Name   Underlying Maturity Strike price Cap Discount % Maximum yield p.a. %  
Morgan Stanley Discount Zert GIVN 27.06.2025   GIVAUDAN N 2025-06-27 - 2,000.00 52.90% -3.12%
Morgan Stanley Discount Zert GIVN 31.12.2024   GIVAUDAN N 2024-12-31 - 2,500.00 40.97% -6.62%
Morgan Stanley Discount Zert GIVN 28.03.2025   GIVAUDAN N 2025-03-28 - 2,500.00 41.15% -4.10%
Morgan Stanley Discount Zert GIVN 27.09.2024   GIVAUDAN N 2024-09-27 - 2,500.00 40.78% -14.79%
Morgan Stanley Discount Zert GIVN 27.06.2025   GIVAUDAN N 2025-06-27 - 2,500.00 41.42% -2.63%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 2025-12-30 - 2,500.00 41.86% -1.26%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 2,800.00 34.88% -1.91%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 2,800.00 34.88% -1.91%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 3,000.00 30.47% -1.58%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 2025-12-29 - 3,000.00 31.72% 0.14%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 3,000.00 30.47% -1.58%
BNP Paribas Discount Zert GIVN 30.12.2024   GIVAUDAN N 2024-12-30 - 3,000.00 29.58% -5.53%
Morgan Stanley Discount Zert GIVN 28.03.2025   GIVAUDAN N 2025-03-28 - 3,000.00 29.79% -3.35%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 2025-12-30 - 3,000.00 31.14% -0.41%
Morgan Stanley Discount Zert GIVN 27.09.2024   GIVAUDAN N 2024-09-27 - 3,000.00 29.01% -14.40%
Morgan Stanley Discount Zert GIVN 27.06.2025   GIVAUDAN N 2025-06-27 - 3,000.00 30.29% -1.82%
Morgan Stanley Discount Zert GIVN 31.12.2024   GIVAUDAN N 2024-12-31 - 3,000.00 29.38% -6.03%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 2025-12-29 - 3,000.00 31.72% 0.14%
BNP Paribas Discount Zert GIVN 30.12.2024   GIVAUDAN N 2024-12-30 - 3,000.00 29.58% -5.53%
BNP Paribas Discount Zert GIVN 30.12.2024   GIVAUDAN N 2024-12-30 - 3,200.00 25.01% -5.20%
BNP Paribas Discount Zert GIVN 26.09.2024   GIVAUDAN N 2024-09-26 - 3,200.00 24.53% -
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 2025-12-29 - 3,200.00 27.66% 0.59%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 3,200.00 26.17% -1.13%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 3,200.00 26.17% -1.13%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 2025-12-29 - 3,200.00 27.66% 0.59%
BNP Paribas Discount Zert GIVN 26.09.2024   GIVAUDAN N 2024-09-26 - 3,200.00 24.53% -
BNP Paribas Discount Zert GIVN 30.12.2024   GIVAUDAN N 2024-12-30 - 3,200.00 25.01% -5.20%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 2025-12-29 - 3,500.00 21.95% 1.51%
BNP Paribas Discount Zert GIVN 26.09.2024   GIVAUDAN N 2024-09-26 - 3,500.00 17.59% -
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 2025-06-26 - 3,500.00 20.07% -0.12%