Titel   Basiswert Laufzeit Basispreis Cap Discount % Maximalrendite p.a. %  
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3.500,00 22,73% 3,94%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 4.200,00 12,03% 7,51%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 5.000,00 5,10% 14,72%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3.800,00 17,66% 5,19%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 2.500,00 42,31% 1,08%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 4.500,00 7,94% 9,15%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 3.500,00 22,09% 3,40%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 3.000,00 31,72% 1,96%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 4.000,00 13,97% 5,68%