Product Type Structured Notes

1Y CMS EUR-Satz Floater Note
DE000DB9USG1
94.39
95.39
24/01/20251 : 1-
1Y CMS EUR-Satz Floater Note
DE000DB9U1Y1
89.45
90.45
02/07/20261 : 1-
Fixed Rate EUR Capital Guarantee Note
DE000DB9U1Z8
90.44
0.00
02/07/20251 : 1-
1Y CMS USD-Satz Floater Note
XS0809896011
97.97
98.97
09/03/20231 : 1-
USD Fix to Floating Note with Minimum and Maximum Interest
XS1809941906
90.36
91.36
20/08/20251 : 1-
1Y CMS EUR-Satz Floater Note
DE000DB9USC0
94.54
95.54
10/01/20251 : 1-
EUR Green Fixed Note
DE000DB9U6G7
91.03
0.00
03/03/20251 : 1-
1Y CMS USD-Satz Floater Note
XS1809932152
91.37
92.37
19/12/20241 : 1-
Fixed Rate EUR Capital Guarantee Note
DE000DB9T1Z1
97.13
0.00
15/09/20231 : 1-
USD Fix to Floating Note with Minimum and Maximum Interest
XS0459895776
94.27
0.00
14/07/20261 : 1-
Fixed Rate EUR Capital Guarantee Note
DE000DE04Y17
98.53
0.00
26/01/20231 : 1-
USD Fixed Note
XS0459853858
79.19
0.00
15/07/20271 : 1-
1Y CMS USD-Satz Floater Note
XS1809937540
89.21
90.21
19/03/20251 : 1-
Fixed Rate EUR Capital Guarantee Note
DE000DB9UHU5
98.20
0.00
19/04/20231 : 1-
USD Fix to Floating Note with Minimum and Maximum Interest
XS1809944165
89.28
90.28
19/11/20251 : 1-
EUR Green Fixed Note
DE000DB9U7V4
94.06
95.06
18/08/20251 : 1-
Euribor 3M Floater Note
DE000DE04XK4
98.88
99.88
24/01/20231 : 1-
EUR Fix to Floating Note with Minimum and Maximum Interest
DE000DB9U2F8
89.40
90.40
16/07/20261 : 1-
USD Green Fixed Note
XS0459862099
79.47
80.47
18/11/20271 : 1-
6 Months Australian Bank Bill Swap Rate Floater Note
XS1809930453
97.24
98.24
20/06/20231 : 1-

Advance Sorting

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