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HVB PLN Express Plus Certificate on the shares of Schlumberger N.V.
- ISIN DE000HVB6GZ4
- WKN HVB6GZ
- Issuer UniCredit Bank GmbH
- Product type Express - Plus
- Issue date 30.03.2022
- Final payment date 28.03.2025
- Initial fixing 41,73 USD
- Barrier level 29,211 USD
- Barrier observation fixing type discrete observation dates
- Quanto yes
- Subscription period 11.03.2022 - 25.03.2022
- Initial selling price 1000,00 PLN
- Capital protection no capital protection
- Early redemption date 28.03.2023
- Early redemption amount 1140,00 PLN
- Final observation date 21.03.2025
- Maximum redemption amount 1420,00 PLN
- Redemption method Cash/Physical
- Initial barrier buffer at issue 30,00 %
- Payment currency PLN
- Sustainability preference -
Historical considerations do not give reliable indications for future performances.
Events
| Date | Event | Underlying ISIN | Change | Data before event | Data after event | |
|---|---|---|---|---|---|---|
| 28.03.2023 | Redemption | - | Redemption amount | - | 1140,00 PLN | |
| 21.03.2023 | Final fixing | AN8068571086 | Fixing underlying | - | 48,28 USD | |
| 21.09.2022 | Observation fixing | AN8068571086 | Fixing underlying | - | 37,58 USD | |
| 28.03.2022 | Initial fixing | AN8068571086 | Initial fixing Barrier level Early redemption trigger level 21.09.2022 (100%) Early redemption trigger level 21.03.2023 (100%) Early redemption trigger level 21.09.2023 (100%) Early redemption trigger level 21.03.2024 (100%) Early redemption trigger level 23.09.2024 (100%) Final redemption trigger level 21.03.2025 (70%) |
- - - - - - - - |
41,73 USD 29,211 USD 41,73 USD 41,73 USD 41,73 USD 41,73 USD 41,73 USD 29,211 USD |
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Note on the non-binding sample calculation
THIS IS A MARKETING COMMUNICATION. Please refer to the prospectus of this fund and to the Key Information Document (KID) before making any final investment decisions. This past performance calculator is based on historical data. Past performance does not predict future returns. Markets could develop very differently in the future. Note: The calculation does not meet the requirements of a regulatory cost disclosure. It does not contain ongoing fund costs, entry or exist costs. Custody fees are also not taken into account. Fees and expenses reduce investment returns. This information is not intended to be relied upon as a forecast, research or investment advice and is not a recommendation or offer to buy or sell any securities or to adopt any investment strategy and it is intended for informational purposes only. This information is also automatically shown for funds for which subscriptions may no longer be possible. A summary of the information on investor rights as well as the instruments of collective redress can be found in English at: https://www.structuredinvest.lu/lu/en/fund-platform/about-us.html. The Management Company may decide to terminate the arrangements made for the marketing of its collective investment undertakings in accordance with Article 93a of Directive 2009/65/EC. For questions about our fund products or possible costs, please contact your personal banker or your depositary bank.













