Name ISIN | Underlying | Bond Type | Bid | Ask | Date | Coupon style Current coupon | |
Prémiový dluhový cenný papír BEST ENTRY 1 XS2278413385 | EURO STOXX 50 | Structured bonds and notes | 130.47 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis RESPONSIBLE 7 AT0000A2QM09 | - | Structured bonds and notes | 98.27 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis RESPONSIBLE 18 AT0000A2Y6F0 | - | Structured bonds and notes | 112.21 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis GLOBAL 2 XS2544213916 | - | Structured bonds and notes | 116.99 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhový cenný papír U.S. BANKS AUTOCALL 2 XS2773587352 | Equity basket | Structured bonds and notes | 100.25 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis GLOBAL 9 AT0000A39P90 | STOXX GLOBAL 1800(EUR) | Structured bonds and notes | 104.77 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis RESPONSIBLE 13 AT0000A2TLD7 | SOL ERSTE FAIR INVEST VC INDEX (EXCESS RETURN) (EUR) | Structured bonds and notes | 93.34 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhový cenný papír NORDIC AUTOCALL 2 XS2403879054 | Equity basket | Structured bonds and notes | 108.05 | - | 2024/07/26 11:05:00 | variable - | |
GS Zerobond / 2028 XS2691771369 | - | Senior bonds | 85.50 | - | 2024/07/26 11:05:00 | zerobond - | |
Prémiový dluhopis GLOBAL 3 AT0000A34D73 | - | Structured bonds and notes | 116.14 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis RESPONSIBLE 8 AT0000A2R9W8 | - | Structured bonds and notes | 95.49 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhový cenný papír BEST ENTRY 2 XS2314223582 | EURO STOXX 50 | Structured bonds and notes | 125.38 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis GLOBAL 10 AT0000A3B0B8 | STOXX GLOBAL 1800(EUR) | Structured bonds and notes | 97.65 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis RESPONSIBLE 19 AT0000A2YBW8 | - | Structured bonds and notes | 118.58 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Inflation Linked Bond / 2028 XS2558157413 | - | Structured bonds and notes | 96.70 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis MULTI 13 XS2120894279 | - | Structured bonds and notes | 93.93 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis EURCZK 7 XS2781124032 | EURO / CZECH KORUNA (EUR/CZK) | Structured bonds and notes | 94.93 | - | 2024/07/26 11:05:00 | floating - | |
Prémiový dluhopis RESPONSIBLE 2 AT0000A2KLF1 | - | Structured bonds and notes | 97.49 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis RESPONSIBLE 14 AT0000A2UK62 | SOL ERSTE FAIR INVEST VC INDEX (EXCESS RETURN) (EUR) | Structured bonds and notes | 93.15 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhový cenný papír ELECTRONIC PAYMENT AUTOCALL XS2423156772 | Equity basket | Structured bonds and notes | 117.29 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis GLOBAL 4 AT0000A35MP4 | - | Structured bonds and notes | 113.83 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis DEMOGRAPHY SELECT 7 DE000CS8CVE2 | STOXX GLOBAL DEMOGRA SELECT 50 | Structured bonds and notes | 102.94 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhový cenný papír CONSUMER AUTOCALL XS2691890888 | Equity basket | Structured bonds and notes | 97.47 | - | 2024/07/26 11:05:00 | variable - | |
EGB Zerobond / 2025 AT0000A2RA69 | - | Senior bonds | 97.24 | 97.83 | 2024/07/26 11:05:00 | zerobond - | |
Prémiový dluhový cenný papír CYBER SECURITY AUTOCALL XS2334701716 | - | Structured bonds and notes | 119.21 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhový cenný papír INDUSTRY AUTOCALL 2 XS2558193483 | Equity basket | Structured bonds and notes | 114.43 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis RESPONSIBLE 20 AT0000A2ZY12 | - | Structured bonds and notes | 120.17 | - | 2024/07/26 11:05:00 | variable - | ![]() |
Prémiový dluhopis MULTI 15 XS2174690664 | - | Structured bonds and notes | 92.85 | - | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhový cenný papír OIL AUTOCALL 9 XS2792966991 | WTI | Structured bonds and notes | - | 100.00 | 2024/07/26 11:05:00 | variable - | |
Prémiový dluhopis RESPONSIBLE 3 AT0000A2KV20 | - | Structured bonds and notes | 94.40 | - | 2024/07/26 11:05:00 | variable - | ![]() |
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