Breaking News 601 Nuovi Covered Warrant Su Azioni Italiane

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Breaking News 601 Nuovi Covered Warrant Su Azioni Italiane Breaking News 601 nuovi Covered Warrant su azioni italiane In negoziazione su SeDeX MTF di Borsa Italiana 28 Settembre 2018 La più grande emissione di Covered Warrant Sottostanti: A2A, Assicurazioni Generali, Prezzi di mercato di UniCredit Bank AG del 2018 è da oggi in Atlantia, Autogrill, Azimut Holding, Banca Tutti i Covered Warrant di UniCredit sono negoziazione sul SeDeX MTF con oltre 600 Mediolanum, Banco BPM, BPER Banca, negoziati sul mercato SeDeX MTF di Borsa nuovi strumenti su 41 azioni italiane. Brembo, Brunello Cucinelli, Buzzi Unicem, Italiana dalle 9.05 alle 17.30, dove Questa tipologia di strumenti consente di Cnh, Davide Campari, Diasorin, Enel, Eni, UniCredit Bank AG si impegna ad esporre investire sul rialzo (call) o sul ribasso (put) Erg, Exor, Ferrari, Fiat-FCA, Hera, Intesa prezzi in acquisto ed in vendita per tutto del relativo sottostante, mettendo a Sanpaolo, Juventus, Leonardo, Mediaset, l'orario di negoziazione. disposizione soluzioni a breve termine Mediobanca, Moncler, Poste Italiane, Per monitorare il prezzo dei tuoi Covered dotate di leva finanziaria e aggiornate alle Prysmian, Safilo Group, Saipem, Salvatore Warrant e dei relativi sottostanti puoi ultime condizioni di mercato. Ferragamo, Saras, Snam, consultare www.investimenti.unicredit.it, Stmicroelectronics, Telecom Italia, Tenaris, oppure chiamare il Numero Verde Le caratteristiche Terna, Tod’s, UBI, Unipolsai. 800.01.11.22, per avere un aggiornamento Scadenze: Dicembre 2018, trimestrali per automatico delle quotazioni e parlare con tutto il 2019 gli Specialisti del Servizio Clienti. Multiplo: 0,1 I prezzi sono inoltre pubblicati sui principali Stile: Americano information provider e siti internet Lotto minimo: 1000 Covered Warrant finanziari. Emittente: UniCredit Bank AG CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA DE000HV41UV4 A2A 1,4 Call 14/03/2019 DE000HV41VE8 Assicurazioni Generali 13 Put 20/06/2019 DE000HV41UW2 A2A 1,4 Put 14/03/2019 DE000HV41VF5 Assicurazioni Generali 15 Put 20/06/2019 DE000HV41UX0 A2A 1,4 Call 20/06/2019 DE000HV41VG3 Assicurazioni Generali 14 Call 19/09/2019 DE000HV41UY8 A2A 1,5 Call 20/06/2019 DE000HV41VH1 Assicurazioni Generali 16 Call 19/09/2019 DE000HV41UZ5 A2A 1,7 Call 20/06/2019 DE000HV41VJ7 Assicurazioni Generali 18 Call 19/09/2019 DE000HV41V02 A2A 1,2 Put 20/06/2019 DE000HV41VK5 Assicurazioni Generali 12 Put 19/09/2019 DE000HV41V10 A2A 1,4 Put 20/06/2019 DE000HV41VL3 Assicurazioni Generali 14 Put 19/09/2019 DE000HV41V28 A2A 1,3 Call 19/09/2019 DE000HV41VM1 Atlantia 18 Call 20/12/2018 DE000HV41V36 A2A 1,5 Call 19/09/2019 DE000HV41VN9 Atlantia 20 Call 20/12/2018 DE000HV41V44 A2A 1,7 Call 19/09/2019 DE000HV41VP4 Atlantia 15 Put 20/12/2018 DE000HV41V51 A2A 1,1 Put 19/09/2019 DE000HV41VQ2 Atlantia 17 Put 20/12/2018 DE000HV41V69 A2A 1,3 Put 19/09/2019 DE000HV41VR0 Atlantia 16 Call 14/03/2019 DE000HV41V77 A2A 1,5 Put 19/09/2019 DE000HV41VS8 Atlantia 18 Call 14/03/2019 DE000HV41V85 Assicurazioni Generali 13 Put 20/12/2018 DE000HV41VT6 Atlantia 20 Call 14/03/2019 DE000HV41V93 Assicurazioni Generali 15 Put 20/12/2018 