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ISIN: DE000HVB5VG5 · WKN: HVB5VG ·
Chart für EURO STOXX Banks Price Index Aktienanleihe Sonstige 4,70 % bis 2025/10 (UNI) - HVB5VG
Basiswertinformationen auf EURO STOXX Banks Price Index
Performancevergleich
TTMzero
Zeitraum | Kurs Zertifikat | Performance in % | Kurs Basiswert | Performance in % |
Vortag | 98,10 EUR | 1,14 % | 143,70 PKT | 1,85 % |
1 Woche | 97,79 EUR | 1,46 % | 143,75 PKT | 1,81 % |
1 Monat | 98,01 EUR | 1,23 % | 140,82 PKT | 3,93 % |
3 Monate | 92,96 EUR | 6,73 % | 109,99 PKT | 33,06 % |
6 Monate | 95,78 EUR | 3,59 % | 118,96 PKT | 23,03 % |
Lfd. Jahr | 88,39 EUR | 12,25 % | 102,36 PKT | 42,98 % |
1 Jahr | 100,00 EUR | -0,78 % | 102,74 PKT | 42,46 % |
Aktueller Kurs zu HVB5VG
Börsenplatz | Börse Frankfurt
|
Letzter Kurs | 98,23 EUR |
Performance | +0,13 % |
Kurszeit | 07.05.24 |
Eröffnung | 98,26 EUR |
Tageshoch | 98,26 EUR |
Tagestief | 98,13 EUR |
Vortageskurs | 98,10 EUR |
52-Wochen Hoch | 98,43 EUR |
52-Wochen Tief | 87,84 EUR |
Stammdaten HVB5VG
Name | Sonstige Aktienanleihe 4,70 % auf EURO STOXX Banks Price Index bis 06.10.2025 (UNI) |
ISIN | DE000HVB5VG5 |
WKN | HVB5VG |
Zertifikat-Art | Aktienanleihe |
Zertifikat-Typ | Sonstige |
Basispreis | 102,85 PKT |
Zinssatz | 4,70 % |
Nominalwert | 1.000,00 EUR |
Quanto | Nein |
Bezugsmenge | 9,7229 |
Kennzahlen
Datum | 21.06.2023 |
Kurs von Derivat | 89,09 % |
Börse von Derivat | Börse Frankfurt |
Zins
Zinstermin | 13.10.2025 |
Zinstage | 1460 |
Zinslauf ab | 13.10.2021 |
Zinslauf bis | 12.10.2025 |
Aufgelaufene Stückzinsen | 25,37 EUR |
Handel
Bewertungstag | 06.10.2025 |
Letzter Handelstag | 03.10.2025 |
Auszahlungstag | 13.10.2025 |
Abwicklungsart | Barausgleich |
Mindesthandelsgröße | 1.000 Euro |
Handelszeit | 8-20 Uhr |
Emission
Emittent | Unicredit |
Kreditausfallschutz | Nein |
Emissionstag | 13.10.2021 |
Erster Handelstag | 13.10.2021 |
Emissionspreis | 100,00 EUR |
Emissionsvolumen | 5 Mio. |
Referenzkurs Basiswert | 102,85 PKT |
Anlage
Anlage | Index |
Thema | Banken |
Region | Euroland |
Alle Produkte von Unicredit
Produktbeschreibung
Es werden folgende Kupons fest ausgeschüttet:
Kupontermin | Kupon |
13.10.2022 | 4,70% p.a. |
13.10.2023 | 4,70% p.a. |
13.10.2024 | 4,70% p.a. |
13.10.2025 | 4,70% p.a. |
Die Rückzahlung des Zertifikats bei Fälligkeit orientiert sich an der Kursentwicklung des Basiswertes in Bezug auf den Basispreis von 102,85 Pkt.. Steigende Kurse werden nicht berücksichtigt, fallende Kurse werden dem Anleger angerechnet. Im besten Fall wird dem Anleger also der Nennwert zurückgezahlt.
Falls sich der Basiswert bis zur Fälligkeit negativ entwickelt hat, greift unter Umständen der Sicherungsmechanismus des Zertifikats. Solange der Basiswert bei Fälligkeit die Schwelle von 72,00 Pkt. nicht unterschreitet, wird das Zertifikat zum Nennwert zurückgezahlt. Andernfalls trägt der Anleger die gesamten Verluste.
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