Nuove emissioni

Société Générale offre un'ampia gamma di prodotti quotati in Italia (covered warrants e certificati). Di seguito le ultime novità.

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NUOVA MAXI EMISSIONE: 193 NUOVI CW SU AZIONI ESTERE, INDICI, COMMODITIES E TASSI DI CAMBIO.

Aggiornato 29/05/2017 11:29:15

Bonus Cap Certificate (11 prodotti)
minimize maximize
Data di emissione Sottostante Scadenza Bonus Cap % Barriera Barriera % Codice ISIN
15/02/2017 BRENT ICE (BL) 19/02/2018 -- - -- 30313 XS1513884699
05/05/2016 ENEL 20/06/2017 108,48% 108,48 € 3,0000 € S17212 XS1337161225
04/05/2016 BARRIERA TOCCATA - UNICREDIT 20/06/2017 -- - -- S17214 XS1337161571
15/04/2015 BARRIERA TOCCATA - 1 FIAT + 0.1 FERRARI 27/04/2018 128,13% 128,13 € 9,0720 € S16513 XS1202718224
15/04/2015 BARRIERA TOCCATA - INTESA SANPAOLO 27/04/2018 134,28% 134,28 € 1,9212 € S16511 XS1202718067
15/04/2015 BARRIERA TOCCATA - MEDIASET 27/04/2018 137,34% 137,34 € 2,6448 € S16514 XS1202718497
15/04/2015 BARRIERA TOCCATA - TELECOM ITALIA 27/04/2018 131,62% 131,62 € 0,6522 € S16512 XS1202718141
15/04/2015 BARRIERA TOCCATA- GENERALI 27/04/2018 119,00% 119,00 € 11,9925 € S16516 XS1202718653
15/04/2015 BARRIERA TOCCATA- UNICREDIT 27/04/2018 133,22% 133,22 € 3,8400 € S16515 XS1202718570
15/04/2015 ENEL 27/04/2018 121,14% 121,14 € 2,6052 € S16510 XS1202717929
15/04/2015 ENI 27/04/2018 119,31% 119,31 € 9,7440 € S16509 XS1202717846
Covered Warrant (1326 prodotti)
minimize maximize
Data di emissione Sottostante Tipo Strike Scadenza Parità ISIN Codice
19/12/2016 ATLANTIA Put 20 € 21/12/2018 10/1 FR0013204526 S17559
19/12/2016 ENI Put 8 € 21/12/2018 10/1 FR0013207636 S17629
19/12/2016 GENERALI Call 14 € 21/12/2018 10/1 FR0013207701 S17533
19/12/2016 GENERALI Put 10 € 21/12/2018 10/1 FR0013207768 S17534
19/12/2016 INTESA SANPAOLO Call 2,6 € 21/12/2018 10/1 FR0013204682 S17686
19/12/2016 INTESA SANPAOLO Put 1,6 € 21/12/2018 10/1 FR0013204708 S17687
19/12/2016 LUXOTTICA Call 52 € 21/12/2018 10/1 FR0013207032 S17748
19/12/2016 LUXOTTICA Call 60 € 21/12/2018 10/1 FR0013207081 S17749
19/12/2016 LUXOTTICA Put 32 € 21/12/2018 10/1 FR0013207115 S17750
19/12/2016 LUXOTTICA Put 40 € 21/12/2018 10/1 FR0013207149 S17751
19/12/2016 MEDIOBANCA Call 7,5 € 21/12/2018 10/1 FR0013207495 S17784
19/12/2016 MEDIOBANCA Call 8,5 € 21/12/2018 10/1 FR0013207503 S17785
19/12/2016 MEDIOBANCA Put 5 € 21/12/2018 10/1 FR0013207511 S17786
19/12/2016 MEDIOBANCA Put 6 € 21/12/2018 10/1 FR0013207529 S17787
19/12/2016 TENARIS Call 15 € 21/12/2018 10/1 FR0013206372 S17845
19/12/2016 TENARIS Call 16 € 21/12/2018 10/1 FR0013206398 S17846
19/12/2016 TENARIS Put 8 € 21/12/2018 10/1 FR0013206414 S17847
19/12/2016 TERNA Put 4 € 21/12/2018 10/1 FR0013209129 S17885
