |
7.85 |
EUR |
| Details |
UBS AG - London Office 9.99464 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4Y6F |
SWB |
9.63 |
EUR |
| Details |
UBS AG - London Office 10.11009 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4TGL |
SWB |
8.63 |
EUR |
| Details |
UBS AG - London Office 9.91073 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4VBD |
SWB |
10.38 |
EUR |
| Details |
UBS AG - London Office 1.65523 C Issuer Name: UBS AG - London Office |
Structured Product |
UK522S |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 10.29783 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5F9Q |
SWB |
6.92 |
EUR |
| Details |
UBS AG - London Office 10.09591 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5H10 |
SWB |
8.72 |
EUR |
| Details |
UBS AG - London Office 10.03966 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5GCD |
SWB |
9.23 |
EUR |
| Details |
UBS AG - London Office 10.23928 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5W11 |
SWB |
7.45 |
EUR |
| Details |
UBS AG - London Office 10.36096 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6T2Q |
SWB |
6.35 |
EUR |
| Details |
UBS AG - London Office 10.15778 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7FED |
SWB |
8.16 |
EUR |
| Details |
UBS AG - London Office 1.50481 C Issuer Name: UBS AG - London Office |
Structured Product |
UK61QB |
SWB |
5.10 |
EUR |
| Details |
UBS AG - London Office 1.50996 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7VQS |
SWB |
4.790 |
EUR |
| Details |
UBS AG - London Office 1.51799 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7X6F |
SWB |
4.280 |
EUR |
| Details |
UBS AG - London Office 10.20732 C Issuer Name: UBS AG - London Office |
Structured Product |
UK8SG1 |
SWB |
7.73 |
EUR |
| Details |
UBS AG - London Office 10.41142 C Issuer Name: UBS AG - London Office |
Structured Product |
UK8UH1 |
SWB |
5.87 |
EUR |
| Details |
UBS AG - London Office 1.51403 C Issuer Name: UBS AG - London Office |
Structured Product |
UK9EMG |
SWB |
4.540 |
EUR |
| Details |
UBS AG - London Office 10.2699 C Issuer Name: UBS AG - London Office |
Structured Product |
UL02AC |
SWB |
7.15 |
EUR |
| Details |
UBS AG - London Office 10.4753 C Issuer Name: UBS AG - London Office |
Structured Product |
UL06MJ |
SWB |
5.31 |
EUR |
| Details |
UBS AG - London Office 10.578 C Issuer Name: UBS AG - London Office |
Structured Product |
UL081M |
SWB |
4.380 |
EUR |
| Details |
UBS AG - London Office 10.37055 C Issuer Name: UBS AG - London Office |
Structured Product |
UL1FW7 |
SWB |
6.24 |
EUR |
| Details |
UBS AG - London Office 10.44094 C Issuer Name: UBS AG - London Office |
Structured Product |
UL00HB |
SWB |
5.62 |
EUR |
| Details |
UBS AG - London Office 10.64974 C Issuer Name: UBS AG - London Office |
Structured Product |
UL0X7V |
SWB |
3.740 |
EUR |
| Details |
UBS AG - London Office 10.74869 C Issuer Name: UBS AG - London Office |
Structured Product |
UL0F24 |
SWB |
2.820 |
EUR |
| Details |
UBS AG - London Office 10.53791 C Issuer Name: UBS AG - London Office |
Structured Product |
UL0Y0M |
SWB |
4.730 |
EUR |
| Details |
UBS AG - London Office 1.63845 P Issuer Name: UBS AG - London Office |
Structured Product |
UL2DV1 |
SWB |
3.290 |
EUR |
| Details |
UBS AG - London Office 10.62128 C Issuer Name: UBS AG - London Office |
Structured Product |
UL2E6R |
SWB |
3.980 |
EUR |
| Details |
UBS AG - London Office 10.83246 C Issuer Name: UBS AG - London Office |
Structured Product |
UL2LM3 |
SWB |
2.100 |
EUR |
| Details |
UBS AG - London Office 10.92065 C Issuer Name: UBS AG - London Office |
Structured Product |
UL19DQ |
SWB |
1.280 |
EUR |
| Details |
UBS AG - London Office 10.70771 C Issuer Name: UBS AG - London Office |
Structured Product |
UL1V8C |
SWB |
3.180 |
EUR |
| Details |
UBS AG - London Office 11.01438 C Issuer Name: UBS AG - London Office |
Structured Product |
UL00Z7 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 10.79957 C Issuer Name: UBS AG - London Office |
Structured Product |
UL0J4R |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 11.08875 C Issuer Name: UBS AG - London Office |
Structured Product |
UL2YES |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 10.87014 C Issuer Name: UBS AG - London Office |
Structured Product |
UL3J7F |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.66026 P Issuer Name: UBS AG - London Office |
Structured Product |
UL2T0H |
SWB |
4.670 |
EUR |
| Details |
UBS AG - London Office 1.67062 P Issuer Name: UBS AG - London Office |
Structured Product |
UL2DLH |
SWB |
5.35 |
EUR |
| Details |
UBS AG - London Office 1.87342 P Issuer Name: UBS AG - London Office |
Structured Product |
UL25BG |
SWB |
13.82 |
EUR |
| Details |
UBS AG - London Office 1.83595 P Issuer Name: UBS AG - London Office |
Structured Product |
UL3GAN |
SWB |
11.57 |
EUR |
| Details |
UBS AG - London Office 1.88409 P Issuer Name: UBS AG - London Office |
Structured Product |
UL3PZ7 |
SWB |
14.51 |
EUR |
| Details |
UBS AG - London Office 1.8462 P Issuer Name: UBS AG - London Office |
Structured Product |
UL3RFK |
SWB |
12.20 |
EUR |
| Details |
UBS AG - London Office 1.90062 P Issuer Name: UBS AG - London Office |
Structured Product |
UL38VK |
SWB |
15.46 |
EUR |
| Details |
UBS AG - London Office 1.86282 P Issuer Name: UBS AG - London Office |
Structured Product |
UL38XT |
SWB |
13.19 |
EUR |
| Details |
UBS AG - London Office 1.68401 P Issuer Name: UBS AG - London Office |
Structured Product |
UL43PS |
SWB |
6.19 |
EUR |
| Details |
UBS AG - London Office 1.91424 P Issuer Name: UBS AG - London Office |
Structured Product |
UL49VB |
SWB |
16.32 |
EUR |
| Details |
UBS AG - London Office 1.87594 P Issuer Name: UBS AG - London Office |
Structured Product |
UL5A1S |
SWB |
13.99 |
EUR |
| Details |
UBS AG - London Office 1.92492 P Issuer Name: UBS AG - London Office |
Structured Product |
UL48K7 |
SWB |
16.95 |
EUR |
| Details |
UBS AG - London Office 1.88665 P Issuer Name: UBS AG - London Office |
Structured Product |
UL4S90 |
SWB |
14.65 |
EUR |
| Details |
UBS AG - London Office 1.69257 P Issuer Name: UBS AG - London Office |
Structured Product |
UL4RFG |
SWB |
6.72 |
EUR |
| Details |
UBS AG - London Office 1.8553 P Issuer Name: UBS AG - London Office |
Structured Product |
UL41AP |
SWB |
12.69 |
EUR |
| Details |
UBS AG - London Office 1.89314 P Issuer Name: UBS AG - London Office |
Structured Product |
UL4TH9 |
SWB |
15.03 |
EUR |
| Details |
UBS AG - London Office 10.92002 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7LHW |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 11.13838 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7RY4 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.93689 P Issuer Name: UBS AG - London Office |
Structured Product |
UL6YS6 |
SWB |
17.72 |
EUR |
| Details |
UBS AG - London Office 1.89816 P Issuer Name: UBS AG - London Office |
Structured Product |
UL7C54 |
SWB |
15.35 |
EUR |
| Details |
UBS AG - London Office 1.90869 P Issuer Name: UBS AG - London Office |
Structured Product |
UL64D7 |
SWB |
15.97 |
EUR |
| Details |
UBS AG - London Office 1.9474 P Issuer Name: UBS AG - London Office |
Structured Product |
UL64JP |
SWB |
18.32 |
EUR |
| Details |
UBS AG - London Office 1.95779 P Issuer Name: UBS AG - London Office |
Structured Product |
UL6NL1 |
SWB |
18.97 |
EUR |
| Details |
UBS AG - London Office 11.21569 C Issuer Name: UBS AG - London Office |
Structured Product |
UL6PTR |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 10.99578 C Issuer Name: UBS AG - London Office |
Structured Product |
UL6R5Y |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.91866 P Issuer Name: UBS AG - London Office |
Structured Product |
UL6RZE |
SWB |
16.61 |
EUR |
| Details |
UBS AG - London Office 1.96826 P Issuer Name: UBS AG - London Office |
Structured Product |
UL7CRC |
SWB |
19.55 |
EUR |
| Details |
UBS AG - London Office 1.92892 P Issuer Name: UBS AG - London Office |
Structured Product |
UL7WKZ |
SWB |
17.18 |
EUR |
| Details |
UBS AG - London Office 1.93877 P Issuer Name: UBS AG - London Office |
Structured Product |
UL60JR |
SWB |
17.82 |
EUR |
| Details |
UBS AG - London Office 10.32027 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7HA1 |
SWB |
6.69 |
EUR |
| Details |
UBS AG - London Office 1.97852 P Issuer Name: UBS AG - London Office |
Structured Product |
UL7JG7 |
SWB |
20.19 |
EUR |
| Details |
UBS AG - London Office 10.52669 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7SJM |
SWB |
4.840 |
EUR |
| Details |
UBS AG - London Office 1.35187 C Issuer Name: UBS AG - London Office |
Structured Product |
UL73RY |
SWB |
14.74 |
EUR |
| Details |
UBS AG - London Office 1.29782 C Issuer Name: UBS AG - London Office |
Structured Product |
UL743Y |
SWB |
18.16 |
EUR |
| Details |
UBS AG - London Office 1.45998 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8L41 |
SWB |
7.92 |
EUR |
| Details |
UBS AG - London Office 1.68308 P Issuer Name: UBS AG - London Office |
Structured Product |
UL8LA8 |
SWB |
6.10 |
EUR |
| Details |
UBS AG - London Office 1.40593 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8MXV |
SWB |
11.34 |
EUR |
| Details |
UBS AG - London Office 1.29766 C Issuer Name: UBS AG - London Office |
Structured Product |
UL73GC |
SWB |
18.15 |
EUR |
| Details |
UBS AG - London Office 1.32358 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8PPQ |
SWB |
16.53 |
EUR |
| Details |
UBS AG - London Office 1.32342 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8EZY |
SWB |
16.56 |
EUR |
| Details |
UBS AG - London Office 1.29751 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8PKC |
SWB |
18.17 |
EUR |
| Details |
UBS AG - London Office 1.32278 C Issuer Name: UBS AG - London Office |
Structured Product |
UL74CQ |
SWB |
16.59 |
EUR |
| Details |
UBS AG - London Office 1.29703 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7YLC |
SWB |
18.19 |
EUR |
| Details |
UBS AG - London Office 1.29688 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8GKZ |
SWB |
18.19 |
EUR |
| Details |
UBS AG - London Office 1.32294 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8H3U |
SWB |
16.58 |
EUR |
| Details |
UBS AG - London Office 1.32262 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7ZL9 |
SWB |
16.59 |
EUR |
| Details |
UBS AG - London Office 1.29672 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8UFW |
SWB |
18.21 |
EUR |
| Details |
UBS AG - London Office 1.29656 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8PUL |
SWB |
18.24 |
EUR |
| Details |
UBS AG - London Office 1.32246 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8RBU |
SWB |
16.61 |
EUR |
| Details |
UBS AG - London Office 1.29641 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8172 |
SWB |
18.25 |
EUR |
| Details |
UBS AG - London Office 1.32216 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8X32 |
SWB |
16.63 |
EUR |
| Details |
UBS AG - London Office 1.29594 C Issuer Name: UBS AG - London Office |
Structured Product |
UL83CR |
SWB |
18.27 |
EUR |
| Details |
UBS AG - London Office 1.32182 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8W3B |
SWB |
16.65 |
EUR |
| Details |
UBS AG - London Office 1.29578 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8DGT |
SWB |
18.28 |
EUR |
| Details |
UBS AG - London Office 1.32152 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8QZA |
SWB |
16.66 |
EUR |
| Details |
UBS AG - London Office 1.29548 C Issuer Name: UBS AG - London Office |
Structured Product |
UL81CR |
SWB |
18.30 |
EUR |
| Details |
UBS AG - London Office 1.3215 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8U2G |
SWB |
16.60 |
EUR |
| Details |
UBS AG - London Office 1.32134 C Issuer Name: UBS AG - London Office |
Structured Product |
UL82FP |
SWB |
16.67 |
EUR |
| Details |
UBS AG - London Office 1.29547 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8XL2 |
SWB |
18.29 |
EUR |
| Details |
UBS AG - London Office 1.29532 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8U3P |
SWB |
18.32 |
EUR |
| Details |
UBS AG - London Office 1.32105 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8ZTE |
SWB |
16.70 |
EUR |
| Details |
UBS AG - London Office 1.24095 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7KF8 |
SWB |
21.75 |
EUR |
| Details |
UBS AG - London Office 1.31909 C Issuer Name: UBS AG - London Office |
Structured Product |
UL786Y |
SWB |
16.82 |
EUR |
| Details |
UBS AG - London Office 1.29311 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8BQF |
SWB |
18.44 |
EUR |
| Details |
UBS AG - London Office 1.31848 C Issuer Name: UBS AG - London Office |
Structured Product |
UL73DY |
SWB |
16.85 |
EUR |
| Details |
UBS AG - London Office 1.31863 C Issuer Name: UBS AG - London Office |
Structured Product |
UL759L |
SWB |
16.85 |
EUR |
| Details |
UBS AG - London Office 1.29266 C Issuer Name: UBS AG - London Office |
Structured Product |
UL761Y |
SWB |
18.48 |
EUR |
| Details |
UBS AG - London Office 1.29267 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8LWL |
SWB |
18.48 |
EUR |
| Details |
UBS AG - London Office 1.31833 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8DKY |
SWB |
16.86 |
EUR |
| Details |
UBS AG - London Office 1.29237 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8E7H |
SWB |
18.48 |
EUR |
| Details |
UBS AG - London Office 1.31818 C Issuer Name: UBS AG - London Office |
Structured Product |
UL72Z2 |
SWB |
16.87 |
EUR |
| Details |
UBS AG - London Office 1.29237 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8M7A |
SWB |
18.50 |
EUR |
| Details |
UBS AG - London Office 1.29163 C Issuer Name: UBS AG - London Office |
Structured Product |
UL73CJ |
SWB |
18.54 |
EUR |
| Details |
UBS AG - London Office 1.31758 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7686 |
SWB |
16.92 |
EUR |
| Details |
UBS AG - London Office 1.31698 C Issuer Name: UBS AG - London Office |
Structured Product |
UL80JT |
SWB |
16.95 |
EUR |
| Details |
UBS AG - London Office 1.29133 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8QT7 |
SWB |
18.56 |
EUR |
| Details |
UBS AG - London Office 1.31698 C Issuer Name: UBS AG - London Office |
Structured Product |
UL80QN |
SWB |
16.96 |
EUR |
| Details |
UBS AG - London Office 1.29118 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8W3U |
SWB |
18.56 |
EUR |
| Details |
UBS AG - London Office 1.31638 C Issuer Name: UBS AG - London Office |
Structured Product |
UL835G |
SWB |
16.99 |
EUR |
| Details |
UBS AG - London Office 1.29074 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8S0F |
SWB |
18.60 |
EUR |
| Details |
UBS AG - London Office 1.29059 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8UQJ |
SWB |
18.61 |
EUR |
| Details |
UBS AG - London Office 1.31637 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8XDP |
SWB |
16.99 |
EUR |
| Details |
UBS AG - London Office 1.29044 C Issuer Name: UBS AG - London Office |
Structured Product |
UL811R |
SWB |
18.61 |
EUR |
| Details |
UBS AG - London Office 1.31622 C Issuer Name: UBS AG - London Office |
Structured Product |
UL82V7 |
SWB |
17.00 |
EUR |
| Details |
UBS AG - London Office 1.2903 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8SKP |
SWB |
18.62 |
EUR |
| Details |
UBS AG - London Office 1.31607 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8XCH |
SWB |
17.01 |
EUR |
| Details |
UBS AG - London Office 1.31577 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9FRP |
SWB |
17.03 |
EUR |
| Details |
UBS AG - London Office 1.29 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9PQ5 |
SWB |
18.65 |
EUR |
| Details |
UBS AG - London Office 1.31517 C Issuer Name: UBS AG - London Office |
Structured Product |
UL877T |
SWB |
17.07 |
EUR |
| Details |
UBS AG - London Office 1.28955 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9BNX |
SWB |
18.65 |
EUR |
| Details |
UBS AG - London Office 1.31486 C Issuer Name: UBS AG - London Office |
Structured Product |
UL89E3 |
SWB |
17.08 |
EUR |
| Details |
UBS AG - London Office 1.28926 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9BXE |
SWB |
18.69 |
EUR |
| Details |
UBS AG - London Office 1.28911 C Issuer Name: UBS AG - London Office |
Structured Product |
UL88UA |
SWB |
18.70 |
EUR |
| Details |
UBS AG - London Office 1.31471 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9KEM |
SWB |
17.10 |
EUR |
| Details |
UBS AG - London Office 1.31441 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8681 |
SWB |
17.11 |
EUR |
| Details |
UBS AG - London Office 1.28867 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9HFT |
SWB |
18.73 |
EUR |
| Details |
UBS AG - London Office 1.31425 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9L0T |
SWB |
17.13 |
EUR |
| Details |
UBS AG - London Office 1.28837 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9XFH |
SWB |
18.75 |
EUR |
| Details |
UBS AG - London Office 1.73795 P Issuer Name: UBS AG - London Office |
Structured Product |
UL94AG |
SWB |
9.56 |
EUR |
| Details |
UBS AG - London Office 1.30989 C Issuer Name: UBS AG - London Office |
Structured Product |
UM06LT |
SWB |
17.41 |
EUR |
| Details |
UBS AG - London Office 1.2841 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1DA9 |
SWB |
19.02 |
EUR |
| Details |
UBS AG - London Office 1.28395 C Issuer Name: UBS AG - London Office |
Structured Product |
UM06MJ |
SWB |
18.96 |
EUR |
| Details |
UBS AG - London Office 1.30974 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1DCC |
SWB |
17.41 |
EUR |
| Details |
UBS AG - London Office 1.30914 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0918 |
SWB |
17.45 |
EUR |
| Details |
UBS AG - London Office 1.2835 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1G4Z |
SWB |
19.03 |
EUR |
| Details |
UBS AG - London Office 1.28336 C Issuer Name: UBS AG - London Office |
Structured Product |
UM074T |
SWB |
19.06 |
EUR |
| Details |
UBS AG - London Office 1.30899 C Issuer Name: UBS AG - London Office |
Structured Product |
UM09NV |
SWB |
17.45 |
EUR |
| Details |
UBS AG - London Office 1.30884 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0669 |
SWB |
17.47 |
EUR |
| Details |
UBS AG - London Office 1.28307 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1HEH |
SWB |
19.08 |
EUR |
| Details |
UBS AG - London Office 1.30869 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0608 |
SWB |
17.46 |
EUR |
| Details |
UBS AG - London Office 1.28292 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1KJP |
SWB |
19.08 |
EUR |
| Details |
UBS AG - London Office 1.28291 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1AT3 |
SWB |
19.09 |
EUR |
| Details |
UBS AG - London Office 1.30854 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1CXJ |
SWB |
17.49 |
EUR |
| Details |
UBS AG - London Office 1.30809 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1GZY |
SWB |
17.51 |
EUR |
| Details |
UBS AG - London Office 1.28247 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1KGD |
SWB |
19.13 |
EUR |
| Details |
UBS AG - London Office 1.28233 C Issuer Name: UBS AG - London Office |
Structured Product |
UM07SV |
SWB |
19.12 |
EUR |
| Details |
UBS AG - London Office 1.30794 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1D7Q |
SWB |
17.52 |
EUR |
| Details |
UBS AG - London Office 1.30764 C Issuer Name: UBS AG - London Office |
Structured Product |
UM02LH |
SWB |
17.55 |
EUR |
| Details |
UBS AG - London Office 1.28218 C Issuer Name: UBS AG - London Office |
Structured Product |
UM031K |
SWB |
19.13 |
EUR |
| Details |
UBS AG - London Office 1.28189 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1B1V |
SWB |
19.15 |
EUR |
| Details |
UBS AG - London Office 1.30749 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1CTS |
SWB |
17.54 |
EUR |
| Details |
UBS AG - London Office 1.28174 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0UG7 |
SWB |
19.16 |
EUR |
| Details |
UBS AG - London Office 1.30749 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0YMB |
SWB |
17.55 |
EUR |
| Details |
UBS AG - London Office 1.28115 C Issuer Name: UBS AG - London Office |
Structured Product |
UM01BP |
SWB |
19.20 |
EUR |
| Details |
UBS AG - London Office 1.30674 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0F5M |
SWB |
17.59 |
EUR |
| Details |
UBS AG - London Office 1.30659 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0C92 |
SWB |
17.62 |
EUR |
| Details |
UBS AG - London Office 1.281 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0RKJ |
SWB |
19.21 |
EUR |
| Details |
UBS AG - London Office 1.28085 C Issuer Name: UBS AG - London Office |
Structured Product |
UM01Q6 |
SWB |
19.22 |
EUR |
| Details |
UBS AG - London Office 1.30644 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0MR5 |
SWB |
17.62 |
EUR |
| Details |
UBS AG - London Office 1.28026 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0LCD |
SWB |
19.26 |
EUR |
| Details |
UBS AG - London Office 1.30583 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0NDJ |
SWB |
17.66 |
EUR |
| Details |
UBS AG - London Office 1.30568 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0CP2 |
SWB |
17.65 |
EUR |
| Details |
UBS AG - London Office 1.28011 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0D1Q |
SWB |
19.27 |
EUR |
| Details |
UBS AG - London Office 1.30553 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0027 |
SWB |
17.69 |
EUR |
| Details |
UBS AG - London Office 1.27997 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0WEM |
SWB |
19.27 |
EUR |
| Details |
UBS AG - London Office 1.27968 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0GQL |
SWB |
19.30 |
EUR |
| Details |
UBS AG - London Office 1.30538 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0LL9 |
SWB |
17.68 |
EUR |
| Details |
UBS AG - London Office 1.27938 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0GFJ |
SWB |
19.31 |
EUR |
| Details |
UBS AG - London Office 1.30493 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0VZ7 |
SWB |
17.72 |
EUR |
| Details |
UBS AG - London Office 1.27923 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0GAN |
SWB |
19.32 |
EUR |
| Details |
UBS AG - London Office 1.30464 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0Y5E |
SWB |
17.74 |
EUR |
| Details |
UBS AG - London Office 1.30463 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0J5P |
SWB |
17.73 |
EUR |
| Details |
UBS AG - London Office 1.27908 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0KNK |
SWB |
19.34 |
EUR |
| Details |
UBS AG - London Office 1.27894 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0B23 |
SWB |
19.34 |
EUR |
| Details |
UBS AG - London Office 1.30448 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0M1Z |
SWB |
17.74 |
EUR |
| Details |
UBS AG - London Office 1.27879 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0G02 |
SWB |
19.29 |
EUR |
| Details |
UBS AG - London Office 1.30433 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0ZHE |
SWB |
17.72 |
EUR |
| Details |
UBS AG - London Office 1.30389 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0KWP |
SWB |
17.77 |
EUR |
| Details |
UBS AG - London Office 1.27835 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0VX0 |
SWB |
19.38 |
EUR |
| Details |
UBS AG - London Office 1.30374 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0G5E |
SWB |
17.79 |
EUR |
| Details |
UBS AG - London Office 1.2782 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0LQP |
SWB |
19.39 |
EUR |
| Details |
UBS AG - London Office 1.27732 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0HRV |
SWB |
19.44 |
EUR |
| Details |
UBS AG - London Office 1.30284 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0MLW |
SWB |
17.85 |
EUR |
| Details |
UBS AG - London Office 1.30254 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0D84 |
SWB |
17.88 |
EUR |
| Details |
UBS AG - London Office 1.27718 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0M77 |
SWB |
19.45 |
EUR |
| Details |
UBS AG - London Office 1.27703 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0QFL |
SWB |
19.46 |
EUR |
| Details |
UBS AG - London Office 1.30239 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0SLR |
SWB |
17.87 |
EUR |
| Details |
UBS AG - London Office 1.27688 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0JTJ |
SWB |
19.40 |
EUR |
| Details |
UBS AG - London Office 1.30239 C Issuer Name: UBS AG - London Office |
Structured Product |
UM0V5U |
SWB |
17.87 |
EUR |
| Details |
UBS AG - London Office 1.27615 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2GCN |
SWB |
19.51 |
EUR |
| Details |
UBS AG - London Office 1.30179 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2GKU |
SWB |
17.90 |
EUR |
| Details |
UBS AG - London Office 1.27615 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2S1Q |
SWB |
19.51 |
EUR |
| Details |
UBS AG - London Office 1.30149 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2TX7 |
SWB |
17.94 |
EUR |
| Details |
UBS AG - London Office 1.276 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2CA0 |
SWB |
19.48 |
EUR |
| Details |
UBS AG - London Office 1.30134 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2EDH |
SWB |
17.93 |
EUR |
| Details |
UBS AG - London Office 1.30119 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2ATZ |
SWB |
17.94 |
EUR |
| Details |
UBS AG - London Office 1.27571 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2SSY |
SWB |
19.53 |
EUR |
| Details |
UBS AG - London Office 1.27512 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2DC1 |
SWB |
19.59 |
EUR |
| Details |
UBS AG - London Office 1.30074 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2QB4 |
SWB |
17.99 |
EUR |
| Details |
UBS AG - London Office 1.27512 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2HUU |
SWB |
19.57 |
EUR |
| Details |
UBS AG - London Office 1.30059 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2MLJ |
SWB |
17.99 |
EUR |
| Details |
UBS AG - London Office 1.30029 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2E6M |
SWB |
18.01 |
EUR |
| Details |
UBS AG - London Office 1.27497 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2MGU |
SWB |
19.58 |
EUR |
| Details |
UBS AG - London Office 1.30029 C Issuer Name: UBS AG - London Office |
Structured Product |
UM17ZX |
SWB |
18.01 |
EUR |
| Details |
UBS AG - London Office 1.27482 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2HXG |
SWB |
19.60 |
EUR |
| Details |
UBS AG - London Office 1.30014 C Issuer Name: UBS AG - London Office |
Structured Product |
UM171G |
SWB |
18.01 |
EUR |
| Details |
UBS AG - London Office 1.27468 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2CVD |
SWB |
19.60 |
EUR |
| Details |
UBS AG - London Office 1.29955 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1733 |
SWB |
18.05 |
EUR |
| Details |
UBS AG - London Office 1.2741 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1LG6 |
SWB |
19.64 |
EUR |
| Details |
UBS AG - London Office 1.48652 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1WG6 |
SWB |
6.26 |
EUR |
| Details |
UBS AG - London Office 1.29939 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1033 |
SWB |
18.07 |
EUR |
| Details |
UBS AG - London Office 1.27395 C Issuer Name: UBS AG - London Office |
Structured Product |
UM128A |
SWB |
19.66 |
EUR |
| Details |
UBS AG - London Office 1.43296 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1YJP |
SWB |
9.62 |
EUR |
| Details |
UBS AG - London Office 1.2991 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2H8D |
SWB |
18.09 |
EUR |
| Details |
UBS AG - London Office 1.2738 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2S8E |
SWB |
19.67 |
EUR |
| Details |
UBS AG - London Office 1.27365 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2ESB |
SWB |
19.67 |
EUR |
| Details |
UBS AG - London Office 1.2991 C Issuer Name: UBS AG - London Office |
Structured Product |
UM2PQY |
SWB |
18.08 |
EUR |
| Details |
UBS AG - London Office 1.2985 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1MNK |
SWB |
18.11 |
EUR |
| Details |
UBS AG - London Office 1.27322 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1W5V |
SWB |
19.70 |
EUR |
| Details |
UBS AG - London Office 1.27307 C Issuer Name: UBS AG - London Office |
Structured Product |
UM15PV |
SWB |
19.69 |
EUR |
| Details |
UBS AG - London Office 1.2985 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1QVR |
SWB |
18.12 |
EUR |
| Details |
UBS AG - London Office 1.37896 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1TJM |
SWB |
13.03 |
EUR |
| Details |
UBS AG - London Office 1.27292 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1W2Y |
SWB |
19.72 |
EUR |
| Details |
UBS AG - London Office 1.29835 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1XSP |
SWB |
18.12 |
EUR |
| Details |
UBS AG - London Office 1.27278 C Issuer Name: UBS AG - London Office |
Structured Product |
UM13CL |
SWB |
19.73 |
EUR |
| Details |
UBS AG - London Office 1.2982 C Issuer Name: UBS AG - London Office |
Structured Product |
UM16YQ |
SWB |
18.13 |
EUR |
| Details |
UBS AG - London Office 1.29805 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1N5N |
SWB |
18.15 |
EUR |
| Details |
UBS AG - London Office 1.27263 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1VB6 |
SWB |
19.75 |
EUR |
| Details |
UBS AG - London Office 1.2722 C Issuer Name: UBS AG - London Office |
Structured Product |
UM11C4 |
SWB |
19.74 |
EUR |
| Details |
UBS AG - London Office 1.29761 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1UTP |
SWB |
18.17 |
EUR |
| Details |
UBS AG - London Office 1.29746 C Issuer Name: UBS AG - London Office |
Structured Product |
UM12GJ |
SWB |
18.18 |
EUR |
| Details |
UBS AG - London Office 1.32503 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1M55 |
SWB |
16.43 |
EUR |
| Details |
UBS AG - London Office 1.27205 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1NYZ |
SWB |
19.77 |
EUR |
| Details |
UBS AG - London Office 1.29717 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1LMD |
SWB |
18.20 |
EUR |
| Details |
UBS AG - London Office 1.27191 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1PYB |
SWB |
19.78 |
EUR |
| Details |
UBS AG - London Office 1.27176 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1NX3 |
SWB |
19.79 |
EUR |
| Details |
UBS AG - London Office 1.29717 C Issuer Name: UBS AG - London Office |
Structured Product |
UM1QPR |
SWB |
18.20 |
EUR |
| Details |
UBS AG - London Office 1.26814 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3XUK |
SWB |
19.95 |
EUR |
| Details |
UBS AG - London Office 1.26698 C Issuer Name: UBS AG - London Office |
Structured Product |
UM315Z |
SWB |
20.11 |
EUR |
| Details |
UBS AG - London Office 1.29215 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3P06 |
SWB |
18.53 |
EUR |
| Details |
UBS AG - London Office 1.26684 C Issuer Name: UBS AG - London Office |
Structured Product |
UM324M |
SWB |
20.10 |
EUR |
| Details |
UBS AG - London Office 1.29214 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3NMT |
SWB |
18.52 |
EUR |
| Details |
UBS AG - London Office 1.29185 C Issuer Name: UBS AG - London Office |
Structured Product |
UM33VG |
SWB |
18.55 |
EUR |
| Details |
UBS AG - London Office 1.26655 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3W4F |
SWB |
20.12 |
EUR |
| Details |
UBS AG - London Office 1.29038 C Issuer Name: UBS AG - London Office |
Structured Product |
UM35L3 |
SWB |
18.64 |
EUR |
| Details |
UBS AG - London Office 1.26497 C Issuer Name: UBS AG - London Office |
Structured Product |
UM38W9 |
SWB |
20.23 |
EUR |
| Details |
UBS AG - London Office 1.29023 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4E40 |
SWB |
18.65 |
EUR |
| Details |
UBS AG - London Office 1.26496 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4KZT |
SWB |
20.24 |
EUR |
| Details |
UBS AG - London Office 11.8945 P Issuer Name: UBS AG - London Office |
Structured Product |
UM49RY |
SWB |
7.55 |
EUR |
| Details |
UBS AG - London Office 12.13722 P Issuer Name: UBS AG - London Office |
Structured Product |
UM4DHE |
SWB |
9.74 |
EUR |
| Details |
UBS AG - London Office 1.29008 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4P3X |
SWB |
18.66 |
EUR |
| Details |
UBS AG - London Office 1.26482 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4ZSP |
SWB |
20.22 |
EUR |
| Details |
UBS AG - London Office 1.28965 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3478 |
SWB |
18.63 |
EUR |
| Details |
UBS AG - London Office 12.23323 P Issuer Name: UBS AG - London Office |
Structured Product |
UM43CT |
SWB |
10.57 |
EUR |
| Details |
UBS AG - London Office 11.98854 P Issuer Name: UBS AG - London Office |
Structured Product |
UM4JRK |
SWB |
8.38 |
EUR |
| Details |
UBS AG - London Office 1.26453 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4VD1 |
SWB |
20.25 |
EUR |
| Details |
UBS AG - London Office 1.26396 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4820 |
SWB |
20.27 |
EUR |
| Details |
UBS AG - London Office 1.28935 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4EJN |
SWB |
18.68 |
EUR |
| Details |
UBS AG - London Office 1.26381 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4FDK |
SWB |
20.29 |
EUR |
| Details |
UBS AG - London Office 1.2892 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4J59 |
SWB |
18.71 |
EUR |
| Details |
UBS AG - London Office 1.28906 C Issuer Name: UBS AG - London Office |
Structured Product |
UM42LT |
SWB |
18.72 |
EUR |
| Details |
UBS AG - London Office 1.26381 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5B3Q |
SWB |
20.29 |
EUR |
| Details |
UBS AG - London Office 1.28891 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4R0E |
SWB |
18.72 |
EUR |
| Details |
UBS AG - London Office 1.26367 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4VS7 |
SWB |
20.30 |
EUR |
| Details |
UBS AG - London Office 1.28876 C Issuer Name: UBS AG - London Office |
Structured Product |
UM49D0 |
SWB |
18.74 |
EUR |
| Details |
UBS AG - London Office 1.26352 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5AVG |
SWB |
20.31 |
EUR |
| Details |
UBS AG - London Office 1.26295 C Issuer Name: UBS AG - London Office |
Structured Product |
UM44X9 |
SWB |
20.35 |
EUR |
| Details |
UBS AG - London Office 1.28818 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4ZEE |
SWB |
18.77 |
EUR |
| Details |
UBS AG - London Office 1.26266 C Issuer Name: UBS AG - London Office |
Structured Product |
UM42RC |
SWB |
20.37 |
EUR |
| Details |
UBS AG - London Office 1.28788 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5C2V |
SWB |
18.80 |
EUR |
| Details |
UBS AG - London Office 12.35764 P Issuer Name: UBS AG - London Office |
Structured Product |
UM4PFA |
SWB |
11.74 |
EUR |
| Details |
UBS AG - London Office 12.11184 P Issuer Name: UBS AG - London Office |
Structured Product |
UM4Q3K |
SWB |
9.53 |
EUR |
| Details |
UBS AG - London Office 1.28774 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4YUU |
SWB |
18.81 |
EUR |
| Details |
UBS AG - London Office 1.26238 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5A2S |
SWB |
20.38 |
EUR |
| Details |
UBS AG - London Office 1.70766 P Issuer Name: UBS AG - London Office |
Structured Product |
UM6CN4 |
SWB |
7.66 |
EUR |
| Details |
UBS AG - London Office 1.2551 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7A95 |
SWB |
20.84 |
EUR |
| Details |
UBS AG - London Office 1.28017 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7CUG |
SWB |
19.29 |
EUR |
| Details |
UBS AG - London Office 1.28002 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7CFR |
SWB |
19.30 |
EUR |
| Details |
UBS AG - London Office 1.25496 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7PQB |
SWB |
20.84 |
EUR |
| Details |
UBS AG - London Office 1.27988 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7NLW |
SWB |
19.22 |
EUR |
| Details |
UBS AG - London Office 1.25481 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7VSU |
SWB |
20.80 |
EUR |
| Details |
UBS AG - London Office 1.27973 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7KTX |
SWB |
19.31 |
EUR |
| Details |
UBS AG - London Office 1.25467 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7TNJ |
SWB |
20.87 |
EUR |
| Details |
UBS AG - London Office 1.27959 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7RXK |
SWB |
19.30 |
EUR |
| Details |
UBS AG - London Office 1.25453 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7RYV |
SWB |
20.87 |
EUR |
| Details |
UBS AG - London Office 1.27915 C Issuer Name: UBS AG - London Office |
Structured Product |
UM68P0 |
SWB |
19.33 |
EUR |
| Details |
UBS AG - London Office 1.2541 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7A78 |
SWB |
20.91 |
EUR |
| Details |
UBS AG - London Office 12.29596 P Issuer Name: UBS AG - London Office |
Structured Product |
UM75K6 |
SWB |
11.18 |
EUR |
| Details |
UBS AG - London Office 12.54689 P Issuer Name: UBS AG - London Office |
Structured Product |
UM8BFW |
SWB |
13.42 |
EUR |
| Details |
UBS AG - London Office 12.64316 P Issuer Name: UBS AG - London Office |
Structured Product |
UM75T4 |
SWB |
14.33 |
EUR |
| Details |
UBS AG - London Office 12.39163 P Issuer Name: UBS AG - London Office |
Structured Product |
UM8BW4 |
SWB |
12.04 |
EUR |
| Details |
UBS AG - London Office 12.09652 P Issuer Name: UBS AG - London Office |
Structured Product |
UM7YZZ |
SWB |
9.36 |
EUR |
| Details |
UBS AG - London Office 11.8546 P Issuer Name: UBS AG - London Office |
Structured Product |
UM8JVK |
SWB |
7.18 |
EUR |
| Details |
UBS AG - London Office 12.76678 P Issuer Name: UBS AG - London Office |
Structured Product |
UM9SSQ |
SWB |
15.42 |
EUR |
| Details |
UBS AG - London Office 1.72663 P Issuer Name: UBS AG - London Office |
Structured Product |
UM87Z0 |
SWB |
8.87 |
EUR |
| Details |
UBS AG - London Office 12.51375 P Issuer Name: UBS AG - London Office |
Structured Product |
UM9TFU |
SWB |
13.15 |
EUR |
| Details |
UBS AG - London Office 1.76256 P Issuer Name: UBS AG - London Office |
Structured Product |
UM9S7D |
SWB |
11.09 |
EUR |
| Details |
UBS AG - London Office 12.0558 P Issuer Name: UBS AG - London Office |
Structured Product |
UP0KGE |
SWB |
9.02 |
EUR |
| Details |
UBS AG - London Office 12.30184 P Issuer Name: UBS AG - London Office |
Structured Product |
UP0XGY |
SWB |
11.21 |
EUR |
| Details |
UBS AG - London Office 12.88145 P Issuer Name: UBS AG - London Office |
Structured Product |
UP4XBU |
SWB |
16.44 |
EUR |
| Details |
UBS AG - London Office 12.62378 P Issuer Name: UBS AG - London Office |
Structured Product |
UP5B4K |
SWB |
14.18 |
EUR |
| Details |
UBS AG - London Office 1.2344 C Issuer Name: UBS AG - London Office |
Structured Product |
UP6WVA |
SWB |
22.15 |
EUR |
| Details |
UBS AG - London Office 1.2592 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7MXG |
SWB |
20.59 |
EUR |
| Details |
UBS AG - London Office 1.25907 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7EWU |
SWB |
20.60 |
EUR |
| Details |
UBS AG - London Office 1.23428 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7TK0 |
SWB |
22.16 |
EUR |
| Details |
UBS AG - London Office 2.00447 P Issuer Name: UBS AG - London Office |
Structured Product |
UP15CQ |
SWB |
21.81 |
EUR |
| Details |
UBS AG - London Office 1.96439 P Issuer Name: UBS AG - London Office |
Structured Product |
UP4X59 |
SWB |
19.38 |
EUR |
| Details |
UBS AG - London Office 12.40847 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ07TZ |
SWB |
12.18 |
EUR |
| Details |
UBS AG - London Office 12.16162 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ1CBD |
SWB |
9.97 |
EUR |
| Details |
UBS AG - London Office 10.7843 C Issuer Name: UBS AG - London Office |
Structured Product |
UP73GW |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 10.5 C Issuer Name: UBS AG - London Office |
Structured Product |
UP8BM6 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.5591 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ23ZE |
SWB |
1.700 |
EUR |
| Details |
UBS AG - London Office 1.52855 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ3KND |
SWB |
3.600 |
EUR |
| Details |
UBS AG - London Office 12.218 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2476 |
SWB |
10.47 |
EUR |
| Details |
UBS AG - London Office 12.78628 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ3A72 |
SWB |
15.61 |
EUR |
| Details |
UBS AG - London Office 1.79995 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ24WK |
SWB |
13.46 |
EUR |
| Details |
UBS AG - London Office 1.7513 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ3GGT |
SWB |
10.41 |
EUR |
| Details |
UBS AG - London Office 1.83673 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ3J0B |
SWB |
15.78 |
EUR |
| Details |
UBS AG - London Office 2.06157 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ27AL |
SWB |
25.25 |
EUR |
| Details |
UBS AG - London Office 2.02038 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ29BG |
SWB |
22.74 |
EUR |
| Details |
UBS AG - London Office 1.78754 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2JW0 |
SWB |
12.69 |
EUR |
| Details |
UBS AG - London Office 2.07214 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ19BL |
SWB |
25.91 |
EUR |
| Details |
UBS AG - London Office 2.12148 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2VTF |
SWB |
28.95 |
EUR |
| Details |
UBS AG - London Office 12.94718 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2XZL |
SWB |
17.05 |
EUR |
| Details |
UBS AG - London Office 13.11674 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ46CZ |
SWB |
18.57 |
EUR |
| Details |
UBS AG - London Office 13.14007 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ480E |
SWB |
18.81 |
EUR |
| Details |
UBS AG - London Office 2.11463 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ484T |
SWB |
28.52 |
EUR |
| Details |
UBS AG - London Office 13.4082 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ49ZG |
SWB |
21.24 |
EUR |
| Details |
UBS AG - London Office 2.16496 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ4XT9 |
SWB |
31.54 |
EUR |
| Details |
UBS AG - London Office 2.1713 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5FMZ |
SWB |
31.95 |
EUR |
| Details |
UBS AG - London Office 1.89162 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5HMF |
SWB |
19.25 |
EUR |
| Details |
UBS AG - London Office 2.21561 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5JSL |
SWB |
34.68 |
EUR |
| Details |
UBS AG - London Office 13.51355 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5V4E |
SWB |
22.17 |
EUR |
| Details |
UBS AG - London Office 13.24325 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5XAM |
SWB |
19.74 |
EUR |
| Details |
UBS AG - London Office 12.67732 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ340D |
SWB |
14.62 |
EUR |
| Details |
UBS AG - London Office 12.93746 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ6LAA |
SWB |
16.95 |
EUR |
| Details |
UBS AG - London Office 1.85499 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ4L7B |
SWB |
16.93 |
EUR |
| Details |
UBS AG - London Office 12.46095 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ4V0Y |
SWB |
12.66 |
EUR |
| Details |
UBS AG - London Office 13.23983 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5B0X |
SWB |
19.70 |
EUR |
| Details |
UBS AG - London Office 1.51709 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ35TZ |
SWB |
7.81 |
EUR |
| Details |
UBS AG - London Office 1.48721 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ44CS |
SWB |
9.66 |
EUR |
| Details |
UBS AG - London Office 1.51626 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ50WW |
SWB |
7.88 |
EUR |
| Details |
UBS AG - London Office 1.48656 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5VZL |
SWB |
9.67 |
EUR |
| Details |
UBS AG - London Office 1.51605 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5JKZ |
SWB |
7.92 |
EUR |
| Details |
UBS AG - London Office 1.48619 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5LCM |
SWB |
9.72 |
EUR |
| Details |
UBS AG - London Office 1.51585 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5GJJ |
SWB |
7.89 |
EUR |
| Details |
UBS AG - London Office 1.48616 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5MKA |
SWB |
9.68 |
EUR |
| Details |
UBS AG - London Office 1.48514 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5EZX |
SWB |
9.74 |
EUR |
| Details |
UBS AG - London Office 1.51481 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5RMD |
SWB |
8.00 |
EUR |
| Details |
UBS AG - London Office 1.51423 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ54WW |
SWB |
8.02 |
EUR |
| Details |
UBS AG - London Office 1.48473 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ556Y |
SWB |
9.80 |
EUR |
| Details |
UBS AG - London Office 1.51402 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ52RR |
SWB |
8.02 |
EUR |
| Details |
UBS AG - London Office 1.48437 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6AVX |
SWB |
9.85 |
EUR |
| Details |
UBS AG - London Office 1.48433 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6DV3 |
SWB |
9.83 |
EUR |
| Details |
UBS AG - London Office 1.51381 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6FWH |
SWB |
8.04 |
EUR |
| Details |
UBS AG - London Office 1.48372 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6BM5 |
SWB |
9.86 |
EUR |
| Details |
UBS AG - London Office 1.51319 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6EZJ |
SWB |
8.09 |
EUR |
| Details |
UBS AG - London Office 1.59698 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7A98 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.56566 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7CCE |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 1.5115 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6SLN |
SWB |
8.20 |
EUR |
| Details |
UBS AG - London Office 1.4819 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6UTU |
SWB |
9.94 |
EUR |
| Details |
UBS AG - London Office 1.48169 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ73NK |
SWB |
9.96 |
EUR |
| Details |
UBS AG - London Office 1.51129 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8CDT |
SWB |
8.17 |
EUR |
| Details |
UBS AG - London Office 1.51093 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8BP2 |
SWB |
8.20 |
EUR |
| Details |
UBS AG - London Office 1.4815 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8DUU |
SWB |
9.97 |
EUR |
| Details |
UBS AG - London Office 1.51051 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7ZU5 |
SWB |
8.22 |
EUR |
| Details |
UBS AG - London Office 1.48093 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8GRC |
SWB |
10.00 |
EUR |
| Details |
UBS AG - London Office 1.48054 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7ZQG |
SWB |
10.06 |
EUR |
| Details |
UBS AG - London Office 1.51012 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8E9B |
SWB |
8.22 |
EUR |
| Details |
UBS AG - London Office 1.50976 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ72RU |
SWB |
8.28 |
EUR |
| Details |
UBS AG - London Office 1.48035 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8FS1 |
SWB |
10.07 |
EUR |
| Details |
UBS AG - London Office 1.50914 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ80BJ |
SWB |
8.28 |
EUR |
| Details |
UBS AG - London Office 1.47958 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ80C2 |
SWB |
10.11 |
EUR |
| Details |
UBS AG - London Office 1.50894 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8NSY |
SWB |
8.32 |
EUR |
| Details |
UBS AG - London Office 1.47939 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8YGA |
SWB |
10.13 |
EUR |
| Details |
UBS AG - London Office 1.50875 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8LNV |
SWB |
8.34 |
EUR |
| Details |
UBS AG - London Office 1.4792 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8UHS |
SWB |
10.11 |
EUR |
| Details |
UBS AG - London Office 1.50855 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ809N |
SWB |
8.32 |
EUR |
| Details |
UBS AG - London Office 1.479 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ84J2 |
SWB |
10.15 |
EUR |
| Details |
UBS AG - London Office 1.47865 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8YK5 |
SWB |
10.12 |
EUR |
| Details |
UBS AG - London Office 1.50819 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8YQQ |
SWB |
8.33 |
EUR |
| Details |
UBS AG - London Office 1.50777 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6W36 |
SWB |
8.38 |
EUR |
| Details |
UBS AG - London Office 1.47824 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6ZMQ |
SWB |
10.18 |
EUR |
| Details |
UBS AG - London Office 1.47805 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ63TL |
SWB |
10.21 |
EUR |
| Details |
UBS AG - London Office 1.50757 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ645H |
SWB |
8.41 |
EUR |
| Details |
UBS AG - London Office 1.50738 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ64XP |
SWB |
8.40 |
EUR |
| Details |
UBS AG - London Office 1.47785 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ65WV |
SWB |
10.19 |
EUR |
| Details |
UBS AG - London Office 1.50718 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ64YZ |
SWB |
8.40 |
EUR |
| Details |
UBS AG - London Office 1.47766 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6RLG |
SWB |
10.20 |
EUR |
| Details |
UBS AG - London Office 1.50636 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7WTD |
SWB |
8.50 |
EUR |
| Details |
UBS AG - London Office 1.50615 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7HYP |
SWB |
8.45 |
EUR |
| Details |
UBS AG - London Office 1.47665 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7M2B |
SWB |
10.27 |
EUR |
| Details |
UBS AG - London Office 1.47629 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7HVC |
SWB |
10.29 |
EUR |
| Details |
UBS AG - London Office 1.50595 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7NY0 |
SWB |
8.53 |
EUR |
| Details |
UBS AG - London Office 1.50574 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7F9H |
SWB |
8.51 |
EUR |
| Details |
UBS AG - London Office 1.47625 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ7NU5 |
SWB |
10.33 |
EUR |
| Details |
UBS AG - London Office 1.47605 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8470 |
SWB |
10.30 |
EUR |
| Details |
UBS AG - London Office 1.50554 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8PDQ |
SWB |
8.47 |
EUR |
| Details |
UBS AG - London Office 1.47544 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8615 |
SWB |
10.34 |
EUR |
| Details |
UBS AG - London Office 1.50492 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ8R46 |
SWB |
8.55 |
EUR |
| Details |
UBS AG - London Office 12.69715 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ4EEH |
SWB |
14.79 |
EUR |
| Details |
UBS AG - London Office 12.44317 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ4L8Y |
SWB |
12.51 |
EUR |
| Details |
UBS AG - London Office 1.47122 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4R19 |
SWB |
10.61 |
EUR |
| Details |
UBS AG - London Office 1.50061 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5UA2 |
SWB |
8.85 |
EUR |
| Details |
UBS AG - London Office 1.50041 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ9BS9 |
SWB |
8.82 |
EUR |
| Details |
UBS AG - London Office 1.47102 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ9M36 |
SWB |
10.64 |
EUR |
| Details |
UBS AG - London Office 1.47082 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ864T |
SWB |
10.67 |
EUR |
| Details |
UBS AG - London Office 1.50003 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ9GA7 |
SWB |
8.87 |
EUR |
| Details |
UBS AG - London Office 1.47062 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ90HM |
SWB |
10.62 |
EUR |
| Details |
UBS AG - London Office 1.5 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ98WE |
SWB |
8.89 |
EUR |
| Details |
UBS AG - London Office 1.46901 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ0B7Z |
SWB |
10.74 |
EUR |
| Details |
UBS AG - London Office 1.49836 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ0VH3 |
SWB |
8.96 |
EUR |
| Details |
UBS AG - London Office 12.57086 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ0BLZ |
SWB |
13.66 |
EUR |
| Details |
UBS AG - London Office 12.8274 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ0E85 |
SWB |
15.95 |
EUR |
| Details |
UBS AG - London Office 1.46801 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ0K7R |
SWB |
10.79 |
EUR |
| Details |
UBS AG - London Office 1.49717 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ0MPE |
SWB |
9.05 |
EUR |
| Details |
UBS AG - London Office 1.49696 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ928V |
SWB |
9.06 |
EUR |
| Details |
UBS AG - London Office 1.46764 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ9WCD |
SWB |
10.82 |
EUR |
| Details |
UBS AG - London Office 1.49693 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ01BJ |
SWB |
9.04 |
EUR |
| Details |
UBS AG - London Office 1.46761 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1DHU |
SWB |
10.84 |
EUR |
| Details |
UBS AG - London Office 1.46701 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ07TW |
SWB |
10.89 |
EUR |
| Details |
UBS AG - London Office 1.49615 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ09WQ |
SWB |
9.11 |
EUR |
| Details |
UBS AG - London Office 1.48925 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ006G |
SWB |
9.51 |
EUR |
| Details |
UBS AG - London Office 1.45991 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ00SU |
SWB |
11.31 |
EUR |
| Details |
UBS AG - London Office 1.45989 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1A1U |
SWB |
11.28 |
EUR |
| Details |
UBS AG - London Office 1.48889 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1DG5 |
SWB |
9.56 |
EUR |
| Details |
UBS AG - London Office 1.48886 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5PUN |
SWB |
9.54 |
EUR |
| Details |
UBS AG - London Office 1.4597 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5Z0H |
SWB |
11.31 |
EUR |
| Details |
UBS AG - London Office 1.45951 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ15KM |
SWB |
11.34 |
EUR |
| Details |
UBS AG - London Office 1.4885 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1VCF |
SWB |
9.53 |
EUR |
| Details |
UBS AG - London Office 1.45878 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1MLA |
SWB |
11.37 |
EUR |
| Details |
UBS AG - London Office 1.48809 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1NWZ |
SWB |
9.61 |
EUR |
| Details |
UBS AG - London Office 1.45875 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ15DE |
SWB |
11.37 |
EUR |
| Details |
UBS AG - London Office 1.48789 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1TBR |
SWB |
9.60 |
EUR |
| Details |
UBS AG - London Office 1.96059 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ13SW |
SWB |
23.59 |
EUR |
| Details |
UBS AG - London Office 1.45856 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ15YN |
SWB |
11.39 |
EUR |
| Details |
UBS AG - London Office 1.92138 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ1RJ0 |
SWB |
21.13 |
EUR |
| Details |
UBS AG - London Office 1.4877 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1VUN |
SWB |
9.61 |
EUR |
| Details |
UBS AG - London Office 1.48751 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ2QSD |
SWB |
9.64 |
EUR |
| Details |
UBS AG - London Office 1.45837 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ2SYU |
SWB |
11.40 |
EUR |
| Details |
UBS AG - London Office 1.48731 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ11L1 |
SWB |
9.68 |
EUR |
| Details |
UBS AG - London Office 1.45818 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ147G |
SWB |
11.42 |
EUR |
| Details |
UBS AG - London Office 1.48657 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ11K6 |
SWB |
9.69 |
EUR |
| Details |
UBS AG - London Office 1.45745 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1KNY |
SWB |
11.45 |
EUR |
| Details |
UBS AG - London Office 1.45705 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ2L3V |
SWB |
11.47 |
EUR |
| Details |
UBS AG - London Office 1.48615 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ2TM1 |
SWB |
9.70 |
EUR |
| Details |
UBS AG - London Office 1.4858 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ20RK |
SWB |
9.70 |
EUR |
| Details |
UBS AG - London Office 1.45591 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3HUE |
SWB |
11.53 |
EUR |
| Details |
UBS AG - London Office 1.485 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3ZDJ |
SWB |
9.76 |
EUR |
| Details |
UBS AG - London Office 1.4848 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ23P2 |
SWB |
9.78 |
EUR |
| Details |
UBS AG - London Office 1.45556 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ31ZK |
SWB |
11.57 |
EUR |
| Details |
UBS AG - London Office 1.48461 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ30LY |
SWB |
9.77 |
EUR |
| Details |
UBS AG - London Office 1.45537 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3MA3 |
SWB |
11.58 |
EUR |
| Details |
UBS AG - London Office 1.82474 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ3UYA |
SWB |
15.02 |
EUR |
| Details |
UBS AG - London Office 1.86239 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ3MVT |
SWB |
17.40 |
EUR |
| Details |
UBS AG - London Office 1.48403 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3P11 |
SWB |
9.86 |
EUR |
| Details |
UBS AG - London Office 1.45497 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3VPM |
SWB |
11.61 |
EUR |
| Details |
UBS AG - London Office 1.45462 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3MP2 |
SWB |
11.61 |
EUR |
| Details |
UBS AG - London Office 1.48384 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3MP3 |
SWB |
9.86 |
EUR |
| Details |
UBS AG - London Office 1.45443 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1278 |
SWB |
11.65 |
EUR |
| Details |
UBS AG - London Office 1.48348 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1KQL |
SWB |
9.89 |
EUR |
| Details |
UBS AG - London Office 1.45432 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ11CB |
SWB |
11.62 |
EUR |
| Details |
UBS AG - London Office 1.48338 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1NHB |
SWB |
9.87 |
EUR |
| Details |
UBS AG - London Office 1.48318 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1339 |
SWB |
9.90 |
EUR |
| Details |
UBS AG - London Office 1.45413 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ13J9 |
SWB |
11.67 |
EUR |
| Details |
UBS AG - London Office 1.45322 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ11SH |
SWB |
11.71 |
EUR |
| Details |
UBS AG - London Office 1.48241 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ1S3Z |
SWB |
9.95 |
EUR |
| Details |
UBS AG - London Office 1.45074 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ25KX |
SWB |
11.79 |
EUR |
| Details |
UBS AG - London Office 1.78847 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ25KY |
SWB |
8.71 |
EUR |
| Details |
UBS AG - London Office 1.82493 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ2VL6 |
SWB |
10.90 |
EUR |
| Details |
