Look for:

New Issues

3 found

Name  
ISIN
Bond Type   Bid Ask Date Maturity  
Yield to maturity p.a. (before capital gains tax)  
Coupon style  
Current coupon  
1.05 % s Wohnbau bond 2019-2030/04
AT000B116827
s Wohnbaubank fixed bonds - 102.55 2019/03/21
08:07:49
2030/09/06
0.82%
fix
1.050%
1.40 % s Wohnbau bond 2019-2034/05
AT000B116835
s Wohnbaubank fixed bonds - 103.05 2019/03/21
08:07:49
2034/09/06
1.18%
fix
1.400%
MinMax s Wohnbau bond 2019-2034/06
AT000B116843
s Wohnbaubank variable bonds - 101.75 2019/03/21
08:07:49
2034/09/06
-
floating
0.700%

Guarantee Products

Productname  
ISIN | WKN
BidAskDateCapital guarantee  Maturity  
ERSTE Smart Invest Garant II 19-27
AT0000A268Z2 | EB0FMW
99.05-2019/03/21
17:26
100.00%2027/02/28
ERSTE Smart Invest Garant (USD) 19-23
AT0000A26903 | EB0FMX
-100.002019/03/21
08:07
100.00%2023/02/28
ERSTE Global Select Garant II 19-26
AT0000A269J4 | EB0FM9
99.20-2019/03/21
17:26
100.00%2026/02/28
ERSTE Megatrends Garant 19-26
AT0000A269L0 | EB0FNA
100.20-2019/03/21
17:26
100.00%2026/02/28
Page 1 of 3
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Bonus Certificates

Underlying  
ISIN | WKN
Type  BidAskDateBonus yield
in % p.a.  
Barrier
distance in %  
Maturity  
BAWAG GROUP
AT0000A26ZE9 | EB0XZD
Bonus38.8739.262019/03/21
17:29
19.71%13.15%2020/03/20
BAWAG GROUP
AT0000A26ZF6 | EB0XZC
Bonus38.5438.922019/03/21
17:29
13.05%18.11%2020/03/20
ERSTE GROUP
AT0000A26ZG4 | EB0XZF
Bonus32.8633.202019/03/21
17:28
14.46%24.13%2020/03/20
ERSTE GROUP
AT0000A26ZH2 | EB0XZE
Bonus32.2832.612019/03/21
17:28
22.66%16.54%2020/03/20
FACC
AT0000A26ZJ8 | EB0XZJ
Bonus13.2713.412019/03/21
17:29
15.59%21.76%2020/03/20
FACC
AT0000A26ZK6 | EB0XZH
Bonus13.2313.372019/03/21
17:29
23.41%14.31%2020/03/20
FACC
AT0000A26ZL4 | EB0XZG
Bonus14.2114.362019/03/21
17:29
16.46%21.76%2019/09/20
OEST. POST
AT0000A26ZM2 | EB0XZS
Bonus36.3336.692019/03/21
17:28
3.57%27.38%2020/03/20
OEST. POST
AT0000A26ZN0 | EB0XZR
Bonus36.7237.092019/03/21
17:28
7.85%22.00%2020/03/20
OEST. POST
AT0000A26ZP5 | EB0XZQ
Bonus36.4436.802019/03/21
17:28
2.17%19.31%2019/06/21
OEST. POST
AT0000A26ZQ3 | EB0XZP
Bonus36.8637.232019/03/21
17:28
8.46%16.62%2019/06/21
OEST. POST
AT0000A26ZR1 | EB0XZN
Bonus37.0937.462019/03/21
17:28
13.98%16.62%2019/09/20
OEST. POST
AT0000A26ZS9 | EB0XZM
Bonus36.2636.622019/03/21
17:28
7.66%19.31%2019/09/20
OEST. POST
AT0000A26ZT7 | EB0XZL
Bonus36.4836.842019/03/21
17:28
4.22%24.69%2019/12/20
OEST. POST
AT0000A26ZU5 | EB0XZK
Bonus37.5337.902019/03/21
17:28
11.04%19.31%2019/12/20
OMV
AT0000A26ZV3 | EB0XZV
Bonus43.4843.912019/03/21
17:29
2.41%37.36%2020/03/31
OMV
AT0000A26ZW1 | EB0XZU
Bonus45.5646.022019/03/21
17:29
8.38%26.92%2020/03/31
OMV
AT0000A26ZX9 | EB0XZT
Bonus49.1849.672019/03/21
17:29
10.40%26.92%2020/03/31
RAIFFEISEN INT.
AT0000A26ZY7 | EB0XZ3
Bonus19.2919.482019/03/21
17:29
20.64%24.76%2020/03/20
RAIFFEISEN INT.
AT0000A26ZZ4 | EB0XZ2
Bonus19.2819.472019/03/21
17:29
25.83%19.90%2020/03/20

