Find product
| 145278675 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 20/03/2026 | +0.00% | USD |
100.85 |
101.85 |
||
| 146295163 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.85 |
101.85 |
||
| 144643538 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
100.70 |
101.70 |
||
| 144643536 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.70 |
101.70 |
||
| 144953053 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
101.20 |
102.20 |
||
| 144427307 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.65 |
101.65 |
||
| 144427076 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.65 |
101.65 |
||
| 144144840 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
100.65 |
101.65 |
||
| 144144547 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.70 |
101.70 |
||
| 143962403 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.90 |
101.90 |
||
| 119675147 | Conditional Capital Protection Note with additional credit risk | UniCredit SpA | 20/06/2027 | +0.00% | EUR |
106.00 |
107.00 |
||
| 120137665 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | USD | |||||
| 120137749 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | +0.00% | USD |
104.80 |
105.80 |
||
| 119675394 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | +0.00% | USD |
104.95 |
105.95 |
||
| 145634739 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.00% | USD |
101.45 |
102.45 |
||
| 144772971 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.00% | USD |
101.65 |
102.65 |
||
| 144426861 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.05% | USD |
102.10 |
103.10 |
||
| 120137592 | Conditional Capital Protection Note with additional credit risk | Intesa Sanpaolo SpA | 21/06/2027 | +0.00% | EUR |
104.55 |
105.55 |
||
| 144145084 | Conditional Capital Protection Note with additional credit risk | 4.3 STANDARD CHARTERED PLC 02-27 | 20/06/2028 | +0.05% | USD |
102.65 |
103.65 |
||
| 144426864 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 20/06/2028 | +0.00% | USD |
102.40 |
103.40 |
||
| 145515941 | Conditional Capital Protection Note with additional credit risk | Ford Motor Co | 20/06/2028 | +0.00% | USD |
102.95 |
103.95 |
||
| 145515974 | Conditional Capital Protection Note with additional credit risk | ArcelorMittal SA | 20/06/2029 | +0.00% | EUR |
100.35 |
101.35 |
||
| 139187539 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.05% | CHF |
100.65 |
101.65 |
||
| 139633664 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.00% | EUR |
101.45 |
102.45 |
||
| 139633617 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.05% | USD |
104.45 |
105.45 |
| 145278675 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 20/03/2026 | +0.00% | USD |
100.85 |
101.85 |
||
| 146295163 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.85 |
101.85 |
||
| 144643538 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
100.70 |
101.70 |
||
| 144643536 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.70 |
101.70 |
||
| 144953053 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
101.20 |
102.20 |
||
| 144427307 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.65 |
101.65 |
||
| 144427076 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.65 |
101.65 |
||
| 144144840 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.05% | USD |
100.65 |
101.65 |
||
| 144144547 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.70 |
101.70 |
||
| 143962403 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 22/06/2026 | +0.00% | USD |
100.90 |
101.90 |
||
| 119675147 | Conditional Capital Protection Note with additional credit risk | UniCredit SpA | 20/06/2027 | +0.00% | EUR |
106.00 |
107.00 |
||
| 120137665 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | USD | |||||
| 120137749 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | +0.00% | USD |
104.80 |
105.80 |
||
| 119675394 | Conditional Capital Protection Note with additional credit risk | Brazilian Government International Bond | 20/06/2027 | +0.00% | USD |
104.95 |
105.95 |
||
| 145634739 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.00% | USD |
101.45 |
102.45 |
||
| 144772971 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.00% | USD |
101.65 |
102.65 |
||
| 144426861 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 21/06/2027 | +0.05% | USD |
102.10 |
103.10 |
||
| 120137592 | Conditional Capital Protection Note with additional credit risk | Intesa Sanpaolo SpA | 21/06/2027 | +0.00% | EUR |
104.55 |
105.55 |
||
| 144145084 | Conditional Capital Protection Note with additional credit risk | 4.3 STANDARD CHARTERED PLC 02-27 | 20/06/2028 | +0.05% | USD |
102.65 |
103.65 |
||
| 144426864 | Conditional Capital Protection Note with additional credit risk | United States Treasury Note/Bond | 20/06/2028 | +0.00% | USD |
102.40 |
103.40 |
||
| 145515941 | Conditional Capital Protection Note with additional credit risk | Ford Motor Co | 20/06/2028 | +0.00% | USD |
102.95 |
103.95 |
||
| 145515974 | Conditional Capital Protection Note with additional credit risk | ArcelorMittal SA | 20/06/2029 | +0.00% | EUR |
100.35 |
101.35 |
||
| 139187539 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.05% | CHF |
100.65 |
101.65 |
||
| 139633664 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.00% | EUR |
101.45 |
102.45 |
||
| 139633617 | Conditional Capital Protection Note with additional credit risk | Zuerich Versicherungs-Gesellschaft AG | 20/11/2029 | +0.05% | USD |
104.45 |
105.45 |
ADDITIONAL INFORMATION AND CONTACTS
For additional information or inquires on our offering please contact our Structured Products Team at derivatives@juliusbaer.com or via telephone on +41(0)58 888 81 81