Kategorie: Sonstige Zertifikate, Emittenten: BNP Paribas
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WKN | Geld | Brief | Basiswert | Emittent | Letzter Bewertungstag | Perf. 1J. | BV | |
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PF99MG | 925,760 | 0,000 | STX GLOBAL SELECT DIVIDEND 100 INDEX (PRICE) (EUR) | BNP Paribas | 10.03.28 | 12,87% | 0,33 |
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PF99YB | 1.111,320 | 1.121,320 | Euro Stoxx 50 | BNP Paribas | 27.04.28 | 12,83% | 0,29 |
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PZ9RNS | 1.102,930 | 0,000 | Euro Stoxx 50 | BNP Paribas | 09.04.26 | 12,81% | 0,26 |
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PF99U0 | 115,380 | 116,380 | Euro Stoxx 50 | BNP Paribas | 19.08.27 | 12,70% | 0,26 |
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PF99CN | 1.120,000 | 1.140,000 | Euro Stoxx 50 | BNP Paribas | 29.07.26 | 12,46% | 0,25 |
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PF99R6 | 117,330 | 0,000 | Euro Stoxx 50 | BNP Paribas | 24.06.27 | 12,02% | 0,29 |
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PF99XV | 122,420 | 123,420 | Euro Stoxx 50 | BNP Paribas | 22.09.25 | 11,94% | 0,03 |
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PZ9RBY | 1.154,100 | 1.164,100 | Euro Stoxx 50 | BNP Paribas | 07.01.26 | 11,93% | 0,28 |
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PZ9RMH | 1.098,070 | 0,000 | Euro Stoxx 50 | BNP Paribas | 24.02.26 | 11,37% | 0,27 |
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PF99WF | 115,930 | 116,930 | Euro Stoxx 50 | BNP Paribas | 16.09.27 | 11,37% | 0,28 |
WKN | Geld | Brief | Basiswert | Emittent | Letzter Bewertungstag | Perf. 1J. | BV | |
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PZ9RAK | 1.189,200 | 1.199,200 | Euro Stoxx 50 | BNP Paribas | 22.07.25 | 11,02% | 0,29 |
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PF99X1 | 121,630 | 122,630 | Euro Stoxx 50 | BNP Paribas | 14.10.27 | 10,97% | 0,30 |
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PF99E6 | 836,050 | 0,000 | DJES SELECT DIVIDEND 30 | BNP Paribas | 02.12.26 | 10,96% | 0,51 |
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PZ9RA0 | 1.183,600 | 1.193,600 | Euro Stoxx 50 | BNP Paribas | 08.09.25 | 10,84% | 0,29 |
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PF99C1 | 853,900 | 0,000 | DJES SELECT DIVIDEND 30 | BNP Paribas | 10.09.26 | 10,68% | 0,52 |
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PF99D4 | 857,000 | 0,000 | DJES SELECT DIVIDEND 30 | BNP Paribas | 21.10.26 | 10,68% | 0,53 |
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PF99TT | 119,420 | 120,420 | Euro Stoxx 50 | BNP Paribas | 22.07.27 | 10,57% | 0,29 |
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PF99VK | 1.200,440 | 1.210,440 | Euro Stoxx 50 | BNP Paribas | 28.09.26 | 10,55% | 0,29 |
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PF99QG | 1.171,710 | 0,000 | Euro Stoxx 50 | BNP Paribas | 22.06.26 | 10,53% | 0,29 |
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PF99Y9 | 1.116,350 | 1.126,350 | Euro Stoxx 50 | BNP Paribas | 14.12.26 | 10,45% | 0,25 |