UBS AG - London Office 1.47972 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3BKW |
SWB |
10.10 |
EUR |
| Details |
UBS AG - London Office 1.45055 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3RFN |
SWB |
11.88 |
EUR |
| Details |
UBS AG - London Office 1.47953 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3S51 |
SWB |
10.14 |
EUR |
| Details |
UBS AG - London Office 1.45036 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3J6E |
SWB |
11.85 |
EUR |
| Details |
UBS AG - London Office 1.47934 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3UKB |
SWB |
10.13 |
EUR |
| Details |
UBS AG - London Office 1.45002 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ300W |
SWB |
11.89 |
EUR |
| Details |
UBS AG - London Office 1.47915 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3Z86 |
SWB |
10.16 |
EUR |
| Details |
UBS AG - London Office 1.47857 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ32BY |
SWB |
10.19 |
EUR |
| Details |
UBS AG - London Office 1.44945 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3NYE |
SWB |
11.92 |
EUR |
| Details |
UBS AG - London Office 1.47838 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3HB3 |
SWB |
10.19 |
EUR |
| Details |
UBS AG - London Office 1.44942 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ3TSQ |
SWB |
11.93 |
EUR |
| Details |
UBS AG - London Office 1.47819 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6C80 |
SWB |
10.19 |
EUR |
| Details |
UBS AG - London Office 1.44908 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6G2E |
SWB |
11.97 |
EUR |
| Details |
UBS AG - London Office 1.47783 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6AKG |
SWB |
10.20 |
EUR |
| Details |
UBS AG - London Office 1.4487 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ57Y8 |
SWB |
11.99 |
EUR |
| Details |
UBS AG - London Office 1.4778 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6GW7 |
SWB |
10.23 |
EUR |
| Details |
UBS AG - London Office 1.4483 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ35MT |
SWB |
12.00 |
EUR |
| Details |
UBS AG - London Office 1.91734 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ37SZ |
SWB |
20.86 |
EUR |
| Details |
UBS AG - London Office 1.47723 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4GF0 |
SWB |
10.24 |
EUR |
| Details |
UBS AG - London Office 1.47687 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ35EV |
SWB |
10.26 |
EUR |
| Details |
UBS AG - London Office 1.44795 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ37NZ |
SWB |
12.04 |
EUR |
| Details |
UBS AG - London Office 1.47685 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4C3J |
SWB |
10.27 |
EUR |
| Details |
UBS AG - London Office 1.44792 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4E0M |
SWB |
12.04 |
EUR |
| Details |
UBS AG - London Office 1.47666 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4F2V |
SWB |
10.30 |
EUR |
| Details |
UBS AG - London Office 1.44773 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4G5M |
SWB |
12.04 |
EUR |
| Details |
UBS AG - London Office 1.47646 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4DHD |
SWB |
10.32 |
EUR |
| Details |
UBS AG - London Office 1.44755 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4KVK |
SWB |
12.03 |
EUR |
| Details |
UBS AG - London Office 1.88008 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ40UW |
SWB |
18.52 |
EUR |
| Details |
UBS AG - London Office 1.4757 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ40V8 |
SWB |
10.33 |
EUR |
| Details |
UBS AG - London Office 1.44679 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ41HH |
SWB |
12.08 |
EUR |
| Details |
UBS AG - London Office 1.47512 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5KFX |
SWB |
10.41 |
EUR |
| Details |
UBS AG - London Office 1.44623 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5MQP |
SWB |
12.11 |
EUR |
| Details |
UBS AG - London Office 1.47398 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6DDW |
SWB |
10.46 |
EUR |
| Details |
UBS AG - London Office 1.47362 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6ATM |
SWB |
10.50 |
EUR |
| Details |
UBS AG - London Office 1.44492 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6MNT |
SWB |
12.21 |
EUR |
| Details |
UBS AG - London Office 1.44436 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ52VC |
SWB |
12.28 |
EUR |
| Details |
UBS AG - London Office 1.47321 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ59R6 |
SWB |
10.51 |
EUR |
| Details |
UBS AG - London Office 1.47286 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ584R |
SWB |
10.48 |
EUR |
| Details |
UBS AG - London Office 2.03034 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ59E5 |
SWB |
23.39 |
EUR |
| Details |
UBS AG - London Office 1.98975 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ6FYU |
SWB |
20.92 |
EUR |
| Details |
UBS AG - London Office 1.44417 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6HJV |
SWB |
12.27 |
EUR |
| Details |
UBS AG - London Office 1.47283 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6JXX |
SWB |
10.53 |
EUR |
| Details |
UBS AG - London Office 1.44398 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ6M7J |
SWB |
12.25 |
EUR |
| Details |
UBS AG - London Office 1.47187 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4HFV |
SWB |
10.57 |
EUR |
| Details |
UBS AG - London Office 1.4427 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ34DY |
SWB |
12.35 |
EUR |
| Details |
UBS AG - London Office 1.47168 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4GT6 |
SWB |
10.60 |
EUR |
| Details |
UBS AG - London Office 1.47149 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ356G |
SWB |
10.63 |
EUR |
| Details |
UBS AG - London Office 1.44267 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4NRS |
SWB |
12.35 |
EUR |
| Details |
UBS AG - London Office 1.4713 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ36JH |
SWB |
10.62 |
EUR |
| Details |
UBS AG - London Office 1.44232 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ39KB |
SWB |
12.35 |
EUR |
| Details |
UBS AG - London Office 1.47095 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4RYU |
SWB |
10.64 |
EUR |
| Details |
UBS AG - London Office 1.4423 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4Z7C |
SWB |
12.37 |
EUR |
| Details |
UBS AG - London Office 1.47054 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ42G4 |
SWB |
10.65 |
EUR |
| Details |
UBS AG - London Office 1.44173 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4X49 |
SWB |
12.43 |
EUR |
| Details |
UBS AG - London Office 13.68023 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ42EK |
SWB |
23.70 |
EUR |
| Details |
UBS AG - London Office 1.47018 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ42F2 |
SWB |
10.70 |
EUR |
| Details |
UBS AG - London Office 1.44155 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ46R8 |
SWB |
12.40 |
EUR |
| Details |
UBS AG - London Office 13.40658 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ5AKU |
SWB |
21.22 |
EUR |
| Details |
UBS AG - London Office 1.44136 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4WU5 |
SWB |
12.41 |
EUR |
| Details |
UBS AG - London Office 1.47016 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5ANG |
SWB |
10.66 |
EUR |
| Details |
UBS AG - London Office 1.44117 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ407A |
SWB |
12.41 |
EUR |
| Details |
UBS AG - London Office 1.46997 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ4UNL |
SWB |
10.69 |
EUR |
| Details |
UBS AG - London Office 1.4692 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5NXS |
SWB |
10.72 |
EUR |
| Details |
UBS AG - London Office 1.44043 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5RU6 |
SWB |
12.50 |
EUR |
| Details |
UBS AG - London Office 1.46901 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5F6B |
SWB |
10.76 |
EUR |
| Details |
UBS AG - London Office 1.44024 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5PMG |
SWB |
12.50 |
EUR |
| Details |
UBS AG - London Office 1.46787 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5KYX |
SWB |
10.82 |
EUR |
| Details |
UBS AG - London Office 12.99921 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ5M66 |
SWB |
17.53 |
EUR |
| Details |
UBS AG - London Office 1.43912 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5X5S |
SWB |
12.53 |
EUR |
| Details |
UBS AG - London Office 12.8397 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ5F8F |
SWB |
16.10 |
EUR |
| Details |
UBS AG - London Office 1.43893 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5H6Z |
SWB |
12.56 |
EUR |
| Details |
UBS AG - London Office 1.46768 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5JE3 |
SWB |
10.80 |
EUR |
| Details |
UBS AG - London Office 1.46711 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ60Y7 |
SWB |
10.89 |
EUR |
| Details |
UBS AG - London Office 1.43837 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ68C5 |
SWB |
12.62 |
EUR |
| Details |
UBS AG - London Office 1.7474 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ68JT |
SWB |
6.20 |
EUR |
| Details |
UBS AG - London Office 1.78305 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ6S5H |
SWB |
8.34 |
EUR |
| Details |
UBS AG - London Office 1.78388 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ83UX |
SWB |
8.41 |
EUR |
| Details |
UBS AG - London Office 1.74821 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ8RP4 |
SWB |
6.26 |
EUR |
| Details |
UBS AG - London Office 1.78409 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ9K91 |
SWB |
8.44 |
EUR |
| Details |
UBS AG - London Office 1.74842 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ9L77 |
SWB |
6.25 |
EUR |
| Details |
UBS AG - London Office 1.74853 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ9DNP |
SWB |
6.23 |
EUR |
| Details |
UBS AG - London Office 1.7842 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ9GXS |
SWB |
8.40 |
EUR |
| Details |
UBS AG - London Office 1.74874 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ90WH |
SWB |
6.28 |
EUR |
| Details |
UBS AG - London Office 1.78441 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ95XB |
SWB |
8.42 |
EUR |
| Details |
UBS AG - London Office 1.74884 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ96FQ |
SWB |
6.34 |
EUR |
| Details |
UBS AG - London Office 1.78452 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ9QKW |
SWB |
8.45 |
EUR |
| Details |
UBS AG - London Office 1.74895 P Issuer Name: UBS AG - London Office |
Structured Product |
WA0AQK |
SWB |
6.30 |
EUR |
| Details |
UBS AG - London Office 1.78463 P Issuer Name: UBS AG - London Office |
Structured Product |
WA0LR9 |
SWB |
8.44 |
EUR |
| Details |
UBS AG - London Office 1.78484 P Issuer Name: UBS AG - London Office |
Structured Product |
WA0CKR |
SWB |
8.44 |
EUR |
| Details |
UBS AG - London Office 1.74916 P Issuer Name: UBS AG - London Office |
Structured Product |
WA0WGN |
SWB |
6.28 |
EUR |
| Details |
UBS AG - London Office 1.69923 P Issuer Name: UBS AG - London Office |
Structured Product |
WA1CRD |
SWB |
3.290 |
EUR |
| Details |
UBS AG - London Office 1.73392 P Issuer Name: UBS AG - London Office |
Structured Product |
WA1EJ8 |
SWB |
5.38 |
EUR |
| Details |
UBS AG - London Office 1.74926 P Issuer Name: UBS AG - London Office |
Structured Product |
WA1EX0 |
SWB |
6.28 |
EUR |
| Details |
UBS AG - London Office 1.78495 P Issuer Name: UBS AG - London Office |
Structured Product |
WA1H19 |
SWB |
8.53 |
EUR |
| Details |
UBS AG - London Office 1.27572 C Issuer Name: UBS AG - London Office |
Structured Product |
WA2BR9 |
SWB |
22.51 |
EUR |
| Details |
UBS AG - London Office 1.30124 C Issuer Name: UBS AG - London Office |
Structured Product |
WA2EWW |
SWB |
20.92 |
EUR |
| Details |
British pound |
Forex |
GBP |
|
212.42 |
JPY |
| Details |
British pound |
Forex |
GBP |
|
453.43 |
HUF |
| Details |
British pound |
Forex |
GBP |
|
22.69 |
ZAR |
| Details |
British pound |
Forex |
GBP |
|
1.051 |
CHF |
| Details |
British pound |
Forex |
GBP |
|
1.831 |
CAD |
| Details |
British pound |
Forex |
GBP |
|
165.80 |
ISK |
| Details |
British pound |
Forex |
GBP |
|
9.21 |
CNH |
| Details |
British pound |
Forex |
GBP |
|
23.90 |
MXN |
| Details |
British pound |
Forex |
GBP |
|
2.288 |
NZD |
| Details |
British pound |
Forex |
GBP |
|
1.394 |
GCU |
| Details |
British pound |
Forex |
GBP |
|
12.47 |
SEK |
| Details |
British pound |
Forex |
GBP |
|
n/a |
GBP |
| Details |
British pound |
Forex |
GBP |
|
8.61 |
DKK |
| Details |
British pound |
Forex |
GBP |
|
12.77 |
NOK |
| Details |
British pound |
Forex |
GBP |
|
59.10 |
TRY |
| Details |
British pound |
Forex |
GBP |
|
1.711 |
SGD |
| Details |
British pound |
Forex |
GBP |
|
2.221 |
BGN |
| Details |
British pound |
Forex |
GBP |
|
2,008.2 |
KRW |
| Details |
British pound |
Forex |
GBP |
|
4.929 |
PLN |
| Details |
British pound |
Forex |
GBP |
|
124.99 |
INR |
| Details |
British pound |
Forex |
GBP |
|
28.21 |
CZK |
| Details |
British pound |
Forex |
GBP |
|
1.153 |
EUR |
| Details |
British pound |
Forex |
GBP |
|
1.334 |
USD |
| Details |
British pound |
Forex |
GBP |
|
1.900 |
AUD |
| Details |
British pound |
Forex |
GBP |
|
5.87 |
RON |
| Details |
British pound |
Forex |
GBP |
|
10.45 |
HKD |
| Details |
British pound |
CFD |
GBP |
|
28.21 |
CZK |
| Details |
British pound |
CFD |
GBP |
|
1.051 |
CHF |
| Details |
British pound |
CFD |
GBP |
|
4.929 |
PLN |
| Details |
British pound |
CFD |
GBP |
|
2.288 |
NZD |
| Details |
British pound |
CFD |
GBP |
|
1.711 |
SGD |
| Details |
British pound |
CFD |
GBP |
|
22.69 |
ZAR |
| Details |
British pound |
CFD |
GBP |
|
1.831 |
CAD |
| Details |
British pound |
CFD |
GBP |
|
453.43 |
HUF |
| Details |
British pound |
CFD |
GBP |
|
1.900 |
AUD |
| Details |
British pound |
CFD |
GBP |
|
12.47 |
SEK |
| Details |
British pound |
CFD |
GBP |
|
1.334 |
USD |
| Details |
British pound |
CFD |
GBP |
|
10.45 |
HKD |
| Details |
British pound |
CFD |
GBP |
|
9.21 |
CNH |
| Details |
British pound |
CFD |
GBP |
|
8.61 |
DKK |
| Details |
British pound |
CFD |
GBP |
|
23.90 |
MXN |
| Details |
British pound |
CFD |
GBP |
|
12.77 |
NOK |
| Details |
British pound |
CFD |
GBP |
|
212.42 |
JPY |
| Details |
British pound Futures Type: Foreign Exchange |
Futures |
GBP |
CME |
|
USD |
| Details |
British pound Futures Type: Foreign Exchange |
Futures |
GBP |
ICEUS |
|
JPY |
| Details |
British pound Futures Type: Foreign Exchange |
Futures |
PAD |
CME |
|
AUD |
| Details |
BNP Paribas SA 133.9942 C Issuer Name: BNP Paribas SA |
Structured Product |
PF3091 |
SWB |
42.58 |
EUR |
| Details |
BNP Paribas SA 137.0028 C Issuer Name: BNP Paribas SA |
Structured Product |
PF528C |
SWB |
40.94 |
EUR |
| Details |
BNP Paribas SA 139.9355 C Issuer Name: BNP Paribas SA |
Structured Product |
PF7FXM |
SWB |
39.36 |
EUR |
| Details |
BNP Paribas SA 141.9303 C Issuer Name: BNP Paribas SA |
Structured Product |
PF7FXP |
SWB |
38.27 |
EUR |
| Details |
BNP Paribas SA 109.0279 C Issuer Name: BNP Paribas SA |
Structured Product |
PF9TT0 |
SWB |
56.13 |
EUR |
| Details |
BNP Paribas SA 98.4539 C Issuer Name: BNP Paribas SA |
Structured Product |
PH3ZC5 |
SWB |
61.87 |
EUR |
| Details |
BNP Paribas SA 143.7232 C Issuer Name: BNP Paribas SA |
Structured Product |
PE2VRY |
SWB |
37.30 |
EUR |
| Details |
BNP Paribas SA 145.6209 C Issuer Name: BNP Paribas SA |
Structured Product |
PE2838 |
SWB |
36.27 |
EUR |
| Details |
BNP Paribas SA 147.4784 C Issuer Name: BNP Paribas SA |
Structured Product |
PE7DS0 |
SWB |
35.26 |
EUR |
| Details |
BNP Paribas SA 149.5342 C Issuer Name: BNP Paribas SA |
Structured Product |
PE9TPK |
SWB |
34.14 |
EUR |
| Details |
BNP Paribas SA 151.5785 C Issuer Name: BNP Paribas SA |
Structured Product |
PC0FFE |
SWB |
33.04 |
EUR |
| Details |
BNP Paribas SA 153.5671 C Issuer Name: BNP Paribas SA |
Structured Product |
PC0YAF |
SWB |
31.96 |
EUR |
| Details |
BNP Paribas SA 155.4969 C Issuer Name: BNP Paribas SA |
Structured Product |
PC02QM |
SWB |
30.91 |
EUR |
| Details |
BNP Paribas SA 159.4763 C Issuer Name: BNP Paribas SA |
Structured Product |
PN2SJ1 |
SWB |
28.75 |
EUR |
| Details |
BNP Paribas SA 157.5566 C Issuer Name: BNP Paribas SA |
Structured Product |
PN2SJ2 |
SWB |
29.79 |
EUR |
| Details |
BNP Paribas SA 161.4997 C Issuer Name: BNP Paribas SA |
Structured Product |
PN3ZF5 |
SWB |
27.65 |
EUR |
| Details |
BNP Paribas SA 163.4923 C Issuer Name: BNP Paribas SA |
Structured Product |
PN4C1D |
SWB |
26.57 |
EUR |
| Details |
BNP Paribas SA 165.4766 C Issuer Name: BNP Paribas SA |
Structured Product |
PN4RSZ |
SWB |
25.49 |
EUR |
| Details |
BNP Paribas SA 167.442 C Issuer Name: BNP Paribas SA |
Structured Product |
PN40XN |
SWB |
24.43 |
EUR |
| Details |
BNP Paribas SA 220.3199 P Issuer Name: BNP Paribas SA |
Structured Product |
PN40XU |
SWB |
4.240 |
EUR |
| Details |
BNP Paribas SA 169.7395 C Issuer Name: BNP Paribas SA |
Structured Product |
PN6GBB |
SWB |
23.18 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC10GE |
SWB |
50.97 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC10XG |
SWB |
1.850 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC11GE |
SWB |
12.40 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC11XG |
SWB |
0.3300 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC12GE |
SWB |
11.76 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC12XG |
SWB |
0.2330 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC13GE |
SWB |
10.85 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC13XG |
SWB |
0.1600 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC14GE |
SWB |
9.72 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC14XG |
SWB |
0.1090 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PC15GE |
SWB |
8.48 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG11GE |
SWB |
49.59 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG11XG |
SWB |
1.300 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG12GE |
SWB |
46.98 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG12XG |
SWB |
0.9000 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG13GE |
SWB |
43.33 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG13XG |
SWB |
0.6100 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG14GE |
SWB |
38.88 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG14XG |
SWB |
0.4000 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG15GE |
SWB |
33.91 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG15XG |
SWB |
0.2600 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG2GBJ |
SWB |
6.50 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG2GJS |
SWB |
3.320 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG3GBJ |
SWB |
7.69 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG3GJS |
SWB |
2.810 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG4GBJ |
SWB |
8.89 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG4GJS |
SWB |
2.320 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG5GBJ |
SWB |
10.04 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG5GJS |
SWB |
1.880 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG6GBJ |
SWB |
11.06 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG6GJS |
SWB |
1.480 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG7GBJ |
SWB |
11.90 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG7GJS |
SWB |
1.150 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8GBJ |
SWB |
12.48 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG8GJS |
SWB |
0.8700 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG9GBJ |
SWB |
12.79 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PG9GJS |
SWB |
0.6400 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2GBJ |
SWB |
26.00 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2GJS |
SWB |
13.27 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL3GBJ |
SWB |
30.76 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL3GJS |
SWB |
11.22 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL4GBJ |
SWB |
35.54 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL4GJS |
SWB |
9.28 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL5GBJ |
SWB |
40.12 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL5GJS |
SWB |
7.50 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL6GBJ |
SWB |
44.22 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL6GJS |
SWB |
5.93 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL7GBJ |
SWB |
47.56 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL7GJS |
SWB |
4.580 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8GBJ |
SWB |
49.90 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8GJS |
SWB |
3.460 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9GBJ |
SWB |
51.08 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL9GJS |
SWB |
2.560 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PN10GE |
SWB |
12.75 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PN10XG |
SWB |
0.4700 |
EUR |
| Details |
BNP Paribas SA 226.2939 P Issuer Name: BNP Paribas SA |
Structured Product |
PN9WFJ |
SWB |
7.49 |
EUR |
| Details |
BNP Paribas SA 236.209 P Issuer Name: BNP Paribas SA |
Structured Product |
PZ1FSD |
SWB |
12.87 |
EUR |
| Details |
BNP Paribas SA 171.1248 C Issuer Name: BNP Paribas SA |
Structured Product |
PC1NT6 |
SWB |
22.43 |
EUR |
| Details |
BNP Paribas SA 173.3627 C Issuer Name: BNP Paribas SA |
Structured Product |
PC2130 |
SWB |
21.21 |
EUR |
| Details |
BNP Paribas SA 175.3088 C Issuer Name: BNP Paribas SA |
Structured Product |
PC213Z |
SWB |
20.16 |
EUR |
| Details |
BNP Paribas SA 242.4488 P Issuer Name: BNP Paribas SA |
Structured Product |
PC6F59 |
SWB |
16.25 |
EUR |
| Details |
BNP Paribas SA 253.695 P Issuer Name: BNP Paribas SA |
Structured Product |
PC8Y4L |
SWB |
22.36 |
EUR |
| Details |
BNP Paribas SA 232.8596 P Issuer Name: BNP Paribas SA |
Structured Product |
PC9X3Z |
SWB |
11.06 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL14XG |
SWB |
1.800 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL15XG |
SWB |
1.340 |
EUR |
| Details |
BNP Paribas SA 229.4841 P Issuer Name: BNP Paribas SA |
Structured Product |
PG1XB4 |
SWB |
9.22 |
EUR |
| Details |
BNP Paribas SA 265.4991 P Issuer Name: BNP Paribas SA |
Structured Product |
PG2UL5 |
SWB |
28.77 |
EUR |
| Details |
BNP Paribas SA 239.3737 P Issuer Name: BNP Paribas SA |
Structured Product |
PG28FB |
SWB |
14.59 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL11XG |
SWB |
5.20 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL12XG |
SWB |
4.190 |
EUR |
| Details |
BNP Paribas SA 211.715 C Issuer Name: BNP Paribas SA |
Structured Product |
PL13XG |
SWB |
3.320 |
EUR |
| Details |
BNP Paribas SA 177.4874 C Issuer Name: BNP Paribas SA |
Structured Product |
PG5U12 |
SWB |
18.97 |
EUR |
| Details |
BNP Paribas SA 179.5403 C Issuer Name: BNP Paribas SA |
Structured Product |
PG6KU8 |
SWB |
17.86 |
EUR |
| Details |
BNP Paribas SA 272.1108 P Issuer Name: BNP Paribas SA |
Structured Product |
PC11Z2 |
SWB |
32.36 |
EUR |
| Details |
BNP Paribas SA 181.219 C Issuer Name: BNP Paribas SA |
Structured Product |
PG01TK |
SWB |
16.95 |
EUR |
| Details |
BNP Paribas SA 183.2526 C Issuer Name: BNP Paribas SA |
Structured Product |
PG3NDP |
SWB |
15.84 |
EUR |
| Details |
BNP Paribas SA 185.2707 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0BPV |
SWB |
14.74 |
EUR |
| Details |
BNP Paribas SA 187.3185 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ04VP |
SWB |
13.64 |
EUR |
| Details |
BNP Paribas SA 129.5393 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BW |
SWB |
45.00 |
EUR |
| Details |
BNP Paribas SA 119.5741 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BX |
SWB |
50.41 |
EUR |
| Details |
BNP Paribas SA 246.1583 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ06BY |
SWB |
18.27 |
EUR |
| Details |
BNP Paribas SA 189.3805 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ2MBT |
SWB |
12.52 |
EUR |
| Details |
BNP Paribas SA 191.4522 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ3PUP |
SWB |
11.39 |
EUR |
| Details |
BNP Paribas SA 216.3116 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ48C8 |
SWB |
2.070 |
EUR |
| Details |
BNP Paribas SA 218.2258 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ48C9 |
SWB |
3.110 |
EUR |
| Details |
BNP Paribas SA 249.5442 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ555N |
SWB |
20.11 |
EUR |
| Details |
BNP Paribas SA 278.9031 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ6QWD |
SWB |
36.04 |
EUR |
| Details |
BNP Paribas SA 193.6648 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ674R |
SWB |
10.19 |
EUR |
| Details |
BNP Paribas SA 222.8612 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ87KF |
SWB |
5.63 |
EUR |
| Details |
BNP Paribas SA 261.6196 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ87KG |
SWB |
26.66 |
EUR |
| Details |
BNP Paribas SA 290.6885 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ87KH |
SWB |
42.44 |
EUR |
| Details |
BNP Paribas SA 257.1396 P Issuer Name: BNP Paribas SA |
Structured Product |
PJ9PSZ |
SWB |
24.23 |
EUR |
| Details |
BNP Paribas SA 195.8111 C Issuer Name: BNP Paribas SA |
Structured Product |
PK0JYM |
SWB |
9.02 |
EUR |
| Details |
BNP Paribas SA 227.6662 P Issuer Name: BNP Paribas SA |
Structured Product |
PK0JYN |
SWB |
8.23 |
EUR |
| Details |
BNP Paribas SA 224.3324 P Issuer Name: BNP Paribas SA |
Structured Product |
PK1F4T |
SWB |
6.42 |
EUR |
| Details |
BNP Paribas SA 197.8848 C Issuer Name: BNP Paribas SA |
Structured Product |
PK2D40 |
SWB |
7.90 |
EUR |
| Details |
BNP Paribas SA 199.8948 C Issuer Name: BNP Paribas SA |
Structured Product |
PK2J79 |
SWB |
6.81 |
EUR |
| Details |
BNP Paribas SA 201.9212 C Issuer Name: BNP Paribas SA |
Structured Product |
PK3PHE |
SWB |
5.71 |
EUR |
| Details |
BNP Paribas SA 231.3753 P Issuer Name: BNP Paribas SA |
Structured Product |
PK3PHF |
SWB |
10.25 |
EUR |
| Details |
BNP Paribas SA 304.6288 P Issuer Name: BNP Paribas SA |
Structured Product |
PK4TQ0 |
SWB |
50.00 |
EUR |
| Details |
BNP Paribas SA 211.715 P Issuer Name: BNP Paribas SA |
Structured Product |
PK46K7 |
SWB |
6.55 |
EUR |
| Details |
BNP Paribas SA 211.715 P Issuer Name: BNP Paribas SA |
Structured Product |
PK46K8 |
SWB |
6.80 |
EUR |
| Details |
BNP Paribas SA 211.715 P Issuer Name: BNP Paribas SA |
Structured Product |
PK46K9 |
SWB |
7.81 |
EUR |
| Details |
BNP Paribas SA 203.9726 C Issuer Name: BNP Paribas SA |
Structured Product |
BY0SXB |
SWB |
4.710 |
EUR |
| Details |
BNP Paribas SA 234.2097 P Issuer Name: BNP Paribas SA |
Structured Product |
BY056K |
SWB |
11.78 |
EUR |
| Details |
BNP Paribas SA 316.5988 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1PCF |
SWB |
56.50 |
EUR |
| Details |
BNP Paribas SA 237.5663 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1RK0 |
SWB |
13.61 |
EUR |
| Details |
BNP Paribas SA 282.3421 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1VY6 |
SWB |
37.91 |
EUR |
| Details |
BNP Paribas SA 243.7856 P Issuer Name: BNP Paribas SA |
Structured Product |
BY1ZSR |
SWB |
16.98 |
EUR |
| Details |
BNP Paribas SA 215.0078 P Issuer Name: BNP Paribas SA |
Structured Product |
BY2F0C |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 213.5783 P Issuer Name: BNP Paribas SA |
Structured Product |
PK7HZ8 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 208 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2RCF |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 206 C Issuer Name: BNP Paribas SA |
Structured Product |
BY2SLR |
SWB |
3.500 |
EUR |
| Details |
BNP Paribas SA 208 C Issuer Name: BNP Paribas SA |
Structured Product |
BY264U |
SWB |
2.410 |
EUR |
| Details |
DZ Bank 145.5952 C Issuer Name: DZ Bank |
Structured Product |
DJ9BLP |
SWB |
36.29 |
EUR |
| Details |
DZ Bank 138.0106 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9B |
SWB |
40.41 |
EUR |
| Details |
DZ Bank 139.952 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9C |
SWB |
39.35 |
EUR |
| Details |
DZ Bank 141.8943 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9D |
SWB |
38.30 |
EUR |
| Details |
DZ Bank 143.8416 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9E |
SWB |
37.24 |
EUR |
| Details |
DZ Bank 145.7849 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9F |
SWB |
36.19 |
EUR |
| Details |
DZ Bank 147.725 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9G |
SWB |
35.13 |
EUR |
| Details |
DZ Bank 149.672 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9H |
SWB |
34.06 |
EUR |
| Details |
DZ Bank 151.612 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9J |
SWB |
33.02 |
EUR |
| Details |
DZ Bank 153.5497 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9K |
SWB |
31.97 |
EUR |
| Details |
DZ Bank 155.5037 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9L |
SWB |
30.91 |
EUR |
| Details |
DZ Bank 157.4402 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9M |
SWB |
29.86 |
EUR |
| Details |
DZ Bank 159.3878 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9N |
SWB |
28.80 |
EUR |
| Details |
DZ Bank 161.3272 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9P |
SWB |
27.75 |
EUR |
| Details |
DZ Bank 163.2745 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9Q |
SWB |
26.69 |
EUR |
| Details |
DZ Bank 165.2239 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9R |
SWB |
25.63 |
EUR |
| Details |
DZ Bank 167.1686 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9S |
SWB |
24.58 |
EUR |
| Details |
DZ Bank 169.1141 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9T |
SWB |
23.52 |
EUR |
| Details |
DZ Bank 171.0489 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9U |
SWB |
22.47 |
EUR |
| Details |
DZ Bank 172.9976 C Issuer Name: DZ Bank |
Structured Product |
DJ9C9V |
SWB |
21.41 |
EUR |
| Details |
DZ Bank 173.3644 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRB |
SWB |
21.21 |
EUR |
| Details |
DZ Bank 173.8484 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRC |
SWB |
20.95 |
EUR |
| Details |
DZ Bank 174.3276 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRD |
SWB |
20.69 |
EUR |
| Details |
DZ Bank 174.821 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRE |
SWB |
20.42 |
EUR |
| Details |
DZ Bank 175.3101 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRF |
SWB |
20.16 |
EUR |
| Details |
DZ Bank 175.7828 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRG |
SWB |
19.90 |
EUR |
| Details |
DZ Bank 176.2765 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRH |
SWB |
19.63 |
EUR |
| Details |
DZ Bank 176.7678 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRJ |
SWB |
19.37 |
EUR |
| Details |
DZ Bank 177.2533 C Issuer Name: DZ Bank |
Structured Product |
DJ9FRK |
SWB |
19.10 |
EUR |
| Details |
DZ Bank 213.6536 P Issuer Name: DZ Bank |
Structured Product |
DJ9SD6 |
SWB |
0.8300 |
EUR |
| Details |
DZ Bank 215.4185 P Issuer Name: DZ Bank |
Structured Product |
DJ9SD7 |
SWB |
1.690 |
EUR |
| Details |
DZ Bank 214.7015 P Issuer Name: DZ Bank |
Structured Product |
DJ9S1X |
SWB |
1.340 |
EUR |
| Details |
DZ Bank 216.4714 P Issuer Name: DZ Bank |
Structured Product |
DJ9S1Y |
SWB |
2.240 |
EUR |
| Details |
DZ Bank 177.958 C Issuer Name: DZ Bank |
Structured Product |
DJ9WRU |
SWB |
18.72 |
EUR |
| Details |
DZ Bank 178.948 C Issuer Name: DZ Bank |
Structured Product |
DJ9WRV |
SWB |
18.25 |
EUR |
| Details |
DZ Bank 179.9373 C Issuer Name: DZ Bank |
Structured Product |
DJ9WRW |
SWB |
17.65 |
EUR |
| Details |
DZ Bank 180.9176 C Issuer Name: DZ Bank |
Structured Product |
DJ9WRX |
SWB |
17.11 |
EUR |
| Details |
DZ Bank 181.3339 C Issuer Name: DZ Bank |
Structured Product |
DJ9ZD2 |
SWB |
16.89 |
EUR |
| Details |
DZ Bank 181.7769 C Issuer Name: DZ Bank |
Structured Product |
DJ9ZXE |
SWB |
16.65 |
EUR |
| Details |
DZ Bank 182.2728 C Issuer Name: DZ Bank |
Structured Product |
DJ9ZXF |
SWB |
16.38 |
EUR |
| Details |
DZ Bank 182.7693 C Issuer Name: DZ Bank |
Structured Product |
DJ9ZXG |
SWB |
16.11 |
EUR |
| Details |
DZ Bank 183.264 C Issuer Name: DZ Bank |
Structured Product |
DJ9ZXH |
SWB |
15.84 |
EUR |
| Details |
DZ Bank 184.1927 C Issuer Name: DZ Bank |
Structured Product |
DY3DYG |
SWB |
15.34 |
EUR |
| Details |
DZ Bank 185.1813 C Issuer Name: DZ Bank |
Structured Product |
DY3DYH |
SWB |
14.80 |
EUR |
| Details |
DZ Bank 186.2017 C Issuer Name: DZ Bank |
Structured Product |
DY3D57 |
SWB |
14.25 |
EUR |
| Details |
DZ Bank 187.1935 C Issuer Name: DZ Bank |
Structured Product |
DY3EH0 |
SWB |
13.80 |
EUR |
| Details |
DZ Bank 185.7026 C Issuer Name: DZ Bank |
Structured Product |
DY3EHX |
SWB |
14.52 |
EUR |
| Details |
DZ Bank 186.2026 C Issuer Name: DZ Bank |
Structured Product |
DY3EHY |
SWB |
14.24 |
EUR |
| Details |
DZ Bank 186.6964 C Issuer Name: DZ Bank |
Structured Product |
DY3EHZ |
SWB |
14.07 |
EUR |
| Details |
DZ Bank 189.1946 C Issuer Name: DZ Bank |
Structured Product |
DY3EM0 |
SWB |
12.71 |
EUR |
| Details |
DZ Bank 187.6986 C Issuer Name: DZ Bank |
Structured Product |
DY3EMX |
SWB |
13.52 |
EUR |
| Details |
DZ Bank 188.1979 C Issuer Name: DZ Bank |
Structured Product |
DY3EMY |
SWB |
13.25 |
EUR |
| Details |
DZ Bank 188.6979 C Issuer Name: DZ Bank |
Structured Product |
DY3EMZ |
SWB |
12.98 |
EUR |
| Details |
DZ Bank 190.1944 C Issuer Name: DZ Bank |
Structured Product |
DY3FNH |
SWB |
12.17 |
EUR |
| Details |
DZ Bank 191.1985 C Issuer Name: DZ Bank |
Structured Product |
DY3FRL |
SWB |
11.62 |
EUR |
| Details |
DZ Bank 191.7185 C Issuer Name: DZ Bank |
Structured Product |
DY3G7V |
SWB |
11.34 |
EUR |
| Details |
DZ Bank 192.6501 C Issuer Name: DZ Bank |
Structured Product |
DY3HSW |
SWB |
10.83 |
EUR |
| Details |
DZ Bank 193.1531 C Issuer Name: DZ Bank |
Structured Product |
DY3H1T |
SWB |
10.56 |
EUR |
| Details |
DZ Bank 193.7721 C Issuer Name: DZ Bank |
Structured Product |
DY3JK3 |
SWB |
10.23 |
EUR |
| Details |
DZ Bank 194.5176 C Issuer Name: DZ Bank |
Structured Product |
DY3JK4 |
SWB |
9.82 |
EUR |
| Details |
DZ Bank 194.9551 C Issuer Name: DZ Bank |
Structured Product |
DY3M68 |
SWB |
9.58 |
EUR |
| Details |
DZ Bank 195.4551 C Issuer Name: DZ Bank |
Structured Product |
DY3M69 |
SWB |
9.31 |
EUR |
| Details |
DZ Bank 195.9551 C Issuer Name: DZ Bank |
Structured Product |
DY3M7A |
SWB |
9.04 |
EUR |
| Details |
DZ Bank 196.4551 C Issuer Name: DZ Bank |
Structured Product |
DY3M7B |
SWB |
8.77 |
EUR |
| Details |
DZ Bank 197.1728 C Issuer Name: DZ Bank |
Structured Product |
DY3NCP |
SWB |
8.38 |
EUR |
| Details |
DZ Bank 197.812 C Issuer Name: DZ Bank |
Structured Product |
DY3SVG |
SWB |
8.01 |
EUR |
| Details |
DZ Bank 198.8088 C Issuer Name: DZ Bank |
Structured Product |
DY3SVH |
SWB |
7.47 |
EUR |
| Details |
DZ Bank 199.8886 C Issuer Name: DZ Bank |
Structured Product |
DY3U6K |
SWB |
6.88 |
EUR |
| Details |
DZ Bank 198.8978 C Issuer Name: DZ Bank |
Structured Product |
DY3U9J |
SWB |
7.42 |
EUR |
| Details |
DZ Bank 200.8981 C Issuer Name: DZ Bank |
Structured Product |
DY3VJA |
SWB |
6.33 |
EUR |
| Details |
DZ Bank 201.8981 C Issuer Name: DZ Bank |
Structured Product |
DY3VJB |
SWB |
5.79 |
EUR |
| Details |
DZ Bank 202.9125 C Issuer Name: DZ Bank |
Structured Product |
DY3V1D |
SWB |
5.24 |
EUR |
| Details |
DZ Bank 203.9197 C Issuer Name: DZ Bank |
Structured Product |
DY3V7W |
SWB |
4.710 |
EUR |
| Details |
DZ Bank 204.9317 C Issuer Name: DZ Bank |
Structured Product |
DY3WEZ |
SWB |
4.160 |
EUR |
| Details |
DZ Bank 205.9605 C Issuer Name: DZ Bank |
Structured Product |
DY3WXQ |
SWB |
3.600 |
EUR |
| Details |
DZ Bank 217.5332 P Issuer Name: DZ Bank |
Structured Product |
DY3W4N |
SWB |
2.810 |
EUR |
| Details |
DZ Bank 218.5176 P Issuer Name: DZ Bank |
Structured Product |
DY3W4P |
SWB |
3.350 |
EUR |
| Details |
DZ Bank 219.5019 P Issuer Name: DZ Bank |
Structured Product |
DY3W4Q |
SWB |
3.880 |
EUR |
| Details |
DZ Bank 220.4862 P Issuer Name: DZ Bank |
Structured Product |
DY3W4R |
SWB |
4.420 |
EUR |
| Details |
DZ Bank 221.4705 P Issuer Name: DZ Bank |
Structured Product |
DY3W4S |
SWB |
4.950 |
EUR |
| Details |
DZ Bank 222.4547 P Issuer Name: DZ Bank |
Structured Product |
DY3W4T |
SWB |
5.49 |
EUR |
| Details |
DZ Bank 223.4392 P Issuer Name: DZ Bank |
Structured Product |
DY3W4U |
SWB |
6.02 |
EUR |
| Details |
DZ Bank 224.4235 P Issuer Name: DZ Bank |
Structured Product |
DY3W4V |
SWB |
6.55 |
EUR |
| Details |
DZ Bank 225.4076 P Issuer Name: DZ Bank |
Structured Product |
DY3W4W |
SWB |
7.09 |
EUR |
| Details |
DZ Bank 226.392 P Issuer Name: DZ Bank |
Structured Product |
DY3W4X |
SWB |
7.62 |
EUR |
| Details |
DZ Bank 207.004 C Issuer Name: DZ Bank |
Structured Product |
DY3XR4 |
SWB |
3.040 |
EUR |
| Details |
DZ Bank 212.0814 P Issuer Name: DZ Bank |
Structured Product |
DY3Z6W |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 213.0417 P Issuer Name: DZ Bank |
Structured Product |
DY3Z6X |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 209.615 P Issuer Name: DZ Bank |
Structured Product |
DY3Z9L |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 210.6128 P Issuer Name: DZ Bank |
Structured Product |
DY3Z9M |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 211.5758 P Issuer Name: DZ Bank |
Structured Product |
DY3Z9N |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 208 C Issuer Name: DZ Bank |
Structured Product |
DY30LH |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 209 C Issuer Name: DZ Bank |
Structured Product |
DY30LJ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 209 P Issuer Name: DZ Bank |
Structured Product |
DY30P0 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 208 P Issuer Name: DZ Bank |
Structured Product |
DY30PZ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 208.0068 C Issuer Name: DZ Bank |
Structured Product |
DY30U7 |
SWB |
2.490 |
EUR |
| Details |
DZ Bank 209 C Issuer Name: DZ Bank |
Structured Product |
DY30U8 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 209.0068 C Issuer Name: DZ Bank |
Structured Product |
DY3068 |
SWB |
1.950 |
EUR |
| Details |
DZ Bank 210 C Issuer Name: DZ Bank |
Structured Product |
DY3069 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 210.4 P Issuer Name: DZ Bank |
Structured Product |
DY31LV |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 211.2956 P Issuer Name: DZ Bank |
Structured Product |
DY31LW |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 209.25 P Issuer Name: DZ Bank |
Structured Product |
DY31ZJ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 210.25 P Issuer Name: DZ Bank |
Structured Product |
DY31ZK |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 210.0036 C Issuer Name: DZ Bank |
Structured Product |
DY313U |
SWB |
1.410 |
EUR |
| Details |
DZ Bank 211.0012 C Issuer Name: DZ Bank |
Structured Product |
DY313V |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 212.75 P Issuer Name: DZ Bank |
Structured Product |
DY32G0 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 211.75 P Issuer Name: DZ Bank |
Structured Product |
DY32GZ |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 211 C Issuer Name: DZ Bank |
Structured Product |
DY32LG |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 211 C Issuer Name: DZ Bank |
Structured Product |
DY32XA |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 212 C Issuer Name: DZ Bank |
Structured Product |
DY32XB |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 108.4998 C Issuer Name: Morgan Stanley |
Structured Product |
MA71D1 |
SWB |
58.03 |
EUR |
| Details |
Morgan Stanley 181.6923 C Issuer Name: Morgan Stanley |
Structured Product |
MD9J2Z |
SWB |
0.0370 |
EUR |
| Details |
Morgan Stanley 154.2558 C Issuer Name: Morgan Stanley |
Structured Product |
MB0A1Y |
SWB |
32.53 |
EUR |
| Details |
Morgan Stanley 180 C Issuer Name: Morgan Stanley |
Structured Product |
ME6J2F |
SWB |
18.10 |
EUR |
| Details |
Morgan Stanley 178.2179 C Issuer Name: Morgan Stanley |
Structured Product |
ME6J37 |
SWB |
19.06 |
EUR |
| Details |
Morgan Stanley 120 C Issuer Name: Morgan Stanley |
Structured Product |
MG0MU9 |
SWB |
50.34 |
EUR |
| Details |
Morgan Stanley 158.4159 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CK |
SWB |
29.52 |
EUR |
| Details |
Morgan Stanley 168.3169 C Issuer Name: Morgan Stanley |
Structured Product |
MG11CL |
SWB |
24.15 |
EUR |
| Details |
Morgan Stanley 169.4676 C Issuer Name: Morgan Stanley |
Structured Product |
MG11JZ |
SWB |
11.81 |
EUR |
| Details |
Morgan Stanley 160 C Issuer Name: Morgan Stanley |
Structured Product |
MG11U2 |
SWB |
28.67 |
EUR |
| Details |
Morgan Stanley 170 C Issuer Name: Morgan Stanley |
Structured Product |
MG11U3 |
SWB |
23.24 |
EUR |
| Details |
Morgan Stanley 228.7812 C Issuer Name: Morgan Stanley |
Structured Product |
MG132X |
SWB |
1.450 |
EUR |
| Details |
Morgan Stanley 175 C Issuer Name: Morgan Stanley |
Structured Product |
MG167R |
SWB |
20.53 |
EUR |
| Details |
Morgan Stanley 255.1507 C Issuer Name: Morgan Stanley |
Structured Product |
MG169J |
SWB |
3.020 |
EUR |
| Details |
Morgan Stanley 224.168 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVS |
SWB |
1.060 |
EUR |
| Details |
Morgan Stanley 216.162 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVT |
SWB |
0.4700 |
EUR |
| Details |
Morgan Stanley 211.3584 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVU |
SWB |
0.1940 |
EUR |
| Details |
Morgan Stanley 208.156 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVV |
SWB |
0.0730 |
EUR |
| Details |
Morgan Stanley 204.9536 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QVW |
SWB |
0.0150 |
EUR |
| Details |
Morgan Stanley 96.072 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYD |
SWB |
10.74 |
EUR |
| Details |
Morgan Stanley 128.096 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYE |
SWB |
11.45 |
EUR |
| Details |
Morgan Stanley 144.108 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYF |
SWB |
11.97 |
EUR |
| Details |
Morgan Stanley 153.7152 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYG |
SWB |
12.27 |
EUR |
| Details |
Morgan Stanley 160.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYH |
SWB |
12.33 |
EUR |
| Details |
Morgan Stanley 164.6949 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYJ |
SWB |
12.15 |
EUR |
| Details |
Morgan Stanley 168.126 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYK |
SWB |
11.73 |
EUR |
| Details |
Morgan Stanley 172.9296 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYL |
SWB |
10.26 |
EUR |
| Details |
Morgan Stanley 176.132 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYM |
SWB |
8.23 |
EUR |
| Details |
Morgan Stanley 179.3344 C Issuer Name: Morgan Stanley |
Structured Product |
MG1QYN |
SWB |
4.970 |
EUR |
| Details |
Morgan Stanley 214.23 C Issuer Name: Morgan Stanley |
Structured Product |
MG2JMA |
SWB |
0.3300 |
EUR |
| Details |
Morgan Stanley 292.32 C Issuer Name: Morgan Stanley |
Structured Product |
MG3CXE |
SWB |
4.530 |
EUR |
| Details |
Morgan Stanley 214.2437 C Issuer Name: Morgan Stanley |
Structured Product |
MG6FU5 |
SWB |
0.0480 |
EUR |
| Details |
Morgan Stanley 253.0631 C Issuer Name: Morgan Stanley |
Structured Product |
MG6KJM |
SWB |
3.190 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MG8FF5 |
SWB |
3.770 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MJ1SPW |
SWB |
5.38 |
EUR |
| Details |
Morgan Stanley 210.3877 C Issuer Name: Morgan Stanley |
Structured Product |
MJ377C |
SWB |
0.2700 |
EUR |
| Details |
Morgan Stanley 240 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3APF |
SWB |
1.210 |
EUR |
| Details |
Morgan Stanley 242.4242 P Issuer Name: Morgan Stanley |
Structured Product |
MJ47JZ |
SWB |
2.870 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MJ59GM |
SWB |
7.02 |
EUR |
| Details |
Morgan Stanley 215.4163 C Issuer Name: Morgan Stanley |
Structured Product |
MJ759P |
SWB |
0.7900 |
EUR |
| Details |
Morgan Stanley 208.8885 C Issuer Name: Morgan Stanley |
Structured Product |
MJ759Q |
SWB |
0.1700 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MJ93FD |
SWB |
8.98 |
EUR |
| Details |
Morgan Stanley 176.582 C Issuer Name: Morgan Stanley |
Structured Product |
MK03ZN |
SWB |
19.29 |
EUR |
| Details |
Morgan Stanley 242.4242 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XDH |
SWB |
5.87 |
EUR |
| Details |
Morgan Stanley 240 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XPM |
SWB |
4.660 |
EUR |
| Details |
Morgan Stanley 232 P Issuer Name: Morgan Stanley |
Structured Product |
MK0XPN |
SWB |
0.6800 |
EUR |
| Details |
Morgan Stanley 118.8119 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XQB |
SWB |
50.52 |
EUR |
| Details |
Morgan Stanley 148.5149 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XQC |
SWB |
34.32 |
EUR |
| Details |
Morgan Stanley 173.2674 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XQD |
SWB |
20.81 |
EUR |
| Details |
Morgan Stanley 120 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS0 |
SWB |
49.87 |
EUR |
| Details |
Morgan Stanley 130 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS1 |
SWB |
44.42 |
EUR |
| Details |
Morgan Stanley 144 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS2 |
SWB |
36.78 |
EUR |
| Details |
Morgan Stanley 162 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS3 |
SWB |
26.95 |
EUR |
| Details |
Morgan Stanley 168 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS4 |
SWB |
23.68 |
EUR |
| Details |
Morgan Stanley 172 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS5 |
SWB |
21.50 |
EUR |
| Details |
Morgan Stanley 176 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS6 |
SWB |
19.32 |
EUR |
| Details |
Morgan Stanley 179 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS7 |
SWB |
17.68 |
EUR |
| Details |
Morgan Stanley 180 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS8 |
SWB |
17.14 |
EUR |
| Details |
Morgan Stanley 181 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XS9 |
SWB |
16.59 |
EUR |
| Details |
Morgan Stanley 182 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XSA |
SWB |
16.04 |
EUR |
| Details |
Morgan Stanley 183 C Issuer Name: Morgan Stanley |
Structured Product |
MK0XSB |
SWB |
15.50 |
EUR |
| Details |
Morgan Stanley 215.0622 C Issuer Name: Morgan Stanley |
Structured Product |
MK2U58 |
SWB |
1.290 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MK38DY |
SWB |
10.67 |
EUR |
| Details |
Morgan Stanley 188.1189 C Issuer Name: Morgan Stanley |
Structured Product |
MK61EX |
SWB |
12.71 |
EUR |
| Details |
Morgan Stanley 217.377 C Issuer Name: Morgan Stanley |
Structured Product |
MK61K5 |
SWB |
1.900 |
EUR |
| Details |
Morgan Stanley 190 C Issuer Name: Morgan Stanley |
Structured Product |
MK61X4 |
SWB |
11.69 |
EUR |
| Details |
Morgan Stanley 250 P Issuer Name: Morgan Stanley |
Structured Product |
MK7P1T |
SWB |
12.36 |
EUR |
| Details |
Morgan Stanley 212.01 C Issuer Name: Morgan Stanley |
Structured Product |
MK880P |
SWB |
1.090 |
EUR |
| Details |
Morgan Stanley 210.1664 C Issuer Name: Morgan Stanley |
Structured Product |
MK923K |
SWB |
0.7100 |
EUR |
| Details |
Morgan Stanley 242.4242 P Issuer Name: Morgan Stanley |
Structured Product |
MM008T |
SWB |
9.59 |
EUR |
| Details |
Morgan Stanley 195 C Issuer Name: Morgan Stanley |
Structured Product |
MM1QR0 |
SWB |
9.03 |
EUR |
| Details |
Morgan Stanley 233.0306 C Issuer Name: Morgan Stanley |
Structured Product |
MM2703 |
SWB |
4.400 |
EUR |
| Details |
Morgan Stanley 242.889 P Issuer Name: Morgan Stanley |
Structured Product |
MM59BA |
SWB |
5.91 |
EUR |
| Details |
Morgan Stanley 222.6482 P Issuer Name: Morgan Stanley |
Structured Product |
MM59BB |
SWB |
3.530 |
EUR |
| Details |
Morgan Stanley 200 C Issuer Name: Morgan Stanley |
Structured Product |
MM721J |
SWB |
6.43 |
EUR |
| Details |
Morgan Stanley 198.0199 C Issuer Name: Morgan Stanley |
Structured Product |
MM747F |
SWB |
7.50 |
EUR |
| Details |
Morgan Stanley 242.4242 P Issuer Name: Morgan Stanley |
Structured Product |
MM7PKA |
SWB |
13.12 |
EUR |
| Details |
Morgan Stanley 217.5643 P Issuer Name: Morgan Stanley |
Structured Product |
MM7S5R |
SWB |
2.860 |
EUR |
| Details |
Morgan Stanley 227.34 P Issuer Name: Morgan Stanley |
Structured Product |
MM8619 |
SWB |
5.10 |
EUR |
| Details |
Morgan Stanley 221.6565 P Issuer Name: Morgan Stanley |
Structured Product |
MM861A |
SWB |
4.010 |
EUR |
| Details |
Morgan Stanley 205 C Issuer Name: Morgan Stanley |
Structured Product |
MM8MGJ |
SWB |
3.750 |
EUR |
| Details |
Morgan Stanley 237.078 P Issuer Name: Morgan Stanley |
Structured Product |
MM9ZR0 |
SWB |
7.72 |
EUR |
| Details |
Morgan Stanley 210 P Issuer Name: Morgan Stanley |
Structured Product |
MN37PY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 240 P Issuer Name: Morgan Stanley |
Structured Product |
MN3DB7 |
SWB |
14.16 |
EUR |
| Details |
Morgan Stanley 212.1212 P Issuer Name: Morgan Stanley |
Structured Product |
MN3EXD |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 210 C Issuer Name: Morgan Stanley |
Structured Product |
MN45QD |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 210 C Issuer Name: Morgan Stanley |
Structured Product |
MN4W7R |
SWB |
1.330 |
EUR |
| Details |
Morgan Stanley 207.9208 C Issuer Name: Morgan Stanley |
Structured Product |
MN51LR |
SWB |
2.450 |
EUR |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1334 |
GCU |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1818 |
AUD |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1277 |
USD |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
1.193 |
SEK |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
n/a |
HKD |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1103 |
EUR |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.8817 |
CNH |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
192.17 |
KRW |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1637 |
SGD |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1752 |
CAD |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.1006 |
CHF |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
0.0957 |
GBP |
| Details |
Hong Kong dollar |
Forex |
HKD |
|
20.33 |
JPY |
| Details |
Hong Kong dollar |
CFD |
HKD |
|
20.33 |
JPY |
| Details |
Hungarian forint |
Forex |
HUF |
|
n/a |
HUF |
| Details |
Hungarian forint |
Forex |
HUF |
|
0.0022 |
GBP |
| Details |
Hungarian forint |
Forex |
HUF |
|
0.0025 |
EUR |
| Details |
Hungarian forint |
Forex |
HUF |
|
0.0029 |
USD |
| Details |
Hungarian forint |
Forex |
HUF |
|
0.0031 |
GCU |
| Details |
Hungarian forint Futures Type: Foreign Exchange |
Futures |
EHF |
CME |
|
EUR |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0054 |
EUR |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0066 |
GCU |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0063 |
USD |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0089 |
AUD |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0492 |
HKD |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0587 |
SEK |
| Details |
Japanese yen |
Forex |
JPY |
|
9.45 |
KRW |
| Details |
Japanese yen |
Forex |
JPY |
|
0.5884 |
INR |
| Details |
Japanese yen |
Forex |
JPY |
|
0.1125 |
MXN |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0086 |
CAD |
| Details |
Japanese yen |
Forex |
JPY |
|
0.2782 |
TRY |
| Details |
Japanese yen |
Forex |
JPY |
|
n/a |
JPY |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0047 |
GBP |
| Details |
Japanese yen |
Forex |
JPY |
|
0.0049 |
CHF |
| Details |
Japanese yen Futures Type: Foreign Exchange |
Futures |
J7 |
CME |
|
USD |
| Details |
Japanese yen Futures Type: Foreign Exchange |
Futures |
JPY |
CME |
|
USD |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.0783 |
GBP |
| Details |
Norwegian krone |
Forex |
NOK |
|
16.64 |
JPY |
| Details |
Norwegian krone |
Forex |
NOK |
|
n/a |
NOK |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.1434 |
CAD |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.0903 |
EUR |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.1045 |
USD |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.1092 |
GCU |
| Details |
Norwegian krone |
Forex |
NOK |
|
0.9765 |
SEK |
| Details |
Norwegian krone |
CFD |
NOK |
|
0.9765 |
SEK |
| Details |
Norwegian krone |
CFD |
NOK |
|
16.64 |
JPY |
| Details |
Norwegian krone Futures Type: Foreign Exchange |
Futures |
NJ |
NYBOT |
|
SEK |
| Details |
Norwegian krone Futures Type: Foreign Exchange |
Futures |
NSK |
CME |
|
SEK |
| Details |
Polish zloty |
Forex |
PLN |
|
0.2339 |
EUR |
| Details |
Polish zloty |
Forex |
PLN |
|
0.2706 |
USD |
| Details |
Polish zloty |
Forex |
PLN |
|
0.2827 |
GCU |
| Details |
Polish zloty |
Forex |
PLN |
|
n/a |
PLN |
| Details |
Polish zloty |
Forex |
PLN |
|
0.2029 |
GBP |
| Details |
Polish zloty Futures Type: Foreign Exchange |
Futures |
PLN |
CME |
|
USD |
| Details |
Russian ruble |
Forex |
RUB |
|
n/a |
RUB |
| Details |
Russian ruble |
Forex |
RUB |
|
0.0104 |
EUR |
| Details |
Russian ruble |
Forex |
RUB |
|
0.0126 |
GCU |
| Details |
Russian ruble |
Forex |
RUB |
|
0.0120 |
USD |
| Details |
Russian ruble |
Forex |
RUB |
|
1.0000 |
RUS |
| Details |
Swedish krona |
Forex |
SEK |
|
0.0843 |
CHF |
| Details |
Swedish krona |
Forex |
SEK |
|
0.0802 |
GBP |
| Details |
Swedish krona |
Forex |
SEK |
|
17.04 |
JPY |
| Details |
Swedish krona |
Forex |
SEK |
|
1.024 |
NOK |
| Details |
Swedish krona |
Forex |
SEK |
|
0.1118 |
GCU |
| Details |
Swedish krona |
Forex |
SEK |
|
0.1070 |
USD |
| Details |
Swedish krona |
Forex |
SEK |
|
n/a |
SEK |
| Details |
Swedish krona |
Forex |
SEK |
|
0.0925 |
EUR |
| Details |
Swedish krona |
CFD |
SEK |
|
17.04 |
JPY |
| Details |
Swedish krona Futures Type: Foreign Exchange |
Futures |
SEK |
CME |
|
USD |
| Details |
Slovak koruna |
Forex |
SKK |
|
n/a |
SKK |
| Details |
Slovak koruna |
Forex |
SKK |
|
0.0332 |
EUR |
| Details |
Slovak koruna |
Forex |
SKK |
|
0.0401 |
GCU |
| Details |
Slovak koruna |
Forex |
SKK |
|
0.0384 |
USD |
| Details |
United States dollar |
Forex |
USD |
|
1,391.5 |
ARS |
| Details |
United States dollar |
Forex |
USD |
|
3.673 |
AED |
| Details |
United States dollar |
Forex |
USD |
|
0.7496 |
GBP |
| Details |
United States dollar |
Forex |
USD |
|
9.57 |
NOK |
| Details |
United States dollar |
Forex |
USD |
|
32.86 |
THB |
| Details |
United States dollar |
Forex |
USD |
|
6.46 |
DKK |
| Details |
United States dollar |
Forex |
USD |
|
44.30 |
TRY |
| Details |
United States dollar |
Forex |
USD |
|
0.5058 |
CYP |
| Details |
United States dollar |
Forex |
USD |
|
1.665 |
BGN |
| Details |
United States dollar |
Forex |
USD |
|
93.69 |
INR |
| Details |
United States dollar |
Forex |
USD |
|
0.6074 |
LVL |
| Details |
United States dollar |
Forex |
USD |
|
21.15 |
CZK |
| Details |
United States dollar |
Forex |
USD |
|
0.8643 |
EUR |
| Details |
United States dollar |
Forex |
USD |
|
32.03 |
TWD |
| Details |
United States dollar |
Forex |
USD |
|
1.424 |
AUD |
| Details |
United States dollar |
Forex |
USD |
|
207.11 |
SIT |
| Details |
United States dollar |
Forex |
USD |
|
16,980.0 |
IDR |
| Details |
United States dollar |
Forex |
USD |
|
5.31 |
BRL |
| Details |
United States dollar |
Forex |
USD |
|
159.23 |
JPY |
| Details |
United States dollar |
Forex |
USD |
|
339.89 |
HUF |
| Details |
United States dollar |
Forex |
USD |
|
1.372 |
CAD |
| Details |
United States dollar |
Forex |
USD |
|
0.3776 |
BHD |
| Details |
United States dollar |
Forex |
USD |
|
3.755 |
SAR |
| Details |
United States dollar |
Forex |
USD |
|
6.89 |
CNY |
| Details |
United States dollar |
Forex |
USD |
|
3.940 |
MYR |
| Details |
United States dollar |
Forex |
USD |
|
0.3710 |
MTL |
| Details |
United States dollar |
Forex |
USD |
|
0.3066 |
KWD |
| Details |
United States dollar |
Forex |
USD |
|
0.3850 |
OMR |
| Details |
United States dollar |
Forex |
USD |
|
9.34 |
SEK |
| Details |
United States dollar |
Forex |
USD |
|
927.10 |
CLP |
| Details |
United States dollar |
Forex |
USD |
|
26.04 |
SKK |
| Details |
United States dollar |
Forex |
USD |
|
2.984 |
LTL |
| Details |
United States dollar |
Forex |
USD |
|
1.282 |
SGD |
| Details |
United States dollar |
Forex |
USD |
|
59.84 |
PHP |
| Details |
United States dollar |
Forex |
USD |
|
1,505.3 |
KRW |
| Details |
United States dollar |
Forex |
USD |
|
3.695 |
PLN |
| Details |
United States dollar |
Forex |
USD |
|
83.13 |
RUB |
| Details |
United States dollar |
Forex |
USD |
|
n/a |
USD |
| Details |
United States dollar |
Forex |
USD |
|
4.402 |
RON |
| Details |
United States dollar |
Forex |
USD |
|
7.83 |
HKD |
| Details |
United States dollar |
Forex |
USD |
|
17.01 |
ZAR |
| Details |
United States dollar |
Forex |
USD |
|
0.7881 |
CHF |
| Details |
United States dollar |
Forex |
USD |
|
6.51 |
HRK |
| Details |
United States dollar |
Forex |
USD |
|
124.29 |
ISK |
| Details |
United States dollar |
Forex |
USD |
|
83.13 |
RUS |
| Details |
United States dollar |
Forex |
USD |
|
3.655 |
QAR |
| Details |
United States dollar |
Forex |
USD |
|
6.91 |
CNH |
| Details |
United States dollar |
Forex |
USD |
|
17.92 |
MXN |
| Details |
United States dollar |
Forex |
USD |
|
3.132 |
ILS |
| Details |
United States dollar |
Forex |
USD |
|
1.715 |
NZD |
| Details |
United States dollar |
Forex |
USD |
|
1.045 |
GCU |
| Details |
United States dollar |
Forex |
USD |
|
13.52 |
EEK |
| Details |
United States dollar |
CFD |
USD |
|
0.7881 |
CHF |
| Details |
United States dollar |
CFD |
USD |
|
6.91 |
CNH |
| Details |
United States dollar |
CFD |
USD |
|
3.695 |
PLN |
| Details |
United States dollar |
CFD |
USD |
|
7.83 |
HKD |
| Details |
United States dollar |
CFD |
USD |
|
1.372 |
CAD |
| Details |
United States dollar |
CFD |
USD |
|
6.46 |
DKK |
| Details |
United States dollar |
CFD |
USD |
|
9.34 |
SEK |
| Details |
United States dollar |
CFD |
USD |
|
21.15 |
CZK |
| Details |
United States dollar |
CFD |
USD |
|
17.92 |
MXN |
| Details |
United States dollar |
CFD |
USD |
|
83.13 |
RUB |
| Details |
United States dollar |
CFD |
USD |
|
9.57 |
NOK |
| Details |
United States dollar |
CFD |
USD |
|
3.132 |
ILS |
| Details |
United States dollar |
CFD |
USD |
|
159.23 |
JPY |
| Details |
United States dollar |
CFD |
USD |
|
1.282 |
SGD |
| Details |
United States dollar |
CFD |
USD |
|
17.01 |
ZAR |
| Details |
United States dollar |
CFD |
USD |
|
339.89 |
HUF |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
CNH |
HKFE |
|
CNH |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
INR |
SGX |
|
USD |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
CNH |
CME |
|
CNH |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
USDZAR |
NYBOT |
|
ZAR |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
KWY |
KSE |
|
KRW |
| Details |
United States dollar Futures Type: Foreign Exchange |
Futures |
DEUA |
MEXDER |
|
MXN |
| Details |
Bank Vontobel 1.3265 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TME |
SWB |
1.710 |
EUR |
| Details |
Bank Vontobel 1.3334 C Issuer Name: Bank Vontobel |
Structured Product |
VV3TMK |
SWB |
1.310 |
EUR |
| Details |
Bank Vontobel 1.3212 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UL1 |
SWB |
2.110 |
EUR |
| Details |
Bank Vontobel 1.3156 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UL3 |
SWB |
2.430 |
EUR |
| Details |
