Название   Базовый актив Срок погашения Цена исполнения Лимит Скидка % Максимальная доходность в год %  
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 3,000.00 24.32% -3.74%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,000.00 24.41% -3.64%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,000.00 24.41% -3.64%
Morgan Stanley Discount Zert GIVN 26.06.2026   GIVAUDAN N 26.06.2026 - 2,500.00 36.46% -3.04%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,200.00 20.03% -2.95%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,200.00 20.03% -2.95%
Morgan Stanley Discount Zert GIVN 26.06.2026   GIVAUDAN N 26.06.2026 - 3,000.00 25.24% -1.89%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 26.06.2025 - 3,800.00 7.19% -1.81%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 26.06.2025 - 3,800.00 7.19% -1.81%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,500.00 14.15% -1.36%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,500.00 14.15% -1.36%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 3,500.00 14.27% -1.23%
Morgan Stanley Discount Zert GIVN 28.03.2025   GIVAUDAN N 28.03.2025 - 4,000.00 2.99% -1.13%
BNP Paribas Discount Zert GIVN 25.09.2025   GIVAUDAN N 25.09.2025 - 3,800.00 8.30% 0.08%
BNP Paribas Discount Zert GIVN 25.09.2025   GIVAUDAN N 25.09.2025 - 3,800.00 8.30% 0.08%
Morgan Stanley Discount Zert GIVN 26.06.2026   GIVAUDAN N 26.06.2026 - 3,500.00 15.96% 0.35%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,800.00 9.39% 1.12%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 3,800.00 9.39% 1.12%
BNP Paribas Discount Zert GIVN 25.06.2026   GIVAUDAN N 25.06.2026 - 3,800.00 11.75% 2.44%
BNP Paribas Discount Zert GIVN 25.06.2026   GIVAUDAN N 25.06.2026 - 3,800.00 11.75% 2.44%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 26.06.2025 - 4,000.00 4.96% 2.61%
BNP Paribas Discount Zert GIVN 26.06.2025   GIVAUDAN N 26.06.2025 - 4,000.00 4.96% 2.61%
Morgan Stanley Discount Zert GIVN 27.06.2025   GIVAUDAN N 27.06.2025 - 4,000.00 5.05% 2.75%
BNP Paribas Discount Zert GIVN 25.09.2025   GIVAUDAN N 25.09.2025 - 4,000.00 5.87% 2.98%
BNP Paribas Discount Zert GIVN 25.09.2025   GIVAUDAN N 25.09.2025 - 4,000.00 5.87% 2.98%
Morgan Stanley Discount Zert GIVN 26.09.2025   GIVAUDAN N 26.09.2025 - 4,000.00 6.13% 3.30%
Morgan Stanley Discount Zert GIVN 30.12.2025   GIVAUDAN N 30.12.2025 - 4,000.00 7.15% 3.52%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 4,000.00 7.22% 3.60%
BNP Paribas Discount Zert GIVN 29.12.2025   GIVAUDAN N 29.12.2025 - 4,000.00 7.22% 3.60%
Morgan Stanley Discount Zert GIVN 26.06.2026   GIVAUDAN N 26.06.2026 - 4,000.00 9.25% 3.93%