19/12/2016 UNICREDIT Call 12,027 € 21/12/2018 1/0.02 FR0013209541 S17937
19/12/2016 UNICREDIT Call 14,0315 € 21/12/2018 1/0.02 FR0013209558 S17938
Leva Fissa Certificate (82 prodotti)
minimize maximize
Data di emissione Asset Class di Riferimento* Scadenza Nome Codice ISIN
16/03/2017 GAS NATURALE Future 15/03/2019 LEVA FISSA +7x SGASL7 LU1575698995
21/02/2017 PETROLIO BRENT Future 17/12/2021 LEVA FISSA +7x SBRE7L LU1540726830
21/02/2017 PETROLIO BRENT Future 17/12/2021 LEVA FISSA +5x SBRE5L LU1540725600
21/02/2017 PETROLIO BRENT Future 17/12/2021 LEVA FISSA -5x SBRE5S LU1540725782
21/02/2017 PETROLIO BRENT Future 17/12/2021 LEVA FISSA -7x SBRE7S LU1540727648
21/02/2017 ENEL 18/01/2019 LEVA FISSA +3x SENL3L LU1560751080
21/02/2017 ENEL 18/01/2019 LEVA FISSA -3x SENL3S LU1560751163
21/02/2017 ENI 18/01/2019 LEVA FISSA +3x SENI3L LU1560712850
21/02/2017 ENI 18/01/2019 LEVA FISSA -3x SENI3S LU1560750942
21/02/2017 FIAT 18/01/2019 LEVA FISSA +3x SFCA3L LU1560751247
21/02/2017 FIAT 18/01/2019 LEVA FISSA -3x SFCA3S LU1560751320
21/02/2017 GENERALI 18/01/2019 LEVA FISSA +3x SGEN3L LU1560752138
21/02/2017 GENERALI 18/01/2019 LEVA FISSA -3x SGEN3S LU1560752302
21/02/2017 TELECOM 18/01/2019 LEVA FISSA +3x STIT3L LU1560751759
21/02/2017 TELECOM 18/01/2019 LEVA FISSA -3x STIT3S LU1560751833
24/01/2017 PETROLIO WTI Future 17/12/2021 LEVA FISSA +5x SWTIL5 LU1540721104
24/01/2017 PETROLIO WTI Future 17/12/2021 LEVA FISSA -5x SWTIS5 LU1540721369
17/11/2016 FTSE MIB TR 18/06/2021 LEVA FISSA +7x SL7MIB LU1490163091
17/11/2016 FTSE MIB TR 18/06/2021 LEVA FISSA -7x SS7MIB LU1490163331
21/10/2016 ORO Future 10/09/2021 LEVA FISSA +5x SOROL5 LU1489395944
ETC Collateralizzati (39 prodotti)
minimize maximize
Data di emissione Asset Class di Riferimento* Scadenza Nome Codice ISIN
21/02/2017 GAS NATURALE Future 19/09/2036 SG ETC Natural Gas +3x Daily Leveraged Collateralized GASL3 XS1490936991
21/02/2017 PETROLIO WTI Future 19/09/2036 SG ETC WTI Oil +3x Daily Leveraged Collateralized OILL3 XS1490936645
16/10/2015 BTP Futures 21/09/2035 SG ETC Daily Leverage x3 Long BTP Futures BTP3L XS1265961208
16/10/2015 BTP Futures 21/09/2035 SG ETC Daily Leverage x5 Long BTP Futures BTP5L XS1265962511
16/10/2015 BTP Futures 21/09/2035 SG ETC Daily Leverage x3 Short BTP Futures Index BTP3S XS1265961463
16/10/2015 BTP Futures 21/09/2035 SG ETC Daily Leverage x5 Short BTP Futures BTP5S XS1265962602
16/10/2015 BUND Futures 21/09/2035 SG ETC Daily Leverage x3 Long Bund Futures BUND3L XS1265962271
16/10/2015 BUND Futures 21/09/2035 SG ETC Daily Leverage x5 Long Bund Futures BUND5L XS1265962941
16/10/2015 BUND Futures 21/09/2035 SG ETC Daily Leverage x3 Short Bund Futures BUND3S XS1265962438