Bank Vontobel 1.3222 C Issuer Name: Bank Vontobel |
Structured Product |
VV3UL4 |
SWB |
2.020 |
EUR |
| Details |
Bank Vontobel 1.3277 C Issuer Name: Bank Vontobel |
Structured Product |
VV3ULU |
SWB |
1.600 |
EUR |
| Details |
Bank Vontobel 1.3139 C Issuer Name: Bank Vontobel |
Structured Product |
VV4QJK |
SWB |
2.550 |
EUR |
| Details |
Bank Vontobel 1.3073 C Issuer Name: Bank Vontobel |
Structured Product |
VV4QJM |
SWB |
2.880 |
EUR |
| Details |
Bank Vontobel 1.4351 P Issuer Name: Bank Vontobel |
Structured Product |
VG0KP5 |
SWB |
1.330 |
EUR |
| Details |
Bank Vontobel 1.4399 P Issuer Name: Bank Vontobel |
Structured Product |
VG0KPA |
SWB |
1.630 |
EUR |
| Details |
Bank Vontobel 1.4536 P Issuer Name: Bank Vontobel |
Structured Product |
VG0KPZ |
SWB |
2.400 |
EUR |
| Details |
Bank Vontobel 1.4451 P Issuer Name: Bank Vontobel |
Structured Product |
VG0SZE |
SWB |
1.940 |
EUR |
| Details |
Bank Vontobel 1.4589 P Issuer Name: Bank Vontobel |
Structured Product |
VG0SZM |
SWB |
2.720 |
EUR |
| Details |
Bank Vontobel 1.4503 P Issuer Name: Bank Vontobel |
Structured Product |
VG0ZMS |
SWB |
2.270 |
EUR |
| Details |
Bank Vontobel 1.4641 P Issuer Name: Bank Vontobel |
Structured Product |
VG0ZMU |
SWB |
3.030 |
EUR |
| Details |
Bank Vontobel 1.4559 P Issuer Name: Bank Vontobel |
Structured Product |
VG08V6 |
SWB |
2.610 |
EUR |
| Details |
Bank Vontobel 1.4689 P Issuer Name: Bank Vontobel |
Structured Product |
VG08WD |
SWB |
3.380 |
EUR |
| Details |
Bank Vontobel 1.461 P Issuer Name: Bank Vontobel |
Structured Product |
VG1CX0 |
SWB |
2.920 |
EUR |
| Details |
Bank Vontobel 1.4837 P Issuer Name: Bank Vontobel |
Structured Product |
VG1CX1 |
SWB |
4.290 |
EUR |
| Details |
Bank Vontobel 1.4789 P Issuer Name: Bank Vontobel |
Structured Product |
VG1CX2 |
SWB |
3.990 |
EUR |
| Details |
Bank Vontobel 1.474 P Issuer Name: Bank Vontobel |
Structured Product |
VG1CXL |
SWB |
3.700 |
EUR |
| Details |
Bank Vontobel 1.4658 P Issuer Name: Bank Vontobel |
Structured Product |
VG1CXR |
SWB |
3.210 |
EUR |
| Details |
Bank Vontobel 1.4708 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAE |
SWB |
3.510 |
EUR |
| Details |
Bank Vontobel 1.4936 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAF |
SWB |
4.900 |
EUR |
| Details |
Bank Vontobel 1.4994 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAK |
SWB |
5.20 |
EUR |
| Details |
Bank Vontobel 1.4888 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAL |
SWB |
4.610 |
EUR |
| Details |
Bank Vontobel 1.4804 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAM |
SWB |
4.090 |
EUR |
| Details |
Bank Vontobel 1.4756 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAN |
SWB |
3.800 |
EUR |
| Details |
Bank Vontobel 1.4852 P Issuer Name: Bank Vontobel |
Structured Product |
VG1JAV |
SWB |
4.400 |
EUR |
| Details |
Bank Vontobel 1.4928 P Issuer Name: Bank Vontobel |
Structured Product |
VG3RN2 |
SWB |
4.740 |
EUR |
| Details |
Bank Vontobel 1.4977 P Issuer Name: Bank Vontobel |
Structured Product |
VG3RPA |
SWB |
5.02 |
EUR |
| Details |
Bank Vontobel 1.511 P Issuer Name: Bank Vontobel |
Structured Product |
VG3RPD |
SWB |
5.82 |
EUR |
| Details |
Bank Vontobel 1.5045 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WHH |
SWB |
5.51 |
EUR |
| Details |
Bank Vontobel 1.5248 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WJ3 |
SWB |
6.76 |
EUR |
| Details |
Bank Vontobel 1.5094 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WJ8 |
SWB |
5.81 |
EUR |
| Details |
Bank Vontobel 1.4446 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WJU |
SWB |
1.900 |
EUR |
| Details |
Bank Vontobel 1.52 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WKA |
SWB |
6.40 |
EUR |
| Details |
Bank Vontobel 1.5336 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WKC |
SWB |
7.35 |
EUR |
| Details |
Bank Vontobel 1.5297 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WKE |
SWB |
6.99 |
EUR |
| Details |
Bank Vontobel 1.5142 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WKF |
SWB |
6.17 |
EUR |
| Details |
Bank Vontobel 1.5424 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WL3 |
SWB |
7.81 |
EUR |
| Details |
Bank Vontobel 1.5042 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLL |
SWB |
5.49 |
EUR |
| Details |
Bank Vontobel 1.5326 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLM |
SWB |
7.21 |
EUR |
| Details |
Bank Vontobel 1.5228 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLN |
SWB |
6.59 |
EUR |
| Details |
Bank Vontobel 1.5287 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLP |
SWB |
6.98 |
EUR |
| Details |
Bank Vontobel 1.5375 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLQ |
SWB |
7.48 |
EUR |
| Details |
Bank Vontobel 1.518 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLR |
SWB |
6.32 |
EUR |
| Details |
Bank Vontobel 1.5473 P Issuer Name: Bank Vontobel |
Structured Product |
VG4WLS |
SWB |
8.18 |
EUR |
| Details |
Bank Vontobel 1.5904 P Issuer Name: Bank Vontobel |
Structured Product |
VH26E0 |
SWB |
10.89 |
EUR |
| Details |
Bank Vontobel 1.618 P Issuer Name: Bank Vontobel |
Structured Product |
VH26E1 |
SWB |
12.47 |
EUR |
| Details |
Bank Vontobel 1.5628 P Issuer Name: Bank Vontobel |
Structured Product |
VH26E2 |
SWB |
9.14 |
EUR |
| Details |
Bank Vontobel 1.2234 C Issuer Name: Bank Vontobel |
Structured Product |
VH26ER |
SWB |
8.39 |
EUR |
| Details |
Bank Vontobel 1.182 C Issuer Name: Bank Vontobel |
Structured Product |
VH26ES |
SWB |
11.01 |
EUR |
| Details |
Bank Vontobel 1.5766 P Issuer Name: Bank Vontobel |
Structured Product |
VH26ET |
SWB |
10.05 |
EUR |
| Details |
Bank Vontobel 1.1268 C Issuer Name: Bank Vontobel |
Structured Product |
VH26EU |
SWB |
14.54 |
EUR |
| Details |
Bank Vontobel 1.6318 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EV |
SWB |
13.36 |
EUR |
| Details |
Bank Vontobel 1.1406 C Issuer Name: Bank Vontobel |
Structured Product |
VH26EW |
SWB |
13.57 |
EUR |
| Details |
Bank Vontobel 1.549 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EX |
SWB |
8.29 |
EUR |
| Details |
Bank Vontobel 1.6042 P Issuer Name: Bank Vontobel |
Structured Product |
VH26EY |
SWB |
11.63 |
EUR |
| Details |
Bank Vontobel 1.113 C Issuer Name: Bank Vontobel |
Structured Product |
VH26EZ |
SWB |
15.34 |
EUR |
| Details |
Bank Vontobel 1.2372 C Issuer Name: Bank Vontobel |
Structured Product |
VH26F7 |
SWB |
7.50 |
EUR |
| Details |
Bank Vontobel 1.2786 C Issuer Name: Bank Vontobel |
Structured Product |
VH26F8 |
SWB |
4.830 |
EUR |
| Details |
Bank Vontobel 1.2648 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GA |
SWB |
5.72 |
EUR |
| Details |
Bank Vontobel 1.2924 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GB |
SWB |
3.950 |
EUR |
| Details |
Bank Vontobel 1.2096 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GC |
SWB |
9.17 |
EUR |
| Details |
Bank Vontobel 1.1958 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GD |
SWB |
10.13 |
EUR |
| Details |
Bank Vontobel 1.251 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GE |
SWB |
6.59 |
EUR |
| Details |
Bank Vontobel 1.1544 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GF |
SWB |
12.70 |
EUR |
| Details |
Bank Vontobel 1.1682 C Issuer Name: Bank Vontobel |
Structured Product |
VH26GG |
SWB |
11.81 |
EUR |
| Details |
Bank Vontobel 1.6467 P Issuer Name: Bank Vontobel |
Structured Product |
VH3HHZ |
SWB |
14.40 |
EUR |
| Details |
Bank Vontobel 1.6618 P Issuer Name: Bank Vontobel |
Structured Product |
VH53TY |
SWB |
15.75 |
EUR |
| Details |
Bank Vontobel 1.6771 P Issuer Name: Bank Vontobel |
Structured Product |
VH774U |
SWB |
17.12 |
EUR |
| Details |
Bank Vontobel 1.3834 P Issuer Name: Bank Vontobel |
Structured Product |
VJ3VU3 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.0987 C Issuer Name: Bank Vontobel |
Structured Product |
VJ4V7E |
SWB |
17.05 |
EUR |
| Details |
Bank Vontobel 1.3705 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7PHG |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3705 P Issuer Name: Bank Vontobel |
Structured Product |
VJ7ZGS |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3705 P Issuer Name: Bank Vontobel |
Structured Product |
VJ8YKV |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3705 P Issuer Name: Bank Vontobel |
Structured Product |
VJ83EW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3705 P Issuer Name: Bank Vontobel |
Structured Product |
VJ86VE |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 1.3727 C Issuer Name: Bank Vontobel |
Structured Product |
VJ9CCL |
SWB |
0.0010 |
EUR |
| Details |
BNP Paribas SA 0.1261927 C Issuer Name: BNP Paribas SA |
Structured Product |
AA0KSF |
SWB |
2.190 |
EUR |
| Details |
Morgan Stanley 1.2683 C Issuer Name: Morgan Stanley |
Structured Product |
MF7JRX |
SWB |
0.1120 |
EUR |
| Details |
Morgan Stanley 1.4947 C Issuer Name: Morgan Stanley |
Structured Product |
MD0RSL |
SWB |
0.6700 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
ME1PKT |
SWB |
2.590 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
ME370C |
SWB |
13.36 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME3KFX |
SWB |
5.29 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
ME3U5Q |
SWB |
11.99 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
ME3WBN |
SWB |
14.82 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
ME41AR |
SWB |
3.090 |
EUR |
| Details |
Morgan Stanley 0.207 P Issuer Name: Morgan Stanley |
Structured Product |
ME46YH |
SWB |
16.02 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
ME4PUQ |
SWB |
26.44 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
ME527Z |
SWB |
15.12 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
ME59U8 |
SWB |
21.72 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
ME5J1V |
SWB |
32.42 |
EUR |
| Details |
Morgan Stanley 0.234 P Issuer Name: Morgan Stanley |
Structured Product |
ME5J1W |
SWB |
29.46 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
ME5UAW |
SWB |
23.51 |
EUR |
| Details |
Morgan Stanley 0.8 C Issuer Name: Morgan Stanley |
Structured Product |
ME606N |
SWB |
32.61 |
EUR |
| Details |
Morgan Stanley 1.56 P Issuer Name: Morgan Stanley |
Structured Product |
ME6JXB |
SWB |
1.320 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
ME7F7L |
SWB |
36.51 |
EUR |
| Details |
Morgan Stanley 0.218 P Issuer Name: Morgan Stanley |
Structured Product |
ME7F7M |
SWB |
21.64 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
ME8A5N |
SWB |
14.05 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
ME8A5P |
SWB |
6.00 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
ME9F7L |
SWB |
13.22 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
ME9F7P |
SWB |
26.70 |
EUR |
| Details |
Morgan Stanley 0.224489 P Issuer Name: Morgan Stanley |
Structured Product |
ME9HKL |
SWB |
24.90 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
ME9Q6F |
SWB |
32.65 |
EUR |
| Details |
Morgan Stanley 0.234 P Issuer Name: Morgan Stanley |
Structured Product |
ME9WUB |
SWB |
29.68 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG01RQ |
SWB |
16.40 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MG089L |
SWB |
17.74 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MG0EQU |
SWB |
23.79 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GUD |
SWB |
33.59 |
EUR |
| Details |
Morgan Stanley 0.6788 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GUW |
SWB |
8.90 |
EUR |
| Details |
Morgan Stanley 0.905 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GUX |
SWB |
8.40 |
EUR |
| Details |
Morgan Stanley 1.0182 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GUY |
SWB |
7.89 |
EUR |
| Details |
Morgan Stanley 1.086 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GUZ |
SWB |
7.37 |
EUR |
| Details |
Morgan Stanley 1.1313 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV0 |
SWB |
6.84 |
EUR |
| Details |
Morgan Stanley 1.1636 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV1 |
SWB |
6.32 |
EUR |
| Details |
Morgan Stanley 1.1879 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV2 |
SWB |
5.81 |
EUR |
| Details |
Morgan Stanley 1.2218 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV3 |
SWB |
4.830 |
EUR |
| Details |
Morgan Stanley 1.2444 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV4 |
SWB |
3.920 |
EUR |
| Details |
Morgan Stanley 1.267 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV5 |
SWB |
2.750 |
EUR |
| Details |
Morgan Stanley 0.0951 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV6 |
SWB |
7.11 |
EUR |
| Details |
Morgan Stanley 0.126801 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV7 |
SWB |
5.25 |
EUR |
| Details |
Morgan Stanley 0.142651 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV8 |
SWB |
3.780 |
EUR |
| Details |
Morgan Stanley 0.152161 C Issuer Name: Morgan Stanley |
Structured Product |
MG0GV9 |
SWB |
2.640 |
EUR |
| Details |
Morgan Stanley 0.207 P Issuer Name: Morgan Stanley |
Structured Product |
MG0GZL |
SWB |
16.32 |
EUR |
| Details |
Morgan Stanley 2.0395 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L46 |
SWB |
6.57 |
EUR |
| Details |
Morgan Stanley 1.8129 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L47 |
SWB |
5.77 |
EUR |
| Details |
Morgan Stanley 1.6996 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L48 |
SWB |
5.05 |
EUR |
| Details |
Morgan Stanley 1.6316 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L49 |
SWB |
4.390 |
EUR |
| Details |
Morgan Stanley 1.5863 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L4A |
SWB |
3.800 |
EUR |
| Details |
Morgan Stanley 1.5296 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L4B |
SWB |
2.800 |
EUR |
| Details |
Morgan Stanley 1.473 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L4C |
SWB |
1.430 |
EUR |
| Details |
Morgan Stanley 1.2088 C Issuer Name: Morgan Stanley |
Structured Product |
MG11XH |
SWB |
5.25 |
EUR |
| Details |
Morgan Stanley 0.244897 P Issuer Name: Morgan Stanley |
Structured Product |
MG121J |
SWB |
35.09 |
EUR |
| Details |
Morgan Stanley 0.214285 P Issuer Name: Morgan Stanley |
Structured Product |
MG121K |
SWB |
19.89 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MG121M |
SWB |
5.34 |
EUR |
| Details |
Morgan Stanley 0.22 P Issuer Name: Morgan Stanley |
Structured Product |
MG126E |
SWB |
22.80 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MG126F |
SWB |
20.81 |
EUR |
| Details |
Morgan Stanley 0.208 P Issuer Name: Morgan Stanley |
Structured Product |
MG126G |
SWB |
16.84 |
EUR |
| Details |
Morgan Stanley 0.205 P Issuer Name: Morgan Stanley |
Structured Product |
MG126H |
SWB |
15.35 |
EUR |
| Details |
Morgan Stanley 0.204 P Issuer Name: Morgan Stanley |
Structured Product |
MG126J |
SWB |
14.86 |
EUR |
| Details |
Morgan Stanley 0.202 P Issuer Name: Morgan Stanley |
Structured Product |
MG126K |
SWB |
13.86 |
EUR |
| Details |
Morgan Stanley 1.68 P Issuer Name: Morgan Stanley |
Structured Product |
MG127G |
SWB |
8.98 |
EUR |
| Details |
Morgan Stanley 1.5109 C Issuer Name: Morgan Stanley |
Structured Product |
MG128G |
SWB |
2.390 |
EUR |
| Details |
Morgan Stanley 1.4958 C Issuer Name: Morgan Stanley |
Structured Product |
MG128H |
SWB |
2.030 |
EUR |
| Details |
Morgan Stanley 0.237838 C Issuer Name: Morgan Stanley |
Structured Product |
MG128L |
SWB |
11.11 |
EUR |
| Details |
Morgan Stanley 0.228324 C Issuer Name: Morgan Stanley |
Structured Product |
MG128M |
SWB |
10.61 |
EUR |
| Details |
Morgan Stanley 0.96 C Issuer Name: Morgan Stanley |
Structured Product |
MG12F0 |
SWB |
22.42 |
EUR |
| Details |
Morgan Stanley 1.24 C Issuer Name: Morgan Stanley |
Structured Product |
MG12F1 |
SWB |
3.730 |
EUR |
| Details |
Morgan Stanley 1.26 C Issuer Name: Morgan Stanley |
Structured Product |
MG12F2 |
SWB |
2.400 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG12F8 |
SWB |
11.92 |
EUR |
| Details |
Morgan Stanley 1.2377 C Issuer Name: Morgan Stanley |
Structured Product |
MG12R7 |
SWB |
3.880 |
EUR |
| Details |
Morgan Stanley 0.209183 P Issuer Name: Morgan Stanley |
Structured Product |
MG16U0 |
SWB |
17.38 |
EUR |
| Details |
Morgan Stanley 0.203 P Issuer Name: Morgan Stanley |
Structured Product |
MG16Y5 |
SWB |
14.38 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG1F15 |
SWB |
16.70 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MG1J6S |
SWB |
17.87 |
EUR |
| Details |
Morgan Stanley 0.278979 C Issuer Name: Morgan Stanley |
Structured Product |
MG1RDH |
SWB |
10.56 |
EUR |
| Details |
Morgan Stanley 0.247981 C Issuer Name: Morgan Stanley |
Structured Product |
MG1RDJ |
SWB |
10.42 |
EUR |
| Details |
Morgan Stanley 0.204585 C Issuer Name: Morgan Stanley |
Structured Product |
MG1RDK |
SWB |
4.390 |
EUR |
| Details |
Morgan Stanley 1.4409 C Issuer Name: Morgan Stanley |
Structured Product |
MG1RDX |
SWB |
0.7600 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG2BQ0 |
SWB |
4.650 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MG2BQC |
SWB |
28.59 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG2DY5 |
SWB |
12.24 |
EUR |
| Details |
Morgan Stanley 0.209 P Issuer Name: Morgan Stanley |
Structured Product |
MG2H5E |
SWB |
17.39 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MG2MSA |
SWB |
13.81 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MG2Q32 |
SWB |
36.80 |
EUR |
| Details |
Morgan Stanley 0.218 P Issuer Name: Morgan Stanley |
Structured Product |
MG2Q33 |
SWB |
21.88 |
EUR |
| Details |
Morgan Stanley 0.211 P Issuer Name: Morgan Stanley |
Structured Product |
MG2Q34 |
SWB |
18.40 |
EUR |
| Details |
Morgan Stanley 0.172214 C Issuer Name: Morgan Stanley |
Structured Product |
MG3012 |
SWB |
0.3100 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG3C8A |
SWB |
17.07 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG3C8E |
SWB |
6.69 |
EUR |
| Details |
Morgan Stanley 1.08 C Issuer Name: Morgan Stanley |
Structured Product |
MG3RCM |
SWB |
14.72 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG3RCP |
SWB |
12.54 |
EUR |
| Details |
Morgan Stanley 1.68 P Issuer Name: Morgan Stanley |
Structured Product |
MG4BLQ |
SWB |
9.57 |
EUR |
| Details |
Morgan Stanley 0.132 C Issuer Name: Morgan Stanley |
Structured Product |
MG4FC7 |
SWB |
10.37 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG4QHY |
SWB |
17.39 |
EUR |
| Details |
Morgan Stanley 0.228 P Issuer Name: Morgan Stanley |
Structured Product |
MG4QNG |
SWB |
26.95 |
EUR |
| Details |
Morgan Stanley 0.234 P Issuer Name: Morgan Stanley |
Structured Product |
MG4WHF |
SWB |
29.95 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MG4WL4 |
SWB |
12.85 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MG54LJ |
SWB |
32.93 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG5E3Z |
SWB |
12.29 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MG5SG0 |
SWB |
1.740 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG667C |
SWB |
17.74 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MG68UM |
SWB |
23.48 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MG6B2F |
SWB |
28.02 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG6GDP |
SWB |
5.43 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MG6GDQ |
SWB |
21.07 |
EUR |
| Details |
Morgan Stanley 1.24 C Issuer Name: Morgan Stanley |
Structured Product |
MG6L99 |
SWB |
4.500 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MG6UAX |
SWB |
18.12 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MG76T6 |
SWB |
19.31 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG7A6U |
SWB |
18.05 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MG7FVN |
SWB |
23.81 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG7XFE |
SWB |
7.36 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MG7ZKC |
SWB |
15.01 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MG8GF9 |
SWB |
20.59 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MG8PUG |
SWB |
17.47 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MG8PXQ |
SWB |
18.38 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MG97G8 |
SWB |
24.15 |
EUR |
| Details |
Morgan Stanley 1.56 P Issuer Name: Morgan Stanley |
Structured Product |
MG9BNU |
SWB |
3.710 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MG9BY6 |
SWB |
30.31 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MG9HWY |
SWB |
6.04 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0DDB |
SWB |
18.67 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MJ03XP |
SWB |
14.22 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MJ07PV |
SWB |
28.28 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0LML |
SWB |
24.45 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MJ11CW |
SWB |
21.33 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1G9U |
SWB |
18.98 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1NFW |
SWB |
14.53 |
EUR |
| Details |
Morgan Stanley 0.155407 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1RMN |
SWB |
1.380 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MJ268Y |
SWB |
24.74 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MJ2827 |
SWB |
6.64 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2X27 |
SWB |
19.29 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MJ37WS |
SWB |
16.16 |
EUR |
| Details |
Morgan Stanley 1.2377 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3HAU |
SWB |
5.53 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3SY7 |
SWB |
8.02 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3SY8 |
SWB |
25.04 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3YDX |
SWB |
7.90 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MJ3YQT |
SWB |
18.64 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MJ49ZG |
SWB |
20.83 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4A2G |
SWB |
19.59 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MJ55WG |
SWB |
25.35 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5N3E |
SWB |
31.96 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5URR |
SWB |
19.90 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MJ5YAH |
SWB |
16.78 |
EUR |
| Details |
Morgan Stanley 1.28 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5ZRY |
SWB |
3.070 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MJ6FWR |
SWB |
28.53 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6FWW |
SWB |
6.77 |
EUR |
| Details |
Morgan Stanley 1.5128 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6L4W |
SWB |
3.150 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6P6Q |
SWB |
25.65 |
EUR |
| Details |
Morgan Stanley 0.128 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6P6R |
SWB |
15.68 |
EUR |
| Details |
Morgan Stanley 1.1882 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6XLN |
SWB |
9.15 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MJ711R |
SWB |
7.62 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ73UB |
SWB |
20.20 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7CAE |
SWB |
33.58 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7F51 |
SWB |
7.14 |
EUR |
| Details |
Morgan Stanley 1.5 P Issuer Name: Morgan Stanley |
Structured Product |
MJ7H7Y |
SWB |
1.930 |
EUR |
| Details |
Morgan Stanley 0.2 P Issuer Name: Morgan Stanley |
Structured Product |
MJ8386 |
SWB |
13.61 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ838R |
SWB |
20.51 |
EUR |
| Details |
Morgan Stanley 0.222 P Issuer Name: Morgan Stanley |
Structured Product |
MJ884B |
SWB |
24.61 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8Q0H |
SWB |
7.43 |
EUR |
| Details |
Morgan Stanley 1.5611 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9KCA |
SWB |
5.64 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9R9J |
SWB |
8.24 |
EUR |
| Details |
Morgan Stanley 1.5151 P Issuer Name: Morgan Stanley |
Structured Product |
MJ9RDC |
SWB |
3.210 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9USL |
SWB |
20.82 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9Z1H |
SWB |
8.70 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MK05GX |
SWB |
18.66 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK0934 |
SWB |
7.77 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MK0QD5 |
SWB |
22.21 |
EUR |
| Details |
Morgan Stanley 0.7921 C Issuer Name: Morgan Stanley |
Structured Product |
MK14C2 |
SWB |
35.21 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MK14CQ |
SWB |
9.47 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK1BJZ |
SWB |
21.11 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK1PGZ |
SWB |
8.11 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MK24SD |
SWB |
26.70 |
EUR |
| Details |
Morgan Stanley 0.204 P Issuer Name: Morgan Stanley |
Structured Product |
MK24SU |
SWB |
15.74 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MK29Z7 |
SWB |
33.77 |
EUR |
| Details |
Morgan Stanley 0.13 C Issuer Name: Morgan Stanley |
Structured Product |
MK2UUE |
SWB |
15.96 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK2XBS |
SWB |
21.41 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK322T |
SWB |
8.43 |
EUR |
| Details |
Morgan Stanley 0.25 P Issuer Name: Morgan Stanley |
Structured Product |
MK42NE |
SWB |
38.84 |
EUR |
| Details |
Morgan Stanley 0.213811 C Issuer Name: Morgan Stanley |
Structured Product |
MK492E |
SWB |
18.16 |
EUR |
| Details |
Morgan Stanley 0.248 P Issuer Name: Morgan Stanley |
Structured Product |
MK492F |
SWB |
37.83 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MK499V |
SWB |
10.82 |
EUR |
| Details |
Morgan Stanley 0.285714 P Issuer Name: Morgan Stanley |
Structured Product |
MK4M7G |
SWB |
56.67 |
EUR |
| Details |
Morgan Stanley 0.204081 P Issuer Name: Morgan Stanley |
Structured Product |
MK4M7H |
SWB |
15.76 |
EUR |
| Details |
Morgan Stanley 0.199 P Issuer Name: Morgan Stanley |
Structured Product |
MK4NMW |
SWB |
13.28 |
EUR |
| Details |
Morgan Stanley 0.198 P Issuer Name: Morgan Stanley |
Structured Product |
MK4NMX |
SWB |
12.78 |
EUR |
| Details |
Morgan Stanley 0.197 P Issuer Name: Morgan Stanley |
Structured Product |
MK4NMY |
SWB |
12.28 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MK4NN4 |
SWB |
21.15 |
EUR |
| Details |
Morgan Stanley 0.196 P Issuer Name: Morgan Stanley |
Structured Product |
MK4SFG |
SWB |
11.79 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK4SGJ |
SWB |
21.73 |
EUR |
| Details |
Morgan Stanley 0.198979 P Issuer Name: Morgan Stanley |
Structured Product |
MK4VV4 |
SWB |
13.21 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK4VW6 |
SWB |
8.76 |
EUR |
| Details |
Morgan Stanley 0.24 P Issuer Name: Morgan Stanley |
Structured Product |
MK4VWB |
SWB |
33.84 |
EUR |
| Details |
Morgan Stanley 0.195 P Issuer Name: Morgan Stanley |
Structured Product |
MK4VWC |
SWB |
11.29 |
EUR |
| Details |
Morgan Stanley 0.194 P Issuer Name: Morgan Stanley |
Structured Product |
MK4VWD |
SWB |
10.80 |
EUR |
| Details |
Morgan Stanley 0.193 P Issuer Name: Morgan Stanley |
Structured Product |
MK4VWE |
SWB |
10.30 |
EUR |
| Details |
Morgan Stanley 0.192 P Issuer Name: Morgan Stanley |
Structured Product |
MK4Y1R |
SWB |
9.80 |
EUR |
| Details |
Morgan Stanley 0.191 P Issuer Name: Morgan Stanley |
Structured Product |
MK4Y1S |
SWB |
9.30 |
EUR |
| Details |
Morgan Stanley 0.19 P Issuer Name: Morgan Stanley |
Structured Product |
MK5CZ2 |
SWB |
8.82 |
EUR |
| Details |
Morgan Stanley 0.193877 P Issuer Name: Morgan Stanley |
Structured Product |
MK5JPV |
SWB |
10.68 |
EUR |
| Details |
Morgan Stanley 0.189 P Issuer Name: Morgan Stanley |
Structured Product |
MK5UFY |
SWB |
8.31 |
EUR |
| Details |
Morgan Stanley 0.188 P Issuer Name: Morgan Stanley |
Structured Product |
MK5UFZ |
SWB |
7.82 |
EUR |
| Details |
Morgan Stanley 0.187 P Issuer Name: Morgan Stanley |
Structured Product |
MK6224 |
SWB |
7.32 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK6564 |
SWB |
21.99 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK6565 |
SWB |
9.08 |
EUR |
| Details |
Morgan Stanley 0.186 P Issuer Name: Morgan Stanley |
Structured Product |
MK6A5Z |
SWB |
6.83 |
EUR |
| Details |
Morgan Stanley 0.185 P Issuer Name: Morgan Stanley |
Structured Product |
MK6A60 |
SWB |
6.33 |
EUR |
| Details |
Morgan Stanley 0.188775 P Issuer Name: Morgan Stanley |
Structured Product |
MK6JPB |
SWB |
8.16 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MK6KDS |
SWB |
27.46 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MK6PED |
SWB |
19.28 |
EUR |
| Details |
Morgan Stanley 0.184 P Issuer Name: Morgan Stanley |
Structured Product |
MK75Y1 |
SWB |
5.86 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MK78R3 |
SWB |
21.81 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MK7D5J |
SWB |
28.94 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK7NTG |
SWB |
9.40 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK7Q02 |
SWB |
22.29 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MK7ZK7 |
SWB |
23.55 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MK82XH |
SWB |
27.74 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MK86CY |
SWB |
9.36 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MK8CG8 |
SWB |
35.46 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MK8KRL |
SWB |
18.98 |
EUR |
| Details |
Morgan Stanley 1.6 P Issuer Name: Morgan Stanley |
Structured Product |
MK8MNJ |
SWB |
10.19 |
EUR |
| Details |
Morgan Stanley 0.297705 C Issuer Name: Morgan Stanley |
Structured Product |
MK8MX6 |
SWB |
10.75 |
EUR |
| Details |
Morgan Stanley 0.059541 C Issuer Name: Morgan Stanley |
Structured Product |
MK8N06 |
SWB |
9.49 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MK8N32 |
SWB |
9.73 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MK8WVB |
SWB |
22.57 |
EUR |
| Details |
Morgan Stanley 0.244897 P Issuer Name: Morgan Stanley |
Structured Product |
MK918H |
SWB |
36.43 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MK9FXU |
SWB |
28.02 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MM00W3 |
SWB |
10.05 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM0GLB |
SWB |
22.87 |
EUR |
| Details |
Morgan Stanley 1.2377 C Issuer Name: Morgan Stanley |
Structured Product |
MM0SWM |
SWB |
7.16 |
EUR |
| Details |
Morgan Stanley 0.147059 C Issuer Name: Morgan Stanley |
Structured Product |
MM0SWN |
SWB |
8.54 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM12DU |
SWB |
28.33 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MM1ERJ |
SWB |
11.89 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MM1FA7 |
SWB |
23.08 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MM1HN8 |
SWB |
22.15 |
EUR |
| Details |
Morgan Stanley 0.183 P Issuer Name: Morgan Stanley |
Structured Product |
MM1HN9 |
SWB |
5.57 |
EUR |
| Details |
Morgan Stanley 0.182 P Issuer Name: Morgan Stanley |
Structured Product |
MM1L0P |
SWB |
5.05 |
EUR |
| Details |
Morgan Stanley 0.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM1NWG |
SWB |
23.16 |
EUR |
| Details |
Morgan Stanley 0.23 P Issuer Name: Morgan Stanley |
Structured Product |
MM1P16 |
SWB |
29.21 |
EUR |
| Details |
Morgan Stanley 0.181 P Issuer Name: Morgan Stanley |
Structured Product |
MM1P17 |
SWB |
4.550 |
EUR |
| Details |
Morgan Stanley 0.18 P Issuer Name: Morgan Stanley |
Structured Product |
MM1QEU |
SWB |
4.050 |
EUR |
| Details |
Morgan Stanley 0.183673 P Issuer Name: Morgan Stanley |
Structured Product |
MM1RK9 |
SWB |
5.83 |
EUR |
| Details |
Morgan Stanley 0.179 P Issuer Name: Morgan Stanley |
Structured Product |
MM1YRF |
SWB |
3.580 |
EUR |
| Details |
Morgan Stanley 0.214285 P Issuer Name: Morgan Stanley |
Structured Product |
MM2Q1B |
SWB |
21.27 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM2TJ1 |
SWB |
28.64 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MM3QCR |
SWB |
37.18 |
EUR |
| Details |
Morgan Stanley 0.178 P Issuer Name: Morgan Stanley |
Structured Product |
MM3QD1 |
SWB |
3.160 |
EUR |
| Details |
Morgan Stanley 0.177 P Issuer Name: Morgan Stanley |
Structured Product |
MM3Y0D |
SWB |
2.690 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM48FY |
SWB |
28.94 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MM4AFJ |
SWB |
11.14 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MM4BPS |
SWB |
24.86 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MM4H5D |
SWB |
8.22 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MM4HSH |
SWB |
23.99 |
EUR |
| Details |
Morgan Stanley 0.216 P Issuer Name: Morgan Stanley |
Structured Product |
MM5F0Y |
SWB |
22.40 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MM5MFR |
SWB |
11.43 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MM5MFT |
SWB |
10.01 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM5UFV |
SWB |
29.21 |
EUR |
| Details |
Morgan Stanley 1.5603 P Issuer Name: Morgan Stanley |
Structured Product |
MM60SH |
SWB |
9.68 |
EUR |
| Details |
Morgan Stanley 0.153907 C Issuer Name: Morgan Stanley |
Structured Product |
MM6J46 |
SWB |
5.98 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MM6RBF |
SWB |
24.68 |
EUR |
| Details |
Morgan Stanley 0.176 P Issuer Name: Morgan Stanley |
Structured Product |
MM704Y |
SWB |
2.350 |
EUR |
| Details |
Morgan Stanley 0.178571 P Issuer Name: Morgan Stanley |
Structured Product |
MM77FU |
SWB |
3.560 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM77GK |
SWB |
29.50 |
EUR |
| Details |
Morgan Stanley 0.175 P Issuer Name: Morgan Stanley |
Structured Product |
MM77N9 |
SWB |
1.870 |
EUR |
| Details |
Morgan Stanley 1.76 P Issuer Name: Morgan Stanley |
Structured Product |
MM7R85 |
SWB |
22.44 |
EUR |
| Details |
Morgan Stanley 1.6161 P Issuer Name: Morgan Stanley |
Structured Product |
MM87VL |
SWB |
13.63 |
EUR |
| Details |
Morgan Stanley 0.174 P Issuer Name: Morgan Stanley |
Structured Product |
MM8KQD |
SWB |
1.430 |
EUR |
| Details |
Morgan Stanley 0.173 P Issuer Name: Morgan Stanley |
Structured Product |
MM8RXA |
SWB |
0.9400 |
EUR |
| Details |
Morgan Stanley 0.172 P Issuer Name: Morgan Stanley |
Structured Product |
MM93CZ |
SWB |
0.3600 |
EUR |
| Details |
Morgan Stanley 0.147059 C Issuer Name: Morgan Stanley |
Structured Product |
MM93WT |
SWB |
10.57 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MM95SM |
SWB |
29.79 |
EUR |
| Details |
Morgan Stanley 1.12 C Issuer Name: Morgan Stanley |
Structured Product |
MM95SN |
SWB |
15.36 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MM96AC |
SWB |
38.96 |
EUR |
| Details |
Morgan Stanley 1.4141 P Issuer Name: Morgan Stanley |
Structured Product |
MM96AD |
SWB |
1.320 |
EUR |
| Details |
Morgan Stanley 0.171 P Issuer Name: Morgan Stanley |
Structured Product |
MM9E6X |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.17 P Issuer Name: Morgan Stanley |
Structured Product |
MM9E6Y |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.173469 P Issuer Name: Morgan Stanley |
Structured Product |
MM9KJA |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.1 C Issuer Name: Morgan Stanley |
Structured Product |
MN0AJT |
SWB |
35.21 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MN0AJU |
SWB |
30.08 |
EUR |
| Details |
Morgan Stanley 0.169 P Issuer Name: Morgan Stanley |
Structured Product |
MN0AYY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.168 P Issuer Name: Morgan Stanley |
Structured Product |
MN0AYZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.167 P Issuer Name: Morgan Stanley |
Structured Product |
MN0JT3 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.137255 C Issuer Name: Morgan Stanley |
Structured Product |
MN0LM4 |
SWB |
16.03 |
EUR |
| Details |
Morgan Stanley 0.21 P Issuer Name: Morgan Stanley |
Structured Product |
MN0LTG |
SWB |
19.68 |
EUR |
| Details |
Morgan Stanley 0.166 P Issuer Name: Morgan Stanley |
Structured Product |
MN0LTH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.56 P Issuer Name: Morgan Stanley |
Structured Product |
MN0QN4 |
SWB |
10.83 |
EUR |
| Details |
Morgan Stanley 0.131399 C Issuer Name: Morgan Stanley |
Structured Product |
MN0QQF |
SWB |
10.68 |
EUR |
| Details |
Morgan Stanley 1.8 P Issuer Name: Morgan Stanley |
Structured Product |
MN0SPR |
SWB |
25.82 |
EUR |
| Details |
Morgan Stanley 1 C Issuer Name: Morgan Stanley |
Structured Product |
MN0TJW |
SWB |
23.12 |
EUR |
| Details |
Morgan Stanley 0.117648 C Issuer Name: Morgan Stanley |
Structured Product |
MN1CA6 |
SWB |
26.25 |
EUR |
| Details |
Morgan Stanley 0.168367 P Issuer Name: Morgan Stanley |
Structured Product |
MN1RPC |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.165 P Issuer Name: Morgan Stanley |
Structured Product |
MN1RPD |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 1.38 P Issuer Name: Morgan Stanley |
Structured Product |
MN1YV5 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.142157 C Issuer Name: Morgan Stanley |
Structured Product |
MN22V3 |
SWB |
13.84 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MN274V |
SWB |
30.37 |
EUR |
| Details |
Morgan Stanley 1.2627 C Issuer Name: Morgan Stanley |
Structured Product |
MN2774 |
SWB |
11.44 |
EUR |
| Details |
Morgan Stanley 1.3367 C Issuer Name: Morgan Stanley |
Structured Product |
MN2DVQ |
SWB |
1.940 |
EUR |
| Details |
Morgan Stanley 0.1 C Issuer Name: Morgan Stanley |
Structured Product |
MN2EFE |
SWB |
35.50 |
EUR |
| Details |
Morgan Stanley 0.157 C Issuer Name: Morgan Stanley |
Structured Product |
MN2EFF |
SWB |
6.41 |
EUR |
| Details |
Morgan Stanley 0.164 P Issuer Name: Morgan Stanley |
Structured Product |
MN2U1U |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.163 P Issuer Name: Morgan Stanley |
Structured Product |
MN2YHE |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MN2YLD |
SWB |
13.13 |
EUR |
| Details |
Morgan Stanley 0.162 P Issuer Name: Morgan Stanley |
Structured Product |
MN32PA |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.161 P Issuer Name: Morgan Stanley |
Structured Product |
MN35LU |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.158 C Issuer Name: Morgan Stanley |
Structured Product |
MN3BM4 |
SWB |
6.10 |
EUR |
| Details |
Morgan Stanley 1.2 C Issuer Name: Morgan Stanley |
Structured Product |
MN3DXJ |
SWB |
10.66 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MN3MDH |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.159 C Issuer Name: Morgan Stanley |
Structured Product |
MN3P8N |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MN3RGG |
SWB |
30.63 |
EUR |
| Details |
Morgan Stanley 0.162 P Issuer Name: Morgan Stanley |
Structured Product |
MN3SHK |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.161 P Issuer Name: Morgan Stanley |
Structured Product |
MN45NP |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.14 C Issuer Name: Morgan Stanley |
Structured Product |
MN45VL |
SWB |
15.42 |
EUR |
| Details |
Morgan Stanley 0.1 C Issuer Name: Morgan Stanley |
Structured Product |
MN4CTZ |
SWB |
35.78 |
EUR |
| Details |
Morgan Stanley 0.144 C Issuer Name: Morgan Stanley |
Structured Product |
MN4CU0 |
SWB |
13.43 |
EUR |
| Details |
Morgan Stanley 0.159 C Issuer Name: Morgan Stanley |
Structured Product |
MN4CU1 |
SWB |
5.82 |
EUR |
| Details |
Morgan Stanley 1.38 P Issuer Name: Morgan Stanley |
Structured Product |
MN4ETK |
SWB |
0.3300 |
EUR |
| Details |
Morgan Stanley 0.156863 C Issuer Name: Morgan Stanley |
Structured Product |
MN4FKF |
SWB |
6.84 |
EUR |
| Details |
Morgan Stanley 0.16 C Issuer Name: Morgan Stanley |
Structured Product |
MN4HFU |
SWB |
5.34 |
EUR |
| Details |
Morgan Stanley 0.161 C Issuer Name: Morgan Stanley |
Structured Product |
MN4KT3 |
SWB |
4.830 |
EUR |
| Details |
Morgan Stanley 0.162 C Issuer Name: Morgan Stanley |
Structured Product |
MN4KT4 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.167 P Issuer Name: Morgan Stanley |
Structured Product |
MN4PRY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.163 C Issuer Name: Morgan Stanley |
Structured Product |
MN4TZ0 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.147059 C Issuer Name: Morgan Stanley |
Structured Product |
MN4XNA |
SWB |
11.90 |
EUR |
| Details |
Morgan Stanley 0.161765 C Issuer Name: Morgan Stanley |
Structured Product |
MN4XNB |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.164 C Issuer Name: Morgan Stanley |
Structured Product |
MN4ZAX |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.165 C Issuer Name: Morgan Stanley |
Structured Product |
MN4ZAY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.166 C Issuer Name: Morgan Stanley |
Structured Product |
MN4ZAZ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.169 P Issuer Name: Morgan Stanley |
Structured Product |
MN53SJ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.168 P Issuer Name: Morgan Stanley |
Structured Product |
MN53SK |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.167 P Issuer Name: Morgan Stanley |
Structured Product |
MN53SL |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.166 P Issuer Name: Morgan Stanley |
Structured Product |
MN53SM |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.162 C Issuer Name: Morgan Stanley |
Structured Product |
MN58KA |
SWB |
4.470 |
EUR |
| Details |
Morgan Stanley 0.163 C Issuer Name: Morgan Stanley |
Structured Product |
MN58KB |
SWB |
3.950 |
EUR |
| Details |
Morgan Stanley 0.164 C Issuer Name: Morgan Stanley |
Structured Product |
MN5AWW |
SWB |
3.510 |
EUR |
| Details |
Morgan Stanley 0.165 C Issuer Name: Morgan Stanley |
Structured Product |
MN5AWX |
SWB |
3.010 |
EUR |
| Details |
Morgan Stanley 0.166 C Issuer Name: Morgan Stanley |
Structured Product |
MN5AWY |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.161765 C Issuer Name: Morgan Stanley |
Structured Product |
MN5AZ6 |
SWB |
4.560 |
EUR |
| Details |
Morgan Stanley 2.0202 P Issuer Name: Morgan Stanley |
Structured Product |
MN5EE4 |
SWB |
40.83 |
EUR |
| Details |
Morgan Stanley 1.36 C Issuer Name: Morgan Stanley |
Structured Product |
MN5EV8 |
SWB |
0.7400 |
EUR |
| Details |
Morgan Stanley 0.166 C Issuer Name: Morgan Stanley |
Structured Product |
MN5EV9 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.17 P Issuer Name: Morgan Stanley |
Structured Product |
MN5GBG |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.169 P Issuer Name: Morgan Stanley |
Structured Product |
MN5KDX |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0.166 C Issuer Name: Morgan Stanley |
Structured Product |
MN5N7A |
SWB |
2.560 |
EUR |
| Details |
Morgan Stanley 0.167 C Issuer Name: Morgan Stanley |
Structured Product |
MN5N7B |
SWB |
2.070 |
EUR |
| Details |
Morgan Stanley 0.22 P Issuer Name: Morgan Stanley |
Structured Product |
MN5NHC |
SWB |
24.94 |
EUR |
| Details |
Morgan Stanley 0.11 C Issuer Name: Morgan Stanley |
Structured Product |
MN5QQT |
SWB |
0.0000 |
EUR |
| Details |
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Structured Product |
SB7BW4 |
SWB |
9.52 |
EUR |
| Details |
Societe Generale Acceptance NV 1.20883 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB7RDS |
SWB |
10.28 |
EUR |
| Details |
Societe Generale Acceptance NV 1.2329 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB8A05 |
SWB |
8.76 |
EUR |
| Details |
Societe Generale Acceptance NV 1.25773 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB8CTL |
SWB |
7.19 |
EUR |
| Details |
Societe Generale Acceptance NV 1.24524 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB8G6C |
SWB |
7.99 |
EUR |
| Details |
Societe Generale Acceptance NV 1.16088 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8HL1 |
SWB |
13.30 |
EUR |
| Details |
Societe Generale Acceptance NV 1.17286 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD91KW |
SWB |
12.53 |
EUR |
| Details |
Societe Generale Acceptance NV 1.19658 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9LL6 |
SWB |
11.04 |
EUR |
| Details |
Societe Generale Acceptance NV 1.18466 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD9XQD |
SWB |
11.80 |
EUR |
| Details |
Societe Generale Acceptance NV 1.14926 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8649 |
SWB |
14.01 |
EUR |
| Details |
Societe Generale Acceptance NV 1.13691 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD7JJV |
SWB |
14.80 |
EUR |
| Details |
Societe Generale Acceptance NV 1.12515 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD7LMU |
SWB |
15.53 |
EUR |
| Details |
Societe Generale Acceptance NV 1.31844 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN1E2F |
SWB |
3.380 |
EUR |
| Details |
Societe Generale Acceptance NV 1.27092 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN2TMA |
SWB |
6.37 |
EUR |
| Details |
Societe Generale Acceptance NV 1.28253 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN2TMB |
SWB |
5.64 |
EUR |
| Details |
Societe Generale Acceptance NV 1.29418 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN2TMC |
SWB |
4.890 |
EUR |
| Details |
Societe Generale Acceptance NV 1.34269 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN37H0 |
SWB |
1.860 |
EUR |
| Details |
Societe Generale Acceptance NV 1.33075 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN37HZ |
SWB |
2.600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.39463 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1U6L |
SWB |
1.420 |
EUR |
| Details |
Societe Generale Acceptance NV 1.30681 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ41XY |
SWB |
4.120 |
EUR |
| Details |
Societe Generale Acceptance NV 1.20513 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43WQ |
SWB |
10.54 |
EUR |
| Details |
Societe Generale Acceptance NV 1.26218 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43WR |
SWB |
6.94 |
EUR |
| Details |
Societe Generale Acceptance NV 1.31923 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ43WS |
SWB |
3.350 |
EUR |
| Details |
Societe Generale Acceptance NV 1.41332 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1XYZ |
SWB |
2.610 |
EUR |
| Details |
Societe Generale Acceptance NV 1.42267 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV10NU |
SWB |
3.180 |
EUR |
| Details |
Societe Generale Acceptance NV 1.15301 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV7BEL |
SWB |
13.81 |
EUR |
| Details |
Societe Generale Acceptance NV 1.43199 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2T64 |
SWB |
3.760 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44775 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW4KNJ |
SWB |
4.730 |
EUR |
| Details |
Societe Generale Acceptance NV 1.45258 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0A96 |
SWB |
5.12 |
EUR |
| Details |
Societe Generale Acceptance NV 1.45705 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0E8T |
SWB |
5.35 |
EUR |
| Details |
Societe Generale Acceptance NV 1.29142 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0LBP |
SWB |
5.10 |
EUR |
| Details |
Societe Generale Acceptance NV 1.31917 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0LBQ |
SWB |
3.350 |
EUR |
| Details |
Societe Generale Acceptance NV 1.34667 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0LBR |
SWB |
1.620 |
EUR |
| Details |
Societe Generale Acceptance NV 1.29782 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TQT |
SWB |
4.670 |
EUR |
| Details |
Societe Generale Acceptance NV 1.32537 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0TQU |
SWB |
2.930 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T82 |
SWB |
10.16 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T83 |
SWB |
9.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T84 |
SWB |
9.45 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T8V |
SWB |
4.220 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T9H |
SWB |
5.96 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T9J |
SWB |
7.14 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T9K |
SWB |
8.81 |
EUR |
| Details |
Societe Generale Acceptance NV 1.362 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0T9X |
SWB |
8.09 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47251 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1LG3 |
SWB |
6.30 |
EUR |
| Details |
Societe Generale Acceptance NV 1.27027 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU20ES |
SWB |
6.41 |
EUR |
| Details |
Societe Generale Acceptance NV 1.26888 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU248F |
SWB |
6.52 |
EUR |
| Details |
Societe Generale Acceptance NV 1.15551 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU4ELL |
SWB |
13.62 |
EUR |
| Details |
Societe Generale Acceptance NV 1.11426 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU4U6L |
SWB |
16.23 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48188 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW8X4W |
SWB |
6.90 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49133 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW82DV |
SWB |
7.51 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50034 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW86J2 |
SWB |
8.05 |
EUR |
| Details |
Societe Generale Acceptance NV 1.49934 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1LHZ |
SWB |
8.06 |
EUR |
| Details |
Societe Generale Acceptance NV 1.50987 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY4KDR |
SWB |
8.67 |
EUR |
| Details |
Societe Generale Acceptance NV 1.51966 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY59C9 |
SWB |
9.29 |
EUR |
| Details |
Societe Generale Acceptance NV 1.52913 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ09VH |
SWB |
9.87 |
EUR |
| Details |
Societe Generale Acceptance NV 1.53874 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ1VYK |
SWB |
10.49 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54689 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ11NF |
SWB |
11.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44201 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ11VJ |
SWB |
4.460 |
EUR |
| Details |
Societe Generale Acceptance NV 1.44163 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ11YJ |
SWB |
4.410 |
EUR |
| Details |
Societe Generale Acceptance NV 1.54828 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ181E |
SWB |
11.08 |
EUR |
| Details |
Societe Generale Acceptance NV 1.55797 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ2Y1W |
SWB |
11.68 |
EUR |
| Details |
Societe Generale Acceptance NV 1.56743 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY8647 |
SWB |
12.30 |
EUR |
| Details |
Societe Generale Acceptance NV 1.57684 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5SX2 |
SWB |
12.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59465 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ7CQM |
SWB |
14.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.58596 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY8N3L |
SWB |
13.46 |
EUR |
| Details |
Societe Generale Acceptance NV 1.59568 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ7GTY |
SWB |
14.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.60521 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY8UR3 |
SWB |
14.68 |
EUR |
| Details |
Societe Generale Acceptance NV 1.61468 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY8VVB |
SWB |
15.26 |
EUR |
| Details |
Societe Generale Acceptance NV 1.62428 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ3E0Z |
SWB |
15.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.63407 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0PVZ |
SWB |
16.47 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64236 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0QCD |
SWB |
17.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.5281 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0QNS |
SWB |
9.88 |
EUR |
| Details |
Societe Generale Acceptance NV 1.52714 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0QPB |
SWB |
9.79 |
EUR |
| Details |
Societe Generale Acceptance NV 1.64407 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0SW8 |
SWB |
17.12 |
EUR |
| Details |
Societe Generale Acceptance NV 1.65364 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0SW9 |
SWB |
17.73 |
EUR |
| Details |
Societe Generale Acceptance NV 1.2985 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0DAS |
SWB |
4.640 |
EUR |
| Details |
Societe Generale Acceptance NV 1.42044 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0DAX |
SWB |
3.090 |
EUR |
| Details |
Societe Generale Acceptance NV 1.1016 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5TPJ |
SWB |
17.07 |
EUR |
| Details |
Societe Generale Acceptance NV 1.24154 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5TPK |
SWB |
8.24 |
EUR |
| Details |
Societe Generale Acceptance NV 1.10424 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX35QE |
SWB |
16.86 |
EUR |
| Details |
Societe Generale Acceptance NV 1.47232 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA8XMG |
SWB |
6.36 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40509 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD4K74 |
SWB |
2.080 |
EUR |
| Details |
Societe Generale Acceptance NV 1.66377 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD4VVN |
SWB |
18.37 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48114 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7B5E |
SWB |
6.90 |
EUR |
| Details |
Societe Generale Acceptance NV 1.48152 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7BEH |
SWB |
6.95 |
EUR |
| Details |
Societe Generale Acceptance NV 1.38503 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC2NXP |
SWB |
0.8000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40063 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7AEP |
SWB |
1.840 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40239 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD3AUD |
SWB |
1.960 |
EUR |
| Details |
Societe Generale Acceptance NV 1.40199 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7DQS |
SWB |
1.910 |
EUR |
| Details |
Societe Generale Acceptance NV 1.38083 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD7ARF |
SWB |
0.6000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.33608 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8CQ5 |
SWB |
2.260 |
EUR |
| Details |
Societe Generale Acceptance NV 1.27845 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8D1Q |
SWB |
5.91 |
EUR |
| Details |
Societe Generale Acceptance NV 1.37506 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC38UK |
SWB |
0.1600 |
EUR |
| Details |
Societe Generale Acceptance NV 1.09419 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC38U7 |
SWB |
17.48 |
EUR |
| Details |
Societe Generale Acceptance NV 1.37071 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC38UN |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 1.22148 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD8E2X |
SWB |
9.51 |
EUR |
| Details |
Societe Generale Acceptance NV 1.08418 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD9NKY |
SWB |
18.14 |
EUR |
| Details |
Societe Generale Acceptance NV 1.35263 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FC4KBG |
SWB |
1.220 |
EUR |
| Details |
UBS AG - London Office 1.13102 C Issuer Name: UBS AG - London Office |
Structured Product |
UE95J4 |
SWB |
15.17 |
EUR |
| Details |
UBS AG - London Office 1.25826 C Issuer Name: UBS AG - London Office |
Structured Product |
UH10ML |
SWB |
7.15 |
EUR |
| Details |
UBS AG - London Office 1.3369 C Issuer Name: UBS AG - London Office |
Structured Product |
UH17CV |
SWB |
2.190 |
EUR |
| Details |
UBS AG - London Office 1.23579 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1KZN |
SWB |
8.56 |
EUR |
| Details |
UBS AG - London Office 1.28073 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1QDA |
SWB |
5.71 |
EUR |
| Details |
UBS AG - London Office 1.23579 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1UC1 |
SWB |
8.55 |
EUR |
| Details |
UBS AG - London Office 1.32567 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1UFT |
SWB |
2.910 |
EUR |
| Details |
UBS AG - London Office 1.21319 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2RVB |
SWB |
9.97 |
EUR |
| Details |
UBS AG - London Office 1.29197 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2S82 |
SWB |
5.02 |
EUR |
| Details |
UBS AG - London Office 1.34802 C Issuer Name: UBS AG - London Office |
Structured Product |
UH1WHD |
SWB |
1.480 |
EUR |
| Details |
UBS AG - London Office 1.34229 C Issuer Name: UBS AG - London Office |
Structured Product |
UH16HH |
SWB |
1.840 |
EUR |
| Details |
UBS AG - London Office 1.19013 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2AUE |
SWB |
11.45 |
EUR |
| Details |
UBS AG - London Office 1.26872 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2RGX |
SWB |
6.49 |
EUR |
| Details |
UBS AG - London Office 1.31272 C Issuer Name: UBS AG - London Office |
Structured Product |
UH135C |
SWB |
3.700 |
EUR |
| Details |
UBS AG - London Office 1.17726 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2HJH |
SWB |
12.26 |
EUR |
| Details |
UBS AG - London Office 1.34369 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2088 |
SWB |
1.760 |
EUR |
| Details |
UBS AG - London Office 1.33177 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2W55 |
SWB |
2.520 |
EUR |
| Details |
UBS AG - London Office 1.2531 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2Y5Q |
SWB |
7.47 |
EUR |
| Details |
UBS AG - London Office 1.32598 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3FKU |
SWB |
2.860 |
EUR |
| Details |
UBS AG - London Office 1.31444 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2Y9K |
SWB |
3.590 |
EUR |
| Details |
UBS AG - London Office 1.24173 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3DBS |
SWB |
8.19 |
EUR |
| Details |
UBS AG - London Office 1.20722 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3LRL |
SWB |
10.34 |
EUR |
| Details |
UBS AG - London Office 1.27485 C Issuer Name: UBS AG - London Office |
Structured Product |
UH31LD |
SWB |
6.11 |
EUR |
| Details |
UBS AG - London Office 1.2268 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3PW0 |
SWB |
9.11 |
EUR |
| Details |
UBS AG - London Office 1.24691 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3Q80 |
SWB |
7.83 |
EUR |
| Details |
UBS AG - London Office 1.15753 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3RNQ |
SWB |
13.50 |
EUR |
| Details |
UBS AG - London Office 1.11607 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3S02 |
SWB |
16.12 |
EUR |
| Details |
UBS AG - London Office 1.10245 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3TYY |
SWB |
16.97 |
EUR |
| Details |
UBS AG - London Office 1.19887 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3VPY |
SWB |
10.89 |
EUR |
| Details |
UBS AG - London Office 1.28825 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3W1Y |
SWB |
5.25 |
EUR |
| Details |
UBS AG - London Office 1.14412 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3ZUG |
SWB |
14.33 |
EUR |
| Details |
UBS AG - London Office 1.29559 C Issuer Name: UBS AG - London Office |
Structured Product |
UH32T4 |
SWB |
4.800 |
EUR |
| Details |
UBS AG - London Office 1.16911 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3P76 |
SWB |
12.77 |
EUR |
| Details |
UBS AG - London Office 1.26503 C Issuer Name: UBS AG - London Office |
Structured Product |
UH3N34 |
SWB |
6.72 |
EUR |
| Details |
UBS AG - London Office 1.3185 C Issuer Name: UBS AG - London Office |
Structured Product |
UH4GS6 |
SWB |
3.350 |
EUR |
| Details |
UBS AG - London Office 1.12402 C Issuer Name: UBS AG - London Office |
Structured Product |
