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ISIN: DE000LB37WF5 · WKN: LB37WF
Chart für AXA S.A. Aktienanleihe 4,50 % bis 2024/12 (LBBW) - LB37WF
Wichtige Hinweise für den Anleger
Der Anleger erhält aktuell 4,50 % Zinsen und Chance auf 8,32 % Rendite, wenn AXA am 20.12.2024 auf oder über 15,00 EUR notiert.
Basiswertinformationen auf AXA S.A.
Performancevergleich
TTMzero
Zeitraum | Kurs Zertifikat | Performance in % | Kurs Basiswert | Performance in % |
Vortag | 100,32 EUR | 0,10 % | 33,58 EUR | 0,52 % |
1 Woche | 100,34 EUR | 0,08 % | 33,73 EUR | 0,09 % |
1 Monat | 99,99 EUR | 0,43 % | 34,28 EUR | -1,52 % |
3 Monate | 99,63 EUR | 0,79 % | 28,56 EUR | 18,18 % |
6 Monate | 100,23 EUR | 0,19 % | 29,85 EUR | 13,08 % |
Lfd. Jahr | 98,59 EUR | 1,86 % | 27,45 EUR | 22,99 % |
1 Jahr | 100,21 EUR | 0,21 % | 26,40 EUR | 27,86 % |
Aktueller Kurs zu LB37WF
Börsenplatz | Börse Frankfurt
|
Letzter Kurs | 100,32 EUR |
Performance | 0,00 % |
Kurszeit | 17:15:10 |
Eröffnung | 100,31 EUR |
Tageshoch | 100,32 EUR |
Tagestief | 100,31 EUR |
Vortageskurs | 100,32 EUR |
52-Wochen Hoch | 100,43 EUR |
52-Wochen Tief | 98,23 EUR |
Stammdaten LB37WF
Name | Aktienanleihe 4,50 % auf AXA S.A. Basispreis 15 bis 20.12.2024 (LBBW) |
ISIN | DE000LB37WF5 |
WKN | LB37WF |
Zertifikat-Art | Aktienanleihe |
Zertifikat-Typ | Classic |
Basispreis | 15,00 EUR |
Zinssatz | 4,50 % |
Nominalwert | 1.000,00 EUR |
Quanto | Nein |
Bezugsmenge | 66,66667 |
Kennzahlen
Kennzahl | Absolut | Relativ |
Max. Rendite | 83,82 EUR | 8,32 % |
Max. Rendite p.a. | 4,94 % |
Seitwärtsrendite | 83,82 EUR | 8,32 % |
Seitwärtsrendite p.a. | 4,94 % |
Abstand Basispreis | -14,53 EUR | -49,20 % |
Restlaufzeit | 207 Tage | |
Spread | 0,10 EUR | 0,10 % |
Kennzahlen
Datum | 21.06.2023 |
Kurs von Derivat | 99,20 % |
Börse von Derivat | Börse Frankfurt |
Zins
Zinstermin | 03.01.2025 |
Zinstage | 735 |
Zinslauf ab | 29.12.2022 |
Zinslauf bis | 02.01.2025 |
Aufgelaufene Stückzinsen | 15,04 EUR |
Handel
Bewertungstag | 20.12.2024 |
Letzter Handelstag | 18.12.2024 |
Auszahlungstag | 03.01.2025 |
Abwicklungsart | phys. Lieferung möglich |
Mindesthandelsgröße | 1.000 Euro |
Handelszeit | 8-20 Uhr |
Emission
Emittent | LBBW |
Kreditausfallschutz | Nein |
Emissionstag | 27.12.2022 |
Erster Handelstag | 27.12.2022 |
Emissionspreis | 100,17 EUR |
Emissionsvolumen | 24 Mio. |
Anlage
Anlage | Aktie |
Thema | Versicherungen |
Region | Frankreich |
Produktbeschreibung
Es werden folgende Kupons fest ausgeschüttet:
Kupontermin | Kupon |
03.01.2024 | 4,50% p.a. |
03.01.2025 | 4,50% p.a. |
Die Rückzahlung des Zertifikats bei Fälligkeit orientiert sich an der Kursentwicklung des Basiswertes in Bezug auf den Basispreis von 15,00 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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