16/10/2015 BUND Futures 21/09/2035 SG ETC Daily Leverage x5 Short Bund Futures BUND5S XS1265963089
16/10/2015 OAT Futures 21/09/2035 SG ETC Daily Leverage x5 Long OAT Futures OAT5L XS1265962784
16/10/2015 OAT Futures 21/09/2035 SG ETC Daily Leverage x3 Long OAT Futures Index OAT3L XS1265961620
16/10/2015 OAT Futures 21/09/2035 SG ETC Daily Leverage x5 Short OAT Futures OAT5S XS1265962867
16/10/2015 OAT Futures 21/09/2035 SG ETC Daily Leverage x3 Short OAT Futures OAT3S XS1265961976
16/10/2015 Long GBP Short EUR 14/09/2035 X5 Long GBP Short EUR LPSE5 XS1265957941
16/10/2015 Long USD Short EUR 14/09/2035 X3 Long USD Short EUR LUSE3 XS1265958832
16/10/2015 Long USD Short EUR 14/09/2035 X5 Long USD Short EUR LUSE5 XS1265957784
16/10/2015 Short GBP Long EUR 14/09/2035 X5 Short GBP Long EUR SPLE5 XS1265958089
16/10/2015 Short USD Long EUR 14/09/2035 X3 Short USD Long EUR SULE3 XS1265958915
16/10/2015 Short USD Long EUR 14/09/2035 X5 Short USD Long EUR SULE5 XS1265957867
Benchmark Certificate (1 prodotti)
minimize maximize
Data di emissione Sottostante Scadenza Parità Codice ISIN
16/07/2015 Solactive Pharma & Biotech Index 22/12/2017 1/1 SMABIO XS1236466063
Altri Certificate (90 prodotti)
minimize maximize
Data di emissione Sottostante Scadenza Nome Codice ISIN
28/04/2017 EURZAR 04/05/2022 Athena Express con Effetto PLUS+ su EURZAR 30672 XS1562495306
28/04/2017 Fiat and Unicredit 28/04/2020 Express WO Fiat and 30636 XS1574499668
28/04/2017 Intesa e Telecom Italia 28/04/2020 Express WO Intesa e Telecom Italia 30673 XS1574498181
28/04/2017 Intesa e UniCredit 28/04/2020 Express WO su Intesa e UniCredit 30674 XS1574501828
12/04/2017 Index Basket 19/04/2022 Athena autocall with Upside 30595 XS1555929402
31/03/2017 PIMCO Funds Global 07/10/2019 Note on Pimco Income Fund 30638 XS1562475886
19/03/2017 BP and Vodafone 20/04/2020 Phoenix Memory on BP & Vodafone 30635 XS1562439577
01/03/2017 EURO STOXX BANK 07/03/2022 Express on SX7E 30412 XS1526149429
28/02/2017 EM currency 05/03/2021 Phoenix On Basket of Emerging Markets 30413 XS1556032677
09/02/2017 FTSE/MIB INDEX 24/02/2022 Athena autocall with Upside 30338 XS1526276610
06/02/2017 EUR/BRL 09/02/2021 PHOENIX MEMORY EUR/BRL 30312 XS1513866365
03/02/2017 MSCI EM 08/02/2021 Bonus Capped on MXEF 30213 XS1513867843
31/01/2017 EURO STOXX 50; EUR/USD 07/02/2020 Phoenix Hybrid 30217 XS1526176075
03/01/2017 FTSE/MIB INDEX 10/01/2022 Athena autocall with Upside 30078 XS1513994878
23/12/2016 EUR/ZAR 28/12/2020 PHOENIX MEMORY EUR/ZAR S96113EN 30060 XS1490878268
23/12/2016 Unicredit Intesa 23/12/2019 Phoenix Memory WO 29998 XS1513957594
21/12/2016 EUR/BRL EUR/INR EUR/MXN EUR/ZAR 27/12/2019 PHOENIX PLUS FX S97235EN 30059 XS1490807754