UH396F |
SWB |
15.61 |
EUR |
| Details |
UBS AG - London Office 1.28459 C Issuer Name: UBS AG - London Office |
Structured Product |
UH5L2W |
SWB |
5.49 |
EUR |
| Details |
UBS AG - London Office 1.30174 C Issuer Name: UBS AG - London Office |
Structured Product |
UH5MB5 |
SWB |
4.400 |
EUR |
| Details |
UBS AG - London Office 1.35181 C Issuer Name: UBS AG - London Office |
Structured Product |
UH5YWD |
SWB |
1.230 |
EUR |
| Details |
UBS AG - London Office 1.30753 C Issuer Name: UBS AG - London Office |
Structured Product |
UH6EN6 |
SWB |
4.050 |
EUR |
| Details |
UBS AG - London Office 1.32178 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7J73 |
SWB |
3.110 |
EUR |
| Details |
UBS AG - London Office 1.40375 P Issuer Name: UBS AG - London Office |
Structured Product |
UK62ER |
SWB |
2.080 |
EUR |
| Details |
UBS AG - London Office 1.42701 P Issuer Name: UBS AG - London Office |
Structured Product |
UK6193 |
SWB |
3.530 |
EUR |
| Details |
UBS AG - London Office 1.41563 P Issuer Name: UBS AG - London Office |
Structured Product |
UK6QX0 |
SWB |
2.820 |
EUR |
| Details |
UBS AG - London Office 1.43586 P Issuer Name: UBS AG - London Office |
Structured Product |
UK6XNK |
SWB |
4.110 |
EUR |
| Details |
UBS AG - London Office 1.44472 P Issuer Name: UBS AG - London Office |
Structured Product |
UK7GM8 |
SWB |
4.660 |
EUR |
| Details |
UBS AG - London Office 1.4523 P Issuer Name: UBS AG - London Office |
Structured Product |
UK7W0S |
SWB |
5.13 |
EUR |
| Details |
UBS AG - London Office 1.40995 P Issuer Name: UBS AG - London Office |
Structured Product |
UL1V5P |
SWB |
2.460 |
EUR |
| Details |
UBS AG - London Office 1.46289 P Issuer Name: UBS AG - London Office |
Structured Product |
UL3CFL |
SWB |
5.79 |
EUR |
| Details |
UBS AG - London Office 1.47314 P Issuer Name: UBS AG - London Office |
Structured Product |
UL2WX5 |
SWB |
6.44 |
EUR |
| Details |
UBS AG - London Office 1.29303 C Issuer Name: UBS AG - London Office |
Structured Product |
UL74AE |
SWB |
4.940 |
EUR |
| Details |
UBS AG - London Office 1.18963 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8AAB |
SWB |
11.46 |
EUR |
| Details |
UBS AG - London Office 1.47187 P Issuer Name: UBS AG - London Office |
Structured Product |
UL8CAU |
SWB |
6.37 |
EUR |
| Details |
UBS AG - London Office 1.13783 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8H4T |
SWB |
14.72 |
EUR |
| Details |
UBS AG - London Office 1.2412 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8PMG |
SWB |
8.20 |
EUR |
| Details |
UBS AG - London Office 1.52203 P Issuer Name: UBS AG - London Office |
Structured Product |
UL8MGK |
SWB |
9.53 |
EUR |
| Details |
UBS AG - London Office 1.4962 P Issuer Name: UBS AG - London Office |
Structured Product |
UL9ZUQ |
SWB |
7.89 |
EUR |
| Details |
UBS AG - London Office 1.49544 P Issuer Name: UBS AG - London Office |
Structured Product |
UM1V3A |
SWB |
7.84 |
EUR |
| Details |
UBS AG - London Office 1.54925 P Issuer Name: UBS AG - London Office |
Structured Product |
UM4JZW |
SWB |
11.23 |
EUR |
| Details |
UBS AG - London Office 1.52131 P Issuer Name: UBS AG - London Office |
Structured Product |
UM5CRL |
SWB |
9.49 |
EUR |
| Details |
UBS AG - London Office 1.26752 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6MKG |
SWB |
6.54 |
EUR |
| Details |
UBS AG - London Office 1.21579 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6HDS |
SWB |
9.80 |
EUR |
| Details |
UBS AG - London Office 1.16425 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7SLC |
SWB |
13.05 |
EUR |
| Details |
UBS AG - London Office 1.11242 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7DRL |
SWB |
16.34 |
EUR |
| Details |
UBS AG - London Office 1.54595 P Issuer Name: UBS AG - London Office |
Structured Product |
UP16QA |
SWB |
11.03 |
EUR |
| Details |
UBS AG - London Office 1.57752 P Issuer Name: UBS AG - London Office |
Structured Product |
UP2AJW |
SWB |
13.01 |
EUR |
| Details |
UBS AG - London Office 1.60231 P Issuer Name: UBS AG - London Office |
Structured Product |
UP65MT |
SWB |
14.60 |
EUR |
| Details |
UBS AG - London Office 1.63502 P Issuer Name: UBS AG - London Office |
Structured Product |
UP6Y6F |
SWB |
16.64 |
EUR |
| Details |
UBS AG - London Office 1.22511 C Issuer Name: UBS AG - London Office |
Structured Product |
UP5D3Q |
SWB |
9.22 |
EUR |
| Details |
UBS AG - London Office 1.20112 C Issuer Name: UBS AG - London Office |
Structured Product |
UP8CH1 |
SWB |
10.73 |
EUR |
| Details |
UBS AG - London Office 1.22477 C Issuer Name: UBS AG - London Office |
Structured Product |
UP427Z |
SWB |
9.26 |
EUR |
| Details |
UBS AG - London Office 1.20092 C Issuer Name: UBS AG - London Office |
Structured Product |
UP4UDV |
SWB |
10.75 |
EUR |
| Details |
UBS AG - London Office 1.22463 C Issuer Name: UBS AG - London Office |
Structured Product |
UP42DG |
SWB |
9.27 |
EUR |
| Details |
UBS AG - London Office 1.20052 C Issuer Name: UBS AG - London Office |
Structured Product |
UP4UN0 |
SWB |
10.75 |
EUR |
| Details |
UBS AG - London Office 1.20048 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9E7K |
SWB |
10.78 |
EUR |
| Details |
UBS AG - London Office 1.22432 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9LJ6 |
SWB |
9.29 |
EUR |
| Details |
UBS AG - London Office 1.22426 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9C4R |
SWB |
9.27 |
EUR |
| Details |
UBS AG - London Office 1.20015 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9L4L |
SWB |
10.80 |
EUR |
| Details |
UBS AG - London Office 1.22406 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9CM8 |
SWB |
9.28 |
EUR |
| Details |
UBS AG - London Office 1.20009 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9JAN |
SWB |
10.80 |
EUR |
| Details |
UBS AG - London Office 1.224 C Issuer Name: UBS AG - London Office |
Structured Product |
UP880S |
SWB |
9.30 |
EUR |
| Details |
UBS AG - London Office 1.20003 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9EV0 |
SWB |
10.79 |
EUR |
| Details |
UBS AG - London Office 1.19997 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9JM1 |
SWB |
10.79 |
EUR |
| Details |
UBS AG - London Office 1.22394 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9QBN |
SWB |
9.32 |
EUR |
| Details |
UBS AG - London Office 1.22373 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9T4Z |
SWB |
9.31 |
EUR |
| Details |
UBS AG - London Office 1.19963 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9XAL |
SWB |
10.84 |
EUR |
| Details |
UBS AG - London Office 1.22339 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0A64 |
SWB |
9.33 |
EUR |
| Details |
UBS AG - London Office 1.19957 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0LNU |
SWB |
10.84 |
EUR |
| Details |
UBS AG - London Office 1.1995 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0153 |
SWB |
10.84 |
EUR |
| Details |
UBS AG - London Office 1.22346 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0EGZ |
SWB |
9.34 |
EUR |
| Details |
UBS AG - London Office 1.1991 C Issuer Name: UBS AG - London Office |
Structured Product |
UP90B5 |
SWB |
10.86 |
EUR |
| Details |
UBS AG - London Office 1.22305 C Issuer Name: UBS AG - London Office |
Structured Product |
UP90JY |
SWB |
9.36 |
EUR |
| Details |
UBS AG - London Office 1.1989 C Issuer Name: UBS AG - London Office |
Structured Product |
UP96ZA |
SWB |
10.90 |
EUR |
| Details |
UBS AG - London Office 1.22285 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9UPC |
SWB |
9.38 |
EUR |
| Details |
UBS AG - London Office 1.19883 C Issuer Name: UBS AG - London Office |
Structured Product |
UP91LY |
SWB |
10.88 |
EUR |
| Details |
UBS AG - London Office 1.22291 C Issuer Name: UBS AG - London Office |
Structured Product |
UP99AB |
SWB |
9.37 |
EUR |
| Details |
UBS AG - London Office 1.22278 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0MPU |
SWB |
9.39 |
EUR |
| Details |
UBS AG - London Office 1.1987 C Issuer Name: UBS AG - London Office |
Structured Product |
UP968G |
SWB |
10.91 |
EUR |
| Details |
UBS AG - London Office 1.19851 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0G3D |
SWB |
10.92 |
EUR |
| Details |
UBS AG - London Office 1.22245 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0HY0 |
SWB |
9.41 |
EUR |
| Details |
UBS AG - London Office 1.22238 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0AXQ |
SWB |
9.41 |
EUR |
| Details |
UBS AG - London Office 1.19845 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0DXE |
SWB |
10.92 |
EUR |
| Details |
UBS AG - London Office 1.19838 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ048K |
SWB |
10.91 |
EUR |
| Details |
UBS AG - London Office 1.22232 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1AFU |
SWB |
9.39 |
EUR |
| Details |
UBS AG - London Office 1.19821 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ08QS |
SWB |
10.89 |
EUR |
| Details |
UBS AG - London Office 1.22215 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1CLM |
SWB |
9.43 |
EUR |
| Details |
UBS AG - London Office 1.69364 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ01N2 |
SWB |
20.34 |
EUR |
| Details |
UBS AG - London Office 1.19802 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ03MB |
SWB |
10.92 |
EUR |
| Details |
UBS AG - London Office 1.65996 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ0451 |
SWB |
18.22 |
EUR |
| Details |
UBS AG - London Office 1.22209 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ08TZ |
SWB |
9.41 |
EUR |
| Details |
UBS AG - London Office 1.1981 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ08PZ |
SWB |
10.91 |
EUR |
| Details |
UBS AG - London Office 1.2219 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0Y93 |
SWB |
9.44 |
EUR |
| Details |
UBS AG - London Office 1.19666 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2G2Z |
SWB |
11.00 |
EUR |
| Details |
UBS AG - London Office 1.22043 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2H15 |
SWB |
9.52 |
EUR |
| Details |
UBS AG - London Office 1.60247 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ18JV |
SWB |
14.58 |
EUR |
| Details |
UBS AG - London Office 1.19661 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2BK4 |
SWB |
11.05 |
EUR |
| Details |
UBS AG - London Office 1.57022 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2JAN |
SWB |
12.57 |
EUR |
| Details |
UBS AG - London Office 1.22051 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2KBL |
SWB |
9.51 |
EUR |
| Details |
UBS AG - London Office 1.22045 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ3EBD |
SWB |
9.53 |
EUR |
| Details |
UBS AG - London Office 1.19655 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ3LQG |
SWB |
11.02 |
EUR |
| Details |
UBS AG - London Office 1.19622 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1381 |
SWB |
11.03 |
EUR |
| Details |
UBS AG - London Office 1.22011 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1MZZ |
SWB |
9.54 |
EUR |
| Details |
UBS AG - London Office 1.22006 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ11BJ |
SWB |
9.55 |
EUR |
| Details |
UBS AG - London Office 1.19616 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2KRM |
SWB |
11.03 |
EUR |
| Details |
UBS AG - London Office 1.22 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ18GV |
SWB |
9.55 |
EUR |
| Details |
UBS AG - London Office 1.19597 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1VRS |
SWB |
11.06 |
EUR |
| Details |
UBS AG - London Office 1.21979 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2NR5 |
SWB |
9.57 |
EUR |
| Details |
UBS AG - London Office 1.1959 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2Y50 |
SWB |
11.06 |
EUR |
| Details |
UBS AG - London Office 1.19514 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0ZCA |
SWB |
11.12 |
EUR |
| Details |
UBS AG - London Office 1.21901 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ1PST |
SWB |
9.62 |
EUR |
| Details |
UBS AG - London Office 1.42036 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ57A7 |
SWB |
3.120 |
EUR |
| Details |
UBS AG - London Office 1.42072 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ3YZK |
SWB |
3.130 |
EUR |
| Details |
UBS AG - London Office 1.42124 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ7TUW |
SWB |
3.160 |
EUR |
| Details |
UBS AG - London Office 1.4218 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ7GPJ |
SWB |
3.220 |
EUR |
| Details |
UBS AG - London Office 1.42216 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ77ZZ |
SWB |
3.200 |
EUR |
| Details |
UBS AG - London Office 1.43558 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ085X |
SWB |
4.080 |
EUR |
| Details |
UBS AG - London Office 1.43869 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ94TG |
SWB |
4.270 |
EUR |
| Details |
UBS AG - London Office 1.43958 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ9WJ7 |
SWB |
4.310 |
EUR |
| Details |
UBS AG - London Office 1.44273 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ1TEG |
SWB |
4.520 |
EUR |
| Details |
UBS AG - London Office 1.44587 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ22TG |
SWB |
4.720 |
EUR |
| Details |
UBS AG - London Office 1.44624 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ3XBT |
SWB |
4.750 |
EUR |
| Details |
UBS AG - London Office 1.44662 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ3T4E |
SWB |
4.760 |
EUR |
| Details |
UBS AG - London Office 1.66076 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ4AE9 |
SWB |
18.25 |
EUR |
| Details |
UBS AG - London Office 1.62752 P Issuer Name: UBS AG - London Office |
Structured Product |
UQ4GSJ |
SWB |
16.17 |
EUR |
| Details |
UBS AG - London Office 1.08395 C Issuer Name: UBS AG - London Office |
Structured Product |
UQ5LU6 |
SWB |
18.11 |
EUR |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.8002 |
CAD |
| Details |
New Zealand dollar |
Forex |
NZD |
|
92.85 |
JPY |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.4595 |
CHF |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.4371 |
GBP |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.5831 |
USD |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.6091 |
GCU |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.8303 |
AUD |
| Details |
New Zealand dollar |
Forex |
NZD |
|
4.568 |
HKD |
| Details |
New Zealand dollar |
Forex |
NZD |
|
n/a |
NZD |
| Details |
New Zealand dollar |
Forex |
NZD |
|
0.5040 |
EUR |
| Details |
New Zealand dollar |
CFD |
NZD |
|
0.8002 |
CAD |
| Details |
New Zealand dollar |
CFD |
NZD |
|
0.4595 |
CHF |
| Details |
New Zealand dollar |
CFD |
NZD |
|
92.85 |
JPY |
| Details |
New Zealand dollar |
CFD |
NZD |
|
0.5831 |
USD |
| Details |
New Zealand dollar Futures Type: Foreign Exchange |
Futures |
NJY |
CME |
|
JPY |
| Details |
New Zealand dollar Futures Type: Foreign Exchange |
Futures |
NZD |
CME |
|
USD |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
5.39 |
CNH |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
0.6740 |
EUR |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
6.11 |
HKD |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
0.8146 |
GCU |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
1.110 |
AUD |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
0.7798 |
USD |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
124.17 |
JPY |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
0.5845 |
GBP |
| Details |
SINGAPORE DOLLAR |
Forex |
SGD |
|
n/a |
SGD |
| Details |
SINGAPORE DOLLAR |
CFD |
SGD |
|
124.17 |
JPY |
| Details |
SINGAPORE DOLLAR |
CFD |
SGD |
|
5.39 |
CNH |
| Details |
SINGAPORE DOLLAR Futures Type: Foreign Exchange |
Futures |
SGD |
CME |
|
USD |
| Details |
HSBC Trinkaus & Burkhardt AG 10.5681 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS2XVB |
SWB |
30.06 |
EUR |
| Details |
DISH: DISH NETWORK CORP-A: ADJ 20231229 |
Options |
SATS1 |
CBOE |
|
USD |
| Details |
DISH: DISH NETWORK CORP-A: ADJ 20231229 Stock Type: Not Defined |
Stock |
SATS1 |
BASKET |
38.46 |
USD |
| Details |
Korean Won |
Forex |
KRW |
|
0.0052 |
HKD |
| Details |
Korean Won |
Forex |
KRW |
|
0.0007 |
GCU |
| Details |
Korean Won |
Forex |
KRW |
|
0.0009 |
AUD |
| Details |
Korean Won |
Forex |
KRW |
|
0.0007 |
USD |
| Details |
Korean Won |
Forex |
KRW |
|
0.0006 |
EUR |
| Details |
Korean Won |
Forex |
KRW |
|
n/a |
KRW |
| Details |
Korean Won |
Forex |
KRW |
|
0.0009 |
CAD |
| Details |
Korean Won |
Forex |
KRW |
|
0.1058 |
JPY |
| Details |
Korean Won |
Forex |
KRW |
|
0.0005 |
CHF |
| Details |
Korean Won |
Forex |
KRW |
|
0.0005 |
GBP |
| Details |
South African Rand |
Forex |
ZAR |
|
0.0508 |
EUR |
| Details |
South African Rand |
Forex |
ZAR |
|
0.0614 |
GCU |
| Details |
South African Rand |
Forex |
ZAR |
|
0.0588 |
USD |
| Details |
South African Rand |
Forex |
ZAR |
|
0.0441 |
GBP |
| Details |
South African Rand |
Forex |
ZAR |
|
9.36 |
JPY |
| Details |
South African Rand |
Forex |
ZAR |
|
n/a |
ZAR |
| Details |
South African Rand |
CFD |
ZAR |
|
9.36 |
JPY |
| Details |
South African Rand Futures Type: Foreign Exchange |
Futures |
ZAR |
CME |
|
USD |
| Details |
Morgan Stanley 43.02 C Issuer Name: Morgan Stanley |
Structured Product |
MA8GHU |
SWB |
14.09 |
EUR |
| Details |
Morgan Stanley 27.27 C Issuer Name: Morgan Stanley |
Structured Product |
MG0J2Y |
SWB |
26.85 |
EUR |
| Details |
Morgan Stanley 36.36 C Issuer Name: Morgan Stanley |
Structured Product |
MG0J2Z |
SWB |
38.16 |
EUR |
| Details |
Morgan Stanley 40.905 C Issuer Name: Morgan Stanley |
Structured Product |
MG0J30 |
SWB |
52.21 |
EUR |
| Details |
Morgan Stanley 37.037 C Issuer Name: Morgan Stanley |
Structured Product |
MG1DYP |
SWB |
3.480 |
EUR |
| Details |
Morgan Stanley 81.87 C Issuer Name: Morgan Stanley |
Structured Product |
MG1J9E |
SWB |
1.860 |
EUR |
| Details |
Morgan Stanley 72.7733 C Issuer Name: Morgan Stanley |
Structured Product |
MG1J9F |
SWB |
0.7700 |
EUR |
| Details |
Morgan Stanley 45.4833 C Issuer Name: Morgan Stanley |
Structured Product |
MG1JRH |
SWB |
72.07 |
EUR |
| Details |
Morgan Stanley 47.7575 C Issuer Name: Morgan Stanley |
Structured Product |
MG1JRJ |
SWB |
81.21 |
EUR |
| Details |
Morgan Stanley 41.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MG2HM9 |
SWB |
3.150 |
EUR |
| Details |
Morgan Stanley 43.9814 C Issuer Name: Morgan Stanley |
Structured Product |
MG2HMA |
SWB |
2.980 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MG2HQZ |
SWB |
2.910 |
EUR |
| Details |
Morgan Stanley 47.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG2HR0 |
SWB |
2.720 |
EUR |
| Details |
Morgan Stanley 39.392 C Issuer Name: Morgan Stanley |
Structured Product |
MG2XNH |
SWB |
108.44 |
EUR |
| Details |
Morgan Stanley 35 C Issuer Name: Morgan Stanley |
Structured Product |
MG4NLH |
SWB |
3.700 |
EUR |
| Details |
Morgan Stanley 50 C Issuer Name: Morgan Stanley |
Structured Product |
MG4NLJ |
SWB |
2.600 |
EUR |
| Details |
Morgan Stanley 50.9259 C Issuer Name: Morgan Stanley |
Structured Product |
MG7X5T |
SWB |
2.510 |
EUR |
| Details |
Morgan Stanley 52.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG7XDZ |
SWB |
2.400 |
EUR |
| Details |
Morgan Stanley 55 C Issuer Name: Morgan Stanley |
Structured Product |
MG7XE0 |
SWB |
2.220 |
EUR |
| Details |
Morgan Stanley 57.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8VWU |
SWB |
2.080 |
EUR |
| Details |
Morgan Stanley 55.5555 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0E0R |
SWB |
2.210 |
EUR |
| Details |
Morgan Stanley 56.9925 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1AQ4 |
SWB |
35.85 |
EUR |
| Details |
TRP: TC ENERGY CORP: ADJ 20241001 |
Options |
TRP1.CAD |
CDE |
|
CAD |
| Details |
TRP: TC ENERGY CORP: ADJ 20241001 Stock Type: Not Defined |
Stock |
TRP1.CAD |
BASKET |
96.10 |
CAD |
| Details |
YANG: DRX DLY FTSE CHINA BEAR 3X: ADJ 20241101 |
Options |
YANG1 |
CBOE |
|
USD |
| Details |
YANG: DRX DLY FTSE CHINA BEAR 3X: ADJ 20241101 Stock Type: Not Defined |
Stock |
YANG1 |
BASKET |
1.574 |
USD |
| Details |
NVD: GRANITESH 2XSHT NVDA ETF-USD: ADJ 20241101 |
Options |
NVD1 |
CBOE |
|
USD |
| Details |
NVD: GRANITESH 2XSHT NVDA ETF-USD: ADJ 20241101 Stock Type: Not Defined |
Stock |
NVD1 |
BASKET |
0.3126 |
USD |
| Details |
BOIL: PROSHARES ULTRA BLOOMBERG NA: ADJ 20241106 |
Options |
BOIL2 |
CBOE |
|
USD |
| Details |
BOIL: PROSHARES ULTRA BLOOMBERG NA: ADJ 20241106 Stock Type: Not Defined |
Stock |
BOIL2 |
BASKET |
3.630 |
USD |
| Details |
BITI: PROSHARES SHORT BITC ETF-USD: ADJ 20241106 |
Options |
BITI1 |
CBOE |
|
USD |
| Details |
BITI: PROSHARES SHORT BITC ETF-USD: ADJ 20241106 Stock Type: Not Defined |
Stock |
BITI1 |
BASKET |
5.16 |
USD |
| Details |
SH: PROSHARES SHORT S |
Options |
SH1 |
CBOE |
|
USD |
| Details |
SH: PROSHARES SHORT S Stock Type: Not Defined |
Stock |
SH1 |
BASKET |
9.55 |
USD |
| Details |
SDOW: PROSHARES ULTPRO SHRT DOW30: ADJ 20241106 |
Options |
SDOW1 |
CBOE |
|
USD |
| Details |
SDOW: PROSHARES ULTPRO SHRT DOW30: ADJ 20241106 Stock Type: Not Defined |
Stock |
SDOW1 |
BASKET |
9.32 |
USD |
| Details |
VIXY: PROSHARESS VIX SHORT-TERM FUT: ADJ 20241106 |
Options |
VIXY2 |
CBOE |
|
USD |
| Details |
VIXY: PROSHARESS VIX SHORT-TERM FUT: ADJ 20241106 Stock Type: Not Defined |
Stock |
VIXY2 |
BASKET |
8.74 |
USD |
| Details |
FCC: FOMENTO DE CONSTRUC Y CONTRA: ADJ 20241107 Futures Type: Equity |
Futures |
FCC1 |
MEFFRV |
|
EUR |
| Details |
FCC: FOMENTO DE CONSTRUC Y CONTRA: ADJ 20241107 Stock Type: Not Defined |
Stock |
FCC1 |
BASKET |
14.10 |
EUR |
| Details |
BNP Paribas SA 2.59 C Issuer Name: BNP Paribas SA |
Structured Product |
H3DKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.64 P Issuer Name: BNP Paribas SA |
Structured Product |
5YEKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.65 P Issuer Name: BNP Paribas SA |
Structured Product |
B2EKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 5.21 P Issuer Name: BNP Paribas SA |
Structured Product |
2MGKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 5.2 P Issuer Name: BNP Paribas SA |
Structured Product |
1XGKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.99 P Issuer Name: BNP Paribas SA |
Structured Product |
I2GKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.99 P Issuer Name: BNP Paribas SA |
Structured Product |
K5GKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.78 P Issuer Name: BNP Paribas SA |
Structured Product |
P7GKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.38 P Issuer Name: BNP Paribas SA |
Structured Product |
6ORKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.43 P Issuer Name: BNP Paribas SA |
Structured Product |
3RRKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.17 P Issuer Name: BNP Paribas SA |
Structured Product |
9KSKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.94 P Issuer Name: BNP Paribas SA |
Structured Product |
B6TKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.84 P Issuer Name: BNP Paribas SA |
Structured Product |
X8TKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.97 P Issuer Name: BNP Paribas SA |
Structured Product |
Y8TKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.63 P Issuer Name: BNP Paribas SA |
Structured Product |
U8UKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.6 P Issuer Name: BNP Paribas SA |
Structured Product |
9GVKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.71 P Issuer Name: BNP Paribas SA |
Structured Product |
0HVKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.49 P Issuer Name: BNP Paribas SA |
Structured Product |
Z3VKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.46 P Issuer Name: BNP Paribas SA |
Structured Product |
R5VKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.34 P Issuer Name: BNP Paribas SA |
Structured Product |
I7VKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.34 P Issuer Name: BNP Paribas SA |
Structured Product |
M8VKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.13 P Issuer Name: BNP Paribas SA |
Structured Product |
GF7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.13 P Issuer Name: BNP Paribas SA |
Structured Product |
5F7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 2.99 P Issuer Name: BNP Paribas SA |
Structured Product |
DH7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.41 C Issuer Name: BNP Paribas SA |
Structured Product |
MV7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.41 C Issuer Name: BNP Paribas SA |
Structured Product |
DW7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.95 C Issuer Name: BNP Paribas SA |
Structured Product |
6C8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.05 P Issuer Name: BNP Paribas SA |
Structured Product |
7C8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.15 P Issuer Name: BNP Paribas SA |
Structured Product |
8C8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.85 C Issuer Name: BNP Paribas SA |
Structured Product |
XD8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.95 C Issuer Name: BNP Paribas SA |
Structured Product |
YD8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 1.8 C Issuer Name: BNP Paribas SA |
Structured Product |
VE8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 2.88 P Issuer Name: BNP Paribas SA |
Structured Product |
CJ8KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 3.11 P Issuer Name: BNP Paribas SA |
Structured Product |
6M8KB |
SBF |
0.0000 |
EUR |
| Details |
Morgan Stanley 3.8252 C Issuer Name: Morgan Stanley |
Structured Product |
MA4LQY |
SWB |
0.0040 |
EUR |
| Details |
FCEL: FUELCELL ENERGY INC: ADJ 20241108 |
Options |
FCEL1 |
CBOE |
|
USD |
| Details |
FCEL: FUELCELL ENERGY INC: ADJ 20241108 Stock Type: Not Defined |
Stock |
FCEL1 |
BASKET |
0.2227 |
USD |
| Details |
Morgan Stanley 0.44 C Issuer Name: Morgan Stanley |
Structured Product |
MG2XVW |
SWB |
0.0000 |
EUR |
| Details |
LAZR: LUMINAR TECHNOLOGIES INC: ADJ 20241120 |
Options |
LAZR1 |
CBOE |
|
USD |
| Details |
LAZR: LUMINAR TECHNOLOGIES INC: ADJ 20241120 Stock Type: Not Defined |
Stock |
LAZR1 |
BASKET |
0.0788 |
USD |
| Details |
ATO: ATTOS SE: ADJ 20241121 |
Options |
AXI2 |
EUREX |
|
EUR |
| Details |
ATO: ATTOS SE: ADJ 20241121 Stock Type: Not Defined |
Stock |
AXI2 |
BASKET |
38.79 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 39.0834 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
TT7CG0 |
SWB |
19.44 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 53.9768 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
TT84ME |
SWB |
16.16 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 67.0904 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
TT8ZLB |
SWB |
13.27 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 70.289 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG0DFK |
SWB |
12.56 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 71.9461 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG0DFL |
SWB |
12.20 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 76.2211 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG0E5D |
SWB |
1.130 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 82.7168 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG0K4D |
SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 13.0369 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
QP58S |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 17.26 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6H9R |
SWB |
15.71 |
EUR |
| Details |
Societe Generale Acceptance NV 17.244 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6H9S |
SWB |
6.67 |
EUR |
| Details |
Societe Generale Acceptance NV 17.26 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6H9T |
SWB |
1.390 |
EUR |
| Details |
Societe Generale Acceptance NV 54.19617 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6ZGT |
SWB |
1.610 |
EUR |
| Details |
Societe Generale Acceptance NV 68.21218 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF9P4P |
SWB |
1.290 |
EUR |
| Details |
Societe Generale Acceptance NV 138.08234 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH677D |
SWB |
0.2400 |
EUR |
| Details |
Societe Generale Acceptance NV 118.28783 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ9F6V |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 22.993 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV12EP |
SWB |
0.9900 |
EUR |
| Details |
MRO: MARATHON OIL CORP: ADJ 20241121 |
Options |
COP1 |
CBOE |
|
USD |
| Details |
MRO: MARATHON OIL CORP: ADJ 20241121 Stock Type: Not Defined |
Stock |
COP1 |
BASKET |
32.30 |
USD |
| Details |
MSOX: ADVISORSHARE MSOS DLY LVR-US: ADJ 20241125 |
Options |
MSOX1 |
CBOE |
|
USD |
| Details |
MSOX: ADVISORSHARE MSOS DLY LVR-US: ADJ 20241125 Stock Type: Not Defined |
Stock |
MSOX1 |
BASKET |
0.1140 |
USD |
| Details |
GOEV: CANNOO INC:J ADJ 20241223 |
Options |
GOEV2 |
ISE |
|
USD |
| Details |
GOEV: CANNOO INC:J ADJ 20241223 Stock Type: Not Defined |
Stock |
GOEV2 |
BASKET |
0.0002 |
USD |
| Details |
UVIX: 2X LONG VIX FUTURES ETF: ADJ 20250114 |
Options |
UVIX1 |
CBOE |
|
USD |
| Details |
UVIX: 2X LONG VIX FUTURES ETF: ADJ 20250114 Stock Type: Not Defined |
Stock |
UVIX1 |
BASKET |
0.9170 |
USD |
| Details |
Goldman Sachs Bank Europe SE 188.8311 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG0U2C |
SWB |
8.86 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 122.4907 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9FL7 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 132.7585 C Issuer Name: Morgan Stanley |
Structured Product |
MA1D05 |
SWB |
0.6300 |
EUR |
| Details |
Morgan Stanley 70.8124 C Issuer Name: Morgan Stanley |
Structured Product |
MA2SY7 |
SWB |
0.0060 |
EUR |
| Details |
Morgan Stanley 70.8124 C Issuer Name: Morgan Stanley |
Structured Product |
MC8YEC |
SWB |
0.0270 |
EUR |
| Details |
Morgan Stanley 82.505 C Issuer Name: Morgan Stanley |
Structured Product |
MG23PU |
SWB |
2.100 |
EUR |
| Details |
LEN: LENNAR CORP-A: ADJ 20250117 |
Options |
LEN1 |
CBOE |
|
USD |
| Details |
LEN: LENNAR CORP-A: ADJ 20250117 Stock Type: Not Defined |
Stock |
LEN1 |
BASKET |
104.68 |
USD |
| Details |
LEN: LENNAR CORP-A: ADJ 20250117 |
Warrants |
LEN1 |
FWB |
|
EUR |
| Details |
Morgan Stanley 0.7125 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0E7U |
SWB |
29.50 |
EUR |
| Details |
Morgan Stanley 0.95 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0E7V |
SWB |
9.41 |
EUR |
| Details |
Morgan Stanley 2.1375 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0EJ4 |
SWB |
0.0290 |
EUR |
| Details |
Morgan Stanley 1.1212 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9WAH |
SWB |
14.52 |
EUR |
| Details |
GSAT: GLOBALSTAR INC: ADJ 20250210 |
Options |
GSAT1 |
CBOE |
|
USD |
| Details |
GSAT: GLOBALSTAR INC: ADJ 20250210 Stock Type: Not Defined |
Stock |
GSAT1 |
BASKET |
4.111 |
USD |
| Details |
SILV: SILVERCREST METALS INC: ADJ 20250213 |
Options |
CDE1 |
CBOE |
|
USD |
| Details |
SILV: SILVERCREST METALS INC: ADJ 20250213 Stock Type: Not Defined |
Stock |
CDE1 |
BASKET |
28.27 |
USD |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL1ZLH |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL1ZLJ |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 158.465 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG08VB |
SWB |
228.53 |
EUR |
| Details |
Morgan Stanley 20.1435 C Issuer Name: Morgan Stanley |
Structured Product |
MC2W4G |
SWB |
6.94 |
EUR |
| Details |
Morgan Stanley 20.1435 C Issuer Name: Morgan Stanley |
Structured Product |
MC5C93 |
SWB |
17.14 |
EUR |
| Details |
Morgan Stanley 20.1435 C Issuer Name: Morgan Stanley |
Structured Product |
MC7P92 |
SWB |
136.88 |
EUR |
| Details |
Morgan Stanley 15.1081 C Issuer Name: Morgan Stanley |
Structured Product |
MD4BGY |
SWB |
130.57 |
EUR |
| Details |
Morgan Stanley 22.6621 C Issuer Name: Morgan Stanley |
Structured Product |
MD8SNB |
SWB |
523.60 |
EUR |
| Details |
Morgan Stanley 40 C Issuer Name: Morgan Stanley |
Structured Product |
ME4CCS |
SWB |
22.82 |
EUR |
| Details |
WDC: WESTERN DIGITAL CORP: ADJ 20250221 |
Options |
WDC1 |
CBOE |
|
USD |
| Details |
WDC: WESTERN DIGITAL CORP: ADJ 20250221 Stock Type: Not Defined |
Stock |
WDC1 |
BASKET |
527.47 |
USD |
| Details |
WDC: WESTERN DIGITAL CORP: ADJ 20250221 |
Warrants |
WDC1 |
SWB |
|
EUR |
| Details |
ETHU: 2X ETHER ETF: ADJ 20250408 |
Options |
ETHU1 |
CBOE |
|
USD |
| Details |
ETHU: 2X ETHER ETF: ADJ 20250408 Stock Type: Not Defined |
Stock |
ETHU1 |
BASKET |
1.171 |
USD |
| Details |
MCRB: SERES THERAPEUTICS INC: ADJ 20250421 |
Options |
MCRB1 |
CBOE |
|
USD |
| Details |
MCRB: SERES THERAPEUTICS INC: ADJ 20250421 Stock Type: Not Defined |
Stock |
MCRB1 |
BASKET |
0.4250 |
USD |
| Details |
AVTE: AEROVATE THERAPEUTICS INC: ADJ 20250428 |
Options |
JBIO1 |
CBOE |
|
USD |
| Details |
AVTE: AEROVATE THERAPEUTICS INC: ADJ 20250428 Stock Type: Not Defined |
Stock |
JBIO1 |
BASKET |
3.484 |
USD |
| Details |
VRN: VEREN INC: ADJ 20250509 |
Options |
VRN1 |
CBOE |
|
USD |
| Details |
VRN: VEREN INC: ADJ 20250509 Stock Type: Not Defined |
Stock |
VRN1 |
BASKET |
6.49 |
USD |
| Details |
VRN: VERREN INC: ADJ 20250513 |
Options |
WCP1.CAD |
CDE |
|
CAD |
| Details |
VRN: VERREN INC: ADJ 20250513 Stock Type: Not Defined |
Stock |
WCP1.CAD |
BASKET |
15.68 |
CAD |
| Details |
Goldman Sachs Bank Europe SE 90.4389 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG261P |
SWB |
7.82 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 89.865 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG3JPJ |
SWB |
14.26 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 147.4476 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4NBW |
SWB |
2.960 |
EUR |
| Details |
DFS: DISCOVER FINANCIAL SERVICES: ADJ 20250516 |
Options |
COF1 |
CBOE |
|
USD |
| Details |
DFS: DISCOVER FINANCIAL SERVICES: ADJ 20250516 Stock Type: Not Defined |
Stock |
COF1 |
BASKET |
185.10 |
USD |
| Details |
Morgan Stanley 6.5464 C Issuer Name: Morgan Stanley |
Structured Product |
MB2ACZ |
SWB |
193.14 |
EUR |
| Details |
Morgan Stanley 22.08 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1AQR |
SWB |
48.46 |
EUR |
| Details |
Morgan Stanley 17.4575 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3L1Y |
SWB |
46.46 |
EUR |
| Details |
Morgan Stanley 38.8312 C Issuer Name: Morgan Stanley |
Structured Product |
MK5065 |
SWB |
9.88 |
EUR |
| Details |
Morgan Stanley 83.9325 C Issuer Name: Morgan Stanley |
Structured Product |
MK5W71 |
SWB |
1.150 |
EUR |
| Details |
LUG: LUNDIN GOLD INC: ADJ 20250521 |
Options |
LUG1.CAD |
CDE |
|
CAD |
| Details |
LUG: LUNDIN GOLD INC: ADJ 20250521 Stock Type: Not Defined |
Stock |
LUG1.CAD |
BASKET |
95.53 |
CAD |
| Details |
Bank Vontobel 60.43 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WW6 |
SWB |
5.68 |
EUR |
| Details |
Bank Vontobel 69.44 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WW7 |
SWB |
4.900 |
EUR |
| Details |
Bank Vontobel 73.94 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WW8 |
SWB |
4.510 |
EUR |
| Details |
Bank Vontobel 64.94 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXA |
SWB |
5.29 |
EUR |
| Details |
Bank Vontobel 71.69 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXB |
SWB |
4.710 |
EUR |
| Details |
Bank Vontobel 62.69 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXC |
SWB |
5.48 |
EUR |
| Details |
Bank Vontobel 67.19 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXE |
SWB |
5.09 |
EUR |
| Details |
Bank Vontobel 78.44 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXK |
SWB |
4.120 |
EUR |
| Details |
Bank Vontobel 76.19 C Issuer Name: Bank Vontobel |
Structured Product |
VD7WXP |
SWB |
4.320 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG28U7 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG3617 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG4GHC |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG410E |
SWB |
120.14 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EP5 |
SWB |
109.29 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EP7 |
SWB |
109.27 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EP8 |
SWB |
109.34 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EP9 |
SWB |
109.33 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQA |
SWB |
109.34 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQB |
SWB |
109.34 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQC |
SWB |
109.17 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQD |
SWB |
107.69 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQE |
SWB |
99.39 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQF |
SWB |
95.07 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4EQG |
SWB |
103.72 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4F4H |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4F4P |
SWB |
136.63 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4F4Q |
SWB |
123.63 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4F4R |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4F65 |
SWB |
137.44 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4LNC |
SWB |
90.74 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4YLV |
SWB |
86.41 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4YVE |
SWB |
120.14 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4YVH |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK45D0 |
SWB |
133.34 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK45DW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK470V |
SWB |
117.07 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK5HWB |
SWB |
82.09 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PN8BAB |
SWB |
0.0660 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PC8BAB |
SWB |
0.0100 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ6BAB |
SWB |
1.920 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC3 |
SWB |
26.73 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC4 |
SWB |
14.30 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC5 |
SWB |
1.210 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC6 |
SWB |
1.980 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC7 |
SWB |
0.0950 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC8 |
SWB |
0.4700 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YC9 |
SWB |
0.0110 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PL8YDA |
SWB |
0.0510 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G18 |
SWB |
25.59 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G19 |
SWB |
5.53 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G2A |
SWB |
13.80 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G2B |
SWB |
5.99 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G2C |
SWB |
0.4300 |
EUR |
| Details |
BNP Paribas SA 169.56 C Issuer Name: BNP Paribas SA |
Structured Product |
PG0G2D |
SWB |
0.6000 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q20 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q21 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q22 |
SWB |
5.88 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q23 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q2Z |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 174.25 C Issuer Name: BNP Paribas SA |
Structured Product |
BB3Q3C |
SWB |
0.1210 |
EUR |
| Details |
DZ Bank 81.7854 C Issuer Name: DZ Bank |
Structured Product |
DQ430C |
SWB |
3.570 |
EUR |
| Details |
DZ Bank 83.0572 C Issuer Name: DZ Bank |
Structured Product |
DQ5DTE |
SWB |
3.460 |
EUR |
| Details |
DZ Bank 81.1609 C Issuer Name: DZ Bank |
Structured Product |
DQ53F4 |
SWB |
3.630 |
EUR |
| Details |
DZ Bank 84.5889 C Issuer Name: DZ Bank |
Structured Product |
DQ6DC7 |
SWB |
3.310 |
EUR |
| Details |
DZ Bank 85.3549 C Issuer Name: DZ Bank |
Structured Product |
DQ6FVM |
SWB |
3.260 |
EUR |
| Details |
DZ Bank 79.9683 C Issuer Name: DZ Bank |
Structured Product |
DQ6PC6 |
SWB |
3.720 |
EUR |
| Details |
DZ Bank 86.239 C Issuer Name: DZ Bank |
Structured Product |
DQ6RCJ |
SWB |
3.190 |
EUR |
| Details |
DZ Bank 86.7044 C Issuer Name: DZ Bank |
Structured Product |
DQ6RCK |
SWB |
3.150 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ8EBF |
SWB |
87.58 |
EUR |
| Details |
DZ Bank 82.1428 C Issuer Name: DZ Bank |
Structured Product |
DY19B7 |
SWB |
3.520 |
EUR |
| Details |
DZ Bank 88.0703 C Issuer Name: DZ Bank |
Structured Product |
DY2DHH |
SWB |
3.010 |
EUR |
| Details |
DZ Bank 84.7116 C Issuer Name: DZ Bank |
Structured Product |
DY2FP1 |
SWB |
3.320 |
EUR |
| Details |
DZ Bank 89.3935 C Issuer Name: DZ Bank |
Structured Product |
DY2MEJ |
SWB |
2.910 |
EUR |
| Details |
DZ Bank 91.9251 C Issuer Name: DZ Bank |
Structured Product |
DY2U9T |
SWB |
2.690 |
EUR |
| Details |
DZ Bank 94.4008 C Issuer Name: DZ Bank |
Structured Product |
DY2U9W |
SWB |
2.470 |
EUR |
| Details |
DZ Bank 93.8171 C Issuer Name: DZ Bank |
Structured Product |
DY2ZEL |
SWB |
2.510 |
EUR |
| Details |
DZ Bank 94.838 C Issuer Name: DZ Bank |
Structured Product |
DY2ZEM |
SWB |
2.400 |
EUR |
| Details |
DZ Bank 98.8661 C Issuer Name: DZ Bank |
Structured Product |
DY2ZFB |
SWB |
2.080 |
EUR |
| Details |
DZ Bank 99.4043 C Issuer Name: DZ Bank |
Structured Product |
DY2ZFC |
SWB |
2.050 |
EUR |
| Details |
DZ Bank 99.9425 C Issuer Name: DZ Bank |
Structured Product |
DY2ZFD |
SWB |
1.970 |
EUR |
| Details |
DZ Bank 101.5537 C Issuer Name: DZ Bank |
Structured Product |
DY2ZFG |
SWB |
1.860 |
EUR |
| Details |
DZ Bank 99.4741 C Issuer Name: DZ Bank |
Structured Product |
DY25BS |
SWB |
2.030 |
EUR |
| Details |
DZ Bank 105.8369 C Issuer Name: DZ Bank |
Structured Product |
DY65RG |
SWB |
1.500 |
EUR |
| Details |
DZ Bank 106.4114 C Issuer Name: DZ Bank |
Structured Product |
DY65RH |
SWB |
1.450 |
EUR |
| Details |
DZ Bank 106.9853 C Issuer Name: DZ Bank |
Structured Product |
DY65RJ |
SWB |
1.390 |
EUR |
| Details |
DZ Bank 109.7944 C Issuer Name: DZ Bank |
Structured Product |
DY7E3H |
SWB |
1.150 |
EUR |
| Details |
DZ Bank 110.0694 C Issuer Name: DZ Bank |
Structured Product |
DY7KE1 |
SWB |
1.140 |
EUR |
| Details |
DZ Bank 141.33211 C Issuer Name: DZ Bank |
Structured Product |
DY8CQS |
SWB |
0.4500 |
EUR |
| Details |
DZ Bank 145.37017 C Issuer Name: DZ Bank |
Structured Product |
DY8CQT |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 135.67883 C Issuer Name: DZ Bank |
Structured Product |
DY85NL |
SWB |
1.740 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 83.504 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ08NA |
SWB |
3.550 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 79.661 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ0X6G |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 77.7852 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG7B2Z |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 79.4101 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG7BVC |
SWB |
3.900 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 83.5963 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ1VGE |
SWB |
3.560 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 87.3904 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ1WJU |
SWB |
3.230 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 84.549 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ2M6B |
SWB |
3.470 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 82.4368 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ31BB |
SWB |
3.660 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 107.544 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ7E1X |
SWB |
4.390 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 86.1293 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9MGR |
SWB |
3.340 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 86.9513 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9S15 |
SWB |
3.340 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 90.9818 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9UNC |
SWB |
2.910 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 87.9014 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9ZE5 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 89.876 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ9ZW9 |
SWB |
3.090 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 93.7155 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9VR5 |
SWB |
2.770 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 90.5892 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9W35 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 92.471 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XF7 |
SWB |
2.880 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 95.1792 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9YFC |
SWB |
2.580 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 93.9401 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9Z30 |
SWB |
2.680 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 96.1757 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0172 |
SWB |
2.460 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 94.5782 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV01ND |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 101.5806 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0B1L |
SWB |
2.030 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 99.0595 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0CHS |
SWB |
2.240 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 161.316 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV38YE |
SWB |
1.790 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 107.1428 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4JDQ |
SWB |
1.600 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 99.0886 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4JTV |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 109.3055 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4PAT |
SWB |
1.420 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 103.7882 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4XYV |
SWB |
1.910 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 105.388 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4YG9 |
SWB |
1.770 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 133.245 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV50RZ |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 106.4598 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5146 |
SWB |
1.640 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 103.4903 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV6HFQ |
SWB |
1.850 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 211.4311 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV7DZZ |
SWB |
7.54 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 80.0305 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS76EF |
SWB |
3.710 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 62.4527 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS76EJ |
SWB |
5.23 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 76.4684 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS76F8 |
SWB |
4.010 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 65.3243 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS76KS |
SWB |
4.980 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 59.4655 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS76MQ |
SWB |
5.48 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 74.8427 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS77GV |
SWB |
4.150 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 78.1743 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS77HC |
SWB |
3.870 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 79.5504 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS77J9 |
SWB |
3.750 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 77.0236 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS77LT |
SWB |
3.970 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 80.8813 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS7G32 |
SWB |
3.630 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 80.3815 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE0XJ3 |
SWB |
3.980 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 81.3307 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS7MSD |
SWB |
3.590 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 78.4759 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE0Y2B |
SWB |
4.140 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 81.803 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8QL5 |
SWB |
3.550 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 83.8452 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8QLD |
SWB |
3.380 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 85.7729 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8QLX |
SWB |
32.08 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 82.8234 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RLP |
SWB |
34.64 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 84.7523 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RLQ |
SWB |
3.300 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 54.3585 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RQ9 |
SWB |
5.93 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 73.526 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RQE |
SWB |
4.270 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 61.7292 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RQY |
SWB |
5.29 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 85.2064 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RRB |
SWB |
3.260 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 82.2579 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RRC |
SWB |
3.510 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 65.9269 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RRG |
SWB |
4.930 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 58.7807 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8RRS |
SWB |
5.54 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 62.364 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TC1 |
SWB |
5.22 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 74.1487 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TC3 |
SWB |
4.210 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 75.7354 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TC4 |
SWB |
4.070 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 77.2097 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TC5 |
SWB |
3.940 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 78.7958 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TC6 |
SWB |
3.800 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 56.9237 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TG6 |
SWB |
5.70 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 63.0437 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TG8 |
SWB |
5.17 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 67.6889 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TG9 |
SWB |
4.770 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 72.1083 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TGA |
SWB |
4.390 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 83.2158 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8TGB |
SWB |
3.430 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 83.1949 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE0Z4R |
SWB |
3.740 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 70.5061 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS8UDG |
SWB |
4.520 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 84.2708 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1MF7 |
SWB |
3.340 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 66.4575 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1WAW |
SWB |
48.78 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 75.9884 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1WBS |
SWB |
4.050 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 86.3568 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE0548 |
SWB |
3.460 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 86.266 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1YG3 |
SWB |
3.170 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 86.7045 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1YGS |
SWB |
3.130 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 80.1161 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT20JW |
SWB |
3.690 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 87.1241 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT1ZMT |
SWB |
3.090 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 87.5236 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT212L |
SWB |
3.060 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 88.0689 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT22F3 |
SWB |
3.010 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 88.5388 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT26LM |
SWB |
2.970 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 88.9764 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT26LN |
SWB |
2.930 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 89.523 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT26LP |
SWB |
2.890 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 89.9605 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT26LQ |
SWB |
2.850 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 81.6314 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT27EV |
SWB |
3.560 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 83.2706 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT27EW |
SWB |
3.420 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 89.5728 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE05AA |
SWB |
3.190 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 90.4671 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT26XB |
SWB |
2.810 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 84.6548 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT298Q |
SWB |
3.300 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 92.693 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2H0P |
SWB |
2.610 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 100.3205 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JCA |
SWB |
1.960 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 98.794 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JCH |
SWB |
2.090 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 93.2373 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JD4 |
SWB |
2.570 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 91.0572 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JE2 |
SWB |
2.750 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 96.8317 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JEN |
SWB |
2.260 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 99.3395 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JEP |
SWB |
2.050 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 95.9615 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JEV |
SWB |
2.330 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 95.4154 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JF0 |
SWB |
2.380 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 97.3777 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JF4 |
SWB |
2.210 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 92.1463 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JFL |
SWB |
2.660 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 99.7746 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JFN |
SWB |
2.010 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 100.7553 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JG3 |
SWB |
1.920 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 94.8709 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JGU |
SWB |
2.430 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 97.8127 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JGZ |
SWB |
2.180 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 98.3586 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JHP |
SWB |
2.130 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 91.6018 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JHS |
SWB |
2.710 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 96.3962 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JJ4 |
SWB |
2.300 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 93.7811 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JJ6 |
SWB |
2.520 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 94.3261 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2JJ7 |
SWB |
2.480 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 86.2423 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2L51 |
SWB |
3.160 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 87.9864 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2L52 |
SWB |
3.010 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 89.6205 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2L53 |
SWB |
2.870 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 91.2552 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2L54 |
SWB |
2.730 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 92.8883 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT2L55 |
SWB |
2.590 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 93.4799 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE05MH |
SWB |
2.850 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 97.4006 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE05MJ |
SWB |
2.520 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 100.1224 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE05MK |
SWB |
2.280 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 196.3005 P Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT3KWV |
SWB |
6.40 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 103.2238 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4C01 |
SWB |
1.710 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 104.7288 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4C02 |
SWB |
1.580 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 101.8047 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4DFM |
SWB |
1.830 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 105.7806 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4DFN |
SWB |
1.490 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 106.8559 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4AL6 |
SWB |
1.400 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 96.259 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4EW1 |
SWB |
2.300 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 99.6945 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4EW2 |
SWB |
2.000 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 108.503 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4CEE |
SWB |
1.260 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 102.3072 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4MU1 |
SWB |
1.790 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 103.6995 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4MU2 |
SWB |