DE000HV41VU4 Atlantia 22 Call 14/03/2019 DE000HV41VA6 Assicurazioni Generali 17 Call 14/03/2019 DE000HV41VV2 Atlantia 14 Put 14/03/2019 DE000HV41VB4 Assicurazioni Generali 13 Put 14/03/2019 DE000HV41VW0 Atlantia 16 Put 14/03/2019 DE000HV41VC2 Assicurazioni Generali 15 Call 20/06/2019 DE000HV41VX8 Atlantia 18 Put 14/03/2019 DE000HV41VD0 Assicurazioni Generali 17 Call 20/06/2019 DE000HV41VY6 Atlantia 20 Put 14/03/2019 Dati aggiornati a Settembre 2018 Il presente documento ha finalità di informativa commerciale. Prima dell’investimento si raccomanda la visione del prospetto di ammissione alla negoziazione e Documento Contenente le Informazioni Chiave (Key Information Document – KID) disponibile sul sito www.investimenti.unicredit.it Breaking News CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA DE000HV41VZ3 Atlantia 17 Call 19/09/2019 DE000HV41XY2 Banco BPM 1,8 Put 20/12/2018 DE000HV41W01 Atlantia 19 Call 19/09/2019 DE000HV41XZ9 Banco BPM 2 Put 20/12/2018 DE000HV41W19 Atlantia 21 Call 19/09/2019 DE000HV41Y09 Banco BPM 2,3 Put 20/12/2018 DE000HV41W27 Atlantia 15 Put 19/09/2019 DE000HV41Y17 Banco BPM 2 Call 14/03/2019 DE000HV41W35 Atlantia 19 Put 19/09/2019 DE000HV41Y25 Banco BPM 2,2 Call 14/03/2019 DE000HV41W43 AUTOGRILL 8 Call 20/12/2018 DE000HV41Y33 Banco BPM 1,8 Put 14/03/2019 DE000HV41W50 AUTOGRILL 9 Call 20/12/2018 DE000HV41Y41 Banco BPM 2 Put 14/03/2019 DE000HV41W68 AUTOGRILL 8 Put 20/12/2018 DE000HV41Y58 Banco BPM 2,2 Put 14/03/2019 DE000HV41W76 AUTOGRILL 8 Call 14/03/2019 DE000HV41Y66 Banco BPM 2,2 Call 20/06/2019 DE000HV41W84 AUTOGRILL 11 Call 14/03/2019 DE000HV41Y74 Banco BPM 2,6 Call 20/06/2019 DE000HV41W92 AUTOGRILL 7 Put 14/03/2019 DE000HV41Y82 Banco BPM 2,8 Call 20/06/2019 DE000HV41WA4 AUTOGRILL 9 Call 20/06/2019 DE000HV41Y90 Banco BPM 3 Call 20/06/2019 DE000HV41WB2 AUTOGRILL 10 Call 20/06/2019 DE000HV41YA0 Banco BPM 1,8 Put 20/06/2019 DE000HV41WC0 AUTOGRILL 9 Put 20/06/2019 DE000HV41YB8 Banco BPM 2 Put 20/06/2019 DE000HV41WD8 AUTOGRILL 8 Call 19/09/2019 DE000HV41YC6 Banco BPM 2,2 Call 19/09/2019 DE000HV41WE6 AUTOGRILL 10 Call 19/09/2019 DE000HV41YD4 Banco BPM 2,4 Call 19/09/2019 DE000HV41WF3 AUTOGRILL 12 Call 19/09/2019 DE000HV41YE2 Banco BPM 2,6 Call 19/09/2019 DE000HV41WG1 AUTOGRILL 7 Put 19/09/2019 DE000HV41YF9 Banco BPM 2,8 Call 19/09/2019 DE000HV41WH9 AUTOGRILL 9 Put 19/09/2019 DE000HV41YG7 Banco BPM 3 Call 19/09/2019 DE000HV41WJ5 Azimut Holding 13 Call 20/12/2018 DE000HV41YH5 Banco BPM 3,2 Call 19/09/2019 DE000HV41WK3 Azimut Holding 14 Call 20/12/2018 DE000HV41YJ1 Banco BPM 1,8 Put 19/09/2019 DE000HV41WL1 Azimut Holding 15 Call 20/12/2018 DE000HV41YK9 Banco BPM 2 Put 19/09/2019 DE000HV41WM9 Azimut Holding 14 Put 20/12/2018 DE000HV41YL7 Banco BPM 2,2 Put 19/09/2019 DE000HV41WN7 Azimut Holding 12 Call 14/03/2019 DE000HV41YM5 Banco BPM 2,4 Put 19/09/2019 DE000HV41WP2 Azimut Holding 16 Call 14/03/2019 DE000HV41YN3 Banco BPM 2,6 Put 19/09/2019 DE000HV41WQ0 Azimut Holding 12 Put 14/03/2019 DE000HV41XF1 BPER Banca 5 Call 20/12/2018 DE000HV41WR8 Azimut Holding 13 Call 20/06/2019 DE000HV41XG9 BPER Banca 3,5 Call 14/03/2019 DE000HV41WS6 Azimut Holding 14 Call 20/06/2019 DE000HV41XH7 BPER Banca 4 Call 14/03/2019 DE000HV41WT4 Azimut Holding 15 Call 20/06/2019 DE000HV41XJ3 BPER Banca 3,5 