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Our bonds and notes at a glance

Secure your yields with bonds and notes


You benefit from attractive interest payments throughout the entire term of the bond or note. The payment dates are fixed in advance. You enjoy a high degree of safety. 100 % capital guarantee at maturity (risk of the issuer).


Select your Criteria
Type of Bond
Type of Coupon
Underlying
Latest Coupon
Maturity
Yield to maturity p.a.

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89 found

Name  
ISIN
Underlying Bond Type   Bid Ask Date Maturity  
Yield to maturity p.a. (before capital gains tax)  
Coupon style  
Current coupon  
Prémiový dluhopis BLUE
AT0000A19UV9
Koš akcií Structured bonds and notes 100.00 - 2019/11/14
00:00:00
2019/11/28
-
variable
0.000%
No public offer, not applicable to existing investors
Hypoteční zástavní listy ČS 2,50%/2019
CZ0002002785
- Mortgage bonds 100.03 - 2019/11/14
00:00:00
2019/12/13
1.43%
fix
2.500%
Prémiový dluhový cenný papír ROBOTICS AUTOCALL
XS1718789859
Equity basket Structured bonds and notes 112.10 - 2019/11/14
00:00:00
2020/02/27
-
variable
0.000%
Reverse Convertible Moneta 03/2020
XS2007136992
MONETA Money Bank, a. s. Reverse convertibles 97.87 - 2019/11/14
00:00:00
2020/03/25
-
fix
7.200%
Akciový prémiový dluhopis XVI
AT0000A1D5J0
Koš akcií Structured bonds and notes 98.53 - 2019/11/14
00:00:00
2020/04/01
-
variable
0.000%
No public offer, not applicable to existing investors
Reverse Convertible Moneta 04/2020
XS1989541799
MONETA Money Bank, a. s. Reverse convertibles 99.35 - 2019/11/14
00:00:00
2020/04/03
-
fix
8.000%
Reverse Convertible KB 04/2020
XS2028087273
Komerční banka Reverse convertibles 89.17 - 2019/11/14
00:00:00
2020/04/07
-
fix
6.300%
Akciový prémiový dluhopis XVII
AT0000A1DP51
Koš akcií Structured bonds and notes 98.34 - 2019/11/14
00:00:00
2020/04/20
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír TOP STOCKS
XS1251223456
ISCS Top Stocks Fund – Risk Controlled Index Structured bonds and notes 94.72 - 2019/11/14
00:00:00
2020/11/19
-
variable
0.000%
PDCP PROFIT 1
AT0000A1HF18
STOXX GLOBAL 100 SELECT DIVIDEND Structured bonds and notes 104.27 - 2019/11/14
00:00:00
2021/01/18
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír PROFIT 17
XS1686423853
STOXX® Global ESG Leaders Select 50 EUR Structured bonds and notes 96.84 97.84 2019/11/14
00:00:00
2021/02/22
-
variable
0.000%
Prémiový dluhový cenný papír PROFIT 18
XS1707237241
STOXX® Global ESG Leaders Select 50 EUR Structured bonds and notes 99.63 100.63 2019/11/14
00:00:00
2021/03/22
-
variable
0.000%
PDCP PROFIT 2
AT0000A1JWS5
STOXX GLOBAL 100 SELECT DIVIDEND Structured bonds and notes 104.01 - 2019/11/14
00:00:00
2021/03/22
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír PROFIT 19
AT0000A208Q7
STOXX® Global ESG Leaders Select 50 EUR Structured bonds and notes 99.89 - 2019/11/14
00:00:00
2021/04/23
-
variable
0.000%
PDCP PROFIT 3
AT0000A1KM06
STOXX GLOBAL 100 SELECT DIVIDEND Structured bonds and notes 103.22 - 2019/11/14
00:00:00
2021/04/27
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír PROFIT 20
AT0000A20F28
STOXX® Global ESG Leaders Select 50 EUR Structured bonds and notes 96.36 97.36 2019/11/14
00:00:00
2021/05/25
-
variable
0.000%
PDCP PROFIT 4
AT0000A1L536
STOXX GLOBAL 100 SELECT DIVIDEND Structured bonds and notes 102.77 - 2019/11/14
00:00:00
2021/06/09
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír PROFIT 21
AT0000A219U6
STOXX® Global ESG Leaders Select 50 EUR Structured bonds and notes 97.79 98.79 2019/11/14
00:00:00
2021/06/28
-
variable
0.000%
PDCP PROFIT 5
AT0000A1LFE6
STOXX EUROPE SELECT 50 Structured bonds and notes 95.99 - 2019/11/14
00:00:00
2021/07/23
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír ZLATO & EURO STOXX 50
XS1582782352
Gold and EURO STOXX 50 Structured bonds and notes 106.05 - 2019/11/14
00:00:00
2021/07/28
-
fix
0.000%
PDCP PROFIT 6
AT0000A1LM47
STOXX EUROPE SELECT 50 Structured bonds and notes 94.16 - 2019/11/14
00:00:00
2021/08/16
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír U.S. TECHNOLOGY AUTOCALL
XS2025967113
NASDAQ 100 TECHNOLOGY SECTOR Structured bonds and notes 101.15 - 2019/11/14
00:00:00
2021/10/15
-
variable
0.000%
PDCP PROFIT 7
AT0000A1NUQ5
STOXX EUROPE SELECT 50 Structured bonds and notes 95.27 - 2019/11/14
00:00:00
2021/11/12
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír MULTI 4
AT0000A23TT7
MULTI ASSET GLOBAL FUTURES INDEX Structured bonds and notes 97.25 - 2019/11/14
00:00:00
2021/11/30
-
variable
0.000%
Hypoteční zástavní listy ČS 2,75%/2021
CZ0002002744
- Mortgage bonds 102.56 103.40 2019/11/14
00:00:00
2021/12/13
1.08%
fix
2.750%
Prémiový dluhový cenný papír 2 % EURO STOXX 50® Deep Barrier
AT0000A1PNB7
EURO STOXX 50 Structured bonds and notes 96.92 - 2019/11/14
00:00:00
2021/12/21
-
fix
2.000%
No public offer, not applicable to existing investors
Prémiový dluhový cenný papír MULTI 5
AT0000A24PJ4
MULTI ASSET GLOBAL FUTURES INDEX Structured bonds and notes 100.64 102.07 2019/11/14
00:00:00
2022/01/04
-
variable
0.000%
Prémiový dluhový cenný papír PROFIT 16
AT0000A1Z0T4
STOXX EUROPE SELECT 50 Structured bonds and notes 91.93 - 2019/11/14
00:00:00
2022/01/04
-
variable
0.000%
No public offer, not applicable to existing investors
PDCP PROFIT 8
AT0000A1PMZ8
STOXX EUROPE SELECT 50 Structured bonds and notes 93.41 - 2019/11/14
00:00:00
2022/01/07
-
variable
0.000%
No public offer, not applicable to existing investors
Prémiový dluhopis EURCZK
XS1893927373
EURO / CZECH KORUNA (EUR/CZK) Structured bonds and notes 95.24 - 2019/11/14
00:00:00
2022/02/18
-
floating
0.000%


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