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ISIN: DE000LB213R8 · WKN: LB213R ·
Chart für Allianz SE Bonus Sonstige bis 2025/02 (LBBW) - LB213R
Basiswertinformationen auf Allianz SE
Performancevergleich
TTMzero
Zeitraum | Kurs Zertifikat | Performance in % | Kurs Basiswert | Performance in % |
Vortag | 98,07 EUR | 0,08 % | 268,70 EUR | -1,04 % |
1 Woche | 97,93 EUR | 0,22 % | 264,20 EUR | 0,64 % |
1 Monat | 97,94 EUR | 0,21 % | 274,45 EUR | -3,12 % |
3 Monate | 94,63 EUR | 3,72 % | 224,70 EUR | 18,34 % |
6 Monate | 96,90 EUR | 1,29 % | 241,88 EUR | 9,93 % |
Lfd. Jahr | 92,32 EUR | 6,31 % | 223,78 EUR | 18,82 % |
1 Jahr | 100,75 EUR | -2,58 % | 199,11 EUR | 33,54 % |
Aktueller Kurs zu LB213R
Börsenplatz | Börse Frankfurt
|
Letzter Kurs | 98,05 EUR |
Performance | -0,02 % |
Kurszeit | 03.05.24 |
Eröffnung | 98,11 EUR |
Tageshoch | 98,11 EUR |
Tagestief | 98,05 EUR |
Vortageskurs | 98,07 EUR |
52-Wochen Hoch | 98,09 EUR |
52-Wochen Tief | 91,18 EUR |
Stammdaten LB213R
Name | Sonstiges Bonus Zertifikat auf Allianz SE bis 21.02.2025 (LBBW) |
ISIN | DE000LB213R8 |
WKN | LB213R |
Zertifikat-Art | Bonus |
Zertifikat-Typ | Sonstige |
Cap | 100,00 EUR |
Basispreis | 169,04 EUR |
Bezugsverhältnis | 2,95788 |
Quanto | Nein |
Kennzahlen
Kennzahl | Absolut | Relativ |
Abstand Cap | -127,08 EUR | -55,96 % |
Restlaufzeit | 291 Tage | |
Spread | 0,00 EUR | 0,00 % |
Kennzahlen
Datum | 21.06.2023 |
Kurs von Derivat | 92,61 % |
Börse von Derivat | Börse Frankfurt |
Handel
Bewertungstag | 21.02.2025 |
Letzter Handelstag | 19.02.2025 |
Auszahlungstag | 28.02.2025 |
Abwicklungsart | phys. Lieferung möglich |
Mindesthandelsgröße | 1.000 Euro |
Handelszeit | 8-20 Uhr |
Emission
Emittent | LBBW |
Kreditausfallschutz | Nein |
Emissionstag | 27.08.2021 |
Erster Handelstag | 31.08.2021 |
Emissionspreis | 100,00 EUR |
Emissionsvolumen | 24 Mio. |
Referenzkurs Basiswert | 198,88 EUR |
Anlage
Anlage | Aktie |
Thema | Versicherungen |
Region | Deutschland |
Produktbeschreibung
Bei diesem Produkt werden 50,00% des Nominalbetrags in ein festverzinsliches Investment angelegt, das am 28.02.2022 mit einer Verzinsung von 2,15% p.a. bezogen auf 50,00% des Nominalbetrags zurückgezahlt wird.
Die verbleibenden 50% des Nominalbetrags werden bei Emission wie folgt investiert:
Es werden folgende Kupons fest ausgeschüttet:
Kupontermin | Kupon |
28.02.2022 | 2,15% p.a. |
28.02.2023 | 2,15% p.a. |
28.02.2024 | 2,15% p.a. |
28.02.2025 | 2,15% p.a. |
Die Rückzahlung des Zertifikateanteils bei Fälligkeit orientiert sich an der Kursentwicklung des Basiswertes in Bezug auf den Basispreis von 169,04 EUR. Steigende Kurse werden nicht berücksichtigt, fallende Kurse werden dem Anleger angerechnet. Im besten Fall wird dem Anleger also der Nennwert zurückgezahlt.
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