1.670 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 107.2383 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4MU3 |
SWB |
1.370 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 107.7741 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4MU4 |
SWB |
1.320 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 108.9545 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4MU5 |
SWB |
1.220 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 107.7503 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HE07NT |
SWB |
1.630 |
EUR |
| Details |
ING BANK NV 83.76 C Issuer Name: ING BANK NV |
Structured Product |
NG9QR7 |
FWB |
3.420 |
EUR |
| Details |
ING BANK NV 82.05 C Issuer Name: ING BANK NV |
Structured Product |
NG9QR8 |
FWB |
3.570 |
EUR |
| Details |
ING BANK NV 76.77865 C Issuer Name: ING BANK NV |
Structured Product |
NG9Q2P |
FWB |
4.010 |
EUR |
| Details |
ING BANK NV 72.85089 C Issuer Name: ING BANK NV |
Structured Product |
NG9Q2Q |
FWB |
4.340 |
EUR |
| Details |
ING BANK NV 80.37 C Issuer Name: ING BANK NV |
Structured Product |
NG9RLL |
FWB |
3.710 |
EUR |
| Details |
ING BANK NV 78.73 C Issuer Name: ING BANK NV |
Structured Product |
NB0AGW |
FWB |
3.860 |
EUR |
| Details |
ING BANK NV 77.12 C Issuer Name: ING BANK NV |
Structured Product |
NB0AWR |
FWB |
3.990 |
EUR |
| Details |
ING BANK NV 69.11956 C Issuer Name: ING BANK NV |
Structured Product |
NB0DV7 |
FWB |
4.670 |
EUR |
| Details |
ING BANK NV 75.55 C Issuer Name: ING BANK NV |
Structured Product |
NB0EWC |
FWB |
4.140 |
EUR |
| Details |
ING BANK NV 73.99 C Issuer Name: ING BANK NV |
Structured Product |
NB0E2V |
FWB |
4.260 |
EUR |
| Details |
ING BANK NV 72.48 C Issuer Name: ING BANK NV |
Structured Product |
NB0E2W |
FWB |
4.390 |
EUR |
| Details |
ING BANK NV 70.99 C Issuer Name: ING BANK NV |
Structured Product |
NB0F6F |
FWB |
4.520 |
EUR |
| Details |
ING BANK NV 69.55 C Issuer Name: ING BANK NV |
Structured Product |
NB0F6G |
FWB |
4.650 |
EUR |
| Details |
ING BANK NV 68.07 C Issuer Name: ING BANK NV |
Structured Product |
NB0G6J |
FWB |
4.780 |
EUR |
| Details |
ING BANK NV 66.66 C Issuer Name: ING BANK NV |
Structured Product |
NB0HGB |
FWB |
4.910 |
EUR |
| Details |
ING BANK NV 65.5747 C Issuer Name: ING BANK NV |
Structured Product |
NB0N9X |
FWB |
4.970 |
EUR |
| Details |
ING BANK NV 62.20716 C Issuer Name: ING BANK NV |
Structured Product |
NB0N9Y |
FWB |
5.26 |
EUR |
| Details |
ING BANK NV 65.23 C Issuer Name: ING BANK NV |
Structured Product |
NB0RAJ |
FWB |
5.02 |
EUR |
| Details |
ING BANK NV 58.97049 C Issuer Name: ING BANK NV |
Structured Product |
NB0VDA |
FWB |
5.54 |
EUR |
| Details |
ING BANK NV 63.89 C Issuer Name: ING BANK NV |
Structured Product |
NB0VLA |
FWB |
5.15 |
EUR |
| Details |
ING BANK NV 62.57 C Issuer Name: ING BANK NV |
Structured Product |
NB0V2U |
FWB |
5.25 |
EUR |
| Details |
ING BANK NV 85.47 C Issuer Name: ING BANK NV |
Structured Product |
NB0W4H |
FWB |
3.270 |
EUR |
| Details |
ING BANK NV 87.21 C Issuer Name: ING BANK NV |
Structured Product |
NB0YC1 |
FWB |
3.120 |
EUR |
| Details |
ING BANK NV 88.99 C Issuer Name: ING BANK NV |
Structured Product |
NB0ZPX |
FWB |
2.970 |
EUR |
| Details |
ING BANK NV 90.81 C Issuer Name: ING BANK NV |
Structured Product |
NB00K6 |
FWB |
2.810 |
EUR |
| Details |
ING BANK NV 92.66 C Issuer Name: ING BANK NV |
Structured Product |
NB01C6 |
FWB |
2.650 |
EUR |
| Details |
ING BANK NV 98.44 C Issuer Name: ING BANK NV |
Structured Product |
NB010C |
FWB |
2.160 |
EUR |
| Details |
ING BANK NV 96.48 C Issuer Name: ING BANK NV |
Structured Product |
NB010D |
FWB |
2.320 |
EUR |
| Details |
ING BANK NV 94.55 C Issuer Name: ING BANK NV |
Structured Product |
NB010E |
FWB |
2.480 |
EUR |
| Details |
ING BANK NV 100.45 C Issuer Name: ING BANK NV |
Structured Product |
NB02GD |
FWB |
1.980 |
EUR |
| Details |
ING BANK NV 89.16131 C Issuer Name: ING BANK NV |
Structured Product |
NB03XA |
FWB |
2.930 |
EUR |
| Details |
ING BANK NV 84.83085 C Issuer Name: ING BANK NV |
Structured Product |
NB03XB |
FWB |
3.310 |
EUR |
| Details |
ING BANK NV 80.70656 C Issuer Name: ING BANK NV |
Structured Product |
NB03XC |
FWB |
3.670 |
EUR |
| Details |
ING BANK NV 194.81 P Issuer Name: ING BANK NV |
Structured Product |
NB1CBJ |
FWB |
6.25 |
EUR |
| Details |
ING BANK NV 135.94 C Issuer Name: ING BANK NV |
Structured Product |
NB1NSU |
FWB |
0.0000 |
EUR |
| Details |
ING BANK NV 62.41 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN2 |
FWB |
5.27 |
EUR |
| Details |
ING BANK NV 62.25 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN3 |
FWB |
5.28 |
EUR |
| Details |
ING BANK NV 62.09 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN4 |
FWB |
5.30 |
EUR |
| Details |
ING BANK NV 61.93 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN5 |
FWB |
5.31 |
EUR |
| Details |
ING BANK NV 61.77 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN6 |
FWB |
5.32 |
EUR |
| Details |
ING BANK NV 61.61 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN7 |
FWB |
5.33 |
EUR |
| Details |
ING BANK NV 61.45 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN8 |
FWB |
5.34 |
EUR |
| Details |
ING BANK NV 61.29 C Issuer Name: ING BANK NV |
Structured Product |
NB1SN9 |
FWB |
5.37 |
EUR |
| Details |
ING BANK NV 61.13 C Issuer Name: ING BANK NV |
Structured Product |
NB1SPA |
FWB |
5.37 |
EUR |
| Details |
ING BANK NV 60.98 C Issuer Name: ING BANK NV |
Structured Product |
NB1SPB |
FWB |
5.40 |
EUR |
| Details |
ING BANK NV 196.78 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQH |
FWB |
6.41 |
EUR |
| Details |
ING BANK NV 198.76 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQJ |
FWB |
6.58 |
EUR |
| Details |
ING BANK NV 200.77 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQK |
FWB |
6.76 |
EUR |
| Details |
ING BANK NV 202.8 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQL |
FWB |
6.93 |
EUR |
| Details |
ING BANK NV 204.85 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQM |
FWB |
7.10 |
EUR |
| Details |
ING BANK NV 206.91 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQN |
FWB |
7.29 |
EUR |
| Details |
ING BANK NV 209 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQP |
FWB |
7.48 |
EUR |
| Details |
ING BANK NV 211.11 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQQ |
FWB |
7.66 |
EUR |
| Details |
ING BANK NV 213.24 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQR |
FWB |
7.84 |
EUR |
| Details |
ING BANK NV 215.4 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQS |
FWB |
8.02 |
EUR |
| Details |
ING BANK NV 217.57 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQT |
FWB |
8.21 |
EUR |
| Details |
ING BANK NV 219.77 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQU |
FWB |
8.41 |
EUR |
| Details |
ING BANK NV 221.98 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQV |
FWB |
8.59 |
EUR |
| Details |
ING BANK NV 224.22 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQW |
FWB |
8.78 |
EUR |
| Details |
ING BANK NV 226.49 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQX |
FWB |
8.99 |
EUR |
| Details |
ING BANK NV 228.77 P Issuer Name: ING BANK NV |
Structured Product |
NB1SQY |
FWB |
9.19 |
EUR |
| Details |
ING BANK NV 104.61 C Issuer Name: ING BANK NV |
Structured Product |
NB12AA |
FWB |
1.620 |
EUR |
| Details |
ING BANK NV 104.35 C Issuer Name: ING BANK NV |
Structured Product |
NB12AB |
FWB |
1.640 |
EUR |
| Details |
ING BANK NV 104.08 C Issuer Name: ING BANK NV |
Structured Product |
NB12AC |
FWB |
1.670 |
EUR |
| Details |
ING BANK NV 103.82 C Issuer Name: ING BANK NV |
Structured Product |
NB12AD |
FWB |
1.690 |
EUR |
| Details |
ING BANK NV 103.56 C Issuer Name: ING BANK NV |
Structured Product |
NB12AE |
FWB |
1.720 |
EUR |
| Details |
ING BANK NV 103.29 C Issuer Name: ING BANK NV |
Structured Product |
NB12AF |
FWB |
1.740 |
EUR |
| Details |
ING BANK NV 103.03 C Issuer Name: ING BANK NV |
Structured Product |
NB12AG |
FWB |
1.760 |
EUR |
| Details |
ING BANK NV 102.77 C Issuer Name: ING BANK NV |
Structured Product |
NB12AH |
FWB |
1.780 |
EUR |
| Details |
ING BANK NV 102.51 C Issuer Name: ING BANK NV |
Structured Product |
NB12AJ |
FWB |
1.800 |
EUR |
| Details |
ING BANK NV 102.25 C Issuer Name: ING BANK NV |
Structured Product |
NB12AK |
FWB |
1.820 |
EUR |
| Details |
ING BANK NV 101.99 C Issuer Name: ING BANK NV |
Structured Product |
NB12AL |
FWB |
1.840 |
EUR |
| Details |
ING BANK NV 101.73 C Issuer Name: ING BANK NV |
Structured Product |
NB12AM |
FWB |
1.870 |
EUR |
| Details |
ING BANK NV 101.47 C Issuer Name: ING BANK NV |
Structured Product |
NB12AN |
FWB |
1.890 |
EUR |
| Details |
ING BANK NV 101.21 C Issuer Name: ING BANK NV |
Structured Product |
NB12AP |
FWB |
1.910 |
EUR |
| Details |
ING BANK NV 100.96 C Issuer Name: ING BANK NV |
Structured Product |
NB12AQ |
FWB |
1.930 |
EUR |
| Details |
ING BANK NV 100.7 C Issuer Name: ING BANK NV |
Structured Product |
NB12AR |
FWB |
1.950 |
EUR |
| Details |
ING BANK NV 108.95 C Issuer Name: ING BANK NV |
Structured Product |
NB14Q7 |
FWB |
1.240 |
EUR |
| Details |
ING BANK NV 108.67 C Issuer Name: ING BANK NV |
Structured Product |
NB14Q8 |
FWB |
1.260 |
EUR |
| Details |
ING BANK NV 108.4 C Issuer Name: ING BANK NV |
Structured Product |
NB14Q9 |
FWB |
1.290 |
EUR |
| Details |
ING BANK NV 108.12 C Issuer Name: ING BANK NV |
Structured Product |
NB14RA |
FWB |
1.320 |
EUR |
| Details |
ING BANK NV 107.85 C Issuer Name: ING BANK NV |
Structured Product |
NB14RB |
FWB |
1.340 |
EUR |
| Details |
ING BANK NV 107.58 C Issuer Name: ING BANK NV |
Structured Product |
NB14RC |
FWB |
1.360 |
EUR |
| Details |
ING BANK NV 107.3 C Issuer Name: ING BANK NV |
Structured Product |
NB14RD |
FWB |
1.390 |
EUR |
| Details |
ING BANK NV 107.03 C Issuer Name: ING BANK NV |
Structured Product |
NB14RE |
FWB |
1.400 |
EUR |
| Details |
ING BANK NV 106.76 C Issuer Name: ING BANK NV |
Structured Product |
NB14RF |
FWB |
1.430 |
EUR |
| Details |
ING BANK NV 106.49 C Issuer Name: ING BANK NV |
Structured Product |
NB14RG |
FWB |
1.460 |
EUR |
| Details |
ING BANK NV 106.22 C Issuer Name: ING BANK NV |
Structured Product |
NB14RH |
FWB |
1.480 |
EUR |
| Details |
ING BANK NV 105.95 C Issuer Name: ING BANK NV |
Structured Product |
NB14RJ |
FWB |
1.500 |
EUR |
| Details |
ING BANK NV 105.68 C Issuer Name: ING BANK NV |
Structured Product |
NB14RK |
FWB |
1.530 |
EUR |
| Details |
ING BANK NV 105.41 C Issuer Name: ING BANK NV |
Structured Product |
NB14RL |
FWB |
1.560 |
EUR |
| Details |
ING BANK NV 105.15 C Issuer Name: ING BANK NV |
Structured Product |
NB14RM |
FWB |
1.580 |
EUR |
| Details |
ING BANK NV 104.88 C Issuer Name: ING BANK NV |
Structured Product |
NB14RN |
FWB |
1.600 |
EUR |
| Details |
Morgan Stanley 43.8095 C Issuer Name: Morgan Stanley |
Structured Product |
MG5YWB |
SWB |
6.38 |
EUR |
| Details |
Morgan Stanley 69.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG65UV |
SWB |
3.800 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG6SW5 |
SWB |
47.33 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG6SW6 |
SWB |
48.19 |
EUR |
| Details |
Morgan Stanley 66.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MG6WB7 |
SWB |
4.070 |
EUR |
| Details |
Morgan Stanley 72 C Issuer Name: Morgan Stanley |
Structured Product |
MG6ZEN |
SWB |
3.590 |
EUR |
| Details |
Morgan Stanley 72.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG6ZEP |
SWB |
3.560 |
EUR |
| Details |
Morgan Stanley 72.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG6ZEQ |
SWB |
3.540 |
EUR |
| Details |
Morgan Stanley 72.75 C Issuer Name: Morgan Stanley |
Structured Product |
MG6ZER |
SWB |
3.510 |
EUR |
| Details |
Morgan Stanley 69.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MG771S |
SWB |
3.810 |
EUR |
| Details |
Morgan Stanley 73 C Issuer Name: Morgan Stanley |
Structured Product |
MG77DR |
SWB |
3.470 |
EUR |
| Details |
Morgan Stanley 73.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG77DS |
SWB |
3.460 |
EUR |
| Details |
Morgan Stanley 55.238 C Issuer Name: Morgan Stanley |
Structured Product |
MG7FRZ |
SWB |
5.25 |
EUR |
| Details |
Morgan Stanley 72 C Issuer Name: Morgan Stanley |
Structured Product |
MG7KDQ |
SWB |
3.570 |
EUR |
| Details |
Morgan Stanley 71 C Issuer Name: Morgan Stanley |
Structured Product |
MG7MVR |
SWB |
3.690 |
EUR |
| Details |
Morgan Stanley 72.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG7XUR |
SWB |
3.550 |
EUR |
| Details |
Morgan Stanley 70.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG85UD |
SWB |
3.790 |
EUR |
| Details |
Morgan Stanley 72 C Issuer Name: Morgan Stanley |
Structured Product |
MG89HJ |
SWB |
3.600 |
EUR |
| Details |
Morgan Stanley 43.8095 C Issuer Name: Morgan Stanley |
Structured Product |
MG8PP0 |
SWB |
6.43 |
EUR |
| Details |
Morgan Stanley 72.3809 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YW0 |
SWB |
3.580 |
EUR |
| Details |
Morgan Stanley 74 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXE |
SWB |
3.430 |
EUR |
| Details |
Morgan Stanley 74.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXF |
SWB |
3.410 |
EUR |
| Details |
Morgan Stanley 74.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXG |
SWB |
3.380 |
EUR |
| Details |
Morgan Stanley 74.75 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXH |
SWB |
3.360 |
EUR |
| Details |
Morgan Stanley 75 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXJ |
SWB |
3.330 |
EUR |
| Details |
Morgan Stanley 75.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXK |
SWB |
3.310 |
EUR |
| Details |
Morgan Stanley 75.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXL |
SWB |
3.280 |
EUR |
| Details |
Morgan Stanley 75.75 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXM |
SWB |
3.260 |
EUR |
| Details |
Morgan Stanley 76 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXN |
SWB |
3.230 |
EUR |
| Details |
Morgan Stanley 76.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXP |
SWB |
3.210 |
EUR |
| Details |
Morgan Stanley 76.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXQ |
SWB |
3.180 |
EUR |
| Details |
Morgan Stanley 76.75 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXR |
SWB |
3.160 |
EUR |
| Details |
Morgan Stanley 77 C Issuer Name: Morgan Stanley |
Structured Product |
MG8YXS |
SWB |
3.130 |
EUR |
| Details |
Morgan Stanley 69.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MG90DA |
SWB |
3.870 |
EUR |
| Details |
Morgan Stanley 71.4285 C Issuer Name: Morgan Stanley |
Structured Product |
MG90DB |
SWB |
3.680 |
EUR |
| Details |
Morgan Stanley 72.3809 C Issuer Name: Morgan Stanley |
Structured Product |
MG90DC |
SWB |
3.590 |
EUR |
| Details |
Morgan Stanley 73.3333 C Issuer Name: Morgan Stanley |
Structured Product |
MG90DD |
SWB |
3.490 |
EUR |
| Details |
Morgan Stanley 69.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG97T9 |
SWB |
3.920 |
EUR |
| Details |
Morgan Stanley 76.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG9JLA |
SWB |
3.250 |
EUR |
| Details |
Morgan Stanley 49.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MG9V0K |
SWB |
5.90 |
EUR |
| Details |
Morgan Stanley 69.75 C Issuer Name: Morgan Stanley |
Structured Product |
MG9XGC |
SWB |
3.890 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG9Z4D |
SWB |
71.75 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG9Z5S |
SWB |
80.47 |
EUR |
| Details |
Morgan Stanley 71.4285 C Issuer Name: Morgan Stanley |
Structured Product |
MJ05ZZ |
SWB |
3.720 |
EUR |
| Details |
Morgan Stanley 71.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ064C |
SWB |
3.720 |
EUR |
| Details |
Morgan Stanley 73.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0ZG9 |
SWB |
3.550 |
EUR |
| Details |
Morgan Stanley 72.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DWB |
SWB |
3.650 |
EUR |
| Details |
Morgan Stanley 76.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1GUS |
SWB |
3.250 |
EUR |
| Details |
Morgan Stanley 75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1KXD |
SWB |
3.410 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1PV8 |
SWB |
82.72 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1R36 |
SWB |
86.29 |
EUR |
| Details |
Morgan Stanley 85.52 C Issuer Name: Morgan Stanley |
Structured Product |
MJ22FC |
SWB |
0.4700 |
EUR |
| Details |
Morgan Stanley 146.9375 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2L8E |
SWB |
0.2600 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ39HS |
SWB |
95.17 |
EUR |
| Details |
Morgan Stanley 49.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3SNC |
SWB |
5.97 |
EUR |
| Details |
Morgan Stanley 76 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3Z57 |
SWB |
3.390 |
EUR |
| Details |
Morgan Stanley 61.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ45WA |
SWB |
4.830 |
EUR |
| Details |
Morgan Stanley 75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ47YF |
SWB |
3.490 |
EUR |
| Details |
Morgan Stanley 78.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4JSH |
SWB |
3.180 |
EUR |
| Details |
Morgan Stanley 77.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4NM3 |
SWB |
3.290 |
EUR |
| Details |
Morgan Stanley 64.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4X33 |
SWB |
4.550 |
EUR |
| Details |
Morgan Stanley 79 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5A6E |
SWB |
3.140 |
EUR |
| Details |
Morgan Stanley 76.1338 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5E6F |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 72.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5GJP |
SWB |
3.760 |
EUR |
| Details |
Morgan Stanley 77.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5GJQ |
SWB |
3.300 |
EUR |
| Details |
Morgan Stanley 77 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5KX2 |
SWB |
3.360 |
EUR |
| Details |
Morgan Stanley 70.0417 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5N5X |
SWB |
0.4300 |
EUR |
| Details |
Morgan Stanley 72.0429 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5N5Y |
SWB |
0.1050 |
EUR |
| Details |
Morgan Stanley 70.4761 C Issuer Name: Morgan Stanley |
Structured Product |
MJ63SW |
SWB |
3.970 |
EUR |
| Details |
Morgan Stanley 65 C Issuer Name: Morgan Stanley |
Structured Product |
MJ66MK |
SWB |
4.530 |
EUR |
| Details |
Morgan Stanley 77 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6AGC |
SWB |
3.390 |
EUR |
| Details |
Morgan Stanley 58.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6Y3V |
SWB |
5.16 |
EUR |
| Details |
Morgan Stanley 66.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6Y3W |
SWB |
4.390 |
EUR |
| Details |
Morgan Stanley 77.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6Y3X |
SWB |
3.300 |
EUR |
| Details |
Morgan Stanley 72.8788 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7A6R |
SWB |
0.0220 |
EUR |
| Details |
Morgan Stanley 65 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7H74 |
SWB |
4.560 |
EUR |
| Details |
Morgan Stanley 62.8571 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7RN4 |
SWB |
4.760 |
EUR |
| Details |
Morgan Stanley 60 C Issuer Name: Morgan Stanley |
Structured Product |
MJ801J |
SWB |
5.08 |
EUR |
| Details |
Morgan Stanley 80.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8CG4 |
SWB |
3.100 |
EUR |
| Details |
Morgan Stanley 80.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8CG5 |
SWB |
3.070 |
EUR |
| Details |
Morgan Stanley 61.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8E4H |
SWB |
4.900 |
EUR |
| Details |
Morgan Stanley 81 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8JZL |
SWB |
3.060 |
EUR |
| Details |
Morgan Stanley 81.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8JZM |
SWB |
3.050 |
EUR |
| Details |
Morgan Stanley 77.1428 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8MGM |
SWB |
3.430 |
EUR |
| Details |
Morgan Stanley 81.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8N72 |
SWB |
3.030 |
EUR |
| Details |
Morgan Stanley 78.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8Q72 |
SWB |
3.320 |
EUR |
| Details |
Morgan Stanley 79.0476 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8Q73 |
SWB |
3.230 |
EUR |
| Details |
Morgan Stanley 81.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHT |
SWB |
2.980 |
EUR |
| Details |
Morgan Stanley 82 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHU |
SWB |
2.960 |
EUR |
| Details |
Morgan Stanley 82.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHV |
SWB |
2.930 |
EUR |
| Details |
Morgan Stanley 82.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHW |
SWB |
2.910 |
EUR |
| Details |
Morgan Stanley 82.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHX |
SWB |
2.890 |
EUR |
| Details |
Morgan Stanley 83 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHY |
SWB |
2.860 |
EUR |
| Details |
Morgan Stanley 83.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QHZ |
SWB |
2.840 |
EUR |
| Details |
Morgan Stanley 83.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QJ0 |
SWB |
2.810 |
EUR |
| Details |
Morgan Stanley 83.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8QJ1 |
SWB |
2.790 |
EUR |
| Details |
Morgan Stanley 80 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8UA3 |
SWB |
3.190 |
EUR |
| Details |
Morgan Stanley 84 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8V0N |
SWB |
2.820 |
EUR |
| Details |
Morgan Stanley 84.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8V0P |
SWB |
2.800 |
EUR |
| Details |
Morgan Stanley 79.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8YV2 |
SWB |
3.190 |
EUR |
| Details |
Morgan Stanley 80.9523 C Issuer Name: Morgan Stanley |
Structured Product |
MJ94DC |
SWB |
3.080 |
EUR |
| Details |
Morgan Stanley 77 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958P |
SWB |
3.470 |
EUR |
| Details |
Morgan Stanley 84.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958Q |
SWB |
2.760 |
EUR |
| Details |
Morgan Stanley 84.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958R |
SWB |
2.740 |
EUR |
| Details |
Morgan Stanley 85 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958S |
SWB |
2.710 |
EUR |
| Details |
Morgan Stanley 85.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958T |
SWB |
2.700 |
EUR |
| Details |
Morgan Stanley 85.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958U |
SWB |
2.670 |
EUR |
| Details |
Morgan Stanley 85.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ958V |
SWB |
2.650 |
EUR |
| Details |
Morgan Stanley 81.9047 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9814 |
SWB |
2.980 |
EUR |
| Details |
Morgan Stanley 82.8571 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9815 |
SWB |
2.890 |
EUR |
| Details |
Morgan Stanley 83.8095 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9816 |
SWB |
2.800 |
EUR |
| Details |
Morgan Stanley 63 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9J |
SWB |
4.760 |
EUR |
| Details |
Morgan Stanley 86 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9K |
SWB |
2.580 |
EUR |
| Details |
Morgan Stanley 86.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9L |
SWB |
2.550 |
EUR |
| Details |
Morgan Stanley 86.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9M |
SWB |
2.520 |
EUR |
| Details |
Morgan Stanley 86.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9N |
SWB |
2.500 |
EUR |
| Details |
Morgan Stanley 87 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9P |
SWB |
2.480 |
EUR |
| Details |
Morgan Stanley 87.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9Q |
SWB |
2.450 |
EUR |
| Details |
Morgan Stanley 87.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9R |
SWB |
2.440 |
EUR |
| Details |
Morgan Stanley 87.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9S |
SWB |
2.400 |
EUR |
| Details |
Morgan Stanley 88 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9T |
SWB |
2.390 |
EUR |
| Details |
Morgan Stanley 88.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9U |
SWB |
2.360 |
EUR |
| Details |
Morgan Stanley 88.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9V |
SWB |
2.330 |
EUR |
| Details |
Morgan Stanley 88.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9C9W |
SWB |
2.320 |
EUR |
| Details |
Morgan Stanley 84.7619 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVD |
SWB |
2.730 |
EUR |
| Details |
Morgan Stanley 85.7142 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVE |
SWB |
2.640 |
EUR |
| Details |
Morgan Stanley 86.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVF |
SWB |
2.550 |
EUR |
| Details |
Morgan Stanley 87.619 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVG |
SWB |
2.450 |
EUR |
| Details |
Morgan Stanley 88.5714 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVH |
SWB |
2.360 |
EUR |
| Details |
Morgan Stanley 89.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9DVJ |
SWB |
2.270 |
EUR |
| Details |
Morgan Stanley 89 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E43 |
SWB |
2.340 |
EUR |
| Details |
Morgan Stanley 89.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E44 |
SWB |
2.320 |
EUR |
| Details |
Morgan Stanley 89.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E45 |
SWB |
2.290 |
EUR |
| Details |
Morgan Stanley 89.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E46 |
SWB |
2.270 |
EUR |
| Details |
Morgan Stanley 90 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E47 |
SWB |
2.250 |
EUR |
| Details |
Morgan Stanley 90.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E48 |
SWB |
2.220 |
EUR |
| Details |
Morgan Stanley 90.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E49 |
SWB |
2.200 |
EUR |
| Details |
Morgan Stanley 90.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4A |
SWB |
2.180 |
EUR |
| Details |
Morgan Stanley 91 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4B |
SWB |
2.150 |
EUR |
| Details |
Morgan Stanley 91.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4C |
SWB |
2.130 |
EUR |
| Details |
Morgan Stanley 91.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4D |
SWB |
2.110 |
EUR |
| Details |
Morgan Stanley 91.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4E |
SWB |
2.080 |
EUR |
| Details |
Morgan Stanley 92 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4F |
SWB |
2.060 |
EUR |
| Details |
Morgan Stanley 92.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4G |
SWB |
2.040 |
EUR |
| Details |
Morgan Stanley 92.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4H |
SWB |
2.010 |
EUR |
| Details |
Morgan Stanley 92.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4J |
SWB |
1.990 |
EUR |
| Details |
Morgan Stanley 93 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4K |
SWB |
1.960 |
EUR |
| Details |
Morgan Stanley 93.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4L |
SWB |
1.940 |
EUR |
| Details |
Morgan Stanley 93.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4M |
SWB |
1.920 |
EUR |
| Details |
Morgan Stanley 93.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4N |
SWB |
1.890 |
EUR |
| Details |
Morgan Stanley 94 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9E4P |
SWB |
1.870 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9HNT |
SWB |
78.77 |
EUR |
| Details |
Morgan Stanley 69.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9PVN |
SWB |
4.160 |
EUR |
| Details |
Morgan Stanley 76.1904 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9PVP |
SWB |
3.520 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12UE |
SWB |
86.67 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12V4 |
SWB |
92.68 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12VA |
SWB |
93.51 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12VJ |
SWB |
95.04 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12VP |
SWB |
102.78 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK12VT |
SWB |
96.40 |
EUR |
| Details |
Morgan Stanley 210.5264 P Issuer Name: Morgan Stanley |
Structured Product |
MK14AG |
SWB |
7.31 |
EUR |
| Details |
Morgan Stanley 164.7333 C Issuer Name: Morgan Stanley |
Structured Product |
MK14BW |
SWB |
0.0660 |
EUR |
| Details |
Morgan Stanley 197.32 C Issuer Name: Morgan Stanley |
Structured Product |
MK2SS1 |
SWB |
4.140 |
EUR |
| Details |
Morgan Stanley 102.6667 C Issuer Name: Morgan Stanley |
Structured Product |
MK40AZ |
SWB |
0.0070 |
EUR |
| Details |
Morgan Stanley 103.95 C Issuer Name: Morgan Stanley |
Structured Product |
MK40B0 |
SWB |
0.0010 |
EUR |
| Details |
Morgan Stanley 87.0417 C Issuer Name: Morgan Stanley |
Structured Product |
MK4AQX |
SWB |
1.230 |
EUR |
| Details |
Morgan Stanley 89.5286 C Issuer Name: Morgan Stanley |
Structured Product |
MK4AQY |
SWB |
0.4500 |
EUR |
| Details |
Morgan Stanley 91.3938 C Issuer Name: Morgan Stanley |
Structured Product |
MK4AQZ |
SWB |
0.0930 |
EUR |
| Details |
Morgan Stanley 92.8444 C Issuer Name: Morgan Stanley |
Structured Product |
MK4AR0 |
SWB |
0.0270 |
EUR |
| Details |
Morgan Stanley 94.005 C Issuer Name: Morgan Stanley |
Structured Product |
MK4AR1 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 78.56 C Issuer Name: Morgan Stanley |
Structured Product |
MK4DQH |
SWB |
3.890 |
EUR |
| Details |
Morgan Stanley 96 C Issuer Name: Morgan Stanley |
Structured Product |
MK503S |
SWB |
1.840 |
EUR |
| Details |
Morgan Stanley 96.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK503T |
SWB |
1.790 |
EUR |
| Details |
Morgan Stanley 97 C Issuer Name: Morgan Stanley |
Structured Product |
MK503U |
SWB |
1.750 |
EUR |
| Details |
Morgan Stanley 97.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK503V |
SWB |
1.710 |
EUR |
| Details |
Morgan Stanley 98 C Issuer Name: Morgan Stanley |
Structured Product |
MK503W |
SWB |
1.650 |
EUR |
| Details |
Morgan Stanley 98.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK503X |
SWB |
1.610 |
EUR |
| Details |
Morgan Stanley 99 C Issuer Name: Morgan Stanley |
Structured Product |
MK503Y |
SWB |
1.560 |
EUR |
| Details |
Morgan Stanley 99.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK503Z |
SWB |
1.520 |
EUR |
| Details |
Morgan Stanley 100 C Issuer Name: Morgan Stanley |
Structured Product |
MK5040 |
SWB |
1.470 |
EUR |
| Details |
Morgan Stanley 100.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5041 |
SWB |
1.420 |
EUR |
| Details |
Morgan Stanley 101 C Issuer Name: Morgan Stanley |
Structured Product |
MK5042 |
SWB |
1.380 |
EUR |
| Details |
Morgan Stanley 92.8571 C Issuer Name: Morgan Stanley |
Structured Product |
MK58DE |
SWB |
2.100 |
EUR |
| Details |
Morgan Stanley 95.238 C Issuer Name: Morgan Stanley |
Structured Product |
MK58DF |
SWB |
1.880 |
EUR |
| Details |
Morgan Stanley 97.619 C Issuer Name: Morgan Stanley |
Structured Product |
MK58DG |
SWB |
1.660 |
EUR |
| Details |
Morgan Stanley 101.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5BCL |
SWB |
1.330 |
EUR |
| Details |
Morgan Stanley 102 C Issuer Name: Morgan Stanley |
Structured Product |
MK5BCM |
SWB |
1.270 |
EUR |
| Details |
Morgan Stanley 102.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5BCN |
SWB |
1.230 |
EUR |
| Details |
Morgan Stanley 103 C Issuer Name: Morgan Stanley |
Structured Product |
MK5BCP |
SWB |
1.180 |
EUR |
| Details |
Morgan Stanley 103.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5BCQ |
SWB |
1.140 |
EUR |
| Details |
Morgan Stanley 102 C Issuer Name: Morgan Stanley |
Structured Product |
MK5JT4 |
SWB |
0.2600 |
EUR |
| Details |
Morgan Stanley 104.125 C Issuer Name: Morgan Stanley |
Structured Product |
MK5JT5 |
SWB |
0.0550 |
EUR |
| Details |
Morgan Stanley 105.7778 C Issuer Name: Morgan Stanley |
Structured Product |
MK5JT6 |
SWB |
0.0160 |
EUR |
| Details |
Morgan Stanley 108.252 C Issuer Name: Morgan Stanley |
Structured Product |
MK5SRS |
SWB |
0.0020 |
EUR |
| Details |
Morgan Stanley 102 C Issuer Name: Morgan Stanley |
Structured Product |
MK62JN |
SWB |
1.330 |
EUR |
| Details |
Morgan Stanley 101 C Issuer Name: Morgan Stanley |
Structured Product |
MK86XJ |
SWB |
1.500 |
EUR |
| Details |
Societe Generale Acceptance NV 72.1 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY2GBF |
SWB |
2.390 |
EUR |
| Details |
Societe Generale Acceptance NV 72.1 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY2GBG |
SWB |
0.0170 |
EUR |
| Details |
Societe Generale Acceptance NV 72.1 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY2GBH |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 107.777 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ01ET |
SWB |
1.040 |
EUR |
| Details |
Societe Generale Acceptance NV 109.285 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ04N5 |
SWB |
0.2400 |
EUR |
| Details |
Societe Generale Acceptance NV 102.613 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ1A7C |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 92.021 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ2TZQ |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 85.62 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ6ER4 |
SWB |
2.380 |
EUR |
| Details |
Societe Generale Acceptance NV 85.14 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ7T39 |
SWB |
0.8000 |
EUR |
| Details |
Societe Generale Acceptance NV 80.618 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ9GU4 |
SWB |
0.0050 |
EUR |
| Details |
Societe Generale Acceptance NV 96.007 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0C90 |
SWB |
0.4000 |
EUR |
| Details |
Societe Generale Acceptance NV 96.007 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX0C91 |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 100.25 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX01HL |
SWB |
0.3000 |
EUR |
| Details |
Societe Generale Acceptance NV 100.263 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX01HM |
SWB |
0.0110 |
EUR |
| Details |
Societe Generale Acceptance NV 100.25 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX01HN |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 127.045 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1F93 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 127.045 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1F9Y |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 143.787 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1S84 |
SWB |
0.9500 |
EUR |
| Details |
Societe Generale Acceptance NV 129.065 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1UDQ |
SWB |
5.47 |
EUR |
| Details |
Societe Generale Acceptance NV 106.839 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7E69 |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 98.86 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7HZ6 |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 105.869 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFJ |
SWB |
5.75 |
EUR |
| Details |
Societe Generale Acceptance NV 105.889 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFK |
SWB |
1.510 |
EUR |
| Details |
Societe Generale Acceptance NV 105.869 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFL |
SWB |
0.5600 |
EUR |
| Details |
Societe Generale Acceptance NV 105.889 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFM |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 105.869 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFN |
SWB |
0.0080 |
EUR |
| Details |
Societe Generale Acceptance NV 105.869 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KFP |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 105.889 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KG6 |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 106.109 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KG7 |
SWB |
0.7000 |
EUR |
| Details |
Societe Generale Acceptance NV 105.889 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7KG8 |
SWB |
1.920 |
EUR |
| Details |
Societe Generale Acceptance NV 119.418 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8RBP |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0B94 |
SWB |
0.2500 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0B95 |
SWB |
0.0680 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0B96 |
SWB |
0.0020 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0B97 |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0CK0 |
SWB |
1.680 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0CK1 |
SWB |
3.580 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0CKY |
SWB |
0.1000 |
EUR |
| Details |
Societe Generale Acceptance NV 127.637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0CKZ |
SWB |
0.6000 |
EUR |
| Details |
Societe Generale Acceptance NV 123.219 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0GK1 |
SWB |
0.6500 |
EUR |
| Details |
Societe Generale Acceptance NV 131.877 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0VM7 |
SWB |
4.530 |
EUR |
| Details |
UBS AG - London Office 61.82845 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51AP |
SWB |
5.34 |
EUR |
| Details |
UBS AG - London Office 65.94481 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51AQ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 80.73668 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51AT |
SWB |
3.690 |
EUR |
| Details |
UBS AG - London Office 75.34469 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51FY |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 77.98132 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51FZ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 72.89669 C Issuer Name: UBS AG - London Office |
Structured Product |
UM51GA |
SWB |
4.380 |
EUR |
| Details |
UBS AG - London Office 60.90608 C Issuer Name: UBS AG - London Office |
Structured Product |
UM53GZ |
SWB |
5.41 |
EUR |
| Details |
UBS AG - London Office 80.73247 C Issuer Name: UBS AG - London Office |
Structured Product |
UM53H7 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 74.08374 C Issuer Name: UBS AG - London Office |
Structured Product |
UM55SM |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 78.89841 C Issuer Name: UBS AG - London Office |
Structured Product |
UM564K |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 74.42771 C Issuer Name: UBS AG - London Office |
Structured Product |
UM564M |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 69.95701 C Issuer Name: UBS AG - London Office |
Structured Product |
UM57YM |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 79.35689 C Issuer Name: UBS AG - London Office |
Structured Product |
UM57YQ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 74.65695 C Issuer Name: UBS AG - London Office |
Structured Product |
UM57Z4 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 68.05437 C Issuer Name: UBS AG - London Office |
Structured Product |
UM585F |
SWB |
4.800 |
EUR |
| Details |
UBS AG - London Office 57.00341 C Issuer Name: UBS AG - London Office |
Structured Product |
UM59ZM |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 72.7814 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5XYJ |
SWB |
4.380 |
EUR |
| Details |
UBS AG - London Office 80.15936 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5Y5B |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 63.21195 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5Y5E |
SWB |
5.22 |
EUR |
| Details |
UBS AG - London Office 83.2667 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5YPN |
SWB |
5.35 |
EUR |
| Details |
UBS AG - London Office 62.45 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5Z1M |
SWB |
7.57 |
EUR |
| Details |
UBS AG - London Office 80.50611 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5ZZH |
SWB |
3.700 |
EUR |
| Details |
UBS AG - London Office 69.89901 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5ZZJ |
SWB |
4.640 |
EUR |
| Details |
UBS AG - London Office 49.37671 C Issuer Name: UBS AG - London Office |
Structured Product |
UM5ZZL |
SWB |
6.42 |
EUR |
| Details |
UBS AG - London Office 80.85196 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6BMZ |
SWB |
3.690 |
EUR |
| Details |
UBS AG - London Office 78.66137 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6BSH |
SWB |
3.870 |
EUR |
| Details |
UBS AG - London Office 73.12725 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6C4C |
SWB |
4.350 |
EUR |
| Details |
UBS AG - London Office 76.47078 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6DZ0 |
SWB |
4.060 |
EUR |
| Details |
UBS AG - London Office 54.68026 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6E5D |
SWB |
5.96 |
EUR |
| Details |
UBS AG - London Office 56.20095 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6FZJ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 76.81663 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6GA6 |
SWB |
4.020 |
EUR |
| Details |
UBS AG - London Office 62.28958 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6KGV |
SWB |
5.29 |
EUR |
| Details |
UBS AG - London Office 67.32038 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6KH6 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 62.75082 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6KH7 |
SWB |
5.26 |
EUR |
| Details |
UBS AG - London Office 75.91791 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6KMB |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 83.2667 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6LDA |
SWB |
8.55 |
EUR |
| Details |
UBS AG - London Office 70.82138 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6MSC |
SWB |
4.550 |
EUR |
| Details |
UBS AG - London Office 62.45 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6NJG |
SWB |
12.14 |
EUR |
| Details |
UBS AG - London Office 75.58471 C Issuer Name: UBS AG - London Office |
Structured Product |
UM67B5 |
SWB |
4.110 |
EUR |
| Details |
UBS AG - London Office 76.18218 C Issuer Name: UBS AG - London Office |
Structured Product |
UM69GZ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 60.95169 C Issuer Name: UBS AG - London Office |
Structured Product |
UM69HD |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 50.59181 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7HNG |
SWB |
6.31 |
EUR |
| Details |
UBS AG - London Office 79.15518 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7JP0 |
SWB |
3.830 |
EUR |
| Details |
UBS AG - London Office 72.63217 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7V5C |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 62.07668 C Issuer Name: UBS AG - London Office |
Structured Product |
UM69EJ |
SWB |
5.31 |
EUR |
| Details |
UBS AG - London Office 71.05567 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7FEN |
SWB |
4.530 |
EUR |
| Details |
UBS AG - London Office 71.40099 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7M9A |
SWB |
4.500 |
EUR |
| Details |
UBS AG - London Office 74.19656 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7B9Q |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 51.76337 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7WEB |
SWB |
6.21 |
EUR |
| Details |
UBS AG - London Office 63.47339 C Issuer Name: UBS AG - London Office |
Structured Product |
UM694B |
SWB |
5.19 |
EUR |
| Details |
UBS AG - London Office 76.55604 C Issuer Name: UBS AG - London Office |
Structured Product |
UM66X2 |
SWB |
4.060 |
EUR |
| Details |
UBS AG - London Office 53.95317 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7HDZ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 77.13065 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7WQH |
SWB |
4.000 |
EUR |
| Details |
UBS AG - London Office 67.46071 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7PBQ |
SWB |
4.840 |
EUR |
| Details |
UBS AG - London Office 74.4983 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7RHW |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 49.95993 C Issuer Name: UBS AG - London Office |
Structured Product |
UM66T5 |
SWB |
6.37 |
EUR |
| Details |
UBS AG - London Office 65.65174 C Issuer Name: UBS AG - London Office |
Structured Product |
UM6754 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 32.51217 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7AMJ |
SWB |
7.88 |
EUR |
| Details |
UBS AG - London Office 83.2667 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7JL3 |
SWB |
10.09 |
EUR |
| Details |
UBS AG - London Office 66.60413 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7WMJ |
SWB |
4.920 |
EUR |
| Details |
UBS AG - London Office 82.12902 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7KKW |
SWB |
3.570 |
EUR |
| Details |
UBS AG - London Office 82.24366 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7P9D |
SWB |
3.560 |
EUR |
| Details |
UBS AG - London Office 81.78498 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7VL7 |
SWB |
3.600 |
EUR |
| Details |
UBS AG - London Office 82.80166 C Issuer Name: UBS AG - London Office |
Structured Product |
UM8MU2 |
SWB |
3.520 |
EUR |
| Details |
UBS AG - London Office 80.21721 C Issuer Name: UBS AG - London Office |
Structured Product |
UM8E0B |
SWB |
3.740 |
EUR |
| Details |
UBS AG - London Office 80.44597 C Issuer Name: UBS AG - London Office |
Structured Product |
UM8GV4 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 84.71943 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9CJC |
SWB |
3.320 |
EUR |
| Details |
UBS AG - London Office 84.83311 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9GW0 |
SWB |
3.340 |
EUR |
| Details |
UBS AG - London Office 84.60574 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9H80 |
SWB |
3.360 |
EUR |
| Details |
UBS AG - London Office 84.03731 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9RW0 |
SWB |
3.410 |
EUR |
| Details |
UBS AG - London Office 86.51584 C Issuer Name: UBS AG - London Office |
Structured Product |
UM88RF |
SWB |
3.190 |
EUR |
| Details |
UBS AG - London Office 86.62953 C Issuer Name: UBS AG - London Office |
Structured Product |
UM893F |
SWB |
3.180 |
EUR |
| Details |
UBS AG - London Office 85.72025 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9AF6 |
SWB |
3.270 |
EUR |
| Details |
UBS AG - London Office 85.49288 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9LES |
SWB |
3.280 |
EUR |
| Details |
UBS AG - London Office 84.88989 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9LF4 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 86.17489 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9WER |
SWB |
3.220 |
EUR |
| Details |
UBS AG - London Office 85.60656 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9YL9 |
SWB |
3.270 |
EUR |
| Details |
UBS AG - London Office 86.26874 C Issuer Name: UBS AG - London Office |
Structured Product |
UM88CU |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 86.99305 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9L7B |
SWB |
3.160 |
EUR |
| Details |
UBS AG - London Office 84.77638 C Issuer Name: UBS AG - London Office |
Structured Product |
UP07S2 |
SWB |
3.340 |
EUR |
| Details |
UBS AG - London Office 84.74266 C Issuer Name: UBS AG - London Office |
Structured Product |
UP03T4 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 62.45 C Issuer Name: UBS AG - London Office |
Structured Product |
UP1S24 |
SWB |
5.40 |
EUR |
| Details |
UBS AG - London Office 62.45 C Issuer Name: UBS AG - London Office |
Structured Product |
UP21NV |
SWB |
3.840 |
EUR |
| Details |
UBS AG - London Office 83.2667 C Issuer Name: UBS AG - London Office |
Structured Product |
UP2U6A |
SWB |
2.030 |
EUR |
| Details |
UBS AG - London Office 86.57407 C Issuer Name: UBS AG - London Office |
Structured Product |
UP26UH |
SWB |
3.180 |
EUR |
| Details |
UBS AG - London Office 81.48656 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7CSF |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 86.32526 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7JG9 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 85.83128 C Issuer Name: UBS AG - London Office |
Structured Product |
UP497W |
SWB |
3.250 |
EUR |
| Details |
UBS AG - London Office 84.3938 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9G7B |
SWB |
3.370 |
EUR |
| Details |
UBS AG - London Office 84.09511 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9DP4 |
SWB |
3.400 |
EUR |
| Details |
UBS AG - London Office 82.41419 C Issuer Name: UBS AG - London Office |
Structured Product |
UP928L |
SWB |
3.550 |
EUR |
| Details |
UBS AG - London Office 80.21609 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0C5N |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 82.93379 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0DZT |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 82.97443 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0GAZ |
SWB |
3.500 |
EUR |
| Details |
UBS AG - London Office 82.64646 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0XTM |
SWB |
3.520 |
EUR |
| Details |
UBS AG - London Office 87.67617 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0GPN |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 87.30728 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0RQ1 |
SWB |
3.120 |
EUR |
| Details |
UBS AG - London Office 88.61872 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0S1M |
SWB |
3.010 |
EUR |
| Details |
UBS AG - London Office 88.29086 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0U7S |
SWB |
3.030 |
EUR |
| Details |
UBS AG - London Office 87.2415 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0U7V |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 88.83023 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9ZBF |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 89.58665 C Issuer Name: UBS AG - London Office |
Structured Product |
UP97MD |
SWB |
2.920 |
EUR |
| Details |
UBS AG - London Office 90.78717 C Issuer Name: UBS AG - London Office |
Structured Product |
UP90CN |
SWB |
2.820 |
EUR |
| Details |
UBS AG - London Office 90.02319 C Issuer Name: UBS AG - London Office |
Structured Product |
UP91FQ |
SWB |
2.890 |
EUR |
| Details |
UBS AG - London Office 89.91408 C Issuer Name: UBS AG - London Office |
Structured Product |
UP92J5 |
SWB |
2.900 |
EUR |
| Details |
UBS AG - London Office 90.0498 C Issuer Name: UBS AG - London Office |
Structured Product |
UP950Z |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 91.33282 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9SJ4 |
SWB |
2.770 |
EUR |
| Details |
UBS AG - London Office 90.48384 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9TM7 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 90.37535 C Issuer Name: UBS AG - London Office |
Structured Product |
UP9XYC |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 89.52427 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0C07 |
SWB |
2.930 |
EUR |
| Details |
UBS AG - London Office 91.07145 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0MNU |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 91.28831 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0N06 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 92.03261 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0TBH |
SWB |
2.710 |
EUR |
| Details |
UBS AG - London Office 91.39669 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0VHN |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 93.92972 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0ASN |
SWB |
2.550 |
EUR |
| Details |
UBS AG - London Office 93.16681 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0LSN |
SWB |
2.610 |
EUR |
| Details |
UBS AG - London Office 96.21835 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0M2W |
SWB |
2.350 |
EUR |
| Details |
UBS AG - London Office 93.82072 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0NYT |
SWB |
2.560 |
EUR |
| Details |
UBS AG - London Office 93.71172 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0NZ5 |
SWB |
2.570 |
EUR |
| Details |
UBS AG - London Office 93.05792 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0WSM |
SWB |
2.620 |
EUR |
| Details |
UBS AG - London Office 95.53633 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0CGX |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 95.2153 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0H5H |
SWB |
2.440 |
EUR |
| Details |
UBS AG - London Office 96.41379 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0WAQ |
SWB |
2.330 |
EUR |
| Details |
UBS AG - London Office 94.56149 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0WAT |
SWB |
2.490 |
EUR |
| Details |
UBS AG - London Office 96.70541 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0AE5 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 96.71813 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0AE8 |
SWB |
2.300 |
EUR |
| Details |
UBS AG - London Office 96.59703 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0CJZ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 100.53077 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0EQA |
SWB |
1.980 |
EUR |
| Details |
UBS AG - London Office 97.80741 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0H8G |
SWB |
2.210 |
EUR |
| Details |
UBS AG - London Office 96.82702 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0H8J |
SWB |
2.290 |
EUR |
| Details |
UBS AG - London Office 99.98608 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0LDS |
SWB |
1.990 |
EUR |
| Details |
UBS AG - London Office 97.04492 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0S8G |
SWB |
2.270 |
EUR |
| Details |
UBS AG - London Office 97.1386 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0WDS |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 100.03951 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0BM0 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 101.05173 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0DRU |
SWB |
1.930 |
EUR |
| Details |
UBS AG - London Office 99.30928 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0DS9 |
SWB |
2.080 |
EUR |
| Details |
UBS AG - London Office 100.68925 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0E3U |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 95.59993 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0E3W |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 101.48742 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0KFH |
SWB |
1.860 |
EUR |
| Details |
UBS AG - London Office 98.438 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0MLP |
SWB |
2.160 |
EUR |
| Details |
UBS AG - London Office 101.70521 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0P3T |
SWB |
1.860 |
EUR |
| Details |
UBS AG - London Office 98.5469 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0P3V |
SWB |
2.150 |
EUR |
| Details |
UBS AG - London Office 100.18056 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0P3W |
SWB |
2.000 |
EUR |
| Details |
UBS AG - London Office 100.39835 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0P45 |
SWB |
1.990 |
EUR |
| Details |
UBS AG - London Office 98.6558 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ0P47 |
SWB |
2.140 |
EUR |
| Details |
UBS AG - London Office 204.6176 P Issuer Name: UBS AG - London Office |
Structured Product |
UP88KG |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 62.45 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2Q7W |
SWB |
2.590 |
EUR |
| Details |
UBS AG - London Office 83.2667 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2TAA |
SWB |
1.360 |
EUR |
| Details |
UBS AG - London Office 104.77155 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ40BU |
SWB |
1.600 |
EUR |
| Details |
UBS AG - London Office 105.73597 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ42HZ |
SWB |
1.530 |
EUR |
| Details |
UBS AG - London Office 106.30194 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ46UH |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 104.06463 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4WUF |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 106.37891 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4X6F |
SWB |
1.480 |
EUR |
| Details |
UniCredit Bank AG 125.201841 P Issuer Name: UniCredit Bank AG |
Structured Product |
2836T |
SBF |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 267.71314 P Issuer Name: UniCredit Bank AG |
Structured Product |
HR3D93 |
SWB |
12.53 |
EUR |
| Details |
UniCredit Bank AG 67.54377 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC0E2T |
SWB |
4.300 |
EUR |
| Details |
UniCredit Bank AG 67.9041 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC0E2U |
SWB |
4.260 |
EUR |
| Details |
UniCredit Bank AG 65.9102 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC0VJE |
SWB |
4.450 |
EUR |
| Details |
UniCredit Bank AG 67.10796 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC0VJG |
SWB |
4.340 |
EUR |
| Details |
UniCredit Bank AG 64.62265 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC13C6 |
SWB |
4.580 |
EUR |
| Details |
UniCredit Bank AG 57.3889 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC17CG |
SWB |
5.28 |
EUR |
| Details |
UniCredit Bank AG 58.58383 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC17CH |
SWB |
5.16 |
EUR |
| Details |
UniCredit Bank AG 63.36349 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC17CK |
SWB |
4.700 |
EUR |
| Details |
UniCredit Bank AG 55.88412 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC18D7 |
SWB |
5.42 |
EUR |
| Details |
UniCredit Bank AG 56.78018 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC18D9 |
SWB |
5.34 |
EUR |
| Details |
UniCredit Bank AG 57.67617 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC18DA |
SWB |
5.25 |
EUR |
| Details |
UniCredit Bank AG 59.76682 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC18DD |
SWB |
5.05 |
EUR |
| Details |
UniCredit Bank AG 64.45577 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC1DES |
SWB |
4.580 |
EUR |
| Details |
UniCredit Bank AG 68.52717 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC6LXA |
SWB |
4.190 |
EUR |
| Details |
UniCredit Bank AG 65.4164 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD0UBA |
SWB |
4.500 |
EUR |
| Details |
UniCredit Bank AG 64.16122 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD11Y4 |
SWB |
4.620 |
EUR |
| Details |
UniCredit Bank AG 60.57977 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD177X |
SWB |
4.970 |
EUR |
| Details |
UniCredit Bank AG 61.87958 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD177Z |
SWB |
4.840 |
EUR |
| Details |
UniCredit Bank AG 63.61268 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD1781 |
SWB |
4.680 |
EUR |
| Details |
UniCredit Bank AG 59.58202 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD1RTJ |
SWB |
5.06 |
EUR |
| Details |
UniCredit Bank AG 56.42728 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD2047 |
SWB |
5.37 |
EUR |
| Details |
UniCredit Bank AG 54.24247 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD20YZ |
SWB |
5.59 |
EUR |
| Details |
UniCredit Bank AG 69.89888 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD3JRT |
SWB |
4.050 |
EUR |
| Details |
UniCredit Bank AG 70.52536 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD4ZQM |
SWB |
3.990 |
EUR |
| Details |
UniCredit Bank AG 70.29718 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD51SY |
SWB |
4.030 |
EUR |
| Details |
UniCredit Bank AG 71.55143 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD51T0 |
SWB |
3.910 |
EUR |
| Details |
