Produkte

0.67% (2.65% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1548141428 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141428

Fälligkeitstag

05.10.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Helvetia Baloise Holding AG - CH1548141428

0.74% (9.20% p.a.) Reverse Convertible on Microsoft Corp.

Title

CH1548147706 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147706

Fälligkeitstag

09.09.2026

Basiswert

Microsoft Corp.

0.81% (10.10% p.a.) Reverse Convertible on Alphabet, Inc.

Title

CH1548147771 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147771

Fälligkeitstag

10.09.2026

Basiswert

Alphabet, Inc.

0.98% (11.12% p.a.) Reverse Convertible on Vistra Energy Corp.

Title

CH1548150783 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150783

Fälligkeitstag

23.09.2026

Basiswert

Vistra Energy Corp.

1.12% (4.50% p.a.) Reverse Convertible on Dassault Aviation SA (Quanto CHF)

Title

CH1548142145 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142145

Fälligkeitstag

08.10.2026

Basiswert

Dassault Aviation SA

1.18% (4.72% p.a.) Reverse Convertible on DKSH, Novartis, Zurich Insurance

Title

CH1548136840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136840

Fälligkeitstag

09.09.2026

Basiswert

DKSH Holding Ltd., Novartis AG, Zurich Insurance Group Ltd - CH1548136840

1.22% (4.90% p.a.) Barrier Reverse Convertible on Volkswagen AG

Title

CH1548137392 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137392

Fälligkeitstag

11.09.2026

Basiswert

Volkswagen AG

1.25% (5.03% p.a.) Reverse Convertible on Georg Fischer AG

Title

CH1548148498 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148498

Fälligkeitstag

13.11.2026

Basiswert

Georg Fischer AG

1.26% (5.07% p.a.) Barrier Reverse Convertible on L´Oréal International

Title

CH1548137426 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137426

Fälligkeitstag

11.09.2026

Basiswert

L´Oréal International

1.27% (11.73% p.a.) Reverse Convertible on The Kraft Heinz Company

Title

CH1548150262 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150262

Fälligkeitstag

29.09.2026

Basiswert

The Kraft Heinz Company

1.31% (5.24% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548137418 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137418

Fälligkeitstag

11.09.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

1.35% (5.40% p.a.) Reverse Convertible on Banque CA Vaudoise, Cembra Money Bank, Sunrise Communications AG

Title

CH1548136832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136832

Fälligkeitstag

09.09.2026

Basiswert

Banque Cantonale Vaudoise, Cembra Money Bank AG, Sunrise Communications AG - CH1548136832

1.37% (5.39% p.a.) Reverse Convertible on Rheinmetall AG

Title

CH1548142418 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142418

Fälligkeitstag

12.10.2026

Basiswert

Rheinmetall AG

1.44% (9.45% p.a.) Reverse Convertible on Novartis AG

Title

CH1548147987 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147987

Fälligkeitstag

07.10.2026

Basiswert

Novartis AG

1.45% (6.02% p.a.) Reverse Convertible on Zurich Insurance Group Ltd

Title

CH1548136998 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136998

Fälligkeitstag

07.09.2026

Basiswert

Zurich Insurance Group Ltd

1.49% (18.56% p.a.) Reverse Convertible on Meta Platforms Inc.

Title

CH1548147334 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147334

Fälligkeitstag

03.09.2026

Basiswert

Meta Platforms Inc.

1.50% (6.22% p.a.) Reverse Convertible on Nestlé SA

Title

CH1548135875 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135875

Fälligkeitstag

01.09.2026

Basiswert

Nestlé SA

1.54% (6.18% p.a.) Barrier Reverse Convertible on Schneider Electric SE

Title

CH1548137400 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137400

Fälligkeitstag

11.09.2026

Basiswert

Schneider Electric SE

1.55% (19.30% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548147367 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147367

Fälligkeitstag

03.09.2026

Basiswert

NVIDIA Corp.

1.58% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492030007 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030007

Fälligkeitstag

25.01.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1492030007

1.62% (4.83% p.a.) Reverse Convertible on DKSH, Novartis, Zurich Insurance

Title

CH1548145767 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145767

Fälligkeitstag

30.11.2026

Basiswert

DKSH Holding Ltd., Novartis AG, Zurich Insurance Group Ltd - CH1548145767

1.62% (6.48% p.a.) Reverse Convertible on VAT Group AG

Title

CH1548141873 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141873

Fälligkeitstag

07.10.2026

Basiswert

VAT Group AG

1.77% (5.38% p.a.) Reverse Convertible on Airbnb, Salesforce (Quanto CHF)

Title

CH1548141584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141584

Fälligkeitstag

05.11.2026

Basiswert

Airbnb Inc., Salesforce, Inc. - CH1548141584

1.79% p.a. Callable Reverse Convertible on Geberit, Nestlé, Sika

Title

CH1548149108 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149108

Fälligkeitstag

18.08.2027

Basiswert

Geberit AG, Nestlé SA, Sika AG - CH1548149108

1.82% (7.29% p.a.) Reverse Convertible on Sandoz Group AG

Title

CH1548141881 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141881

Fälligkeitstag

07.10.2026

Basiswert

Sandoz Group AG

1.86% (24.02% p.a.) Reverse Convertible on Nebius Group N.V.

