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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).


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101 found

Name  
ISIN
UnderlyingBond Type  BidAskDateMaturity  
Yield to maturity p.a. (before capital gains tax)  
Coupon style  
Current coupon  
Prémiový dluhový cenný papír 2,8 % EURO STOXX 50® Deep Barrier 3
AT0000A1Z5H8
EURO STOXX 50Structured bonds and notes99.09-2021/06/24
00:00:00
2022/12/07
-
fix
2.800%
No public offer: data only for information purpose for already invested clients.
Prémiový dluhový cenný papír PHARMA AUTOCALL
XS2248369535
-Structured bonds and notes99.16-2021/06/24
00:00:00
2025/12/22
-
variable
0.000%
Prémiový dluhový cenný papír 2,8 % EURO STOXX 50® Deep Barrier 4
XS1823040347
EURO STOXX 50Structured bonds and notes94.85-2021/06/24
00:00:00
2023/07/13
-
fix
2.800%
Prémiový dluhopis ŠANCE 4
AT0000A1KB58
STOXX GLOBAL 100 SELECT DIVIDENDStructured bonds and notes98.59-2021/06/24
00:00:00
2023/04/12
-
variable
0.000%
No public offer: data only for information purpose for already invested clients.
Prémiový dluhový cenný papír 3 % EURO STOXX 50® Deep Barrier 6
XS1842830694
EURO STOXX 50Structured bonds and notes96.39-2021/06/24
00:00:00
2023/09/27
-
fix
3.000%
Prémiový dluhopis RESPONSIBLE 8
AT0000A2R9W8
-Structured bonds and notes96.25-2021/06/24
00:00:00
2026/06/25
-
variable
0.000%
EGB Zerobond / 2022
AT0000A23T11
-Senior bonds98.06-2021/06/24
00:00:00
2022/10/25
0.81%
zerobond
0.000%
No public offer: data only for information purpose for already invested clients.
EGB Zerobond / 2025
AT0000A2RA69
-Senior bonds93.52-2021/06/24
00:00:00
2025/05/14
1.20%
zerobond
0.000%
Hypoteční zástavní listy ČS 3,25%/2023
CZ0002002751
-Mortgage bonds104.85105.632021/06/24
00:00:00
2023/06/10
0.34%
fix
3.250%
Hypoteční zástavní listy ČS VAR IV/2022
CZ0002001654
-Mortgage bonds99.91-2021/06/24
00:00:00
2022/12/12
-
variable
0.000%
Hypoteční zástavní listy ČS 2,75%/2021
CZ0002002744
-Mortgage bonds101.08-2021/06/24
00:00:00
2021/12/13
-0.12%
fix
2.750%


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