UniCredit Bank AG 72.07404 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD51T1 |
SWB |
3.860 |
EUR |
| Details |
UniCredit Bank AG 73.64184 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD51T4 |
SWB |
3.700 |
EUR |
| Details |
UniCredit Bank AG 75.36694 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD758A |
SWB |
3.500 |
EUR |
| Details |
UniCredit Bank AG 75.88316 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD758B |
SWB |
3.450 |
EUR |
| Details |
UniCredit Bank AG 76.98214 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7Q77 |
SWB |
3.350 |
EUR |
| Details |
UniCredit Bank AG 77.49534 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7Q78 |
SWB |
3.300 |
EUR |
| Details |
UniCredit Bank AG 78.00856 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7Q79 |
SWB |
3.250 |
EUR |
| Details |
UniCredit Bank AG 79.03501 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7Q7A |
SWB |
3.150 |
EUR |
| Details |
UniCredit Bank AG 76.96354 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7S8F |
SWB |
3.330 |
EUR |
| Details |
UniCredit Bank AG 78.44157 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD7UMN |
SWB |
3.200 |
EUR |
| Details |
UniCredit Bank AG 75.74342 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD81FA |
SWB |
3.450 |
EUR |
| Details |
UniCredit Bank AG 77.23811 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD8667 |
SWB |
3.320 |
EUR |
| Details |
UniCredit Bank AG 77.74962 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD8668 |
SWB |
3.270 |
EUR |
| Details |
UniCredit Bank AG 78.77264 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD8669 |
SWB |
3.180 |
EUR |
| Details |
UniCredit Bank AG 76.19555 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD88KE |
SWB |
3.420 |
EUR |
| Details |
UniCredit Bank AG 76.70694 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD88KF |
SWB |
3.370 |
EUR |
| Details |
UniCredit Bank AG 115.69936 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD999W |
SWB |
1.130 |
EUR |
| Details |
UniCredit Bank AG 74.22 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG0YBT |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1UYD |
SWB |
71.53 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG22BH |
SWB |
114.01 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG22BJ |
SWB |
128.70 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG22BK |
SWB |
94.79 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG22BL |
SWB |
89.63 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG22BM |
SWB |
84.87 |
EUR |
| Details |
UniCredit Bank AG 80.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TMT |
SWB |
3.120 |
EUR |
| Details |
UniCredit Bank AG 81 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TMU |
SWB |
3.080 |
EUR |
| Details |
UniCredit Bank AG 84 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TMV |
SWB |
2.790 |
EUR |
| Details |
UniCredit Bank AG 82 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG26P4 |
SWB |
2.980 |
EUR |
| Details |
UniCredit Bank AG 81.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG26TX |
SWB |
3.030 |
EUR |
| Details |
UniCredit Bank AG 82 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG26TY |
SWB |
2.980 |
EUR |
| Details |
UniCredit Bank AG 83 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG26TZ |
SWB |
2.890 |
EUR |
| Details |
UniCredit Bank AG 82.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TNG |
SWB |
2.940 |
EUR |
| Details |
UniCredit Bank AG 85 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2EXG |
SWB |
2.710 |
EUR |
| Details |
UniCredit Bank AG 83.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TTL |
SWB |
2.850 |
EUR |
| Details |
UniCredit Bank AG 86 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TTM |
SWB |
2.610 |
EUR |
| Details |
UniCredit Bank AG 88 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TTN |
SWB |
2.430 |
EUR |
| Details |
UniCredit Bank AG 85.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TW1 |
SWB |
2.660 |
EUR |
| Details |
UniCredit Bank AG 85 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2GCZ |
SWB |
2.700 |
EUR |
| Details |
UniCredit Bank AG 84.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2GHW |
SWB |
2.750 |
EUR |
| Details |
UniCredit Bank AG 87 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2GHX |
SWB |
2.520 |
EUR |
| Details |
UniCredit Bank AG 86.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1TZM |
SWB |
2.570 |
EUR |
| Details |
UniCredit Bank AG 88.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243B |
SWB |
2.380 |
EUR |
| Details |
UniCredit Bank AG 89 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243C |
SWB |
2.330 |
EUR |
| Details |
UniCredit Bank AG 89.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243D |
SWB |
2.290 |
EUR |
| Details |
UniCredit Bank AG 90 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243E |
SWB |
2.240 |
EUR |
| Details |
UniCredit Bank AG 91 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243F |
SWB |
2.150 |
EUR |
| Details |
UniCredit Bank AG 92 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243G |
SWB |
2.050 |
EUR |
| Details |
UniCredit Bank AG 93 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243H |
SWB |
1.960 |
EUR |
| Details |
UniCredit Bank AG 94 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG243J |
SWB |
1.860 |
EUR |
| Details |
UniCredit Bank AG 91.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG244D |
SWB |
2.100 |
EUR |
| Details |
UniCredit Bank AG 92.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG244E |
SWB |
2.010 |
EUR |
| Details |
UniCredit Bank AG 93.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG244F |
SWB |
1.910 |
EUR |
| Details |
UniCredit Bank AG 88 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2JZ0 |
SWB |
2.420 |
EUR |
| Details |
UniCredit Bank AG 90 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2JZ1 |
SWB |
2.230 |
EUR |
| Details |
UniCredit Bank AG 92 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2JZ2 |
SWB |
2.040 |
EUR |
| Details |
UniCredit Bank AG 87.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2K3V |
SWB |
2.480 |
EUR |
| Details |
UniCredit Bank AG 90.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2K3W |
SWB |
2.190 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2L3X |
SWB |
151.70 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG2ZKM |
SWB |
124.08 |
EUR |
| Details |
UniCredit Bank AG 94.3425 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG37D7 |
SWB |
0.9000 |
EUR |
| Details |
UniCredit Bank AG 100.632 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG37D8 |
SWB |
0.2000 |
EUR |
| Details |
UniCredit Bank AG 188.685 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG37DA |
SWB |
6.17 |
EUR |
| Details |
UniCredit Bank AG 157.2375 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG37DC |
SWB |
1.380 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WS |
SWB |
99.73 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WT |
SWB |
101.00 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WU |
SWB |
101.75 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WV |
SWB |
102.98 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WW |
SWB |
103.69 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG41WX |
SWB |
104.21 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P7N |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P7P |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P7S |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P7W |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P7X |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4P81 |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 98 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4SPV |
SWB |
1.640 |
EUR |
| Details |
UniCredit Bank AG 100 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4SPW |
SWB |
1.460 |
EUR |
| Details |
UniCredit Bank AG 96 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4XEH |
SWB |
1.820 |
EUR |
| Details |
UniCredit Bank AG 99 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4XEJ |
SWB |
1.550 |
EUR |
| Details |
UniCredit Bank AG 97 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4XGU |
SWB |
1.740 |
EUR |
| Details |
UniCredit Bank AG 98.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG4XGV |
SWB |
1.590 |
EUR |
| Details |
UniCredit Bank AG 95 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG53FY |
SWB |
1.900 |
EUR |
| Details |
UniCredit Bank AG 98 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG53FZ |
SWB |
1.630 |
EUR |
| Details |
UniCredit Bank AG 100 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG53G0 |
SWB |
1.440 |
EUR |
| Details |
UniCredit Bank AG 102 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG559F |
SWB |
1.270 |
EUR |
| Details |
UniCredit Bank AG 95.76 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG57KL |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 94.26375 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG57KP |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 101 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG55B2 |
SWB |
1.370 |
EUR |
| Details |
UniCredit Bank AG 103 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG55B3 |
SWB |
1.180 |
EUR |
| Details |
UniCredit Bank AG 101 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG5ATW |
SWB |
1.380 |
EUR |
| Details |
UniCredit Bank AG 103 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG5ATX |
SWB |
1.200 |
EUR |
| Details |
UniCredit Bank AG 93.56666 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG5CZ9 |
SWB |
1.080 |
EUR |
| Details |
UniCredit Bank AG 98 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG5X0H |
SWB |
1.690 |
EUR |
| Details |
UniCredit Bank AG 102.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6SND |
SWB |
1.310 |
EUR |
| Details |
UniCredit Bank AG 100.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6TT5 |
SWB |
1.490 |
EUR |
| Details |
UniCredit Bank AG 103.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6TT6 |
SWB |
1.220 |
EUR |
| Details |
UniCredit Bank AG 97.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6XBT |
SWB |
1.790 |
EUR |
| Details |
UniCredit Bank AG 101.5 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6XBU |
SWB |
1.420 |
EUR |
| Details |
UniCredit Bank AG 98 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG71D5 |
SWB |
1.740 |
EUR |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 |
Options |
BABA2 |
CBOE |
|
USD |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 Stock Type: Not Defined |
Stock |
BABA2 |
BASKET |
123.36 |
USD |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 |
Warrants |
BABA2 |
FWB |
|
EUR |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 |
Warrants |
BABA2 |
SWB |
|
EUR |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 |
Warrants |
BABA2 |
FWB |
|
EUR |
| Details |
BABA: ALIIBABA GROUP HOLDING-SP ADR: ADJ 20250611 |
Warrants |
BABA2 |
BVME |
|
EUR |
| Details |
FGEN: FIBROGEN INC: ADJ 20250616 |
Options |
FGEN1 |
CBOE |
|
USD |
| Details |
FGEN: FIBROGEN INC: ADJ 20250616 Stock Type: Not Defined |
Stock |
FGEN1 |
BASKET |
0.2852 |
USD |
| Details |
BNP Paribas SA 49.3395 C Issuer Name: BNP Paribas SA |
Structured Product |
PE7T49 |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PG49N3 |
SWB |
86.54 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PG49N5 |
SWB |
96.00 |
EUR |
| Details |
Commerzbank AG 15.6047 C Issuer Name: Commerzbank AG |
Structured Product |
CS08Z |
AEB |
23.09 |
EUR |
| Details |
Morgan Stanley 43.4388 C Issuer Name: Morgan Stanley |
Structured Product |
MD5U8T |
SWB |
5.87 |
EUR |
| Details |
Morgan Stanley 37.615 C Issuer Name: Morgan Stanley |
Structured Product |
MG01PH |
SWB |
24.46 |
EUR |
| Details |
Morgan Stanley 70 C Issuer Name: Morgan Stanley |
Structured Product |
MG1PL5 |
SWB |
4.100 |
EUR |
| Details |
Morgan Stanley 52.9333 C Issuer Name: Morgan Stanley |
Structured Product |
MG1V3S |
SWB |
24.68 |
EUR |
| Details |
Morgan Stanley 59.55 C Issuer Name: Morgan Stanley |
Structured Product |
MG1V3T |
SWB |
23.34 |
EUR |
| Details |
Morgan Stanley 66.1667 C Issuer Name: Morgan Stanley |
Structured Product |
MG1V3U |
SWB |
12.78 |
EUR |
| Details |
Morgan Stanley 69.475 C Issuer Name: Morgan Stanley |
Structured Product |
MG1V3V |
SWB |
1.250 |
EUR |
| Details |
Morgan Stanley 56.0747 C Issuer Name: Morgan Stanley |
Structured Product |
MG2LAX |
SWB |
5.81 |
EUR |
| Details |
Morgan Stanley 63.136 C Issuer Name: Morgan Stanley |
Structured Product |
MG30GU |
SWB |
19.82 |
EUR |
| Details |
Morgan Stanley 55 C Issuer Name: Morgan Stanley |
Structured Product |
MG7X5H |
SWB |
5.84 |
EUR |
| Details |
Morgan Stanley 62.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8W0J |
SWB |
4.950 |
EUR |
| Details |
Morgan Stanley 72.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8W0K |
SWB |
3.750 |
EUR |
| Details |
Morgan Stanley 37.3831 C Issuer Name: Morgan Stanley |
Structured Product |
MG8W72 |
SWB |
7.95 |
EUR |
| Details |
Morgan Stanley 67.757 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8UED |
SWB |
4.540 |
EUR |
| Details |
Morgan Stanley 77.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK494L |
SWB |
3.510 |
EUR |
| Details |
Morgan Stanley 72.7961 C Issuer Name: Morgan Stanley |
Structured Product |
MK49JR |
SWB |
16.86 |
EUR |
| Details |
Morgan Stanley 80 C Issuer Name: Morgan Stanley |
Structured Product |
MK4Z7W |
SWB |
3.290 |
EUR |
| Details |
Morgan Stanley 82.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4Z7X |
SWB |
3.010 |
EUR |
| Details |
Morgan Stanley 85 C Issuer Name: Morgan Stanley |
Structured Product |
MK4Z7Y |
SWB |
2.720 |
EUR |
| Details |
Morgan Stanley 87.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5VQ3 |
SWB |
2.380 |
EUR |
| Details |
Morgan Stanley 90 C Issuer Name: Morgan Stanley |
Structured Product |
MK5VQ4 |
SWB |
2.100 |
EUR |
| Details |
Morgan Stanley 72.4299 C Issuer Name: Morgan Stanley |
Structured Product |
MK6S4A |
SWB |
4.150 |
EUR |
| Details |
Morgan Stanley 74.7663 C Issuer Name: Morgan Stanley |
Structured Product |
MK6S4B |
SWB |
3.880 |
EUR |
| Details |
Morgan Stanley 77.1028 C Issuer Name: Morgan Stanley |
Structured Product |
MK6S4C |
SWB |
3.610 |
EUR |
| Details |
Morgan Stanley 79.4392 C Issuer Name: Morgan Stanley |
Structured Product |
MK6S4D |
SWB |
3.350 |
EUR |
| Details |
Morgan Stanley 81.7757 C Issuer Name: Morgan Stanley |
Structured Product |
MK6S4E |
SWB |
3.080 |
EUR |
| Details |
Societe Generale Acceptance NV 33.3512 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
29N3S |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 35.5715 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
38N8S |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.58984 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL7NET |
SWB |
10.81 |
EUR |
| Details |
Societe Generale Acceptance NV 22.87202 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ4KCS |
SWB |
8.91 |
EUR |
| Details |
Societe Generale Acceptance NV 19.54241 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2V2C |
SWB |
19.19 |
EUR |
| Details |
Societe Generale Acceptance NV 30.12618 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1RKV |
SWB |
6.92 |
EUR |
| Details |
Societe Generale Acceptance NV 27.59625 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU2N2E |
SWB |
15.57 |
EUR |
| Details |
Societe Generale Acceptance NV 33.93834 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW86VY |
SWB |
13.08 |
EUR |
| Details |
UniCredit Bank AG 28.66056 C Issuer Name: UniCredit Bank AG |
Structured Product |
HW0ELY |
SWB |
8.29 |
EUR |
| Details |
HOLN: HOLCIM LTD: ADJ 20250620 |
Options |
HOLB |
EUREX |
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CHF |
| Details |
HOLN: HOLCIM LTD: ADJ 20250620 Stock Type: Not Defined |
Stock |
HOLB |
BASKET |
105.53 |
CHF |
| Details |
HOLN: HOLCIM LTD: ADJ 20250620 |
Warrants |
HOLB |
FWB |
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EUR |
| Details |
KULR.OLD: KULR TECHNOLOGY GROUP INC: ADJ 20250620 |
Options |
KULR1 |
CBOE |
|
USD |
| Details |
KULR.OLD: KULR TECHNOLOGY GROUP INC: ADJ 20250620 Stock Type: Not Defined |
Stock |
KULR1 |
BASKET |
0.3237 |
USD |
| Details |
RDFN: REDFIN CORP: ADJ 20250701 |
Options |
RKT1 |
CBOE |
|
USD |
| Details |
RDFN: REDFIN CORP: ADJ 20250701 Stock Type: Not Defined |
Stock |
RKT1 |
BASKET |
10.82 |
USD |
| Details |
ICAD: ICAD INC: ADJ 20250717 |
Options |
RDNT1 |
CBOE |
|
USD |
| Details |
ICAD: ICAD INC: ADJ 20250717 Stock Type: Not Defined |
Stock |
RDNT1 |
BASKET |
4.123 |
USD |
| Details |
Goldman Sachs Bank Europe SE 122.0739 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG0VU9 |
SWB |
7.22 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 161.152 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG1B4B |
SWB |
4.740 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 100.72 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG1EFQ |
SWB |
11.48 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 115.7999 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ218K |
SWB |
7.61 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 72.2638 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ36EQ |
SWB |
11.64 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 112.4248 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3GBG |
SWB |
7.91 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 124.5594 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3J40 |
SWB |
6.85 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 107.7618 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3LG7 |
SWB |
8.31 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 124.3004 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3P96 |
SWB |
6.86 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 126.4381 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ4LK4 |
SWB |
6.84 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 193.8038 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ55X7 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 118.3357 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ8S6T |
SWB |
7.46 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 120.6711 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ8TLU |
SWB |
7.17 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 102.407 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4L2A |
SWB |
8.86 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 110.6639 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4V5B |
SWB |
8.23 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 117.1565 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4YQP |
SWB |
7.65 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 127.9332 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV51ZJ |
SWB |
6.60 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 129.2821 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV57WE |
SWB |
6.44 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 188.0107 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV58TM |
SWB |
14.27 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 185.9447 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5C79 |
SWB |
26.11 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 181.296 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5HCH |
SWB |
58.86 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 131.5893 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV6YE5 |
SWB |
6.22 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 133.0634 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV76Y8 |
SWB |
6.15 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 136.5 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8XYZ |
SWB |
5.94 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 134.892 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8XZV |
SWB |
6.09 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 140.5934 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV90UB |
SWB |
5.56 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 138.212 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV93RU |
SWB |
5.69 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 144.4037 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV9B55 |
SWB |
5.09 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 146.8261 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV9C0G |
SWB |
4.870 |
EUR |
| Details |
HES: HESS CORP: ADJ 20250718 |
Options |
CVX1 |
CBOE |
|
USD |
| Details |
HES: HESS CORP: ADJ 20250718 Stock Type: Not Defined |
Stock |
CVX1 |
BASKET |
206.51 |
USD |
| Details |
Morgan Stanley 1.41 C Issuer Name: Morgan Stanley |
Structured Product |
ME2LBQ |
SWB |
0.0090 |
EUR |
| Details |
Morgan Stanley 0.5867 C Issuer Name: Morgan Stanley |
Structured Product |
MG23HM |
SWB |
0.3000 |
EUR |
| Details |
Morgan Stanley 0.487 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9CH4 |
SWB |
0.2900 |
EUR |
| Details |
Morgan Stanley 0.2166 C Issuer Name: Morgan Stanley |
Structured Product |
MK1A9J |
SWB |
1.740 |
EUR |
| Details |
CHPT: CHARGEPOINT HOLDINGS INC: ADJ 20250725 |
Options |
CHPT1 |
CBOE |
|
USD |
| Details |
CHPT: CHARGEPOINT HOLDINGS INC: ADJ 20250725 Stock Type: Not Defined |
Stock |
CHPT1 |
BASKET |
0.2615 |
USD |
| Details |
UNIT.OLD: UNITI GROUP INC: ADJ 20250801 |
Options |
UNIT1 |
CBOE |
|
USD |
| Details |
UNIT.OLD: UNITI GROUP INC: ADJ 20250801 Stock Type: Not Defined |
Stock |
UNIT1 |
BASKET |
4.530 |
USD |
| Details |
SEAT: VIVID SEATS INC - CLASS A: ADJ 20250805 |
Options |
SEAT1 |
CBOE |
|
USD |
| Details |
SEAT: VIVID SEATS INC - CLASS A: ADJ 20250805 Stock Type: Not Defined |
Stock |
SEAT1 |
BASKET |
0.2820 |
USD |
| Details |
BNP Paribas SA 32.8459 C Issuer Name: BNP Paribas SA |
Structured Product |
PN8WE1 |
SWB |
1.060 |
EUR |
| Details |
CitiWarrants 35.1378 C Issuer Name: CitiWarrants |
Structured Product |
KH7HMC |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 8.4704 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ4USU |
SWB |
1.910 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 21.18 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG4041 |
SWB |
1.460 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 11.3163 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG72VW |
SWB |
0.9800 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 11.76 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ1SXN |
SWB |
1.220 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 13.0698 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ47V0 |
SWB |
0.4300 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 29.8385 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
TT1HR3 |
SWB |
0.0000 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 32.3174 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
TT1K5Y |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 30.5233 C Issuer Name: Morgan Stanley |
Structured Product |
MC2WJK |
SWB |
0.2260 |
EUR |
| Details |
Morgan Stanley 22.8925 C Issuer Name: Morgan Stanley |
Structured Product |
MA4Y1R |
SWB |
1.760 |
EUR |
| Details |
Morgan Stanley 30.5233 C Issuer Name: Morgan Stanley |
Structured Product |
MA4Y1S |
SWB |
0.1330 |
EUR |
| Details |
Morgan Stanley 18.0652 C Issuer Name: Morgan Stanley |
Structured Product |
MC1XKP |
SWB |
10.23 |
EUR |
| Details |
Morgan Stanley 15.7652 C Issuer Name: Morgan Stanley |
Structured Product |
MC1ZEA |
SWB |
11.33 |
EUR |
| Details |
Morgan Stanley 22.8925 C Issuer Name: Morgan Stanley |
Structured Product |
MC330D |
SWB |
2.740 |
EUR |
| Details |
Morgan Stanley 26.6089 C Issuer Name: Morgan Stanley |
Structured Product |
MC7Q4Y |
SWB |
6.02 |
EUR |
| Details |
Morgan Stanley 22.8925 C Issuer Name: Morgan Stanley |
Structured Product |
MF7269 |
SWB |
24.35 |
EUR |
| Details |
Morgan Stanley 30.5233 C Issuer Name: Morgan Stanley |
Structured Product |
MF726A |
SWB |
2.500 |
EUR |
| Details |
Morgan Stanley 30.5233 C Issuer Name: Morgan Stanley |
Structured Product |
MA86PV |
SWB |
0.0300 |
EUR |
| Details |
Morgan Stanley 34.3387 C Issuer Name: Morgan Stanley |
Structured Product |
MD2HV1 |
SWB |
0.0290 |
EUR |
| Details |
Morgan Stanley 20.2171 C Issuer Name: Morgan Stanley |
Structured Product |
MD4DY5 |
SWB |
2.260 |
EUR |
| Details |
Morgan Stanley 36.629 C Issuer Name: Morgan Stanley |
Structured Product |
MD5YRN |
SWB |
0.0300 |
EUR |
| Details |
Morgan Stanley 36.629 C Issuer Name: Morgan Stanley |
Structured Product |
MD6QGM |
SWB |
0.0070 |
EUR |
| Details |
Morgan Stanley 27 C Issuer Name: Morgan Stanley |
Structured Product |
MB6SGW |
SWB |
1.500 |
EUR |
| Details |
Morgan Stanley 31.264 C Issuer Name: Morgan Stanley |
Structured Product |
MB6UL6 |
SWB |
0.2020 |
EUR |
| Details |
Morgan Stanley 28 C Issuer Name: Morgan Stanley |
Structured Product |
MB7THX |
SWB |
1.350 |
EUR |
| Details |
Morgan Stanley 25.1267 C Issuer Name: Morgan Stanley |
Structured Product |
MB7U5J |
SWB |
4.030 |
EUR |
| Details |
Morgan Stanley 28 C Issuer Name: Morgan Stanley |
Structured Product |
MB8L54 |
SWB |
1.360 |
EUR |
| Details |
Morgan Stanley 26.8 C Issuer Name: Morgan Stanley |
Structured Product |
ME0AGL |
SWB |
1.540 |
EUR |
| Details |
Morgan Stanley 25.8 C Issuer Name: Morgan Stanley |
Structured Product |
ME0DCF |
SWB |
1.670 |
EUR |
| Details |
Morgan Stanley 23.2029 C Issuer Name: Morgan Stanley |
Structured Product |
ME0JKZ |
SWB |
2.960 |
EUR |
| Details |
Morgan Stanley 25.5 C Issuer Name: Morgan Stanley |
Structured Product |
ME0KNT |
SWB |
1.700 |
EUR |
| Details |
Morgan Stanley 23.8 C Issuer Name: Morgan Stanley |
Structured Product |
ME0VJH |
SWB |
1.910 |
EUR |
| Details |
Morgan Stanley 25.4545 C Issuer Name: Morgan Stanley |
Structured Product |
ME0ZYN |
SWB |
1.710 |
EUR |
| Details |
Morgan Stanley 29 C Issuer Name: Morgan Stanley |
Structured Product |
ME17BA |
SWB |
1.290 |
EUR |
| Details |
Morgan Stanley 30.8 C Issuer Name: Morgan Stanley |
Structured Product |
ME19CT |
SWB |
1.090 |
EUR |
| Details |
Morgan Stanley 27.2727 C Issuer Name: Morgan Stanley |
Structured Product |
ME19U2 |
SWB |
1.500 |
EUR |
| Details |
Morgan Stanley 28.1818 C Issuer Name: Morgan Stanley |
Structured Product |
ME3HYJ |
SWB |
1.430 |
EUR |
| Details |
Morgan Stanley 32 C Issuer Name: Morgan Stanley |
Structured Product |
ME88L2 |
SWB |
1.050 |
EUR |
| Details |
Morgan Stanley 31.6 C Issuer Name: Morgan Stanley |
Structured Product |
ME9XCU |
SWB |
1.120 |
EUR |
| Details |
Morgan Stanley 59.46 C Issuer Name: Morgan Stanley |
Structured Product |
MG0PZ4 |
SWB |
2.660 |
EUR |
| Details |
Morgan Stanley 29.688 C Issuer Name: Morgan Stanley |
Structured Product |
MG1RZ5 |
SWB |
1.100 |
EUR |
| Details |
Morgan Stanley 31.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG1S3P |
SWB |
1.150 |
EUR |
| Details |
Morgan Stanley 16.995 C Issuer Name: Morgan Stanley |
Structured Product |
MG2L0G |
SWB |
12.68 |
EUR |
| Details |
Morgan Stanley 25.4925 C Issuer Name: Morgan Stanley |
Structured Product |
MG2L0H |
SWB |
4.650 |
EUR |
| Details |
Morgan Stanley 27.192 C Issuer Name: Morgan Stanley |
Structured Product |
MG2L0J |
SWB |
1.820 |
EUR |
| Details |
Morgan Stanley 32.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG2TG6 |
SWB |
1.020 |
EUR |
| Details |
Morgan Stanley 33.6 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W8R |
SWB |
0.9300 |
EUR |
| Details |
Morgan Stanley 33.8 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W8T |
SWB |
0.9100 |
EUR |
| Details |
Morgan Stanley 34.1 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W8W |
SWB |
0.8700 |
EUR |
| Details |
Morgan Stanley 34.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W90 |
SWB |
0.8300 |
EUR |
| Details |
Morgan Stanley 34.7 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W92 |
SWB |
0.8100 |
EUR |
| Details |
Morgan Stanley 34.9 C Issuer Name: Morgan Stanley |
Structured Product |
MG2W94 |
SWB |
0.7900 |
EUR |
| Details |
Morgan Stanley 31.3636 C Issuer Name: Morgan Stanley |
Structured Product |
MG30KU |
SWB |
1.180 |
EUR |
| Details |
Morgan Stanley 32.7272 C Issuer Name: Morgan Stanley |
Structured Product |
MG30WM |
SWB |
1.020 |
EUR |
| Details |
Morgan Stanley 36.2 C Issuer Name: Morgan Stanley |
Structured Product |
MG37HD |
SWB |
0.6600 |
EUR |
| Details |
Morgan Stanley 36.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG3CPT |
SWB |
0.6200 |
EUR |
| Details |
Morgan Stanley 37 C Issuer Name: Morgan Stanley |
Structured Product |
MG3PJ8 |
SWB |
0.5700 |
EUR |
| Details |
Morgan Stanley 37.25 C Issuer Name: Morgan Stanley |
Structured Product |
MG3U4C |
SWB |
0.5400 |
EUR |
| Details |
Morgan Stanley 35.496 C Issuer Name: Morgan Stanley |
Structured Product |
MG4BR7 |
SWB |
0.5800 |
EUR |
| Details |
Morgan Stanley 39.9083 C Issuer Name: Morgan Stanley |
Structured Product |
MG5EA7 |
SWB |
0.0370 |
EUR |
| Details |
Morgan Stanley 38.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG8RZF |
SWB |
0.4800 |
EUR |
| Details |
Morgan Stanley 39 C Issuer Name: Morgan Stanley |
Structured Product |
MG8RZH |
SWB |
0.4300 |
EUR |
| Details |
Morgan Stanley 40.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ145H |
SWB |
0.3300 |
EUR |
| Details |
Morgan Stanley 40.75 C Issuer Name: Morgan Stanley |
Structured Product |
MJ188S |
SWB |
0.2800 |
EUR |
| Details |
Morgan Stanley 41 C Issuer Name: Morgan Stanley |
Structured Product |
MJ188T |
SWB |
0.2500 |
EUR |
| Details |
Morgan Stanley 37.2727 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DMB |
SWB |
0.6300 |
EUR |
| Details |
Societe Generale Acceptance NV 46.02362 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF7L8Y |
SWB |
9.68 |
EUR |
| Details |
Societe Generale Acceptance NV 136.993 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6B45 |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 136.993 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6B46 |
SWB |
0.0130 |
EUR |
| Details |
Societe Generale Acceptance NV 135.604 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6DE0 |
SWB |
4.920 |
EUR |
| Details |
Societe Generale Acceptance NV 135.604 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6DEY |
SWB |
0.0660 |
EUR |
| Details |
Societe Generale Acceptance NV 135.603 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF6DEZ |
SWB |
0.9300 |
EUR |
| Details |
Societe Generale Acceptance NV 24.60124 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH1QE3 |
SWB |
3.260 |
EUR |
| Details |
Societe Generale Acceptance NV 59.247 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3N1W |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 55.675 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3038 |
SWB |
0.0080 |
EUR |
| Details |
Societe Generale Acceptance NV 47.44 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN0BJ7 |
SWB |
3.440 |
EUR |
| Details |
Societe Generale Acceptance NV 9.58953 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN09MM |
SWB |
1.280 |
EUR |
| Details |
Societe Generale Acceptance NV 8.74452 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN2HLQ |
SWB |
1.490 |
EUR |
| Details |
Societe Generale Acceptance NV 8.71897 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN1TR3 |
SWB |
1.550 |
EUR |
| Details |
Societe Generale Acceptance NV 7.98624 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN3B29 |
SWB |
1.710 |
EUR |
| Details |
Societe Generale Acceptance NV 36.632 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN3LVB |
SWB |
0.0890 |
EUR |
| Details |
Societe Generale Acceptance NV 7.21932 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4JW3 |
SWB |
1.950 |
EUR |
| Details |
Societe Generale Acceptance NV 7.8473 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4JZJ |
SWB |
1.810 |
EUR |
| Details |
Societe Generale Acceptance NV 6.97709 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4KGX |
SWB |
2.060 |
EUR |
| Details |
Societe Generale Acceptance NV 6.42001 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4KHK |
SWB |
21.98 |
EUR |
| Details |
Societe Generale Acceptance NV 34.273 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN4MBR |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 9.37254 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8SPG |
SWB |
1.350 |
EUR |
| Details |
Societe Generale Acceptance NV 8.93973 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8XWG |
SWB |
1.470 |
EUR |
| Details |
Societe Generale Acceptance NV 9.15561 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8XWH |
SWB |
1.410 |
EUR |
| Details |
Societe Generale Acceptance NV 8.06867 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0N9F |
SWB |
1.740 |
EUR |
| Details |
Societe Generale Acceptance NV 8.2845 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0N9G |
SWB |
1.670 |
EUR |
| Details |
Societe Generale Acceptance NV 8.4997 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0N9H |
SWB |
1.600 |
EUR |
| Details |
Societe Generale Acceptance NV 7.62953 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0ZH3 |
SWB |
1.870 |
EUR |
| Details |
Societe Generale Acceptance NV 6.5359 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ09SM |
SWB |
2.360 |
EUR |
| Details |
Societe Generale Acceptance NV 57.736 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1XJJ |
SWB |
0.8100 |
EUR |
| Details |
Societe Generale Acceptance NV 49.094 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV6E0M |
SWB |
7.14 |
EUR |
| Details |
Societe Generale Acceptance NV 40.159 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV60Y6 |
SWB |
3.140 |
EUR |
| Details |
Societe Generale Acceptance NV 38.949 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV7PHS |
SWB |
1.140 |
EUR |
| Details |
Societe Generale Acceptance NV 5.34388 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9DL9 |
SWB |
25.56 |
EUR |
| Details |
Societe Generale Acceptance NV 6.15952 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9DMA |
SWB |
2.300 |
EUR |
| Details |
Societe Generale Acceptance NV 3.70634 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9F2P |
SWB |
30.46 |
EUR |
| Details |
Societe Generale Acceptance NV 4.52386 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9F2Q |
SWB |
28.01 |
EUR |
| Details |
Societe Generale Acceptance NV 34.429 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9L2G |
SWB |
10.09 |
EUR |
| Details |
Societe Generale Acceptance NV 7.42703 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW0RZB |
SWB |
1.920 |
EUR |
| Details |
Societe Generale Acceptance NV 7.22381 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1U3B |
SWB |
1.990 |
EUR |
| Details |
Societe Generale Acceptance NV 9.50575 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1U3C |
SWB |
1.310 |
EUR |
| Details |
Societe Generale Acceptance NV 9.28776 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW12NE |
SWB |
1.380 |
EUR |
| Details |
Societe Generale Acceptance NV 8.39053 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2G63 |
SWB |
1.610 |
EUR |
| Details |
Societe Generale Acceptance NV 9.06522 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2HL5 |
SWB |
1.440 |
EUR |
| Details |
Societe Generale Acceptance NV 6.77371 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW05QJ |
SWB |
2.120 |
EUR |
| Details |
Societe Generale Acceptance NV 32.56 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2M7A |
SWB |
6.82 |
EUR |
| Details |
Societe Generale Acceptance NV 6.57071 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV98YZ |
SWB |
2.190 |
EUR |
| Details |
Societe Generale Acceptance NV 8.85153 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3B2S |
SWB |
1.510 |
EUR |
| Details |
Societe Generale Acceptance NV 8.63593 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV99XK |
SWB |
1.570 |
EUR |
| Details |
Societe Generale Acceptance NV 8.20344 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3C7Y |
SWB |
1.690 |
EUR |
| Details |
Societe Generale Acceptance NV 6.36772 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3CH7 |
SWB |
2.250 |
EUR |
| Details |
Societe Generale Acceptance NV 8.4159 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3CH8 |
SWB |
1.640 |
EUR |
| Details |
Societe Generale Acceptance NV 7.75644 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3CPL |
SWB |
1.800 |
EUR |
| Details |
Societe Generale Acceptance NV 5.95732 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV99E6 |
SWB |
23.72 |
EUR |
| Details |
Societe Generale Acceptance NV 5.78194 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3FG6 |
SWB |
23.89 |
EUR |
| Details |
Societe Generale Acceptance NV 7.98959 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW4A90 |
SWB |
1.750 |
EUR |
| Details |
Societe Generale Acceptance NV 9.25465 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW312S |
SWB |
1.340 |
EUR |
| Details |
Societe Generale Acceptance NV 9.63158 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW312T |
SWB |
1.230 |
EUR |
| Details |
Societe Generale Acceptance NV 9.66622 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WL |
SWB |
1.260 |
EUR |
| Details |
Societe Generale Acceptance NV 9.74631 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WM |
SWB |
1.240 |
EUR |
| Details |
Societe Generale Acceptance NV 9.82654 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WN |
SWB |
1.220 |
EUR |
| Details |
Societe Generale Acceptance NV 9.90683 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WP |
SWB |
1.190 |
EUR |
| Details |
Societe Generale Acceptance NV 9.987 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WQ |
SWB |
1.160 |
EUR |
| Details |
Societe Generale Acceptance NV 10.06748 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WR |
SWB |
1.150 |
EUR |
| Details |
Societe Generale Acceptance NV 10.14754 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WS |
SWB |
1.120 |
EUR |
| Details |
Societe Generale Acceptance NV 10.22768 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WT |
SWB |
1.100 |
EUR |
| Details |
Societe Generale Acceptance NV 10.30812 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW31WU |
SWB |
1.070 |
EUR |
| Details |
Societe Generale Acceptance NV 10.39038 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW4QJS |
SWB |
1.050 |
EUR |
| Details |
Societe Generale Acceptance NV 10.47093 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW4RMU |
SWB |
1.010 |
EUR |
| Details |
Societe Generale Acceptance NV 2.66017 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0YW2 |
SWB |
33.26 |
EUR |
| Details |
Societe Generale Acceptance NV 9.107 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU1XMX |
SWB |
1.500 |
EUR |
| Details |
Societe Generale Acceptance NV 7.51575 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU15XF |
SWB |
3.960 |
EUR |
| Details |
Societe Generale Acceptance NV 38.444 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU16RU |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 38.444 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU16RV |
SWB |
0.0020 |
EUR |
| Details |
Societe Generale Acceptance NV 43.331 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU6V6F |
SWB |
0.0290 |
EUR |
| Details |
Societe Generale Acceptance NV 43.331 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU6V6G |
SWB |
0.2300 |
EUR |
| Details |
Societe Generale Acceptance NV 43.609 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU6W5H |
SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 41.741 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU69UD |
SWB |
7.17 |
EUR |
| Details |
Societe Generale Acceptance NV 5.40673 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW89FK |
SWB |
5.36 |
EUR |
| Details |
Societe Generale Acceptance NV 10.54778 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW55ME |
SWB |
1.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.624 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW55MF |
SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 10.70047 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW56W8 |
SWB |
0.9600 |
EUR |
| Details |
Societe Generale Acceptance NV 11.00643 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57UY |
SWB |
0.8600 |
EUR |
| Details |
Societe Generale Acceptance NV 11.3887 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57UZ |
SWB |
0.7500 |
EUR |
| Details |
Societe Generale Acceptance NV 11.54159 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57VP |
SWB |
0.7100 |
EUR |
| Details |
Societe Generale Acceptance NV 10.77778 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57W0 |
SWB |
0.9300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.16038 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57W1 |
SWB |
0.8200 |
EUR |
| Details |
Societe Generale Acceptance NV 11.46565 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW57W2 |
SWB |
0.7300 |
EUR |
| Details |
Societe Generale Acceptance NV 10.01167 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW5DGK |
SWB |
1.120 |
EUR |
| Details |
Societe Generale Acceptance NV 10.8512 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9FL3 |
SWB |
0.9100 |
EUR |
| Details |
Societe Generale Acceptance NV 10.92821 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9FL4 |
SWB |
0.8800 |
EUR |
| Details |
Societe Generale Acceptance NV 11.08092 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9FL5 |
SWB |
0.8400 |
EUR |
| Details |
Societe Generale Acceptance NV 11.23328 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9FL6 |
SWB |
0.8000 |
EUR |
| Details |
Societe Generale Acceptance NV 11.30986 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9FL7 |
SWB |
0.7800 |
EUR |
| Details |
Societe Generale Acceptance NV 10.3545 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9GGH |
SWB |
1.160 |
EUR |
| Details |
Societe Generale Acceptance NV 10.37213 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9HRS |
SWB |
1.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 10.73147 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9HRT |
SWB |
0.8900 |
EUR |
| Details |
Societe Generale Acceptance NV 11.61624 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW5930 |
SWB |
0.6900 |
EUR |
| Details |
Societe Generale Acceptance NV 11.6925 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW593Z |
SWB |
0.6600 |
EUR |
| Details |
Societe Generale Acceptance NV 11.76957 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6A8Y |
SWB |
0.6300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.84602 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6BAX |
SWB |
0.6200 |
EUR |
| Details |
Societe Generale Acceptance NV 11.92394 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6CEQ |
SWB |
0.5900 |
EUR |
| Details |
Societe Generale Acceptance NV 11.07336 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9SEN |
SWB |
0.7900 |
EUR |
| Details |
Societe Generale Acceptance NV 12.07512 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9XHK |
SWB |
0.5500 |
EUR |
| Details |
Societe Generale Acceptance NV 11.99906 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6FUQ |
SWB |
0.5700 |
EUR |
| Details |
Societe Generale Acceptance NV 12.22761 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW6GWK |
SWB |
0.5100 |
EUR |
| Details |
Societe Generale Acceptance NV 12.14162 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9YD9 |
SWB |
0.5300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.51589 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW9ZTQ |
SWB |
0.6700 |
EUR |
| Details |
Societe Generale Acceptance NV 45.983 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY0TE0 |
SWB |
0.5500 |
EUR |
| Details |
Societe Generale Acceptance NV 45.983 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY0TE1 |
SWB |
1.800 |
EUR |
| Details |
Societe Generale Acceptance NV 45.983 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY0TEZ |
SWB |
0.1200 |
EUR |
| Details |
Societe Generale Acceptance NV 12.7513 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY4KRL |
SWB |
0.3500 |
EUR |
| Details |
Societe Generale Acceptance NV 12.37761 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY4LTN |
SWB |
0.4600 |
EUR |
| Details |
Societe Generale Acceptance NV 12.3001 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6TT8 |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 12.44924 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6TT9 |
SWB |
0.4400 |
EUR |
| Details |
Societe Generale Acceptance NV 12.52392 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6TUA |
SWB |
0.4100 |
EUR |
| Details |
Societe Generale Acceptance NV 12.59863 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6TUB |
SWB |
0.3800 |
EUR |
| Details |
Societe Generale Acceptance NV 11.94516 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6U16 |
SWB |
0.5400 |
EUR |
| Details |
Societe Generale Acceptance NV 12.67354 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6VMH |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 12.81689 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY61JW |
SWB |
0.3300 |
EUR |
| Details |
Societe Generale Acceptance NV 11.33323 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY7X1P |
SWB |
0.8900 |
EUR |
| Details |
Societe Generale Acceptance NV 12.89284 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5AJ8 |
SWB |
0.3000 |
EUR |
| Details |
Societe Generale Acceptance NV 12.96699 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5BMT |
SWB |
0.2900 |
EUR |
| Details |
Societe Generale Acceptance NV 13.04059 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5BMU |
SWB |
0.2700 |
EUR |
| Details |
Societe Generale Acceptance NV 13.10478 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY9V41 |
SWB |
0.2500 |
EUR |
| Details |
Societe Generale Acceptance NV 12.34279 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY9VUB |
SWB |
0.4200 |
EUR |
| Details |
Societe Generale Acceptance NV 13.17857 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5E4Z |
SWB |
0.2300 |
EUR |
| Details |
Societe Generale Acceptance NV 13.25337 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5DX4 |
SWB |
0.2000 |
EUR |
| Details |
Societe Generale Acceptance NV 12.68505 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY925N |
SWB |
0.3100 |
EUR |
| Details |
EUZ: ECKERT ADJ 20250812 |
Options |
EUZB2 |
EUREX |
|
EUR |
| Details |
EUZ: ECKERT ADJ 20250812 Stock Type: Not Defined |
Stock |
EUZB2 |
BASKET |
43.10 |
EUR |
| Details |
EUZ: ECKERT ADJ 20250812 |
Warrants |
EUZB2 |
FWB |
|
EUR |
| Details |
CONI: GRANITESHARES 2X SHORT COIN: ADJ 20250814 |
Options |
CONI1 |
CBOE |
|
USD |
| Details |
CONI: GRANITESHARES 2X SHORT COIN: ADJ 20250814 Stock Type: Not Defined |
Stock |
CONI1 |
BASKET |
2.601 |
USD |
| Details |
STR: SITIO ROYALTIES CORP-A: ADJ 20250818 |
Options |
VNOM1 |
CBOE |
|
USD |
| Details |
STR: SITIO ROYALTIES CORP-A: ADJ 20250818 Stock Type: Not Defined |
Stock |
VNOM1 |
BASKET |
23.29 |
USD |
| Details |
GOGL: GOLDEN OCEAN GROUP LTD: ADJ 20250820 |
Options |
CMBT1 |
CBOE |
|
USD |
| Details |
GOGL: GOLDEN OCEAN GROUP LTD: ADJ 20250820 Stock Type: Not Defined |
Stock |
CMBT1 |
BASKET |
11.61 |
USD |
| Details |
DRIO: DARIOHEALTH CORP: ADJ 20250827 |
Options |
DRIO1 |
CBOE |
|
USD |
| Details |
DRIO: DARIOHEALTH CORP: ADJ 20250827 Stock Type: Not Defined |
Stock |
DRIO1 |
BASKET |
0.3995 |
USD |
| Details |
EAF: GRAFTECH INTERNATIONAL LTD: ADJ 20250828 |
Options |
EAF1 |
CBOE |
|
USD |
| Details |
EAF: GRAFTECH INTERNATIONAL LTD: ADJ 20250828 Stock Type: Not Defined |
Stock |
EAF1 |
BASKET |
0.5820 |
USD |
| Details |
BNP Paribas SA 6.62 C Issuer Name: BNP Paribas SA |
Structured Product |
V6DKB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 6.33 C Issuer Name: BNP Paribas SA |
Structured Product |
TY7KB |
SBF |
0.0000 |
EUR |
| Details |
BNP Paribas SA 4.66 C Issuer Name: BNP Paribas SA |
Structured Product |
6ALLB |
SBF |
0.0000 |
EUR |
| Details |
Morgan Stanley 9.5706 C Issuer Name: Morgan Stanley |
Structured Product |
MA9WKW |
SWB |
0.3600 |
EUR |
| Details |
Morgan Stanley 3.1906 C Issuer Name: Morgan Stanley |
Structured Product |
MB0V1J |
SWB |
0.0080 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MB7DGJ |
SWB |
0.0400 |
EUR |
| Details |
Morgan Stanley 2.02 C Issuer Name: Morgan Stanley |
Structured Product |
ME7396 |
SWB |
0.0050 |
EUR |
| Details |
Morgan Stanley 1.335 C Issuer Name: Morgan Stanley |
Structured Product |
MG23HE |
SWB |
0.3700 |
EUR |
| Details |
Morgan Stanley 1.92 C Issuer Name: Morgan Stanley |
Structured Product |
MG639E |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 3.306 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1P5D |
SWB |
0.5400 |
EUR |
| Details |
Societe Generale Acceptance NV 3.306 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX1P5E |
SWB |
0.0520 |
EUR |
| Details |
Societe Generale Acceptance NV 2.233 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX12MJ |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 5.35191 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5RBX |
SWB |
4.050 |
EUR |
| Details |
Societe Generale Acceptance NV 2.381 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8ABA |
SWB |
1.060 |
EUR |
| Details |
Societe Generale Acceptance NV 2.381 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8ABB |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 2.381 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8ABC |
SWB |
0.0120 |
EUR |
| Details |
Societe Generale Acceptance NV 2.381 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8AKL |
SWB |
5.55 |
EUR |
| Details |
Societe Generale Acceptance NV 3.013 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA7B8D |
SWB |
0.0220 |
EUR |
| Details |
Societe Generale Acceptance NV 3.013 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA7CBT |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 1.01536 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD4W2A |
SWB |
0.4300 |
EUR |
| Details |
UniCredit Bank AG 3.04458 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD75FK |
SWB |
3.560 |
EUR |
| Details |
UniCredit Bank AG 3.05333 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG87K3 |
SWB |
28.78 |
EUR |
| Details |
UniCredit Bank AG 3.648 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG8AYX |
SWB |
23.82 |
EUR |
| Details |
UniCredit Bank AG 4.56 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG8AYY |
SWB |
33.17 |
EUR |
| Details |
UniCredit Bank AG 3.8 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG8AYZ |
SWB |
24.48 |
EUR |
| Details |
UniCredit Bank AG 2.904 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG8UBR |
SWB |
5.74 |
EUR |
| Details |
UniCredit Bank AG 2.5375 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG9CD2 |
SWB |
7.75 |
EUR |
| Details |
LCID: LUCID GROUP INC: ADJ 20250829 |
Options |
LCID1 |
CBOE |
|
USD |
| Details |
LCID: LUCID GROUP INC: ADJ 20250829 Stock Type: Not Defined |
Stock |
LCID1 |
BASKET |
1.006 |
USD |
| Details |
LCID: LUCID GROUP INC: ADJ 20250829 |
Warrants |
LCID1 |
SWB |
|
EUR |
| Details |
NOTE: FISCALNOTE HOLDINGS INC: ADJ 20250829 |
Options |
NOTE1 |
CBOE |
|
USD |
| Details |
NOTE: FISCALNOTE HOLDINGS INC: ADJ 20250829 Stock Type: Not Defined |
Stock |
NOTE1 |
BASKET |
0.0785 |
USD |
| Details |
HEAL: GLOBAL X HEALTHTECH ETF: ADJ 20250829 |
Options |
HEAL1 |
CBOE |
|
USD |
| Details |
HEAL: GLOBAL X HEALTHTECH ETF: ADJ 20250829 Stock Type: Not Defined |
Stock |
HEAL1 |
BASKET |
8.16 |
USD |
| Details |
BRDG: BRIDGE INVESTMENT GRP HDS-A: ADJ 20250829 |
Options |
APO1 |
CBOE |
|
USD |
| Details |
BRDG: BRIDGE INVESTMENT GRP HDS-A: ADJ 20250829 Stock Type: Not Defined |
Stock |
APO1 |
BASKET |
7.97 |
USD |
| Details |
PPBI: PACIFIC PREMIER BANCORP INC: ADJ 20250902 |
Options |
COLB1 |
PHLX |
|
USD |
| Details |
PPBI: PACIFIC PREMIER BANCORP INC: ADJ 20250902 Stock Type: Not Defined |
Stock |
COLB1 |
BASKET |
23.92 |
USD |
| Details |
BRKL: BROOKLINE BANCORP INC: ADJ 20250902 |
Options |
BBT1 |
CBOE |
|
USD |
| Details |
BRKL: BROOKLINE BANCORP INC: ADJ 20250902 Stock Type: Not Defined |
Stock |
BBT1 |
BASKET |
12.10 |
USD |
| Details |
BNDD: QUADRATIC DEFLATION ETF: ADJ 20250904 |
Options |
BNDD1 |
CBOE |
|
USD |
| Details |
BNDD: QUADRATIC DEFLATION ETF: ADJ 20250904 Stock Type: Not Defined |
Stock |
BNDD1 |
BASKET |
12.33 |
USD |
| Details |
GP: GREENPOWER MOTOR CO INC: ADJ 20250905 |
Options |
GP1 |
CBOE |
|
USD |
| Details |
GP: GREENPOWER MOTOR CO INC: ADJ 20250905 Stock Type: Not Defined |
Stock |
GP1 |
BASKET |
0.1010 |
USD |
| Details |
MAG: MAGG SILVVER CORP.: ADJ 20250905 |
Options |
PAAS1.CAD |
CDE |
|
CAD |
| Details |
MAG: MAGG SILVVER CORP.: ADJ 20250905 Stock Type: Not Defined |
Stock |
PAAS1.CAD |
BASKET |
44.02 |
CAD |
| Details |
MAG: MAG SILVER CORP.: ADJ 20250905 |
Options |
PAAS2.CAD |
CDE |
|
CAD |
| Details |
MAG: MAG SILVER CORP.: ADJ 20250905 Stock Type: Not Defined |
Stock |
PAAS2.CAD |
BASKET |
44.24 |
CAD |
| Details |
BDSX: BIODESIX INC: ADJ 20250912 |
Options |
BDSX1 |
CBOE |
|
USD |
| Details |
BDSX: BIODESIX INC: ADJ 20250912 Stock Type: Not Defined |
Stock |
BDSX1 |
BASKET |
0.7438 |
USD |
| Details |
CLSD: CLEARSIDE BIOMEDICAL INC: ADJ 20250912 |
Options |
CLSD1 |
CBOE |
|
USD |
| Details |
CLSD: CLEARSIDE BIOMEDICAL INC: ADJ 20250912 Stock Type: Not Defined |
Stock |
CLSD1 |
BASKET |
0.0679 |
USD |
| Details |
TURN: 180 DEGREE CAPITAL CORP: ADJ 20250912 |
Options |
MLCI1 |
CBOE |
|
USD |
| Details |
TURN: 180 DEGREE CAPITAL CORP: ADJ 20250912 Stock Type: Not Defined |
Stock |
MLCI1 |
BASKET |
2.528 |
USD |
| Details |
SQNS: SEQUANS COMMUNICATIONS-ADR: ADJ 20250916 |
Options |
SQNS1 |
CBOE |
|
USD |
| Details |
SQNS: SEQUANS COMMUNICATIONS-ADR: ADJ 20250916 Stock Type: Not Defined |
Stock |
SQNS1 |
BASKET |
0.3000 |
USD |
| Details |
ATHA: ATHIRA PHARMA INC: ADJ 20250917 |
Options |
ATHA1 |
CBOE |
|
USD |
| Details |
ATHA: ATHIRA PHARMA INC: ADJ 20250917 Stock Type: Not Defined |
Stock |
ATHA1 |
BASKET |
0.9920 |
USD |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG1333 |
SWB |
53.22 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG134A |
SWB |
63.28 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG284W |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG3E4Q |
SWB |
80.28 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VG4GLK |
SWB |
90.32 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK22KN |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK255D |
SWB |
100.37 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK27JT |
SWB |
90.32 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK27LS |
SWB |
59.92 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK2R02 |
SWB |
100.37 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK2SYY |
SWB |
90.32 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK2TAR |
SWB |
81.91 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GAC |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GAF |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GAH |
SWB |
95.90 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GC2 |
SWB |
99.92 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GC4 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GC8 |
SWB |
89.92 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GC9 |
SWB |
88.42 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4GCW |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4YV4 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK4YV6 |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VK40A9 |
SWB |
88.63 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWD |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWF |
SWB |
83.34 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWG |
SWB |
77.70 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWH |
SWB |
92.86 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWK |
SWB |
0.0000 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWL |
SWB |
77.79 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWM |
SWB |
82.92 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWN |
SWB |
81.12 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWP |
SWB |
91.43 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWQ |
SWB |
84.28 |
EUR |
| Details |
Bank Vontobel 0 C Issuer Name: Bank Vontobel |
Structured Product |
VH2EWS |
SWB |
74.64 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PD2C0N |
SWB |
1.460 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PN4SCN |
SWB |
0.0530 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PD5CNT |
SWB |
0.0440 |
EUR |
| Details |
BNP Paribas SA 38.7923 C Issuer Name: BNP Paribas SA |
Structured Product |
PD2R5A |
SWB |
3.620 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PE3C0N |
SWB |
17.67 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PC5C0N |
SWB |
0.1440 |
EUR |
| Details |
BNP Paribas SA 30.5309 C Issuer Name: BNP Paribas SA |
Structured Product |
PE1TW8 |
SWB |
4.450 |
EUR |
| Details |
BNP Paribas SA 87 C Issuer Name: BNP Paribas SA |
Structured Product |
PE5CNT |
SWB |
6.76 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC4DJ1 |
SWB |
72.18 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC4DJ4 |
SWB |
50.00 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC4DJG |
SWB |
47.62 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC4DJQ |
SWB |
63.30 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC4DJZ |
SWB |
72.07 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC5674 |
SWB |
44.68 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC66GD |
SWB |
73.15 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC66GJ |
SWB |
90.09 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC7GC9 |
SWB |
83.25 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PC75US |
SWB |
74.97 |
EUR |
| Details |
BNP Paribas SA 53.0896 C Issuer Name: BNP Paribas SA |
Structured Product |
PG71X1 |
SWB |
2.190 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2B50 |
SWB |
74.93 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2B5L |
SWB |
80.13 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL2B5W |
SWB |
76.26 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PL3JP2 |
SWB |
88.47 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0RFB |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0RFD |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ0RFL |
SWB |
0.0000 |
EUR |
| Details |
BNP Paribas SA 0 C Issuer Name: BNP Paribas SA |
Structured Product |
PJ3X7A |
SWB |
67.64 |
EUR |
| Details |
CitiWarrants 112.9812 P Issuer Name: CitiWarrants |
Structured Product |
KF2VD4 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 40.2038 C Issuer Name: DZ Bank |
Structured Product |
DV9Z8T |
SWB |
3.420 |
EUR |
| Details |
DZ Bank 36.2318 C Issuer Name: DZ Bank |
Structured Product |
DV93WW |
SWB |
3.820 |
EUR |
| Details |
DZ Bank 44.6232 C Issuer Name: DZ Bank |
Structured Product |
DJ5W8E |
SWB |
2.980 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ40X1 |
SWB |
54.09 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ40X2 |
SWB |
54.99 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ40X4 |
SWB |
58.45 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ40XX |