Title

CH1596852066 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596852066

Fälligkeitstag

24.09.2026

Basiswert

Nebius Group N.V.

1.90% (5.71% p.a.) Reverse Convertible on Swiss Life Holding AG

Title

CH1548143531 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143531

Fälligkeitstag

17.11.2026

Basiswert

Swiss Life Holding AG

1.92% (23.88% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548147292 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147292

Fälligkeitstag

03.09.2026

Basiswert

NVIDIA Corp.

1.92% (7.62% p.a.) Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548148183 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148183

Fälligkeitstag

13.11.2026

Basiswert

Advanced Micro Devices Inc.

1.93% (24.03% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548147375 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147375

Fälligkeitstag

03.09.2026

Basiswert

NVIDIA Corp.

1.95% (7.82% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1548148506 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148506

Fälligkeitstag

13.11.2026

Basiswert

Partners Group Holding AG

1.95% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492029983 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029983

Fälligkeitstag

25.01.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1492029983

10.00% (10.00% p.a.) Barrier Reverse Convertible on Alcon, ING, Straumann (Quanto CHF)

Title

CH1492024679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024679

Fälligkeitstag

16.12.2026

Basiswert

Straumann Holding AG, ING Groep N.V., Alcon Inc. - CH1492024679

10.00% (10.00% p.a.) Barrier Reverse Convertible on Geberit, Sandoz Group, Swisscom

Title

CH1532247017 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247017

Fälligkeitstag

14.04.2027

Basiswert

Sandoz Group AG, Swisscom AG, Geberit AG - CH1532247017

10.00% (10.00% p.a.) Reverse Convertible on ALSO Holding, BELIMO Holding, Kardex

Title

CH1548150635 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150635

Fälligkeitstag

25.08.2027

Basiswert

BELIMO Holding AG, Kardex AG, ALSO Holding AG - CH1548150635

10.00% (10.00% p.a.) Reverse Convertible on Airbus, Safran, Vinci

Title

CH1548140768 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140768

Fälligkeitstag

01.07.2027

Basiswert

Vinci SA, Airbus SE, Safran SA - CH1548140768

10.00% (13.39% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1548131940 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131940

Fälligkeitstag

11.02.2027

Basiswert

Netflix Inc.

10.00% (13.68% p.a.) Barrier Reverse Convertible on SAP, Vonovia

Title

CH1492031203 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031203

Fälligkeitstag

22.10.2026

Basiswert

Vonovia SE, SAP SE - CH1492031203

10.00% (13.69% p.a.) Barrier Reverse Convertible on SAP, Vonovia

Title

CH1492031245 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031245

Fälligkeitstag

22.10.2026

Basiswert

SAP SE, Vonovia SE - CH1492031245

10.00% (5.47% p.a.) Reverse Convertible on ABB, Givaudan, Lonza

Title

CH1468579722 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579722

Fälligkeitstag

27.05.2027

Basiswert

ABB Ltd, Lonza Group AG, Givaudan SA - CH1468579722

10.00% p.a. Autocallable Barrier Reverse Convertible on Anheuser-Busch InBev, Heineken NV, Pernod-Ricard

Title

CH1492028985 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028985

Fälligkeitstag

19.10.2026

Basiswert

Anheuser-Busch InBev NV, Pernod-Ricard SA, Heineken NV - CH1492028985

10.00% p.a. Autocallable Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1418949637 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949637

Fälligkeitstag

26.10.2026

Basiswert

Compagnie Financière Richemont SA, Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1418949637

10.00% p.a. Autocallable Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto USD)

Title

CH1548142509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142509

Fälligkeitstag

12.07.2027

Basiswert

ABB Ltd, Siemens AG, Schneider Electric SE - CH1548142509

10.00% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548143606 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143606

Fälligkeitstag

14.01.2027

Basiswert

Alphabet, Inc., NVIDIA Corp., Microsoft Corp. - CH1548143606

10.00% p.a. Autocallable Reverse Convertible on Amazon.com, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548149280 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149280

Fälligkeitstag

19.02.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Amazon.com Inc. - CH1548149280

10.00% p.a. Autocallable Reverse Convertible on Commerzbank, Hochtief, Novo Nordisk (Quanto EUR)

Title

CH1548139083 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139083

Fälligkeitstag

21.12.2026

Basiswert

Hochtief AG, Novo Nordisk A/S, Commerzbank AG - CH1548139083

10.00% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548130728 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130728

Fälligkeitstag

05.11.2026

Basiswert

Costco Wholesale Corp., Walmart Inc., Corning Inc. - CH1548130728

10.00% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548144463 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144463

