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Expired products: Choose your desired product group

6 found

Name  
ISIN
Bond Type   Coupon style  
Current coupon  
Maturity  
Yield to maturity p.a. (before capital gains tax)  
1,5% Tiroler Sparkasse bond 2014-2020/1
AT000B035126
Corporate bonds Austria fix
1.500%
2019/10/15
0.00%
No public offer: data only for information purpose for already invested clients.
3 % s IMMO AG bond 2014-2019
AT0000A19SB5
Corporate bonds Austria fix
3.000%
2019/10/03
0.00%
No public offer: data only for information purpose for already invested clients.
4.50 % Egger Holzwerkstoffe GmbH bond 2012-2019
AT0000A0WNP5
Corporate bonds Austria fix
4.500%
2019/10/01
0.00%
No public offer: data only for information purpose for already invested clients.
4.625 % SWIETELSKY Baugesellschaft m.b.H. bond 2012-2019
AT0000A0WR40
Corporate bonds Austria fix
4.625%
2019/10/12
0.00%
No public offer: data only for information purpose for already invested clients.
Erste Group fix-variable subordinated bond 2011-2019
AT000B005624
Erste Group subordinated bonds floating
4.250%
2019/09/30
-
No public offer: data only for information purpose for already invested clients.
Erste Group subordinated inflation linked bond 2011-2019
AT000B005566
Erste Group subordinated bonds floating
-
2019/09/21
-
No public offer: data only for information purpose for already invested clients.

Guarantee Products

Productname  
ISIN | WKN
Capital guarantee  Maturity  
Erste Group STOXX® Global Select Dividend 100 Performance Garant IV
AT000B119763 | EB0CA5
100.00%2019/09/30No public offer: data only for information purpose for already invested clients.
Page 1 of 4
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Bonus Certificates

Underlying  
ISIN | WKN
Type  Bonus
level  
Barrier  Maturity  
ANDRITZ
AT0000A23H07 | EB0WZA
Bonus52.000035.00002019/09/20
ANDRITZ
AT0000A23H15 | EB0WZB
Bonus55.000040.00002019/09/20
ANDRITZ
AT0000A23H23 | EB0WZC
Bonus60.000045.00002019/09/20
ERSTE GROUP
AT0000A23H56 | EB0WZF
Bonus37.500025.00002019/09/20
ERSTE GROUP
AT0000A23H64 | EB0WZG
Bonus40.000027.50002019/09/20
ERSTE GROUP
AT0000A23H72 | EB0WZH
Bonus42.000030.00002019/09/20
IMMOFINANZ
AT0000A23H98 | EB0WZK
Bonus26.000018.50002019/09/20
IMMOFINANZ
AT0000A23HA2 | EB0WZL
Bonus27.250019.50002019/09/20
IMMOFINANZ
AT0000A23HB0 | EB0WZM
Bonus28.500020.50002019/09/20
LENZING
AT0000A23HE4 | EB0WZQ
Bonus111.742681.35642019/09/20
LENZING
AT0000A23HF1 | EB0WZR
Bonus117.623886.25742019/09/20
LENZING
AT0000A23HG9 | EB0WZS
Bonus123.505091.15842019/09/20
OEST. POST
AT0000A23HK1 | EB0WZV
Bonus42.000030.00002019/09/20
OEST. POST
AT0000A23HL9 | EB0WZW
Bonus45.000032.50002019/09/20
OMV
AT0000A23HM7 | EB0WZX
Bonus47.500030.00002019/09/20
OMV
AT0000A23HN5 | EB0WZY
Bonus50.000035.00002019/09/20
OMV
AT0000A23HP0 | EB0WZZ
Bonus55.000040.00002019/09/20
RAIFFEISEN INT.
AT0000A23HS4 | EB0WZ2
Bonus30.000020.00002019/09/20
RAIFFEISEN INT.
AT0000A23HT2 | EB0WZ3
Bonus27.500022.00002019/09/20
UNIQA
AT0000A23HW6 | EB0WZ6
Bonus9.00006.50002019/09/20

Reverse Convertibles

Productname  
ISIN | WKN
Coupon  Maturity  
4.25 % Erste Group Protect Multi Index Bond 2016-2019
AT0000A1NER7 | EB0E6H
4.2502019/09/30No public offer: data only for information purpose for already invested clients.
5.85 % Erste Group Protect Multi Austria 2018-2019
AT0000A230U3 | EB0FJU
5.8502019/09/28
7.85 % Reverse Convertible Bond on Erste Group Bank AG 2018-2019
AT0000A239G3 | EB0FJ1
7.8502019/09/27
5.70 % Protect Reverse Convertible on Erste Group Bank AG 2018-2019
AT0000A239H1 | EB0FJ2
5.7002019/09/27
4.00 % Protect Pro Reverse Convertible on Erste Group Bank AG 2018-2019
AT0000A239J7 | EB0FJ3
4.0002019/09/27

Discount Certificates - No result

Index/Participation Certificates - No result

Express Bonds - No result

Page 1 of 6
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Warrants

Underlying  
ISIN | WKN
Type  Strike  Omega  Implied volatility  Maturity  
ANDRITZ
AT0000A27LY5 | EB0X1B
CALL30.00000.00000.00002019/09/20
UNIQA
AT0000A27ST0 | EB0X6H
PUT6.00000.00000.00002019/09/20
ZUMTOBEL
AT0000A27TN1 | EB0X7E
PUT5.00000.00000.00002019/09/20
ZUMTOBEL
AT0000A27TP6 | EB0X7D
PUT4.00000.00000.00002019/09/20
VERBUND
AT0000A27PN9 | EB0X3G
CALL45.00000.00000.00002019/09/20
ZUMTOBEL
AT0000A27Q77 | EB0X33
CALL5.00000.00000.00002019/09/20
FACC
AT0000A27R76 | EB0X45
PUT15.00002.5410241.73602019/09/20
VERBUND
AT0000A27PQ2 | EB0X3E
CALL35.00003.0414195.07402019/09/20
FACC
AT0000A27R84 | EB0X44
PUT14.00003.4205200.12002019/09/20
ANDRITZ
AT0000A27QM9 | EB0X4E
PUT50.00003.4768121.93702019/09/20
ERSTE GROUP
AT0000A27R19 | EB0X4R
PUT40.00003.6557126.61702019/09/20
OMV
AT0000A27RT2 | EB0X5R
PUT60.00003.9674151.61302019/09/20
VERBUND
AT0000A27PP4 | EB0X3F
CALL40.00004.0874215.61202019/09/20
OEST. POST
AT0000A27RH7 | EB0X5F
PUT40.00004.1379189.83502019/09/20
UNIQA
AT0000A27SP8 | EB0X6M
PUT10.00004.2785151.85802019/09/20
ERSTE GROUP
AT0000A27R01 | EB0X4S
PUT37.50004.4855157.46902019/09/20
RAIFFEISEN INT.
AT0000A27S34 | EB0X51
PUT26.00004.5389119.47602019/09/20
ZUMTOBEL
AT0000A27Q69 | EB0X34
CALL6.00004.5578280.09102019/09/20
UNIQA
AT0000A27PE8 | EB0X24
CALL7.00004.8408161.52802019/09/20
STRABAG
AT0000A27P45 | EB0X2U
CALL24.00004.8907166.05702019/09/20

Turbos - No result

Interest-Cap-Warrants - No result



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