SWB |
47.54 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ5BDE |
SWB |
65.85 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ7ACE |
SWB |
77.94 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ8VBE |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DQ9PTS |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY0LL0 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY0ZGF |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY05L1 |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY1GFM |
SWB |
54.12 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY1X5B |
SWB |
50.41 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY2UK0 |
SWB |
79.54 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY29LB |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY475Y |
SWB |
0.0000 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY54LD |
SWB |
64.09 |
EUR |
| Details |
DZ Bank 59.7125 C Issuer Name: DZ Bank |
Structured Product |
DY7CKP |
SWB |
1.470 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY7DCG |
SWB |
39.32 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY7DCL |
SWB |
53.05 |
EUR |
| Details |
DZ Bank 60.0662 C Issuer Name: DZ Bank |
Structured Product |
DY7DJX |
SWB |
1.430 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY7WTZ |
SWB |
60.84 |
EUR |
| Details |
DZ Bank 68.7677 C Issuer Name: DZ Bank |
Structured Product |
DY76CA |
SWB |
0.5800 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DY8J4D |
SWB |
76.91 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DU0M1V |
SWB |
56.35 |
EUR |
| Details |
DZ Bank 0 C Issuer Name: DZ Bank |
Structured Product |
DU1116 |
SWB |
43.29 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 5.9895 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GP0Z7B |
SWB |
6.78 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.44 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ7M1M |
SWB |
3.070 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 82.6323 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9FHC |
SWB |
3.260 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 23.4388 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG6X1G |
SWB |
4.470 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.44 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GG9RCM |
SWB |
10.53 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 34.6609 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ0181 |
SWB |
3.000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 38.6976 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ064J |
SWB |
2.480 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.44 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ0HFB |
SWB |
1.380 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 55.62 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3W47 |
SWB |
0.4000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 40.1205 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ3WJD |
SWB |
2.270 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 41.2065 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ41MP |
SWB |
2.140 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 41.4146 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GJ43LA |
SWB |
2.110 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XJA |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XJE |
SWB |
74.11 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XP7 |
SWB |
71.09 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XPK |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XPN |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XPV |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XT5 |
SWB |
58.25 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XTE |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GQ9XTJ |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV24VW |
SWB |
74.05 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 92.7 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV25T1 |
SWB |
2.230 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 55.62 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2PS0 |
SWB |
1.420 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 57.8954 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2PSL |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 68.2454 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2PTB |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2VWR |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2VWX |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2VX2 |
SWB |
53.82 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2VX6 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2VX9 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2W0B |
SWB |
74.35 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2W0K |
SWB |
68.98 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV2W0N |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3M7M |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3M7V |
SWB |
48.29 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MAK |
SWB |
60.63 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MBJ |
SWB |
63.99 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MCC |
SWB |
71.81 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MCG |
SWB |
73.74 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MEV |
SWB |
69.01 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MF5 |
SWB |
39.06 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MF8 |
SWB |
56.83 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MGD |
SWB |
73.11 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV3MH4 |
SWB |
70.61 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 62.496 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV43D9 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4CV9 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4CVH |
SWB |
34.30 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4CVM |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4CW6 |
SWB |
62.36 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4CXT |
SWB |
52.69 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 44.136 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4G21 |
SWB |
1.770 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 43.7195 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4H2E |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 46.3469 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4JGA |
SWB |
1.490 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 43.1587 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4KNA |
SWB |
1.880 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 45.4189 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4N6W |
SWB |
1.610 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 45.6507 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4S7N |
SWB |
1.560 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 46.9399 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4TG7 |
SWB |
1.390 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 47.6359 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4UX1 |
SWB |
1.330 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 48.4764 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV4YDM |
SWB |
1.230 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 45.0452 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV511W |
SWB |
1.630 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.1945 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV51TK |
SWB |
1.150 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 44.6697 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV51VZ |
SWB |
1.710 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 46.9321 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV521Y |
SWB |
1.420 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 43.5349 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5224 |
SWB |
1.850 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 48.4833 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV528Y |
SWB |
1.180 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.3855 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV569Y |
SWB |
1.080 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 50.3664 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV57MU |
SWB |
1.020 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 50.5359 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV58PR |
SWB |
0.9200 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 51.5913 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV59RG |
SWB |
0.8600 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 53.2065 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5DWK |
SWB |
0.6400 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 57.8954 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5EWR |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 52.1366 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5GH9 |
SWB |
0.7700 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 52.0242 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5H29 |
SWB |
0.7300 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 49.7085 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5KBK |
SWB |
1.090 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 60.6093 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5NB7 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5P16 |
SWB |
73.61 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5P1K |
SWB |
66.87 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5P1T |
SWB |
72.45 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5P22 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 53.9441 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5SMM |
SWB |
0.5800 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 96.3733 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5TFF |
SWB |
5.11 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 56.448 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV5VCF |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 65.1693 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV67MK |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 77.1649 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV777T |
SWB |
2.550 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 104.9559 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV7DZA |
SWB |
6.20 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 85.8727 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV7E33 |
SWB |
3.690 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 78.98 P Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV7EP7 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 52.6791 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV860U |
SWB |
0.7000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 50.9612 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV863Y |
SWB |
0.9500 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 61.2827 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8MX2 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 28.71 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8MYF |
SWB |
25.54 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 52.5756 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8XNC |
SWB |
0.6600 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 92.7 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV8ZYT |
SWB |
17.41 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 51.3068 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU10MY |
SWB |
0.8100 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 58.5387 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU32AP |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 57.0462 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU32B4 |
SWB |
0.4900 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU32Z2 |
SWB |
59.26 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU32Z6 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU32ZD |
SWB |
69.13 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU331Z |
SWB |
67.39 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33A3 |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33AG |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33CB |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33CH |
SWB |
43.73 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33CR |
SWB |
55.64 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33CS |
SWB |
62.46 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33CX |
SWB |
38.53 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33D2 |
SWB |
72.17 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33D5 |
SWB |
72.46 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33D8 |
SWB |
73.48 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33DK |
SWB |
47.47 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33DQ |
SWB |
70.45 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33DV |
SWB |
73.10 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GU33EA |
SWB |
73.50 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0VSK |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0VSW |
SWB |
72.41 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0VSZ |
SWB |
0.0000 |
EUR |
| Details |
Goldman Sachs Bank Europe SE 0 C Issuer Name: Goldman Sachs Bank Europe SE |
Structured Product |
GV0VT1 |
SWB |
65.73 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 49.8461 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG1H4Q |
SWB |
2.470 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 47.035 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG1MRP |
SWB |
2.750 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 48.2011 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG5SF4 |
SWB |
2.630 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 52.8731 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HG6BEN |
SWB |
2.160 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS7M38 |
SWB |
34.66 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HS7VVD |
SWB |
54.29 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT02KG |
SWB |
52.58 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT0NXE |
SWB |
0.0000 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT0NXF |
SWB |
0.0000 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT0NXG |
SWB |
0.0000 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 62.3628 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4CHN |
SWB |
1.220 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 63.1087 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4NT6 |
SWB |
1.140 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 68.3657 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT4HYA |
SWB |
0.6200 |
EUR |
| Details |
HSBC Trinkaus & Burkhardt AG 0 C Issuer Name: HSBC Trinkaus & Burkhardt AG |
Structured Product |
HT5S37 |
SWB |
60.61 |
EUR |
| Details |
JP Morgan Structured Products B.V. 32.3552 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JA02YU |
SWB |
3.300 |
EUR |
| Details |
JP Morgan Structured Products B.V. 31.4946 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JA19B0 |
SWB |
3.440 |
EUR |
| Details |
JP Morgan Structured Products B.V. 29.324 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JA3AK9 |
SWB |
3.690 |
EUR |
| Details |
JP Morgan Structured Products B.V. 68.7754 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JS9NJY |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 67.7895 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL4050 |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 68.6316 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL4051 |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 69.0526 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL41VV |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 66.6 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL5BGK |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 64 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL5BGL |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 66 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JL5BGR |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 64.1003 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JB5DXM |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 55.632 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JK3TKH |
SWB |
0.0010 |
EUR |
| Details |
JP Morgan Structured Products B.V. 74 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JK2X3T |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 73.4 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JK2X3V |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 77.8947 P Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JK3GBM |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 28.7172 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JT46GN |
SWB |
1.430 |
EUR |
| Details |
JP Morgan Structured Products B.V. 41.0403 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JT82HB |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 74.661 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JV4TDG |
SWB |
0.0000 |
EUR |
| Details |
JP Morgan Structured Products B.V. 68.6602 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JF5XV9 |
SWB |
0.0020 |
EUR |
| Details |
JP Morgan Structured Products B.V. 56.6621 C Issuer Name: JP Morgan Structured Products B.V. |
Structured Product |
JH2VZA |
SWB |
0.0020 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MCV |
SWB |
39.69 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MCW |
SWB |
41.68 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MCX |
SWB |
43.65 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MCY |
SWB |
45.63 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MCZ |
SWB |
47.59 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD0 |
SWB |
49.55 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD3 |
SWB |
55.31 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD4 |
SWB |
57.17 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD5 |
SWB |
58.97 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD6 |
SWB |
60.70 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD7 |
SWB |
62.35 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD8 |
SWB |
63.89 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD9 |
SWB |
65.32 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MDA |
SWB |
66.61 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPQ |
SWB |
38.92 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPR |
SWB |
40.81 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPS |
SWB |
42.68 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPT |
SWB |
44.44 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPU |
SWB |
46.26 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPV |
SWB |
48.14 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPW |
SWB |
49.90 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPX |
SWB |
51.61 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPY |
SWB |
53.27 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MPZ |
SWB |
54.88 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ0 |
SWB |
56.32 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ1 |
SWB |
57.80 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ2 |
SWB |
59.33 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ3 |
SWB |
60.67 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ4 |
SWB |
61.93 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MQ5 |
SWB |
63.10 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD1 |
SWB |
51.50 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5MD2 |
SWB |
53.31 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5PNE |
SWB |
67.75 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5PVT |
SWB |
64.18 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Q2W |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5QS7 |
SWB |
68.74 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5QS8 |
SWB |
69.58 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5QTP |
SWB |
65.19 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5QTQ |
SWB |
66.10 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5RA6 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5RA7 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5RA8 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5T2H |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5T6S |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UN5 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UN6 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UN7 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UN8 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UN9 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UNA |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5UNB |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0Q |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0R |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0S |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0T |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0U |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0V |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0W |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0X |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0Y |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5V0Z |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WC4 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WC5 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WC6 |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WG5 |
SWB |
37.71 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WK9 |
SWB |
37.02 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WNQ |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WNR |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5WNS |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB55BF |
SWB |
49.55 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB55BG |
SWB |
60.70 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB55BH |
SWB |
66.61 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5XQD |
SWB |
57.17 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5XQE |
SWB |
66.61 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5XQF |
SWB |
70.28 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB57TL |
SWB |
58.57 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB57TM |
SWB |
64.69 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB57TN |
SWB |
68.06 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58JT |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58R8 |
SWB |
45.15 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58R9 |
SWB |
47.05 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RA |
SWB |
48.92 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RB |
SWB |
50.76 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RC |
SWB |
52.57 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RD |
SWB |
54.33 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RE |
SWB |
56.03 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RF |
SWB |
57.67 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RG |
SWB |
59.25 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RH |
SWB |
60.74 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RJ |
SWB |
62.14 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RK |
SWB |
63.45 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RL |
SWB |
64.65 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RM |
SWB |
65.76 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RN |
SWB |
66.75 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RP |
SWB |
67.64 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58RQ |
SWB |
68.42 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB58X7 |
SWB |
66.93 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB59TB |
SWB |
54.64 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB59TC |
SWB |
62.64 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5YJG |
SWB |
0.0000 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5YLD |
SWB |
70.84 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5YNM |
SWB |
69.11 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5YWV |
SWB |
67.68 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3J |
SWB |
43.15 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3K |
SWB |
44.84 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3L |
SWB |
46.49 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3M |
SWB |
48.09 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3N |
SWB |
49.65 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3P |
SWB |
51.17 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3Q |
SWB |
52.62 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3R |
SWB |
54.02 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3S |
SWB |
55.37 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3T |
SWB |
56.65 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3U |
SWB |
57.85 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3V |
SWB |
59.00 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3W |
SWB |
60.08 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3X |
SWB |
61.09 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3Y |
SWB |
62.04 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z3Z |
SWB |
62.91 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z40 |
SWB |
63.72 |
EUR |
| Details |
Landesbank Baden-Wuerttemberg 0 C Issuer Name: Landesbank Baden-Wuerttemberg |
Structured Product |
LB5Z41 |
SWB |
64.47 |
EUR |
| Details |
Morgan Stanley 27.8674 C Issuer Name: Morgan Stanley |
Structured Product |
MD29P8 |
SWB |
4.600 |
EUR |
| Details |
Morgan Stanley 42.1536 C Issuer Name: Morgan Stanley |
Structured Product |
MD2ENF |
SWB |
1.380 |
EUR |
| Details |
Morgan Stanley 33.5009 C Issuer Name: Morgan Stanley |
Structured Product |
MD42YE |
SWB |
3.850 |
EUR |
| Details |
Morgan Stanley 41.2319 C Issuer Name: Morgan Stanley |
Structured Product |
MD42YH |
SWB |
2.880 |
EUR |
| Details |
Morgan Stanley 46.8397 C Issuer Name: Morgan Stanley |
Structured Product |
MD8MTH |
SWB |
0.2270 |
EUR |
| Details |
Morgan Stanley 36.4684 C Issuer Name: Morgan Stanley |
Structured Product |
MD8VM1 |
SWB |
3.490 |
EUR |
| Details |
Morgan Stanley 37.4718 C Issuer Name: Morgan Stanley |
Structured Product |
MD8VZM |
SWB |
13.22 |
EUR |
| Details |
Morgan Stanley 45.4944 C Issuer Name: Morgan Stanley |
Structured Product |
MD9H9V |
SWB |
2.340 |
EUR |
| Details |
Morgan Stanley 45.7471 C Issuer Name: Morgan Stanley |
Structured Product |
MD9H9W |
SWB |
2.330 |
EUR |
| Details |
Morgan Stanley 46.2526 C Issuer Name: Morgan Stanley |
Structured Product |
MD9H9Y |
SWB |
2.250 |
EUR |
| Details |
Morgan Stanley 46.5053 C Issuer Name: Morgan Stanley |
Structured Product |
MD9H9Z |
SWB |
2.230 |
EUR |
| Details |
Morgan Stanley 47.0108 C Issuer Name: Morgan Stanley |
Structured Product |
MD9HA1 |
SWB |
2.170 |
EUR |
| Details |
Morgan Stanley 91.7051 C Issuer Name: Morgan Stanley |
Structured Product |
MB2AKB |
SWB |
0.6400 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MB5RFH |
SWB |
2.540 |
EUR |
| Details |
Morgan Stanley 53.368 C Issuer Name: Morgan Stanley |
Structured Product |
MB6PZ6 |
SWB |
0.7700 |
EUR |
| Details |
Morgan Stanley 40 C Issuer Name: Morgan Stanley |
Structured Product |
MG09JH |
SWB |
3.340 |
EUR |
| Details |
Morgan Stanley 54.304 C Issuer Name: Morgan Stanley |
Structured Product |
MG0HS2 |
SWB |
1.390 |
EUR |
| Details |
Morgan Stanley 33.175 C Issuer Name: Morgan Stanley |
Structured Product |
MG12DJ |
SWB |
10.14 |
EUR |
| Details |
Morgan Stanley 44.2333 C Issuer Name: Morgan Stanley |
Structured Product |
MG12DK |
SWB |
6.98 |
EUR |
| Details |
Morgan Stanley 50.3025 C Issuer Name: Morgan Stanley |
Structured Product |
MG1LCR |
SWB |
3.660 |
EUR |
| Details |
Morgan Stanley 55.8917 C Issuer Name: Morgan Stanley |
Structured Product |
MG1LCS |
SWB |
0.4600 |
EUR |
| Details |
Morgan Stanley 57.4886 C Issuer Name: Morgan Stanley |
Structured Product |
MG1LCT |
SWB |
0.1120 |
EUR |
| Details |
Morgan Stanley 38.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MG2L9R |
SWB |
3.590 |
EUR |
| Details |
Morgan Stanley 49.696 C Issuer Name: Morgan Stanley |
Structured Product |
MG2N0V |
SWB |
2.410 |
EUR |
| Details |
Morgan Stanley 51.7667 C Issuer Name: Morgan Stanley |
Structured Product |
MG2N0W |
SWB |
0.8200 |
EUR |
| Details |
Morgan Stanley 43.74 C Issuer Name: Morgan Stanley |
Structured Product |
MG63LS |
SWB |
6.59 |
EUR |
| Details |
Morgan Stanley 44.656 C Issuer Name: Morgan Stanley |
Structured Product |
MG66FU |
SWB |
4.270 |
EUR |
| Details |
Morgan Stanley 46.5167 C Issuer Name: Morgan Stanley |
Structured Product |
MG66FV |
SWB |
1.710 |
EUR |
| Details |
Morgan Stanley 47.8457 C Issuer Name: Morgan Stanley |
Structured Product |
MG66FW |
SWB |
0.5600 |
EUR |
| Details |
Morgan Stanley 48.8425 C Issuer Name: Morgan Stanley |
Structured Product |
MG66FX |
SWB |
0.2500 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG8HP2 |
SWB |
46.92 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MG8HP3 |
SWB |
49.29 |
EUR |
| Details |
Morgan Stanley 45.693 C Issuer Name: Morgan Stanley |
Structured Product |
MG8RYN |
SWB |
0.6500 |
EUR |
| Details |
Morgan Stanley 38.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MG9J2W |
SWB |
3.520 |
EUR |
| Details |
Morgan Stanley 41 C Issuer Name: Morgan Stanley |
Structured Product |
MG9N70 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0GKK |
SWB |
65.42 |
EUR |
| Details |
Morgan Stanley 39.1575 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8E |
SWB |
14.06 |
EUR |
| Details |
Morgan Stanley 41.768 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8F |
SWB |
9.76 |
EUR |
| Details |
Morgan Stanley 43.5083 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8G |
SWB |
5.45 |
EUR |
| Details |
Morgan Stanley 44.7514 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8H |
SWB |
2.750 |
EUR |
| Details |
Morgan Stanley 45.6838 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8J |
SWB |
1.520 |
EUR |
| Details |
Morgan Stanley 46.4089 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8K |
SWB |
0.4200 |
EUR |
| Details |
Morgan Stanley 46.989 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0Y8L |
SWB |
0.0810 |
EUR |
| Details |
Morgan Stanley 51.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ14QW |
SWB |
2.080 |
EUR |
| Details |
Morgan Stanley 52 C Issuer Name: Morgan Stanley |
Structured Product |
MJ14QX |
SWB |
2.030 |
EUR |
| Details |
Morgan Stanley 52.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ14QY |
SWB |
1.970 |
EUR |
| Details |
Morgan Stanley 49.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MJ14X4 |
SWB |
2.290 |
EUR |
| Details |
Morgan Stanley 41 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DRR |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 53 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DRS |
SWB |
1.920 |
EUR |
| Details |
Morgan Stanley 53.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DRT |
SWB |
1.870 |
EUR |
| Details |
Morgan Stanley 50.4761 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1DTY |
SWB |
2.190 |
EUR |
| Details |
Morgan Stanley 48.6222 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1JHA |
SWB |
0.3000 |
EUR |
| Details |
Morgan Stanley 49.23 C Issuer Name: Morgan Stanley |
Structured Product |
MJ1JHB |
SWB |
0.0560 |
EUR |
| Details |
Morgan Stanley 50.7514 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2249 |
SWB |
1.320 |
EUR |
| Details |
Morgan Stanley 36.1904 C Issuer Name: Morgan Stanley |
Structured Product |
MJ23FS |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ2XFX |
SWB |
2.930 |
EUR |
| Details |
Morgan Stanley 41 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3H67 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 41.9047 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3NZB |
SWB |
3.160 |
EUR |
| Details |
Morgan Stanley 42.8571 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3W9C |
SWB |
3.060 |
EUR |
| Details |
Morgan Stanley 46.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MJ44QF |
SWB |
2.650 |
EUR |
| Details |
Morgan Stanley 44 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4XBF |
SWB |
2.960 |
EUR |
| Details |
Morgan Stanley 44.7619 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4XPP |
SWB |
2.870 |
EUR |
| Details |
Morgan Stanley 47.619 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4XPQ |
SWB |
2.560 |
EUR |
| Details |
Morgan Stanley 48.5714 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4XPR |
SWB |
2.450 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ57E6 |
SWB |
66.83 |
EUR |
| Details |
Morgan Stanley 40 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5JVQ |
SWB |
3.400 |
EUR |
| Details |
Morgan Stanley 41 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5K90 |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 52.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5V62 |
SWB |
2.050 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MJ675E |
SWB |
2.860 |
EUR |
| Details |
Morgan Stanley 58.6133 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6FNK |
SWB |
0.1800 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6N0F |
SWB |
67.88 |
EUR |
| Details |
Morgan Stanley 46 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6U3Q |
SWB |
2.760 |
EUR |
| Details |
Morgan Stanley 47 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6U3R |
SWB |
2.650 |
EUR |
| Details |
Morgan Stanley 49.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MJ6UN9 |
SWB |
2.370 |
EUR |
| Details |
Morgan Stanley 49 C Issuer Name: Morgan Stanley |
Structured Product |
MJ78N0 |
SWB |
2.450 |
EUR |
| Details |
Morgan Stanley 36.1904 C Issuer Name: Morgan Stanley |
Structured Product |
MJ79UQ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 41.9047 C Issuer Name: Morgan Stanley |
Structured Product |
MJ79UR |
SWB |
3.210 |
EUR |
| Details |
Morgan Stanley 46.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MJ79US |
SWB |
2.690 |
EUR |
| Details |
Morgan Stanley 48 C Issuer Name: Morgan Stanley |
Structured Product |
MJ7LRT |
SWB |
2.580 |
EUR |
| Details |
Morgan Stanley 47 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8E6L |
SWB |
2.700 |
EUR |
| Details |
Morgan Stanley 53.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8E6M |
SWB |
2.000 |
EUR |
| Details |
Morgan Stanley 54.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8E6N |
SWB |
1.890 |
EUR |
| Details |
Morgan Stanley 45.7142 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8L8Z |
SWB |
2.830 |
EUR |
| Details |
Morgan Stanley 38.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9F70 |
SWB |
3.650 |
EUR |
| Details |
Morgan Stanley 48 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9P7H |
SWB |
2.580 |
EUR |
| Details |
Morgan Stanley 40 C Issuer Name: Morgan Stanley |
Structured Product |
MJ9ZK7 |
SWB |
3.460 |
EUR |
| Details |
Morgan Stanley 43 C Issuer Name: Morgan Stanley |
Structured Product |
MK0R7V |
SWB |
3.130 |
EUR |
| Details |
Morgan Stanley 52.3809 C Issuer Name: Morgan Stanley |
Structured Product |
MK0YVA |
SWB |
2.150 |
EUR |
| Details |
Morgan Stanley 57.1556 C Issuer Name: Morgan Stanley |
Structured Product |
MK1WPP |
SWB |
0.7900 |
EUR |
| Details |
Morgan Stanley 57.87 C Issuer Name: Morgan Stanley |
Structured Product |
MK1WPQ |
SWB |
0.2280 |
EUR |
| Details |
Morgan Stanley 48 C Issuer Name: Morgan Stanley |
Structured Product |
MK1X6M |
SWB |
2.640 |
EUR |
| Details |
Morgan Stanley 46.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MK1XWS |
SWB |
2.770 |
EUR |
| Details |
Morgan Stanley 41.9047 C Issuer Name: Morgan Stanley |
Structured Product |
MK285Q |
SWB |
3.280 |
EUR |
| Details |
Morgan Stanley 44 C Issuer Name: Morgan Stanley |
Structured Product |
MK37YH |
SWB |
3.080 |
EUR |
| Details |
Morgan Stanley 52.3714 C Issuer Name: Morgan Stanley |
Structured Product |
MK3WH1 |
SWB |
7.58 |
EUR |
| Details |
Morgan Stanley 53.4625 C Issuer Name: Morgan Stanley |
Structured Product |
MK3WH2 |
SWB |
5.21 |
EUR |
| Details |
Morgan Stanley 54.3111 C Issuer Name: Morgan Stanley |
Structured Product |
MK3WH3 |
SWB |
2.030 |
EUR |
| Details |
Morgan Stanley 54.99 C Issuer Name: Morgan Stanley |
Structured Product |
MK3WH4 |
SWB |
1.030 |
EUR |
| Details |
Morgan Stanley 44.7619 C Issuer Name: Morgan Stanley |
Structured Product |
MK3X32 |
SWB |
3.000 |
EUR |
| Details |
Morgan Stanley 47.1 C Issuer Name: Morgan Stanley |
Structured Product |
MK40KG |
SWB |
15.69 |
EUR |
| Details |
Morgan Stanley 50.24 C Issuer Name: Morgan Stanley |
Structured Product |
MK40KH |
SWB |
6.53 |
EUR |
| Details |
Morgan Stanley 50.868 C Issuer Name: Morgan Stanley |
Structured Product |
MK40KJ |
SWB |
3.470 |
EUR |
| Details |
Morgan Stanley 56 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EBW |
SWB |
1.820 |
EUR |
| Details |
Morgan Stanley 56.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EBX |
SWB |
1.770 |
EUR |
| Details |
Morgan Stanley 57 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EBY |
SWB |
1.710 |
EUR |
| Details |
Morgan Stanley 57.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EBZ |
SWB |
1.660 |
EUR |
| Details |
Morgan Stanley 58 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EC0 |
SWB |
1.610 |
EUR |
| Details |
Morgan Stanley 58.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EC1 |
SWB |
1.560 |
EUR |
| Details |
Morgan Stanley 59 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EC2 |
SWB |
1.510 |
EUR |
| Details |
Morgan Stanley 59.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4EC3 |
SWB |
1.450 |
EUR |
| Details |
Morgan Stanley 55.215 C Issuer Name: Morgan Stanley |
Structured Product |
MK4RRG |
SWB |
1.940 |
EUR |
| Details |
Morgan Stanley 60.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK4SZM |
SWB |
1.360 |
EUR |
| Details |
Morgan Stanley 53.3333 C Issuer Name: Morgan Stanley |
Structured Product |
MK4T61 |
SWB |
2.100 |
EUR |
| Details |
Morgan Stanley 54.2857 C Issuer Name: Morgan Stanley |
Structured Product |
MK4T62 |
SWB |
2.000 |
EUR |
| Details |
Morgan Stanley 55.238 C Issuer Name: Morgan Stanley |
Structured Product |
MK4T63 |
SWB |
1.900 |
EUR |
| Details |
Morgan Stanley 56.1904 C Issuer Name: Morgan Stanley |
Structured Product |
MK4T64 |
SWB |
1.800 |
EUR |
| Details |
Morgan Stanley 57.1428 C Issuer Name: Morgan Stanley |
Structured Product |
MK4T65 |
SWB |
1.700 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MK4WCW |
SWB |
2.990 |
EUR |
| Details |
Morgan Stanley 60 C Issuer Name: Morgan Stanley |
Structured Product |
MK4WCX |
SWB |
1.410 |
EUR |
| Details |
Morgan Stanley 61 C Issuer Name: Morgan Stanley |
Structured Product |
MK58F5 |
SWB |
1.310 |
EUR |
| Details |
Morgan Stanley 61.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK58F6 |
SWB |
1.260 |
EUR |
| Details |
Morgan Stanley 62 C Issuer Name: Morgan Stanley |
Structured Product |
MK58F7 |
SWB |
1.200 |
EUR |
| Details |
Morgan Stanley 62.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK58F8 |
SWB |
1.150 |
EUR |
| Details |
Morgan Stanley 63 C Issuer Name: Morgan Stanley |
Structured Product |
MK58F9 |
SWB |
1.100 |
EUR |
| Details |
Morgan Stanley 63.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK58FA |
SWB |
1.050 |
EUR |
| Details |
Morgan Stanley 58.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MK59CV |
SWB |
1.600 |
EUR |
| Details |
Morgan Stanley 59.0476 C Issuer Name: Morgan Stanley |
Structured Product |
MK59CW |
SWB |
1.500 |
EUR |
| Details |
Morgan Stanley 60 C Issuer Name: Morgan Stanley |
Structured Product |
MK59CX |
SWB |
1.400 |
EUR |
| Details |
Morgan Stanley 64 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H8W |
SWB |
1.010 |
EUR |
| Details |
Morgan Stanley 64.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H8X |
SWB |
0.9600 |
EUR |
| Details |
Morgan Stanley 65 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H8Y |
SWB |
0.9100 |
EUR |
| Details |
Morgan Stanley 65.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H8Z |
SWB |
0.8600 |
EUR |
| Details |
Morgan Stanley 66 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H90 |
SWB |
0.8100 |
EUR |
| Details |
Morgan Stanley 66.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5H91 |
SWB |
0.7600 |
EUR |
| Details |
Morgan Stanley 67 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MCU |
SWB |
0.5300 |
EUR |
| Details |
Morgan Stanley 38.0952 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MH8 |
SWB |
3.530 |
EUR |
| Details |
Morgan Stanley 49.5238 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MH9 |
SWB |
2.320 |
EUR |
| Details |
Morgan Stanley 60.9523 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MHA |
SWB |
1.120 |
EUR |
| Details |
Morgan Stanley 61.9047 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MHB |
SWB |
1.020 |
EUR |
| Details |
Morgan Stanley 62.8571 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MHC |
SWB |
0.9200 |
EUR |
| Details |
Morgan Stanley 63.8095 C Issuer Name: Morgan Stanley |
Structured Product |
MK5MHD |
SWB |
0.8200 |
EUR |
| Details |
Morgan Stanley 62.91 C Issuer Name: Morgan Stanley |
Structured Product |
MK5S03 |
SWB |
0.4200 |
EUR |
| Details |
Morgan Stanley 43.8095 C Issuer Name: Morgan Stanley |
Structured Product |
MK5T6J |
SWB |
2.910 |
EUR |
| Details |
Morgan Stanley 59.0476 C Issuer Name: Morgan Stanley |
Structured Product |
MK5T6K |
SWB |
1.300 |
EUR |
| Details |
Morgan Stanley 60 C Issuer Name: Morgan Stanley |
Structured Product |
MK5T6L |
SWB |
1.200 |
EUR |
| Details |
Morgan Stanley 65 C Issuer Name: Morgan Stanley |
Structured Product |
MK5TAN |
SWB |
0.7100 |
EUR |
| Details |
Morgan Stanley 65.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5TAP |
SWB |
0.6600 |
EUR |
| Details |
Morgan Stanley 66 C Issuer Name: Morgan Stanley |
Structured Product |
MK5TAQ |
SWB |
0.6100 |
EUR |
| Details |
Morgan Stanley 66.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK5TAR |
SWB |
0.5600 |
EUR |
| Details |
Morgan Stanley 64.7619 C Issuer Name: Morgan Stanley |
Structured Product |
MK63ME |
SWB |
0.7200 |
EUR |
| Details |
Morgan Stanley 65.7142 C Issuer Name: Morgan Stanley |
Structured Product |
MK63MF |
SWB |
0.6200 |
EUR |
| Details |
Morgan Stanley 67.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK63TZ |
SWB |
0.4900 |
EUR |
| Details |
Morgan Stanley 68 C Issuer Name: Morgan Stanley |
Structured Product |
MK63U0 |
SWB |
0.4400 |
EUR |
| Details |
Morgan Stanley 68.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK63U1 |
SWB |
0.3900 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MK6E0J |
SWB |
2.810 |
EUR |
| Details |
Morgan Stanley 48 C Issuer Name: Morgan Stanley |
Structured Product |
MK6E0K |
SWB |
2.500 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MK6F06 |
SWB |
54.90 |
EUR |
| Details |
Morgan Stanley 108.705 C Issuer Name: Morgan Stanley |
Structured Product |
MK6K0V |
SWB |
7.03 |
EUR |
| Details |
Morgan Stanley 86.964 C Issuer Name: Morgan Stanley |
Structured Product |
MK6K0W |
SWB |
2.330 |
EUR |
| Details |
Morgan Stanley 105.2632 P Issuer Name: Morgan Stanley |
Structured Product |
MK6ZPR |
SWB |
2.860 |
EUR |
| Details |
Morgan Stanley 67 C Issuer Name: Morgan Stanley |
Structured Product |
MK7DP6 |
SWB |
0.5500 |
EUR |
| Details |
Morgan Stanley 49 C Issuer Name: Morgan Stanley |
Structured Product |
MK7Y8D |
SWB |
2.400 |
EUR |
| Details |
Morgan Stanley 51 C Issuer Name: Morgan Stanley |
Structured Product |
MK7Y8E |
SWB |
2.190 |
EUR |
| Details |
Morgan Stanley 45 C Issuer Name: Morgan Stanley |
Structured Product |
MK8FFN |
SWB |
2.830 |
EUR |
| Details |
Morgan Stanley 56 C Issuer Name: Morgan Stanley |
Structured Product |
MK8FFP |
SWB |
1.680 |
EUR |
| Details |
Morgan Stanley 59 C Issuer Name: Morgan Stanley |
Structured Product |
MK8L3E |
SWB |
1.380 |
EUR |
| Details |
Morgan Stanley 61.5 C Issuer Name: Morgan Stanley |
Structured Product |
MK8L3F |
SWB |
1.130 |
EUR |
| Details |
Morgan Stanley 64 C Issuer Name: Morgan Stanley |
Structured Product |
MK8SX8 |
SWB |
0.8900 |
EUR |
| Details |
Morgan Stanley 42 C Issuer Name: Morgan Stanley |
Structured Product |
MM0QUX |
SWB |
3.180 |
EUR |
| Details |
Morgan Stanley 58 C Issuer Name: Morgan Stanley |
Structured Product |
MM1FZS |
SWB |
1.540 |
EUR |
| Details |
Morgan Stanley 60.5 C Issuer Name: Morgan Stanley |
Structured Product |
MM1K3E |
SWB |
1.280 |
EUR |
| Details |
Morgan Stanley 65 C Issuer Name: Morgan Stanley |
Structured Product |
MM1K3F |
SWB |
0.8300 |
EUR |
| Details |
Morgan Stanley 63.5 C Issuer Name: Morgan Stanley |
Structured Product |
MM1PRY |
SWB |
0.9800 |
EUR |
| Details |
Morgan Stanley 100 P Issuer Name: Morgan Stanley |
Structured Product |
MM27UZ |
SWB |
2.390 |
EUR |
| Details |
Morgan Stanley 126.3158 P Issuer Name: Morgan Stanley |
Structured Product |
MM28E0 |
SWB |
4.980 |
EUR |
| Details |
Morgan Stanley 67.5 C Issuer Name: Morgan Stanley |
Structured Product |
MM2NWE |
SWB |
0.5900 |
EUR |
| Details |
Morgan Stanley 66.5 C Issuer Name: Morgan Stanley |
Structured Product |
MM2TU1 |
SWB |
0.7000 |
EUR |
| Details |
Morgan Stanley 43 C Issuer Name: Morgan Stanley |
Structured Product |
MM3P07 |
SWB |
3.110 |
EUR |
| Details |
Morgan Stanley 51.4285 C Issuer Name: Morgan Stanley |
Structured Product |
MM3R77 |
SWB |
2.210 |
EUR |
| Details |
Morgan Stanley 56.1904 C Issuer Name: Morgan Stanley |
Structured Product |
MM3R78 |
SWB |
1.720 |
EUR |
| Details |
Morgan Stanley 44 C Issuer Name: Morgan Stanley |
Structured Product |
MM40J5 |
SWB |
3.000 |
EUR |
| Details |
Societe Generale Acceptance NV 43.515 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
LG09S |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 37.7834 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
339US |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 45.1133 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
UA66S |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 93.9816 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
7M69S.OLD |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 57.5987 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
981VS |
SBF |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 27.29995 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL5YC3 |
SWB |
2.980 |
EUR |
| Details |
Societe Generale Acceptance NV 24.16995 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
CL7NYW |
SWB |
3.290 |
EUR |
| Details |
Societe Generale Acceptance NV 103.16805 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB788N |
SWB |
4.580 |
EUR |
| Details |
Societe Generale Acceptance NV 108.98097 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD8CM4 |
SWB |
5.18 |
EUR |
| Details |
Societe Generale Acceptance NV 95.31396 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD6F19 |
SWB |
3.810 |
EUR |
| Details |
Societe Generale Acceptance NV 118.13496 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD6G5F |
SWB |
6.09 |
EUR |
| Details |
Societe Generale Acceptance NV 81.60384 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD6H44 |
SWB |
2.440 |
EUR |
| Details |
Societe Generale Acceptance NV 84.09547 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD6SPF |
SWB |
2.680 |
EUR |
| Details |
Societe Generale Acceptance NV 77.07917 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SD6YGR |
SWB |
1.980 |
EUR |
| Details |
Societe Generale Acceptance NV 88.32307 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF4SLZ |
SWB |
3.100 |
EUR |
| Details |
Societe Generale Acceptance NV 98.34881 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF8Z7B |
SWB |
4.100 |
EUR |
| Details |
Societe Generale Acceptance NV 74.47972 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF641V |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 78.96899 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF641W |
SWB |
2.170 |
EUR |
| Details |
Societe Generale Acceptance NV 79.30701 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF64ZL |
SWB |
2.200 |
EUR |
| Details |
Societe Generale Acceptance NV 93.002 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH0V1W |
SWB |
0.0050 |
EUR |
| Details |
Societe Generale Acceptance NV 83.471 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH18ZH |
SWB |
0.1900 |
EUR |
| Details |
Societe Generale Acceptance NV 64.632 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3N0U |
SWB |
3.880 |
EUR |
| Details |
Societe Generale Acceptance NV 64.692 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3N0V |
SWB |
0.9600 |
EUR |
| Details |
Societe Generale Acceptance NV 64.605 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3N0W |
SWB |
0.1300 |
EUR |
| Details |
Societe Generale Acceptance NV 64.606 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3N0X |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 59.995 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3UQE |
SWB |
8.92 |
EUR |
| Details |
Societe Generale Acceptance NV 31.83697 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3UYP |
SWB |
2.530 |
EUR |
| Details |
Societe Generale Acceptance NV 67.075 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN731C |
SWB |
0.0150 |
EUR |
| Details |
Societe Generale Acceptance NV 26.03012 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8RJP |
SWB |
3.120 |
EUR |
| Details |
Societe Generale Acceptance NV 56.523 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8YLQ |
SWB |
1.810 |
EUR |
| Details |
Societe Generale Acceptance NV 56.53 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8YLR |
SWB |
0.3900 |
EUR |
| Details |
Societe Generale Acceptance NV 56.523 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN8YLS |
SWB |
0.0460 |
EUR |
| Details |
Societe Generale Acceptance NV 28.54507 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0EUC |
SWB |
2.860 |
EUR |
| Details |
Societe Generale Acceptance NV 29.8635 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0EUD |
SWB |
2.730 |
EUR |
| Details |
Societe Generale Acceptance NV 31.18264 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0EUE |
SWB |
2.600 |
EUR |
| Details |
Societe Generale Acceptance NV 26.67696 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0E3F |
SWB |
3.050 |
EUR |
| Details |
Societe Generale Acceptance NV 27.89134 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0E3G |
SWB |
2.930 |
EUR |
| Details |
Societe Generale Acceptance NV 28.61024 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0E8R |
SWB |
2.840 |
EUR |
| Details |
Societe Generale Acceptance NV 25.36142 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0KX6 |
SWB |
3.180 |
EUR |
| Details |
Societe Generale Acceptance NV 24.71569 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0LH0 |
SWB |
3.250 |
EUR |
| Details |
Societe Generale Acceptance NV 24.06955 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0LHZ |
SWB |
3.310 |
EUR |
| Details |
Societe Generale Acceptance NV 21.79681 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0MD5 |
SWB |
3.520 |
EUR |
| Details |
Societe Generale Acceptance NV 26.24847 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SN9YM0 |
SWB |
3.080 |
EUR |
| Details |
Societe Generale Acceptance NV 22.76353 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0ZG0 |
SWB |
3.440 |
EUR |
| Details |
Societe Generale Acceptance NV 23.40963 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0ZG1 |
SWB |
3.380 |
EUR |
| Details |
Societe Generale Acceptance NV 22.11799 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0ZXK |
SWB |
3.510 |
EUR |
| Details |
Societe Generale Acceptance NV 33.54152 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0ZXL |
SWB |
2.370 |
EUR |
| Details |
Societe Generale Acceptance NV 16.85459 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0040 |
SWB |
4.020 |
EUR |
| Details |
Societe Generale Acceptance NV 18.08146 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0041 |
SWB |
3.900 |
EUR |
| Details |
Societe Generale Acceptance NV 19.29515 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0042 |
SWB |
3.780 |
EUR |
| Details |
Societe Generale Acceptance NV 20.52197 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0043 |
SWB |
3.650 |
EUR |
| Details |
Societe Generale Acceptance NV 22.97553 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0044 |
SWB |
3.410 |
EUR |
| Details |
Societe Generale Acceptance NV 26.79765 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0045 |
SWB |
3.030 |
EUR |
| Details |
Societe Generale Acceptance NV 27.40466 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0046 |
SWB |
2.970 |
EUR |
| Details |
Societe Generale Acceptance NV 28.02528 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0047 |
SWB |
2.900 |
EUR |
| Details |
Societe Generale Acceptance NV 29.17453 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0048 |
SWB |
2.790 |
EUR |
| Details |
Societe Generale Acceptance NV 29.74196 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0049 |
SWB |
2.730 |
EUR |
| Details |
Societe Generale Acceptance NV 30.34885 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ005A |
SWB |
2.670 |
EUR |
| Details |
Societe Generale Acceptance NV 22.49886 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00E1 |
SWB |
3.470 |
EUR |
| Details |
Societe Generale Acceptance NV 23.14393 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00E2 |
SWB |
3.400 |
EUR |
| Details |
Societe Generale Acceptance NV 23.80265 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00E3 |
SWB |
3.340 |
EUR |
| Details |
Societe Generale Acceptance NV 24.44836 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00E4 |
SWB |
3.270 |
EUR |
| Details |
Societe Generale Acceptance NV 25.0926 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00E5 |
SWB |
3.210 |
EUR |
| Details |
Societe Generale Acceptance NV 18.75738 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EN |
SWB |
3.840 |
EUR |
| Details |
Societe Generale Acceptance NV 19.78845 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00ES |
SWB |
3.740 |
EUR |
| Details |
Societe Generale Acceptance NV 20.04652 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00ET |
SWB |
3.710 |
EUR |
| Details |
Societe Generale Acceptance NV 20.30469 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EU |
SWB |
3.690 |
EUR |
| Details |
Societe Generale Acceptance NV 20.5637 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EV |
SWB |
3.670 |
EUR |
| Details |
Societe Generale Acceptance NV 21.0792 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EX |
SWB |
3.610 |
EUR |
| Details |
Societe Generale Acceptance NV 21.33705 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EY |
SWB |
3.590 |
EUR |
| Details |
Societe Generale Acceptance NV 21.59538 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00EZ |
SWB |
3.560 |
EUR |
| Details |
Societe Generale Acceptance NV 33.01683 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00F1 |
SWB |
2.420 |
EUR |
| Details |
Societe Generale Acceptance NV 33.4044 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00F3 |
SWB |
2.380 |
EUR |
| Details |
Societe Generale Acceptance NV 33.68777 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00F4 |
SWB |
2.350 |
EUR |
| Details |
Societe Generale Acceptance NV 29.33853 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FC |
SWB |
2.790 |
EUR |
| Details |
Societe Generale Acceptance NV 29.72579 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FF |
SWB |
2.740 |
EUR |
| Details |
Societe Generale Acceptance NV 29.99677 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FG |
SWB |
2.720 |
EUR |
| Details |
Societe Generale Acceptance NV 30.38463 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FK |
SWB |
2.680 |
EUR |
| Details |
Societe Generale Acceptance NV 30.65526 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FL |
SWB |
2.660 |
EUR |
| Details |
Societe Generale Acceptance NV 31.44901 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FR |
SWB |
2.580 |
EUR |
| Details |
Societe Generale Acceptance NV 31.57137 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FS |
SWB |
2.560 |
EUR |
| Details |
Societe Generale Acceptance NV 31.9778 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FU |
SWB |
2.520 |
EUR |
| Details |
Societe Generale Acceptance NV 32.1003 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FV |
SWB |
2.510 |
EUR |
| Details |
Societe Generale Acceptance NV 32.35855 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FX |
SWB |
2.480 |
EUR |
| Details |
Societe Generale Acceptance NV 32.75848 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ00FZ |
SWB |
2.440 |
EUR |
| Details |
Societe Generale Acceptance NV 48.38 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0YQE |
SWB |
0.2500 |
EUR |
| Details |
Societe Generale Acceptance NV 48.38 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0YQF |
SWB |
0.0150 |
EUR |
| Details |
Societe Generale Acceptance NV 47.705 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0350 |
SWB |
1.340 |
EUR |
| Details |
Societe Generale Acceptance NV 47.702 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ035Y |
SWB |
10.30 |
EUR |
| Details |
Societe Generale Acceptance NV 47.684 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ035Z |
SWB |
4.600 |
EUR |
| Details |
Societe Generale Acceptance NV 29.06521 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ05UU |
SWB |
2.810 |
EUR |
| Details |
Societe Generale Acceptance NV 24.95078 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0694 |
SWB |
3.210 |
EUR |
| Details |
Societe Generale Acceptance NV 25.55658 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ0695 |
SWB |
3.160 |
EUR |
| Details |
Societe Generale Acceptance NV 28.41045 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ06SK |
SWB |
2.870 |
EUR |
| Details |
Societe Generale Acceptance NV 27.49108 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ06XK |
SWB |
2.970 |
EUR |
| Details |
Societe Generale Acceptance NV 26.9412 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ07HU |
SWB |
3.020 |
EUR |
| Details |
Societe Generale Acceptance NV 17.20298 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ08PV |
SWB |
4.000 |
EUR |
| Details |
Societe Generale Acceptance NV 17.71843 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ08PX |
SWB |
3.940 |
EUR |
| Details |
Societe Generale Acceptance NV 18.23454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ08PZ |
SWB |
3.890 |
EUR |
| Details |
Societe Generale Acceptance NV 16.94454 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ090S |
SWB |
4.020 |
EUR |
| Details |
Societe Generale Acceptance NV 14.39746 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1AMU |
SWB |
4.270 |
EUR |
| Details |
Societe Generale Acceptance NV 15.61076 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1AMV |
SWB |