Reverse Convertibles

Productname  
ISIN | WKN
BidAskDateCoupon  Strike  Barrier
distance in %  
Maturity  
7.50 % Reverse Convertible on SAP SE 19-20
AT0000A269A3 | EB0FM1
101.09-2019/03/21
17:29
7.50094.2000-2020/02/28
5.50 % Protect Reverse Convertible on SAP SE 19-20
AT0000A269B1 | EB0FM2
101.23-2019/03/21
17:29
5.50094.200024.72%2020/02/28
4.00 % Protect Pro Reverse Convertible on SAP SE 19-20
AT0000A269C9 | EB0FM3
100.92-2019/03/21
17:29
4.00094.200024.72%2020/02/28
7.25 % ERSTE Protect Multi Austria 19-20
AT0000A269H8 | EB0FM7
100.90-2019/03/21
17:26
7.250--2020/02/28

Discount Certificates - No result

Index/Participation Certificates - No result

Express Bonds

Productname  
ISIN | WKN
BidAskDateType  Coupon/express payment  Coupon style  Maturity  
ERSTE Memory Express Bond on BASF SE 19-24
AT0000A269G0 | EB0FM5
98.30-2019/03/21
17:26
Memory5.500%variable2024/02/28
ERSTE Fix Kupon Express Bond on Covestro AG 19-23
AT0000A269T3 | EB0FNB
95.30-2019/03/21
17:26
Fix Coupon5.150%fix2023/02/28

Warrants - No result

Page 1 of 6
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Turbos

Underlying  
ISIN | WKN
BidAskDateLong/ Short  Leverage  Strike  Barrier  Barrier
distance in %  
Maturity  Currency
AAREAL BANK
AT0000A26Q86 | EB0XVF
0.2240.2642019/03/21
17:29
long10.4925.276226.27625.14%Open endEUR
ADIDAS
AT0000A26Q94 | EB0XVJ
1.721.742019/03/21
17:27
long11.98191.4990196.49905.76%Open endEUR
ALLIANZ
AT0000A26QC2 | EB0XVL
2.222.262019/03/21
17:28
long8.73175.1720180.17208.68%Open endEUR
ALLIANZ
AT0000A26QD0 | EB0XVK
1.221.262019/03/21
17:28
long15.66185.1824190.18243.61%Open endEUR
BASF
AT0000A26QF5 | EB0XVP
0.6180.6382019/03/21
17:29
long10.5160.883262.88326.26%Open endEUR
BASF
AT0000A26QG3 | EB0XVN
0.3680.3882019/03/21
17:29
long17.2963.385865.38582.53%Open endEUR
BAWAG GROUP
AT0000A26QH1 | EB0XVR
0.5030.5232019/03/21
17:29
long7.7135.306736.30679.91%Open endEUR
BAWAG GROUP
AT0000A26QJ7 | EB0XVQ
0.4030.4232019/03/21
17:29
long9.5336.307837.30787.42%Open endEUR
BILFINGER
AT0000A26QM1 | EB0XVX
0.8920.9122019/03/21
17:28
long3.4322.253125.253119.32%Open endEUR
BILFINGER
AT0000A26QN9 | EB0XVW
0.6910.7112019/03/21
17:28
long4.4024.255227.255212.92%Open endEUR
BILFINGER
AT0000A26QP4 | EB0XVV
0.4910.5112019/03/21
17:28
long6.1326.257329.25736.53%Open endEUR
CAT OIL
AT0000A26QS8 | EB0XV0
0.1210.1612019/03/21
17:25
long3.233.78394.78398.00%Open endEUR
CAT OIL
AT0000A26QT6 | EB0XVZ
0.0960.1362019/03/21
17:25
long3.824.03425.03423.19%Open endEUR
COMMERZBANK
AT0000A26QU4 | EB0XV2
0.1060.1262019/03/21
17:26
long5.575.86616.36619.22%Open endEUR
CONTINENTAL
AT0000A26QW0 | EB0XV4
1.101.142019/03/21
17:28
long12.42130.5857131.58577.07%Open endEUR
DEUTSCHE POST
AT0000A26QZ3 | EB0XV6
0.3870.4272019/03/21
17:29
long6.7624.805825.805810.55%Open endEUR
DEUTSCHE TELEKOM
AT0000A26R02 | EB0XV7
0.2220.2322019/03/21
17:29
long6.8113.544014.044011.11%Open endEUR
E.ON
AT0000A26R10 | EB0XV9
0.1750.1952019/03/21
17:25
long5.098.05849.05848.69%Open endEUR
E.ON
AT0000A26R28 | EB0XV8
0.150.172019/03/21
17:25
long5.848.30879.30876.16%Open endEUR
ERSTE GROUP
AT0000A26R36 | EB0XWC
0.4710.4912019/03/21
17:28
long6.7128.189329.189311.41%Open endEUR

1 found - 3-M-EURIBOR: -0.309% (2019/03/20, 12:00:38)

Interest-Cap-Warrants

Productname  
ISIN
Currency  Underlying  Maturity  Base interest rate  Redemption type  
Erste Group EUR Interest-Cap-Warrant 30.03.2035
AT0000A27612
EUR3-M-EURIBOR2035/03/300.50%forward start part-obliterative


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