21/12/2016 FTSE/MIB INDEX 09/12/2019 Express FTSE MIB 30062 XS1513984721
15/12/2016 FTSE/MIB INDEX 21/12/2020 Phoenix Memory Su 30000 XS1490858070
15/12/2016 INTESA SANPAOLO 21/12/2020 CASH COLLECT SU INTESA 30001 XS1490887178
Prodotti con effetto PLUS (12 prodotti)
minimize maximize
Data di emissione Sottostante Scadenza Nome Codice ISIN
15/05/2017 EURMXN 14/05/2020 Express PLUS+ su Peso Messicano 30705 XS1542081275
15/05/2017 EURZAR 14/05/2020 Express PLUS+ su Rand Sudafricano 30704 XS1542080897
15/05/2017 EURBRL 14/05/2020 Express PLUS+ su Real Brasiliano 30703 XS1542080467
15/05/2017 EURTRY 14/05/2020 Express PLUS+ su Lira Turca 30702 XS1542080111
14/02/2017 EURBRL 17/02/2020 Cash Collect PLUS+ su Real Brasiliano 30235 XS1526223844
14/02/2017 EURZAR 17/02/2020 Cash Collect PLUS+ su Rand Sudafricano 30236 XS1526223927
14/02/2017 EURTRY 17/02/2020 Cash Collect PLUS+ su Lira Turca 30238 XS1526224149
14/02/2017 EURRUB 17/02/2020 Cash Collect PLUS+ su Rublo Russo 30237 XS1526224065
29/09/2016 EURBRL 30/09/2019 Cash Collect PLUS+ su Real Brasiliano 29713 XS1386557844
29/09/2016 EURZAR 30/09/2019 Cash Collect PLUS+ su Rand Sudafricano 29714 XS1386557927
29/09/2016 EURRUB 30/09/2019 Cash Collect PLUS+ su Rublo Russo 29715 XS1386558149
24/02/2016 EURTRY 18/02/2019 Cash Collect PLUS+ su Lira Turca 28982 XS1290055489
Obbligazioni (22 prodotti)
minimize maximize
Data di emissione Scadenza Valuta Bid Ask Var % ISIN
24/03/2017 24/03/2027 USD 98,6700 $ 99,0700 $ -- XS1555910485
22/03/2017 22/03/2019 TRY 99,1909 TRY 100,3909 TRY -- XS1526236580
22/03/2017 22/03/2019 INR 99,2639 INR 100,7639 INR -- XS1526236663
17/11/2016 19/11/2018 BRL 100,0606 BRL 102,0606 BRL -- XS1490842314
17/11/2016 19/11/2018 RUB 99,3409 RUB 101,3409 RUB -- XS1490848279
29/04/2016 29/04/2022 USD 93,3000 $ 94,3000 $ -- XS1289609536
16/03/2016 16/03/2026 USD 95,0100 $ 95,4100 $ -- XS1265960739
03/03/2016 03/03/2026 USD 101,9300 $ 102,3300 $ -- XS1265944964
25/01/2016 25/01/2020 NOK 98,6100 NOK 99,6100 NOK -- XS1266593851
04/01/2016 04/01/2028 USD 98,5600 $ 98,9600 $ -- XS1236580517
04/01/2016 04/01/2028 EUR 99,6300 € 100,0300 € -- XS1236574627
03/12/2015 03/12/2020 USD 98,9100 $ 99,9100 $ -- XS1266701090
03/12/2015 03/12/2020 USD 98,0300 $ 99,0300 $ -- XS1266640108
12/11/2015 12/11/2021 USD 91,7800 $ 92,7800 $ -- XS1101898341
05/11/2015 05/11/2020 USD 98,4300 $ 99,4300 $ -- XS1265890779
23/10/2015 23/10/2023 USD 97,1400 $ 97,5400 $ -- XS1265876430
05/08/2015 05/08/2025 USD 97,7700 $ 98,1700 $ -- XS1212158965
22/06/2015 23/06/2025 USD 96,7500 $ 97,1500 $ -- XS1212331265
27/04/2015 27/04/2018 RUB 99,3255 RUB 101,1255 RUB -- XS1202764335
04/02/2015 04/02/2019 ZAR 97,5621 ZAR 99,0621 ZAR -- XS1143861208

version : 4.37.11