Produkte finden
121324975 | Tracker-Zertifikate | Open End | +0.00% | USD |
1’140.00 |
1’146.00 |
|||
52538164 | Tracker-Zertifikate | ARONIA STRATEGY | Open End | +0.42% | CHF |
94.75 |
95.20 |
||
48632287 | Tracker-Zertifikate | Fixed Income Unconstrained | Open End | +0.00% | EUR |
1’110.00 |
1’116.00 |
||
110800279 | Tracker-Zertifikate | Global Bond Opportunity | Open End | +0.19% | EUR |
105.20 |
105.70 |
||
49041407 | Tracker-Zertifikate | HIGH INCOME PORTFOLIO EUR | Open End | +0.00% | EUR |
111.00 |
112.10 |
||
56777173 | Tracker-Zertifikate | Bond Portfolio | Open End | +0.00% | USD |
1’160.00 |
1’166.00 |
||
22757086 | Tracker-Zertifikate | EMMA Fixed Income PF | Open End | +0.04% | USD |
68’265.00 |
68’605.00 |
||
44258433 | Tracker-Zertifikate | Low Vol EUR Bond Basket | Open End | +0.00% | EUR |
104.40 |
104.90 |
||
54289052 | Tracker-Zertifikate | GP New Recovery Bond Index | Open End | CHF | |||||
42476199 | Tracker-Zertifikate | GPP Premium Multi-Asset | Open End | +0.00% | USD |
94.30 |
95.10 |
||
32261603 | Tracker-Zertifikate | IPG Nave Invest Opportunities Bond Strategy | Open End | +0.00% | USD |
1’001.00 |
1’021.00 |
||
142749606 | Tracker-Zertifikate | Open End | EUR | ||||||
33271159 | Tracker-Zertifikate | TASK Fixed Income Unonstrained Strategy | Open End | USD |
119.60 |
0.00 |
|||
26388936 | Tracker-Zertifikate | USD short- to mid-term Fed Funds Rate | Open End | -0.09% | USD |
108.90 |
109.20 |
||
140912627 | Reverse Convertibles | United States Treasury Note/Bond | 14.07.2025 | +0.05% | USD |
103.75 |
104.75 |
||
141230734 | Reverse Convertibles | United States Treasury Note/Bond | 21.07.2025 | +0.05% | USD |
102.30 |
103.30 |
||
141452564 | Reverse Convertibles | United States Treasury Note/Bond | 23.07.2025 | +0.05% | USD |
102.15 |
103.15 |
||
141617708 | Reverse Convertibles | United States Treasury Note/Bond | 04.08.2025 | +0.00% | USD |
101.95 |
102.95 |
||
142230360 | Reverse Convertibles | United States Treasury Note/Bond | 14.08.2025 | +0.00% | USD |
100.90 |
101.90 |
||
144953267 | Reverse Convertibles | United States Treasury Note/Bond | 21.08.2025 | +0.00% | USD |
100.00 |
101.00 |
||
145142923 | Reverse Convertibles | United States Treasury Note/Bond | 25.08.2025 | +0.00% | USD |
100.15 |
101.15 |
||
140288963 | Reverse Convertibles | United States Treasury Note/Bond | 09.09.2025 | -0.05% | USD |
102.05 |
103.05 |
||
145906526 | Reverse Convertibles | Exxon Mobil Corp | 19.09.2025 | -0.05% | USD |
99.20 |
100.20 |
||
143108515 | Reverse Convertibles | United States Treasury Note/Bond | 23.09.2025 | -0.10% | USD |
100.05 |
101.05 |
||
146087343 | Reverse Convertibles | Microsoft Corp | 24.09.2025 | +0.00% | USD |
99.55 |
100.55 |
121324975 | Tracker-Zertifikate | Open End | +0.00% | USD |
1’140.00 |
1’146.00 |
|||
52538164 | Tracker-Zertifikate | ARONIA STRATEGY | Open End | +0.42% | CHF |
94.75 |
95.20 |
||
48632287 | Tracker-Zertifikate | Fixed Income Unconstrained | Open End | +0.00% | EUR |
1’110.00 |
1’116.00 |
||
110800279 | Tracker-Zertifikate | Global Bond Opportunity | Open End | +0.19% | EUR |
105.20 |
105.70 |
||
49041407 | Tracker-Zertifikate | HIGH INCOME PORTFOLIO EUR | Open End | +0.00% | EUR |
111.00 |
112.10 |
||
56777173 | Tracker-Zertifikate | Bond Portfolio | Open End | +0.00% | USD |
1’160.00 |
1’166.00 |
||
22757086 | Tracker-Zertifikate | EMMA Fixed Income PF | Open End | +0.04% | USD |
68’265.00 |
68’605.00 |
||
44258433 | Tracker-Zertifikate | Low Vol EUR Bond Basket | Open End | +0.00% | EUR |
104.40 |
104.90 |
||
54289052 | Tracker-Zertifikate | GP New Recovery Bond Index | Open End | CHF | |||||
42476199 | Tracker-Zertifikate | GPP Premium Multi-Asset | Open End | +0.00% | USD |
94.30 |
95.10 |
||
32261603 | Tracker-Zertifikate | IPG Nave Invest Opportunities Bond Strategy | Open End | +0.00% | USD |
1’001.00 |
1’021.00 |
||
142749606 | Tracker-Zertifikate | Open End | EUR | ||||||
33271159 | Tracker-Zertifikate | TASK Fixed Income Unonstrained Strategy | Open End | USD |
119.60 |
0.00 |
|||
26388936 | Tracker-Zertifikate | USD short- to mid-term Fed Funds Rate | Open End | -0.09% | USD |
108.90 |
109.20 |
||
140912627 | Reverse Convertibles | United States Treasury Note/Bond | 14.07.2025 | +0.05% | USD |
103.75 |
104.75 |
||
141230734 | Reverse Convertibles | United States Treasury Note/Bond | 21.07.2025 | +0.05% | USD |
102.30 |
103.30 |
||
141452564 | Reverse Convertibles | United States Treasury Note/Bond | 23.07.2025 | +0.05% | USD |
102.15 |
103.15 |
||
141617708 | Reverse Convertibles | United States Treasury Note/Bond | 04.08.2025 | +0.00% | USD |
101.95 |
102.95 |
||
142230360 | Reverse Convertibles | United States Treasury Note/Bond | 14.08.2025 | +0.00% | USD |
100.90 |
101.90 |
||
144953267 | Reverse Convertibles | United States Treasury Note/Bond | 21.08.2025 | +0.00% | USD |
100.00 |
101.00 |
||
145142923 | Reverse Convertibles | United States Treasury Note/Bond | 25.08.2025 | +0.00% | USD |
100.15 |
101.15 |
||
140288963 | Reverse Convertibles | United States Treasury Note/Bond | 09.09.2025 | -0.05% | USD |
102.05 |
103.05 |
||
145906526 | Reverse Convertibles | Exxon Mobil Corp | 19.09.2025 | -0.05% | USD |
99.20 |
100.20 |
||
143108515 | Reverse Convertibles | United States Treasury Note/Bond | 23.09.2025 | -0.10% | USD |
100.05 |
101.05 |
||
146087343 | Reverse Convertibles | Microsoft Corp | 24.09.2025 | +0.00% | USD |
99.55 |
100.55 |
Kontaktinformation
Bei allfälligen Fragen steht Ihnen unser Strukturierte Produkte Team jederzeit telefonisch unter +41(0)58 888 81 81 oder via email unter derivatives@juliusbaer.com zur Verfügung.