Put 14/03/2019 DE000HV41WU2 Azimut Holding 11 Put 20/06/2019 DE000HV41XK1 BPER Banca 5 Call 20/06/2019 DE000HV41WV0 Azimut Holding 13 Put 20/06/2019 DE000HV41XL9 BPER Banca 3,5 Put 20/06/2019 DE000HV41WW8 Azimut Holding 12 Call 19/09/2019 DE000HV41XM7 BPER Banca 4,5 Put 20/06/2019 DE000HV41WX6 Azimut Holding 15 Call 19/09/2019 DE000HV41XN5 BPER Banca 4 Call 19/09/2019 DE000HV41WY4 Azimut Holding 18 Call 19/09/2019 DE000HV41XP0 BPER Banca 5 Call 19/09/2019 DE000HV41WZ1 Azimut Holding 9 Put 19/09/2019 DE000HV41XQ8 BPER Banca 6 Call 19/09/2019 DE000HV41X00 Azimut Holding 12 Put 19/09/2019 DE000HV41XR6 BPER Banca 4 Put 19/09/2019 DE000HV41X18 Azimut Holding 15 Put 19/09/2019 DE000HV41XS4 BPER Banca 5 Put 19/09/2019 DE000HV41X26 Banca Mediolanum 6,5 Put 20/12/2018 DE000HV41YP8 Brembo 11 Call 20/12/2018 DE000HV41X34 Banca Mediolanum 5,5 Call 14/03/2019 DE000HV41YQ6 Brembo 9 Put 20/12/2018 DE000HV41X42 Banca Mediolanum 7 Call 14/03/2019 DE000HV41YR4 Brembo 14 Call 14/03/2019 DE000HV41X59 Banca Mediolanum 5 Put 14/03/2019 DE000HV41YS2 Brembo 10 Put 14/03/2019 DE000HV41X67 Banca Mediolanum 5,5 Call 20/06/2019 DE000HV41YT0 Brembo 11 Call 20/06/2019 DE000HV41X75 Banca Mediolanum 6,5 Call 20/06/2019 DE000HV41YU8 Brembo 13 Call 20/06/2019 DE000HV41X83 Banca Mediolanum 7 Call 20/06/2019 DE000HV41YV6 Brembo 14 Call 20/06/2019 DE000HV41X91 Banca Mediolanum 5 Put 20/06/2019 DE000HV41YW4 Brembo 10 Put 20/06/2019 DE000HV41XA2 Banca Mediolanum 5 Call 19/09/2019 DE000HV41YX2 Brembo 12 Call 19/09/2019 DE000HV41XB0 Banca Mediolanum 6 Call 19/09/2019 DE000HV41YY0 Brembo 14 Call 19/09/2019 DE000HV41XC8 Banca Mediolanum 7 Call 19/09/2019 DE000HV41YZ7 Brembo 10 Put 19/09/2019 DE000HV41XD6 Banca Mediolanum 5 Put 19/09/2019 DE000HV41Z08 Brunello Cucinelli 25 Put 14/03/2019 DE000HV41XE4 Banca Mediolanum 6 Put 19/09/2019 DE000HV41Z16 Brunello Cucinelli 32 Call 20/06/2019 DE000HV41XT2 Banco BPM 1,9 Call 20/12/2018 DE000HV41Z24 Brunello Cucinelli 36 Call 20/06/2019 DE000HV41XU0 Banco BPM 2,1 Call 20/12/2018 DE000HV41Z32 Brunello Cucinelli 44 Call 20/06/2019 DE000HV41XV8 Banco BPM 2,3 Call 20/12/2018 DE000HV41Z40 Brunello Cucinelli 26 Put 20/06/2019 DE000HV41XW6 Banco BPM 2,7 Call 20/12/2018 DE000HV41Z57 Brunello Cucinelli 30 Put 20/06/2019 DE000HV41XX4 Banco BPM 2,9 Call 20/12/2018 DE000HV41Z65 Brunello Cucinelli 34 Put 20/06/2019 Dati aggiornati a Settembre 2018 Il presente documento ha finalità di informativa commerciale. Prima dell’investimento si raccomanda la visione del prospetto di ammissione alla negoziazione e Documento Contenente le Informazioni Chiave (Key Information Document – KID) disponibile sul sito www.investimenti.unicredit.it Breaking News CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA CODICE ISIN SOTTOSTANTE STRIKE TIPO SCADENZA DE000HV41Z73 Brunello Cucinelli 36 Call 19/09/2019 DE000HV420U5 ENI 18 Call 14/03/2019 DE000HV41Z81 Brunello Cucinelli 40 Call 19/09/2019 DE000HV420V3 ENI 19 Call 14/03/2019 DE000HV41Z99 Brunello Cucinelli 28 Put 19/09/2019 DE000HV420W1 ENI 13 Put 14/03/2019 DE000HV41ZA7 Buzzi Unicem 18 Call 20/12/2018 DE000HV420X9 ENI 14 Put 14/03/2019 DE000HV41ZB5 Buzzi Unicem 15 Put 14/03/2019 DE000HV420Y7 ENI 15 Put 20/06/2019 DE000HV41ZC3
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