4.140 |
EUR |
| Details |
Societe Generale Acceptance NV 16.41107 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1A6X |
SWB |
4.080 |
EUR |
| Details |
Societe Generale Acceptance NV 16.15323 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1CB5 |
SWB |
4.100 |
EUR |
| Details |
Societe Generale Acceptance NV 15.63741 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1CQF |
SWB |
4.150 |
EUR |
| Details |
Societe Generale Acceptance NV 23.5413 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1CYC |
SWB |
3.360 |
EUR |
| Details |
Societe Generale Acceptance NV 45.664 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1CHN |
SWB |
16.32 |
EUR |
| Details |
Societe Generale Acceptance NV 31.17617 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1H7F |
SWB |
2.590 |
EUR |
| Details |
Societe Generale Acceptance NV 31.78303 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1H7G |
SWB |
2.530 |
EUR |
| Details |
Societe Generale Acceptance NV 34.85048 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ2EQL |
SWB |
2.230 |
EUR |
| Details |
Societe Generale Acceptance NV 34.07784 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ2EXT |
SWB |
2.310 |
EUR |
| Details |
Societe Generale Acceptance NV 32.37306 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1M3X |
SWB |
2.470 |
EUR |
| Details |
Societe Generale Acceptance NV 35.35727 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1MJA |
SWB |
2.180 |
EUR |
| Details |
Societe Generale Acceptance NV 34.14461 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1ZU1 |
SWB |
2.290 |
EUR |
| Details |
Societe Generale Acceptance NV 36.09492 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ11NK |
SWB |
2.110 |
EUR |
| Details |
Societe Generale Acceptance NV 36.2241 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ11NL |
SWB |
2.100 |
EUR |
| Details |
Societe Generale Acceptance NV 36.48163 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ11NN |
SWB |
2.070 |
EUR |
| Details |
Societe Generale Acceptance NV 36.61594 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ11NP |
SWB |
2.050 |
EUR |
| Details |
Societe Generale Acceptance NV 32.88776 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ13K0 |
SWB |
2.420 |
EUR |
| Details |
Societe Generale Acceptance NV 33.50604 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ13K1 |
SWB |
2.350 |
EUR |
| Details |
Societe Generale Acceptance NV 34.71575 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ13K2 |
SWB |
2.230 |
EUR |
| Details |
Societe Generale Acceptance NV 83.67063 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SF5WH8 |
SWB |
1.310 |
EUR |
| Details |
Societe Generale Acceptance NV 28.04697 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH3TDE |
SWB |
2.990 |
EUR |
| Details |
Societe Generale Acceptance NV 65.809 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SH8CWW |
SWB |
0.1000 |
EUR |
| Details |
Societe Generale Acceptance NV 15.12949 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ01Q4 |
SWB |
8.56 |
EUR |
| Details |
Societe Generale Acceptance NV 47.63 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ04V7 |
SWB |
0.0190 |
EUR |
| Details |
Societe Generale Acceptance NV 45.618 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1C35 |
SWB |
1.600 |
EUR |
| Details |
Societe Generale Acceptance NV 34.48507 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ1JW5 |
SWB |
2.340 |
EUR |
| Details |
Societe Generale Acceptance NV 64.247 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ6767 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 67.27 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ71CH |
SWB |
0.1700 |
EUR |
| Details |
Societe Generale Acceptance NV 67.269 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ71CJ |
SWB |
0.8400 |
EUR |
| Details |
Societe Generale Acceptance NV 70.719 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ8W4T |
SWB |
0.0330 |
EUR |
| Details |
Societe Generale Acceptance NV 77.011 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1Y9K |
SWB |
0.0570 |
EUR |
| Details |
Societe Generale Acceptance NV 77.084 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV1Y9L |
SWB |
0.3400 |
EUR |
| Details |
Societe Generale Acceptance NV 70.96 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV15AW |
SWB |
5.13 |
EUR |
| Details |
Societe Generale Acceptance NV 70.996 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV15CT |
SWB |
0.9600 |
EUR |
| Details |
Societe Generale Acceptance NV 13.43416 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9F2B |
SWB |
4.370 |
EUR |
| Details |
Societe Generale Acceptance NV 68.705 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV9L13 |
SWB |
8.57 |
EUR |
| Details |
Societe Generale Acceptance NV 73.352 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW1HYE |
SWB |
1.650 |
EUR |
| Details |
Societe Generale Acceptance NV 32.54096 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW2ZNJ |
SWB |
4.970 |
EUR |
| Details |
Societe Generale Acceptance NV 28.26691 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW22K3 |
SWB |
5.82 |
EUR |
| Details |
Societe Generale Acceptance NV 24.00532 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW3BYR |
SWB |
6.70 |
EUR |
| Details |
Societe Generale Acceptance NV 65.34 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SW340Q |
SWB |
0.0280 |
EUR |
| Details |
Societe Generale Acceptance NV 20.39472 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0UGK |
SWB |
7.46 |
EUR |
| Details |
Societe Generale Acceptance NV 11.03497 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0XFX |
SWB |
4.610 |
EUR |
| Details |
Societe Generale Acceptance NV 8.63994 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0XTX |
SWB |
4.860 |
EUR |
| Details |
Societe Generale Acceptance NV 2.8638 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU0YWL |
SWB |
5.42 |
EUR |
| Details |
Societe Generale Acceptance NV 30.7396 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU03FB |
SWB |
5.39 |
EUR |
| Details |
Societe Generale Acceptance NV 60.244 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU044A |
SWB |
0.5800 |
EUR |
| Details |
Societe Generale Acceptance NV 60.24 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU044B |
SWB |
0.0870 |
EUR |
| Details |
Societe Generale Acceptance NV 60.239 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU044C |
SWB |
0.0150 |
EUR |
| Details |
Societe Generale Acceptance NV 60.245 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU044D |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 30.92818 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU2SRJ |
SWB |
5.34 |
EUR |
| Details |
Societe Generale Acceptance NV 35.08189 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU2SRK |
SWB |
4.510 |
EUR |
| Details |
Societe Generale Acceptance NV 26.76302 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU2VKE |
SWB |
6.20 |
EUR |
| Details |
Societe Generale Acceptance NV 22.59987 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU2XWW |
SWB |
7.07 |
EUR |
| Details |
Societe Generale Acceptance NV 18.43874 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU20NV |
SWB |
7.86 |
EUR |
| Details |
Societe Generale Acceptance NV 71.923 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU206J |
SWB |
0.1300 |
EUR |
| Details |
Societe Generale Acceptance NV 81.75416 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU5WB8 |
SWB |
2.430 |
EUR |
| Details |
Societe Generale Acceptance NV 76.09 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU5ZAQ |
SWB |
0.0320 |
EUR |
| Details |
Societe Generale Acceptance NV 76.089 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU5ZAR |
SWB |
0.7700 |
EUR |
| Details |
Societe Generale Acceptance NV 76.089 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SU5ZAS |
SWB |
4.660 |
EUR |
| Details |
Societe Generale Acceptance NV 35.60635 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1U6W |
SWB |
2.160 |
EUR |
| Details |
Societe Generale Acceptance NV 35.83195 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1U6X |
SWB |
2.140 |
EUR |
| Details |
Societe Generale Acceptance NV 34.39667 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY3FHG |
SWB |
2.280 |
EUR |
| Details |
Societe Generale Acceptance NV 34.62337 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY3FHH |
SWB |
2.260 |
EUR |
| Details |
Societe Generale Acceptance NV 35.135 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY3FHJ |
SWB |
2.210 |
EUR |
| Details |
Societe Generale Acceptance NV 55.047 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY1VV5 |
SWB |
0.0180 |
EUR |
| Details |
Societe Generale Acceptance NV 54.788 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY12Q8 |
SWB |
0.4700 |
EUR |
| Details |
Societe Generale Acceptance NV 54.785 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY12Q9 |
SWB |
0.1600 |
EUR |
| Details |
Societe Generale Acceptance NV 15.85572 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY139Z |
SWB |
8.33 |
EUR |
| Details |
Societe Generale Acceptance NV 30.95988 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY3QNE |
SWB |
2.630 |
EUR |
| Details |
Societe Generale Acceptance NV 59.264 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY21FA |
SWB |
3.780 |
EUR |
| Details |
Societe Generale Acceptance NV 59.263 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY21FB |
SWB |
1.530 |
EUR |
| Details |
Societe Generale Acceptance NV 53.248 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6QSQ |
SWB |
6.28 |
EUR |
| Details |
Societe Generale Acceptance NV -9.01919 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY7UVB |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 61.075 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY77CS |
SWB |
0.1300 |
EUR |
| Details |
Societe Generale Acceptance NV 28.84351 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY49BE |
SWB |
2.840 |
EUR |
| Details |
Societe Generale Acceptance NV 19.23548 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY49BF |
SWB |
3.790 |
EUR |
| Details |
Societe Generale Acceptance NV 32.5322 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY9NZW |
SWB |
2.460 |
EUR |
| Details |
Societe Generale Acceptance NV 36.83962 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY49DE |
SWB |
2.030 |
EUR |
| Details |
Societe Generale Acceptance NV 37.04895 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY9SFZ |
SWB |
2.010 |
EUR |
| Details |
Societe Generale Acceptance NV 37.27105 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5AF8 |
SWB |
1.990 |
EUR |
| Details |
Societe Generale Acceptance NV 38.38133 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5ALL |
SWB |
1.880 |
EUR |
| Details |
Societe Generale Acceptance NV 38.15934 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5ALM |
SWB |
1.900 |
EUR |
| Details |
Societe Generale Acceptance NV 37.93902 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5ALN |
SWB |
1.920 |
EUR |
| Details |
Societe Generale Acceptance NV 37.7152 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5ALP |
SWB |
1.950 |
EUR |
| Details |
Societe Generale Acceptance NV 37.49315 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY5ALQ |
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1.970 |
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| Details |
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Structured Product |
SY9VTQ |
SWB |
2.110 |
EUR |
| Details |
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Structured Product |
SY4EY8 |
SWB |
2.000 |
EUR |
| Details |
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Structured Product |
SY5CT2 |
SWB |
1.850 |
EUR |
| Details |
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Structured Product |
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SWB |
0.9300 |
EUR |
| Details |
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Structured Product |
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SWB |
0.9800 |
EUR |
| Details |
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Structured Product |
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SWB |
1.840 |
EUR |
| Details |
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Structured Product |
SY5E0F |
SWB |
1.790 |
EUR |
| Details |
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Structured Product |
SY5E0G |
SWB |
1.820 |
EUR |
| Details |
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SWB |
0.0000 |
EUR |
| Details |
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SY9Y35 |
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0.0000 |
EUR |
| Details |
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0.0000 |
EUR |
| Details |
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SY9Y9T |
SWB |
0.0000 |
EUR |
| Details |
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0.0000 |
EUR |
| Details |
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SY9YYJ |
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0.0000 |
EUR |
| Details |
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SY9YYK |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
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0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 59.345 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.2400 |
EUR |
| Details |
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SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 35.83789 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
4.330 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.0000 |
EUR |
| Details |
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SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 38.35133 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
3.880 |
EUR |
| Details |
Societe Generale Acceptance NV 61.822 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 65.27 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.2100 |
EUR |
| Details |
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SWB |
0.0000 |
EUR |
| Details |
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0.0000 |
EUR |
| Details |
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68.89 |
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Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
78.63 |
EUR |
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Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ9MDG |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
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62.28 |
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SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
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0.0000 |
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73.13 |
EUR |
| Details |
Societe Generale Acceptance NV 67.447 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ9YC3 |
SWB |
0.6900 |
EUR |
| Details |
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77.87 |
EUR |
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Societe Generale Acceptance NV 66.839 C Issuer Name: Societe Generale Acceptance NV |
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SX0TW6 |
SWB |
0.2500 |
EUR |
| Details |
Societe Generale Acceptance NV 66.839 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.0880 |
EUR |
| Details |
Societe Generale Acceptance NV 66.839 C Issuer Name: Societe Generale Acceptance NV |
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SX0TW8 |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 69.443 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.8800 |
EUR |
| Details |
Societe Generale Acceptance NV 68.317 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
3.030 |
EUR |
| Details |
Societe Generale Acceptance NV 68.353 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5NK2 |
SWB |
0.0470 |
EUR |
| Details |
Societe Generale Acceptance NV 68.369 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.0020 |
EUR |
| Details |
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Structured Product |
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SWB |
0.0820 |
EUR |
| Details |
Societe Generale Acceptance NV 68.317 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX5NS5 |
SWB |
0.1900 |
EUR |
| Details |
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SWB |
87.41 |
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Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
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SX58QZ |
SWB |
83.35 |
EUR |
| Details |
Societe Generale Acceptance NV 71.13 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX6BHG |
SWB |
4.350 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX6F3H |
SWB |
57.01 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX6F3J |
SWB |
63.56 |
EUR |
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Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX6FRE |
SWB |
0.0000 |
EUR |
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Societe Generale Acceptance NV 33.1599 C Issuer Name: Societe Generale Acceptance NV |
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SX7CXA |
SWB |
2.410 |
EUR |
| Details |
Societe Generale Acceptance NV 33.83031 C Issuer Name: Societe Generale Acceptance NV |
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SX7CXB |
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2.340 |
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1.710 |
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| Details |
Societe Generale Acceptance NV 40.54576 C Issuer Name: Societe Generale Acceptance NV |
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SX3AZS |
SWB |
1.670 |
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13.09 |
EUR |
| Details |
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SWB |
4.800 |
EUR |
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SX690Q |
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2.760 |
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Societe Generale Acceptance NV 42.03455 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.520 |
EUR |
| Details |
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SWB |
5.29 |
EUR |
| Details |
Societe Generale Acceptance NV 59.096 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.9500 |
EUR |
| Details |
Societe Generale Acceptance NV 59.096 C Issuer Name: Societe Generale Acceptance NV |
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SX7FNK |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 40.75698 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.640 |
EUR |
| Details |
Societe Generale Acceptance NV 41.18505 C Issuer Name: Societe Generale Acceptance NV |
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SX3FV8 |
SWB |
1.600 |
EUR |
| Details |
Societe Generale Acceptance NV 39.8948 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.740 |
EUR |
| Details |
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SX7MC1 |
SWB |
1.690 |
EUR |
| Details |
Societe Generale Acceptance NV 39.46888 C Issuer Name: Societe Generale Acceptance NV |
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SX7MCY |
SWB |
1.770 |
EUR |
| Details |
Societe Generale Acceptance NV 39.68165 C Issuer Name: Societe Generale Acceptance NV |
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SX7MCZ |
SWB |
1.750 |
EUR |
| Details |
Societe Generale Acceptance NV 41.80883 C Issuer Name: Societe Generale Acceptance NV |
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SX7NDV |
SWB |
1.540 |
EUR |
| Details |
Societe Generale Acceptance NV 42.447 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.480 |
EUR |
| Details |
Societe Generale Acceptance NV 43.08524 C Issuer Name: Societe Generale Acceptance NV |
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SX7NDX |
SWB |
1.410 |
EUR |
| Details |
Societe Generale Acceptance NV 40.95794 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.620 |
EUR |
| Details |
Societe Generale Acceptance NV 41.38343 C Issuer Name: Societe Generale Acceptance NV |
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SX7PT7 |
SWB |
1.580 |
EUR |
| Details |
Societe Generale Acceptance NV 41.59611 C Issuer Name: Societe Generale Acceptance NV |
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SX7PT8 |
SWB |
1.560 |
EUR |
| Details |
Societe Generale Acceptance NV 42.6481 C Issuer Name: Societe Generale Acceptance NV |
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SX7QRL |
SWB |
1.460 |
EUR |
| Details |
Societe Generale Acceptance NV 42.86057 C Issuer Name: Societe Generale Acceptance NV |
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SX7QRM |
SWB |
1.440 |
EUR |
| Details |
Societe Generale Acceptance NV 43.286 C Issuer Name: Societe Generale Acceptance NV |
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SX7QRN |
SWB |
1.400 |
EUR |
| Details |
Societe Generale Acceptance NV 42.22251 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7SFU |
SWB |
1.500 |
EUR |
| Details |
Societe Generale Acceptance NV 43.49872 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7SFV |
SWB |
1.370 |
EUR |
| Details |
Societe Generale Acceptance NV 43.67511 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7X3Q |
SWB |
1.350 |
EUR |
| Details |
Societe Generale Acceptance NV 44.31292 C Issuer Name: Societe Generale Acceptance NV |
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SX7X3R |
SWB |
1.290 |
EUR |
| Details |
Societe Generale Acceptance NV 44.52593 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7X3S |
SWB |
1.270 |
EUR |
| Details |
Societe Generale Acceptance NV 45.1633 C Issuer Name: Societe Generale Acceptance NV |
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SX3L90 |
SWB |
1.210 |
EUR |
| Details |
Societe Generale Acceptance NV 45.37911 C Issuer Name: Societe Generale Acceptance NV |
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SX3L91 |
SWB |
1.190 |
EUR |
| Details |
Societe Generale Acceptance NV 45.58888 C Issuer Name: Societe Generale Acceptance NV |
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SX3L92 |
SWB |
1.170 |
EUR |
| Details |
Societe Generale Acceptance NV 45.80076 C Issuer Name: Societe Generale Acceptance NV |
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SX3L93 |
SWB |
1.140 |
EUR |
| Details |
Societe Generale Acceptance NV 46.01329 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3L94 |
SWB |
1.130 |
EUR |
| Details |
Societe Generale Acceptance NV 44.95104 C Issuer Name: Societe Generale Acceptance NV |
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SX3L9Z |
SWB |
1.230 |
EUR |
| Details |
Societe Generale Acceptance NV 43.87562 C Issuer Name: Societe Generale Acceptance NV |
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SX7Y7H |
SWB |
1.340 |
EUR |
| Details |
Societe Generale Acceptance NV 44.08826 C Issuer Name: Societe Generale Acceptance NV |
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SX7Y7J |
SWB |
1.310 |
EUR |
| Details |
Societe Generale Acceptance NV 44.72615 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX7Y7K |
SWB |
1.250 |
EUR |
| Details |
Societe Generale Acceptance NV 46.43513 C Issuer Name: Societe Generale Acceptance NV |
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SX3QS5 |
SWB |
1.080 |
EUR |
| Details |
Societe Generale Acceptance NV 46.8595 C Issuer Name: Societe Generale Acceptance NV |
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SX3QS6 |
SWB |
1.040 |
EUR |
| Details |
Societe Generale Acceptance NV 47.07251 C Issuer Name: Societe Generale Acceptance NV |
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SX3QS7 |
SWB |
1.020 |
EUR |
| Details |
Societe Generale Acceptance NV 46.2683 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3SD6 |
SWB |
1.100 |
EUR |
| Details |
Societe Generale Acceptance NV 46.67336 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3SD7 |
SWB |
1.050 |
EUR |
| Details |
Societe Generale Acceptance NV 47.28455 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3SD8 |
SWB |
1.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 47.49701 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3SD9 |
SWB |
0.9800 |
EUR |
| Details |
Societe Generale Acceptance NV 47.71017 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
0.9600 |
EUR |
| Details |
Societe Generale Acceptance NV 47.92207 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3SEB |
SWB |
0.9400 |
EUR |
| Details |
Societe Generale Acceptance NV 64.548 C Issuer Name: Societe Generale Acceptance NV |
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SX73D5 |
SWB |
3.970 |
EUR |
| Details |
Societe Generale Acceptance NV 38.23279 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
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SWB |
1.890 |
EUR |
| Details |
Societe Generale Acceptance NV 39.27326 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.780 |
EUR |
| Details |
Societe Generale Acceptance NV 40.30357 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.670 |
EUR |
| Details |
Societe Generale Acceptance NV 41.3339 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
1.570 |
EUR |
| Details |
Societe Generale Acceptance NV 48.1313 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.9100 |
EUR |
| Details |
Societe Generale Acceptance NV 48.34374 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.9000 |
EUR |
| Details |
Societe Generale Acceptance NV 48.55594 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.8800 |
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| Details |
Societe Generale Acceptance NV 48.76846 C Issuer Name: Societe Generale Acceptance NV |
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SWB |
0.8500 |
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| Details |
Societe Generale Acceptance NV 48.98026 C Issuer Name: Societe Generale Acceptance NV |
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0.8300 |
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1.480 |
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1.370 |
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1.270 |
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1.170 |
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1.060 |
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0.8100 |
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| Details |
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0.7900 |
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0.7700 |
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| Details |
Societe Generale Acceptance NV 49.81336 C Issuer Name: Societe Generale Acceptance NV |
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0.7500 |
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Societe Generale Acceptance NV 50.02547 C Issuer Name: Societe Generale Acceptance NV |
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0.7400 |
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Societe Generale Acceptance NV 50.23784 C Issuer Name: Societe Generale Acceptance NV |
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0.7100 |
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Societe Generale Acceptance NV 50.45018 C Issuer Name: Societe Generale Acceptance NV |
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0.6900 |
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Societe Generale Acceptance NV 51.72368 C Issuer Name: Societe Generale Acceptance NV |
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Societe Generale Acceptance NV 47.41369 C Issuer Name: Societe Generale Acceptance NV |
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Societe Generale Acceptance NV 51.93372 C Issuer Name: Societe Generale Acceptance NV |
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Societe Generale Acceptance NV 52.35621 C Issuer Name: Societe Generale Acceptance NV |
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EUR |
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Societe Generale Acceptance NV 52.56836 C Issuer Name: Societe Generale Acceptance NV |
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EUR |
| Details |
Societe Generale Acceptance NV 52.78047 C Issuer Name: Societe Generale Acceptance NV |
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0.4600 |
EUR |
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0.6100 |
EUR |
| Details |
Societe Generale Acceptance NV 52.99391 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3ZDA |
SWB |
0.4400 |
EUR |
| Details |
Societe Generale Acceptance NV 68.823 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8PWL |
SWB |
0.0820 |
EUR |
| Details |
Societe Generale Acceptance NV 50.35369 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8UXX |
SWB |
0.6700 |
EUR |
| Details |
Societe Generale Acceptance NV 53.20531 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3058 |
SWB |
0.4200 |
EUR |
| Details |
Societe Generale Acceptance NV 51.072 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8VKR |
SWB |
0.6300 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8X98 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 53.41421 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX32QJ |
SWB |
0.4000 |
EUR |
| Details |
Societe Generale Acceptance NV 53.62632 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX32YX |
SWB |
0.3800 |
EUR |
| Details |
Societe Generale Acceptance NV 48.27209 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8Y7W |
SWB |
0.8800 |
EUR |
| Details |
Societe Generale Acceptance NV 49.29988 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8Y7X |
SWB |
0.7800 |
EUR |
| Details |
Societe Generale Acceptance NV 51.35573 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8Z50 |
SWB |
0.5700 |
EUR |
| Details |
Societe Generale Acceptance NV 54.02074 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX3579 |
SWB |
0.3400 |
EUR |
| Details |
Societe Generale Acceptance NV 54.44484 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX357P |
SWB |
0.3000 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8197 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 54.23365 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX83KR |
SWB |
0.3200 |
EUR |
| Details |
Societe Generale Acceptance NV 53.76998 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX86K5 |
SWB |
0.3700 |
EUR |
| Details |
Societe Generale Acceptance NV 52.70017 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX87ZF |
SWB |
0.4300 |
EUR |
| Details |
Societe Generale Acceptance NV 70.018 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX8920 |
SWB |
0.4000 |
EUR |
| Details |
Societe Generale Acceptance NV 70.054 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX897M |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 70.049 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX897N |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 70.049 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SX897P |
SWB |
1.340 |
EUR |
| Details |
Societe Generale Acceptance NV 72.432 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0NXL |
SWB |
0.3300 |
EUR |
| Details |
Societe Generale Acceptance NV 41.11638 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA0VT3 |
SWB |
3.270 |
EUR |
| Details |
Societe Generale Acceptance NV 74.873 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA006P |
SWB |
0.0350 |
EUR |
| Details |
Societe Generale Acceptance NV 74.873 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA006Q |
SWB |
0.0040 |
EUR |
| Details |
Societe Generale Acceptance NV 74.898 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA00YE |
SWB |
0.4800 |
EUR |
| Details |
Societe Generale Acceptance NV 74.894 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA00YF |
SWB |
4.590 |
EUR |
| Details |
Societe Generale Acceptance NV 44.12417 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA05SP |
SWB |
2.730 |
EUR |
| Details |
Societe Generale Acceptance NV 46.91039 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA07Y0 |
SWB |
2.140 |
EUR |
| Details |
Societe Generale Acceptance NV 82.49565 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1A44 |
SWB |
2.510 |
EUR |
| Details |
Societe Generale Acceptance NV 45.02916 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1DMU |
SWB |
1.270 |
EUR |
| Details |
Societe Generale Acceptance NV 49.91534 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1FEV |
SWB |
1.580 |
EUR |
| Details |
Societe Generale Acceptance NV 91.5743 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1J4B |
SWB |
3.420 |
EUR |
| Details |
Societe Generale Acceptance NV 83.57142 P Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA1WPU |
SWB |
2.630 |
EUR |
| Details |
Societe Generale Acceptance NV 76.181 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5AEL |
SWB |
1.060 |
EUR |
| Details |
Societe Generale Acceptance NV 76.18 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5AEM |
SWB |
3.620 |
EUR |
| Details |
Societe Generale Acceptance NV 76.748 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5SRM |
SWB |
0.3900 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA5XQX |
SWB |
52.01 |
EUR |
| Details |
Societe Generale Acceptance NV 77.29 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA62B3 |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 77.276 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA62B4 |
SWB |
0.1200 |
EUR |
| Details |
Societe Generale Acceptance NV 0 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FA79MJ |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 74.073 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QV0 |
SWB |
0.1500 |
EUR |
| Details |
Societe Generale Acceptance NV 74.075 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QV1 |
SWB |
6.87 |
EUR |
| Details |
Societe Generale Acceptance NV 74.085 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QV2 |
SWB |
9.38 |
EUR |
| Details |
Societe Generale Acceptance NV 74.07 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QVZ |
SWB |
0.0010 |
EUR |
| Details |
Societe Generale Acceptance NV 74.073 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QW0 |
SWB |
0.7300 |
EUR |
| Details |
Societe Generale Acceptance NV 74.06 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QW1 |
SWB |
0.0440 |
EUR |
| Details |
Societe Generale Acceptance NV 74.085 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QWY |
SWB |
4.330 |
EUR |
| Details |
Societe Generale Acceptance NV 74.07 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
FD0QWZ |
SWB |
1.270 |
EUR |
| Details |
UBS AG - London Office 45.03225 C Issuer Name: UBS AG - London Office |
Structured Product |
UH2X0K |
SWB |
2.910 |
EUR |
| Details |
UBS AG - London Office 47.87102 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7W76 |
SWB |
2.620 |
EUR |
| Details |
UBS AG - London Office 41.49892 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8AWV |
SWB |
3.260 |
EUR |
| Details |
UBS AG - London Office 43.30083 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7L4Y |
SWB |
3.080 |
EUR |
| Details |
UBS AG - London Office 49.63519 C Issuer Name: UBS AG - London Office |
Structured Product |
UH7GGW |
SWB |
2.450 |
EUR |
| Details |
UBS AG - London Office 50.79148 C Issuer Name: UBS AG - London Office |
Structured Product |
UH802Y |
SWB |
2.330 |
EUR |
| Details |
UBS AG - London Office 48.85349 C Issuer Name: UBS AG - London Office |
Structured Product |
UH8P06 |
SWB |
2.520 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UH827M |
SWB |
0.5300 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UH9MHP |
SWB |
0.9200 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UK382X |
SWB |
0.2600 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UK4KET |
SWB |
1.800 |
EUR |
| Details |
UBS AG - London Office 46.50892 C Issuer Name: UBS AG - London Office |
Structured Product |
UK50XD |
SWB |
2.760 |
EUR |
| Details |
UBS AG - London Office 28.96142 C Issuer Name: UBS AG - London Office |
Structured Product |
UK69BT |
SWB |
4.510 |
EUR |
| Details |
UBS AG - London Office 44.10223 C Issuer Name: UBS AG - London Office |
Structured Product |
UK69C5 |
SWB |
3.000 |
EUR |
| Details |
UBS AG - London Office 42.39894 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6VZ3 |
SWB |
3.170 |
EUR |
| Details |
UBS AG - London Office 50.27209 C Issuer Name: UBS AG - London Office |
Structured Product |
UK61QM |
SWB |
2.380 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7FQL |
SWB |
0.5500 |
EUR |
| Details |
UBS AG - London Office 24.72403 C Issuer Name: UBS AG - London Office |
Structured Product |
UK63W1 |
SWB |
4.940 |
EUR |
| Details |
UBS AG - London Office 48.48595 C Issuer Name: UBS AG - London Office |
Structured Product |
UK647P |
SWB |
2.560 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7LQZ |
SWB |
3.430 |
EUR |
| Details |
UBS AG - London Office 51.14711 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7HTR |
SWB |
2.300 |
EUR |
| Details |
UBS AG - London Office 48.2249 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7HU3 |
SWB |
2.590 |
EUR |
| Details |
UBS AG - London Office 50.00364 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7JZX |
SWB |
2.410 |
EUR |
| Details |
UBS AG - London Office 47.31516 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7LQT |
SWB |
2.680 |
EUR |
| Details |
UBS AG - London Office 45.65757 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5S4T |
SWB |
2.840 |
EUR |
| Details |
UBS AG - London Office 49.2132 C Issuer Name: UBS AG - London Office |
Structured Product |
UK5WAA |
SWB |
2.490 |
EUR |
| Details |
UBS AG - London Office 52.25347 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6G33 |
SWB |
2.180 |
EUR |
| Details |
UBS AG - London Office 51.61861 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6HWX |
SWB |
2.250 |
EUR |
| Details |
UBS AG - London Office 51.99214 C Issuer Name: UBS AG - London Office |
Structured Product |
UK6CDJ |
SWB |
2.210 |
EUR |
| Details |
UBS AG - London Office 52.61944 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7ABS |
SWB |
2.150 |
EUR |
| Details |
UBS AG - London Office 27.59578 C Issuer Name: UBS AG - London Office |
Structured Product |
UK7LMJ |
SWB |
4.650 |
EUR |
| Details |
UBS AG - London Office 53.93931 C Issuer Name: UBS AG - London Office |
Structured Product |
UK78BA |
SWB |
2.020 |
EUR |
| Details |
UBS AG - London Office 53.30544 C Issuer Name: UBS AG - London Office |
Structured Product |
UK8JQP |
SWB |
2.080 |
EUR |
| Details |
UBS AG - London Office 53.63253 C Issuer Name: UBS AG - London Office |
Structured Product |
UK8MF9 |
SWB |
2.050 |
EUR |
| Details |
UBS AG - London Office 103.97423 P Issuer Name: UBS AG - London Office |
Structured Product |
UL3WNU |
SWB |
2.830 |
EUR |
| Details |
UBS AG - London Office 60.21 C Issuer Name: UBS AG - London Office |
Structured Product |
UL4U1P |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UL6N7M |
SWB |
1.240 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UL7RSE |
SWB |
0.3600 |
EUR |
| Details |
UBS AG - London Office 37.49 C Issuer Name: UBS AG - London Office |
Structured Product |
UL70Q7 |
SWB |
4.360 |
EUR |
| Details |
UBS AG - London Office 93.725 C Issuer Name: UBS AG - London Office |
Structured Product |
UL8U7Y |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UL9G0M |
SWB |
2.340 |
EUR |
| Details |
UBS AG - London Office 37.49 C Issuer Name: UBS AG - London Office |
Structured Product |
UM12PX |
SWB |
5.18 |
EUR |
| Details |
UBS AG - London Office 37.49 C Issuer Name: UBS AG - London Office |
Structured Product |
UM239C |
SWB |
6.63 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3HNX |
SWB |
0.7000 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UM3SZ5 |
SWB |
0.8100 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4FNW |
SWB |
1.150 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4H2Z |
SWB |
4.560 |
EUR |
| Details |
UBS AG - London Office 37.49 C Issuer Name: UBS AG - London Office |
Structured Product |
UM4J9A |
SWB |
8.26 |
EUR |
| Details |
UBS AG - London Office 37.49 C Issuer Name: UBS AG - London Office |
Structured Product |
UM68PJ |
SWB |
10.10 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7F1F |
SWB |
1.740 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7GVL |
SWB |
6.16 |
EUR |
| Details |
UBS AG - London Office 52.93006 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7JB0 |
SWB |
2.120 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UM7C6P |
SWB |
2.130 |
EUR |
| Details |
UBS AG - London Office 49.9867 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9K5E |
SWB |
7.54 |
EUR |
| Details |
UBS AG - London Office 54.93875 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0ADF |
SWB |
1.920 |
EUR |
| Details |
UBS AG - London Office 60.525 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0H54 |
SWB |
2.610 |
EUR |
| Details |
UBS AG - London Office 54.38758 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0S89 |
SWB |
1.970 |
EUR |
| Details |
UBS AG - London Office 55.45327 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0KNN |
SWB |
1.860 |
EUR |
| Details |
UBS AG - London Office 56.08955 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0FE9 |
SWB |
1.800 |
EUR |
| Details |
UBS AG - London Office 56.62766 C Issuer Name: UBS AG - London Office |
Structured Product |
UM9JKZ |
SWB |
1.750 |
EUR |
| Details |
UBS AG - London Office 55.79753 C Issuer Name: UBS AG - London Office |
Structured Product |
UP0QXK |
SWB |
1.830 |
EUR |
| Details |
UBS AG - London Office 36.28834 C Issuer Name: UBS AG - London Office |
Structured Product |
UP6UPR |
SWB |
3.780 |
EUR |
| Details |
UBS AG - London Office 33.68171 C Issuer Name: UBS AG - London Office |
Structured Product |
UP6V23 |
SWB |
4.040 |
EUR |
| Details |
UBS AG - London Office 38.89497 C Issuer Name: UBS AG - London Office |
Structured Product |
UP7HDH |
SWB |
3.520 |
EUR |
| Details |
UBS AG - London Office 97.80412 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ0RVX |
SWB |
2.220 |
EUR |
| Details |
UBS AG - London Office 99.27436 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ0B3Y |
SWB |
2.360 |
EUR |
| Details |
UBS AG - London Office 101.31248 P Issuer Name: UBS AG - London Office |
Structured Product |
UP89SA |
SWB |
2.570 |
EUR |
| Details |
UBS AG - London Office 31.72611 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ249N |
SWB |
4.240 |
EUR |
| Details |
UBS AG - London Office 57.04184 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2MFD |
SWB |
1.710 |
EUR |
| Details |
UBS AG - London Office 40.20437 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ2NA1 |
SWB |
3.390 |
EUR |
| Details |
UBS AG - London Office 59.03214 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4900 |
SWB |
1.510 |
EUR |
| Details |
UBS AG - London Office 59.66729 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4RZY |
SWB |
1.440 |
EUR |
| Details |
UBS AG - London Office 58.39699 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4WHM |
SWB |
1.570 |
EUR |
| Details |
UBS AG - London Office 57.76184 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4YNS |
SWB |
1.630 |
EUR |
| Details |
UBS AG - London Office 60.30244 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5CHE |
SWB |
1.380 |
EUR |
| Details |
UBS AG - London Office 61.03222 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ41NV |
SWB |
1.310 |
EUR |
| Details |
UBS AG - London Office 62.13934 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5W0M |
SWB |
1.200 |
EUR |
| Details |
UBS AG - London Office 62.77381 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5XUS |
SWB |
1.130 |
EUR |
| Details |
UBS AG - London Office 64.1485 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5XUT |
SWB |
0.9900 |
EUR |
| Details |
UBS AG - London Office 63.51403 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5XV4 |
SWB |
1.060 |
EUR |
| Details |
UBS AG - London Office 64.78297 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5XV5 |
SWB |
0.9300 |
EUR |
| Details |
UBS AG - London Office 61.39912 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5Y6S |
SWB |
1.270 |
EUR |
| Details |
UBS AG - London Office 82.478 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5R48 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 65.23981 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4BW9 |
SWB |
0.8900 |
EUR |
| Details |
UBS AG - London Office 65.65029 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ35GT |
SWB |
0.8400 |
EUR |
| Details |
UBS AG - London Office 67.96132 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4710 |
SWB |
0.6100 |
EUR |
| Details |
UBS AG - London Office 67.32776 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ48UU |
SWB |
0.6800 |
EUR |
| Details |
UBS AG - London Office 66.58859 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ4Z73 |
SWB |
0.7500 |
EUR |
| Details |
UBS AG - London Office 66.04897 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ35ZR |
SWB |
0.8000 |
EUR |
| Details |
UBS AG - London Office 68.90601 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5E3H |
SWB |
0.5200 |
EUR |
| Details |
UBS AG - London Office 70.2778 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5G9N |
SWB |
0.3800 |
EUR |
| Details |
UBS AG - London Office 69.52723 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5PDV |
SWB |
0.4600 |
EUR |
| Details |
UBS AG - London Office 70.78116 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5GPQ |
SWB |
0.3300 |
EUR |
| Details |
UBS AG - London Office 68.40192 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5EMZ |
SWB |
0.5700 |
EUR |
| Details |
UBS AG - London Office 102.62492 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ5LNU |
SWB |
2.700 |
EUR |
| Details |
UBS AG - London Office 71.35301 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5TZF |
SWB |
0.2700 |
EUR |
| Details |
UBS AG - London Office 71.98538 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5YGR |
SWB |
0.2110 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ5131 |
SWB |
63.35 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ515A |
SWB |
42.82 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ52MP |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ55KQ |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ56UP |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ57UU |
SWB |
52.91 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ582M |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ582X |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ59F8 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6ASR |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6D6N |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6DQK |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6E5K |
SWB |
65.63 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6E79 |
SWB |
48.47 |
EUR |
| Details |
UBS AG - London Office 106.07832 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ6HHA |
SWB |
3.040 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6HL3 |
SWB |
44.73 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6HUW |
SWB |
43.78 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6JX6 |
SWB |
60.45 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6K38 |
SWB |
46.61 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6KJ5 |
SWB |
67.36 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6LSM |
SWB |
56.95 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6LT3 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6M0F |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6M54 |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6MKA |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 0 C Issuer Name: UBS AG - London Office |
Structured Product |
UJ6MKB |
SWB |
0.0000 |
EUR |
| Details |
UBS AG - London Office 110.03511 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ2WD2 |
SWB |
3.440 |
EUR |
| Details |
UBS AG - London Office 107.58443 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ3QAS |
SWB |
3.190 |
EUR |
| Details |
UBS AG - London Office 112.04554 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ7L6E |
SWB |
3.640 |
EUR |
| Details |
UBS AG - London Office 96.91449 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ73R5 |
SWB |
2.130 |
EUR |
| Details |
UBS AG - London Office 113.52559 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ7435 |
SWB |
3.790 |
EUR |
| Details |
UBS AG - London Office 115.53836 P Issuer Name: UBS AG - London Office |
Structured Product |
UJ8UTY |
SWB |
3.990 |
EUR |
| Details |
UniCredit Bank AG 49.00235 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC0JHK |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 50.32416 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC2MTW |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 53.28125 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD6EYA |
SWB |
0.2100 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG1U5V |
SWB |
58.94 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG24P7 |
SWB |
62.02 |
EUR |
| Details |
UniCredit Bank AG 33.83 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG3WXG |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 60 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG55XF |
SWB |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG6CED |
SWB |
69.26 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG72JA |
SWB |
65.30 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG72JC |
SWB |
60.74 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG72JD |
SWB |
63.90 |
EUR |
| Details |
UniCredit Bank AG 0 C Issuer Name: UniCredit Bank AG |
Structured Product |
UG72JE |
SWB |
66.47 |
EUR |
| Details |
CON: CONTINENTAL AG: ADJ 20250917 (2) |
Options |
COAB |
EUREX |
|
EUR |
| Details |
CON: CONTINENTAL AG: ADJ 20250917 (2) Stock Type: Not Defined |
Stock |
COAB |
BASKET |
74.87 |
EUR |
| Details |
CON: CONTINENTAL AG: ADJ 20250917 (2) |
Warrants |
COAB |
FWB |
|
EUR |
| Details |
CON: CONTINENTAL AG: ADJ 20250917 (2) |
Warrants |
COAB |
SWB |
|
EUR |
| Details |
CON: CONTINENTAL AG: ADJ 20250917 (2) |
Warrants |
COAB |
FWB |
|
EUR |
| Details |
VOR: VOR BIOPHARMA INC: ADJ 20250918 |
Options |
VOR1 |
CBOE |
|
USD |
| Details |
VOR: VOR BIOPHARMA INC: ADJ 20250918 Stock Type: Not Defined |
Stock |
VOR1 |
BASKET |
0.6020 |
USD |
| Details |
GMRE: GLOBAL MEDICAL REIT INC: ADJ 20250919 |
Options |
GMRE1 |
CBOE |
|
USD |
| Details |
GMRE: GLOBAL MEDICAL REIT INC: ADJ 20250919 Stock Type: Not Defined |
Stock |
GMRE1 |
BASKET |
6.52 |
USD |
| Details |
CEPU: CENTRAL PUERTO-SPONSORED ADR: ADJ 20250919 |
Options |
CEPU1 |
CBOE |
|
USD |
| Details |
CEPU: CENTRAL PUERTO-SPONSORED ADR: ADJ 20250919 Stock Type: Not Defined |
Stock |
CEPU1 |
BASKET |
15.16 |
USD |
| Details |
BRFS: BRF SA-ADR: ADJ 20250922 |
Options |
MBRF1 |
CBOE |
|
USD |
| Details |
BRFS: BRF SA-ADR: ADJ 20250922 Stock Type: Not Defined |
Stock |
MBRF1 |
BASKET |
2.550 |
USD |
| Details |
NGT: NEWMONT CORP: ADJ 20250924 |
Options |
NGT1.CAD |
CDE |
|
CAD |
| Details |
NGT: NEWMONT CORP: ADJ 20250924 Stock Type: Not Defined |
Stock |
NGT1.CAD |
BASKET |
116.00 |
CAD |
| Details |
LVO: LIVEONE INC: ADJ 20250925 |
Options |
LVO1 |
CBOE |
|
USD |
| Details |
LVO: LIVEONE INC: ADJ 20250925 Stock Type: Not Defined |
Stock |
LVO1 |
BASKET |
0.5460 |
USD |
| Details |
NVDD: DXN DAILY NVDA BEAR 1X: ADJ 20250926 |
Options |
NVDD1 |
CBOE |
|
USD |
| Details |
NVDD: DXN DAILY NVDA BEAR 1X: ADJ 20250926 Stock Type: Not Defined |
Stock |
NVDD1 |
BASKET |
4.099 |
USD |
| Details |
LESL: LESLIE'S INC: ADJ 20250926 |
Options |
LESL1 |
CBOE |
|
USD |
| Details |
LESL: LESLIE'S INC: ADJ 20250926 Stock Type: Not Defined |
Stock |
LESL1 |
BASKET |
0.0487 |
USD |
| Details |
FAZ: DIREXION DAILY FIN BEAR 3X: ADJ 20250926 |
Options |
FAZ1 |
CBOE |
|
USD |
| Details |
FAZ: DIREXION DAILY FIN BEAR 3X: ADJ 20250926 Stock Type: Not Defined |
Stock |
FAZ1 |
BASKET |
5.30 |
USD |
| Details |
EDZ: DIR DLY MSCI EMG MKT BEAR 3X: ADJ 20250926 |
Options |
EDZ1 |
CBOE |
|
USD |
| Details |
EDZ: DIR DLY MSCI EMG MKT BEAR 3X: ADJ 20250926 Stock Type: Not Defined |
Stock |
EDZ1 |
BASKET |
3.236 |
USD |
| Details |
SPXS: DIREXION DLY S |
Options |
SPXS1 |
CBOE |
|
USD |
| Details |
SPXS: DIREXION DLY S Stock Type: Not Defined |
Stock |
SPXS1 |
BASKET |
4.142 |
USD |
| Details |
LABD: DRX DLY S |
Options |
LABD1 |
CBOE |
|
USD |
| Details |
LABD: DRX DLY S Stock Type: Not Defined |
Stock |
LABD1 |
BASKET |
2.063 |
USD |
| Details |
WOLF: WOLFSPEED INC: ADJ 20250926 |
Options |
WOLF1 |
CBOE |
|
USD |
| Details |
WOLF: WOLFSPEED INC: ADJ 20250926 Stock Type: Not Defined |
Stock |
WOLF1 |
BASKET |
0.1632 |
USD |
| Details |
Morgan Stanley 56.1473 C Issuer Name: Morgan Stanley |
Structured Product |
MA42GQ |
SWB |
0.3300 |
EUR |
| Details |
Morgan Stanley 48.3723 C Issuer Name: Morgan Stanley |
Structured Product |
MC16W6 |
SWB |
3.930 |
EUR |
| Details |
Morgan Stanley 49.9101 C Issuer Name: Morgan Stanley |
Structured Product |
MD8W95 |
SWB |
9.67 |
EUR |
| Details |
Morgan Stanley 65.85 C Issuer Name: Morgan Stanley |
Structured Product |
MG08AD |
SWB |
4.050 |
EUR |
| Details |
Morgan Stanley 69.68 C Issuer Name: Morgan Stanley |
Structured Product |
MG0C2X |
SWB |
2.150 |
EUR |
| Details |
Morgan Stanley 116.1333 C Issuer Name: Morgan Stanley |
Structured Product |
MG0C80 |
SWB |
1.750 |
EUR |
| Details |
Morgan Stanley 133.5 C Issuer Name: Morgan Stanley |
Structured Product |
MG0L9J |
SWB |
3.820 |
EUR |
| Details |
Morgan Stanley 72.2667 C Issuer Name: Morgan Stanley |
Structured Product |
MG172X |
SWB |
0.9400 |
EUR |
| Details |
Morgan Stanley 47.25 C Issuer Name: Morgan Stanley |
Structured Product |
MJ0DGT |
SWB |
9.16 |
EUR |
| Details |
Morgan Stanley 14 C Issuer Name: Morgan Stanley |
Structured Product |
MJ35GA |
SWB |
4.930 |
EUR |
| Details |
Morgan Stanley 15 C Issuer Name: Morgan Stanley |
Structured Product |
MJ35GB |
SWB |
3.960 |
EUR |
| Details |
Morgan Stanley 16 C Issuer Name: Morgan Stanley |
Structured Product |
MJ35GC |
SWB |
3.000 |
EUR |
| Details |
Morgan Stanley 16.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ35GD |
SWB |
2.520 |
EUR |
| Details |
Morgan Stanley 17 C Issuer Name: Morgan Stanley |
Structured Product |
MJ35GE |
SWB |
2.040 |
EUR |
| Details |
Morgan Stanley 11.1111 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LAF |
SWB |
7.77 |
EUR |
| Details |
Morgan Stanley 12.9629 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LAG |
SWB |
5.96 |
EUR |
| Details |
Morgan Stanley 13.8888 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LAH |
SWB |
5.05 |
EUR |
| Details |
Morgan Stanley 14.8148 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LAJ |
SWB |
4.140 |
EUR |
| Details |
Morgan Stanley 15.7407 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LAK |
SWB |
3.230 |
EUR |
| Details |
Morgan Stanley 12 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LUD |
SWB |
6.92 |
EUR |
| Details |
Morgan Stanley 15.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ3LUE |
SWB |
3.510 |
EUR |
| Details |
Morgan Stanley 17.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ41G0 |
SWB |
1.700 |
EUR |
| Details |
Morgan Stanley 16.6666 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4TMZ |
SWB |
2.520 |
EUR |
| Details |
Morgan Stanley 18 C Issuer Name: Morgan Stanley |
Structured Product |
MJ4U6C |
SWB |
1.320 |
EUR |
| Details |
Morgan Stanley 18.5 C Issuer Name: Morgan Stanley |
Structured Product |
MJ5A5D |
SWB |
0.7700 |
EUR |
| Details |
Morgan Stanley 17.5925 C Issuer Name: Morgan Stanley |
Structured Product |
MJ63S8 |
SWB |
1.590 |
EUR |
| Details |
Morgan Stanley 18.5185 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8TNJ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 20 C Issuer Name: Morgan Stanley |
Structured Product |
MJ8UWQ |
SWB |
0.0000 |
EUR |
| Details |
Morgan Stanley 30.204 C Issuer Name: Morgan Stanley |
Structured Product |
MK19KQ |
SWB |
4.560 |
EUR |
| Details |
Morgan Stanley 19.3375 C Issuer Name: Morgan Stanley |
Structured Product |
MK4ARS |
SWB |
0.3700 |
EUR |
| Details |
Morgan Stanley 19.89 C Issuer Name: Morgan Stanley |
Structured Product |
MK4ART |
SWB |
0.0360 |
EUR |
| Details |
Morgan Stanley 11.1111 C Issuer Name: Morgan Stanley |
Structured Product |
MK8PPL |
SWB |
8.32 |
EUR |
| Details |
Morgan Stanley 31.025 C Issuer Name: Morgan Stanley |
Structured Product |
MK942U |
SWB |
10.04 |
EUR |
| Details |
Morgan Stanley 30.085 C Issuer Name: Morgan Stanley |
Structured Product |
MM1Z65 |
SWB |
4.240 |
EUR |
| Details |
Morgan Stanley 32.4333 C Issuer Name: Morgan Stanley |
Structured Product |
MM2YVW |
SWB |
16.97 |
EUR |
| Details |
Morgan Stanley 31.275 C Issuer Name: Morgan Stanley |
Structured Product |
MM2YVX |
SWB |
13.54 |
EUR |
| Details |
Morgan Stanley 0 C Issuer Name: Morgan Stanley |
Structured Product |
MM347S |
SWB |
17.90 |
EUR |
| Details |
Societe Generale Acceptance NV 66.653 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0QLJ |
SWB |
4.240 |
EUR |
| Details |
Societe Generale Acceptance NV 66.653 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0QLS |
SWB |
1.190 |
EUR |
| Details |
Societe Generale Acceptance NV 66.178 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SB0XSR |
SWB |
0.0170 |
EUR |
| Details |
Societe Generale Acceptance NV 90.085 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SQ81MS |
SWB |
0.0020 |
EUR |
| Details |
Societe Generale Acceptance NV 84.736 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SV10EW |
SWB |
1.030 |
EUR |
| Details |
Societe Generale Acceptance NV 14.35835 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY6N2J |
SWB |
2.500 |
EUR |
| Details |
Societe Generale Acceptance NV 16.91348 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SY664H |
SWB |
0.0000 |
EUR |
| Details |
Societe Generale Acceptance NV 18.7832 C Issuer Name: Societe Generale Acceptance NV |
Structured Product |
SJ2GVQ |
SWB |
1.210 |
EUR |
| Details |
UniCredit Bank AG 144.7659 P Issuer Name: UniCredit Bank AG |
Structured Product |
5822T |
SBF |
0.0000 |
EUR |
| Details |
UniCredit Bank AG 15.21933 C Issuer Name: UniCredit Bank AG |
Structured Product |
HC8N8W |
SWB |
1.780 |
EUR |
| Details |
UniCredit Bank AG 12.79049 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD36W6 |
SWB |
6.77 |
EUR |
| Details |
UniCredit Bank AG 12.14759 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD5K7Q |
SWB |
3.260 |
EUR |
| Details |
UniCredit Bank AG 14.64868 C Issuer Name: UniCredit Bank AG |
Structured Product |
HD9GZG |
SWB |
0.4100 |
EUR |
| Details |
SONY: SONY GROUP CORP - SP ADR: ADJ 20250926 |
Options |
SONY1 |
CBOE |
|
USD |
| Details |
SONY: SONY GROUP CORP - SP ADR: ADJ 20250926 Stock Type: Not Defined |
Stock |
SONY1 |
BASKET |
21.11 |
USD |
| Details |
SONY: SONY GROUP CORP - SP ADR: ADJ 20250926 |
Warrants |
SONY1 |
FWB |
|
EUR |
| Details |
SONY: SONY GROUP CORP - SP ADR: ADJ 20250926 |
Warrants |
SONY1 |
SWB |
|
EUR |
| Details |
RENB: LUNAI BIOWORKS INC: ADJ 20250929 |
Options |
LNAI1 |
CBOE |
|
USD |
| Details |
RENB: LUNAI BIOWORKS INC: ADJ 20250929 Stock Type: Not Defined |
Stock |
LNAI1 |
BASKET |
0.0469 |
USD |