Fälligkeitstag

22.07.2027

Basiswert

Costco Wholesale Corp., Walmart Inc., Corning Inc. - CH1548144463

10.00% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Rheinmetall

Title

CH1548148845 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148845

Fälligkeitstag

17.08.2027

Basiswert

EssilorLuxottica SA, Rheinmetall AG - CH1548148845

10.00% p.a. Autocallable Reverse Convertible on Microsoft, NVIDIA

Title

CH1548149447 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149447

Fälligkeitstag

18.02.2027

Basiswert

Microsoft Corp., NVIDIA Corp. - CH1548149447

10.00% p.a. Autocallable Reverse Convertible on RENK Group AG, Rheinmetall, Thales

Title

CH1532246506 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246506

Fälligkeitstag

06.10.2026

Basiswert

Rheinmetall AG, RENK Group AG, Thales SA - CH1532246506

10.00% p.a. Barrier Reverse Convertible on Accenture PLC

Title

CH1532239469 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239469

Fälligkeitstag

26.02.2027

Basiswert

Accenture PLC

10.00% p.a. Barrier Reverse Convertible on Barry Callebaut, Partners Group Holding, VAT

Title

CH1492028001 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028001

Fälligkeitstag

14.01.2027

Basiswert

Barry Callebaut AG, Partners Group Holding AG, VAT Group AG - CH1492028001

10.00% p.a. Callable Barrier Reverse Convertible on Coca-Cola, McDonalds, Starbucks

Title

CH1492035501 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035501

Fälligkeitstag

19.02.2027

Basiswert

Coca-Cola Company, McDonalds Corp., Starbucks Corp. - CH1492035501

10.00% p.a. Callable Reverse Convertible on Beiersdorf, Fresenius, Merck KGaA

Title

CH1492031393 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031393

Fälligkeitstag

30.10.2026

Basiswert

Merck KGaA, Fresenius SE & Co. KGaA, Beiersdorf AG - CH1492031393

10.00% p.a. Callable Reverse Convertible on Beiersdorf, Fresenius, Merck KGaA

Title

CH1492031302 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031302

Fälligkeitstag

29.10.2026

Basiswert

Beiersdorf AG, Fresenius SE & Co. KGaA, Merck KGaA - CH1492031302

10.00% p.a. Reverse Convertible on ASML, Infineon

Title

CH1492031740 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031740

Fälligkeitstag

01.02.2027

Basiswert

ASML Holding NV, Infineon Technologies AG - CH1492031740

10.00% p.a. Reverse Convertible on Abbott Labs, Bank of America, Colgate-Palmolive

Title

CH1492034041 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034041

Fälligkeitstag

11.02.2027

Basiswert

Abbott Laboratories, Bank of America Corporation, Colgate-Palmolive Company - CH1492034041

10.00% p.a. Reverse Convertible on Air Liquide, BASF, Bayer

Title

CH1492031757 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031757

Fälligkeitstag

01.02.2027

Basiswert

Air Liquide SA, BASF SE, Bayer AG - CH1492031757

10.00% p.a. Reverse Convertible on Amazon.com, NVIDIA, Palantir

Title

CH1548130165 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130165

Fälligkeitstag

04.05.2027

Basiswert

NVIDIA Corp., Amazon.com Inc., Palantir Technologies Inc. - CH1548130165

10.00% p.a. Reverse Convertible on Givaudan, Siegfried, Straumann

Title

CH1476912048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912048

Fälligkeitstag

14.10.2026

Basiswert

Straumann Holding AG, Siegfried Holding AG, Givaudan SA - CH1476912048

10.00% p.a. Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1492031765 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031765

Fälligkeitstag

01.02.2027

Basiswert

Leonardo S.p.a., Rheinmetall AG, Thales SA - CH1492031765

10.00% p.a. Reverse Convertible on NVIDIA Corp.

Title

CH1492029710 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492029710

Fälligkeitstag

22.10.2026

Basiswert

NVIDIA Corp.

10.00% p.a. Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1492031732 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031732

Fälligkeitstag

01.02.2027

Basiswert

Siemens Energy AG, Schneider Electric SE - CH1492031732

10.01% (10.01% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492028217 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028217

Fälligkeitstag

15.01.2027

Basiswert

Logitech International SA

10.01% (10.50% p.a.) Barrier Reverse Convertible on Alcon, Geberit, Logitech

Title

CH1492028118 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028118

Fälligkeitstag

28.12.2026

Basiswert

Logitech International SA, Alcon Inc., Geberit AG - CH1492028118

10.01% p.a. Autocallable Barrier Reverse Convertible on Allianz, ASML, LVMH Moët Hennessy Louis Vuitton, Siemens (Quanto CHF)

Title

CH1532237307 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237307

Fälligkeitstag

24.02.2027

Basiswert

Allianz SE, Siemens AG, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1532237307

10.01% p.a. Autocallable Reverse Convertible on Allianz, ASML, Deutsche Telekom

Title

CH1492035345 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035345

Fälligkeitstag

17.02.2027

Basiswert

Allianz SE, ASML Holding NV, Deutsche Telekom AG - CH1492035345

10.01% p.a. Reverse Convertible on SK Hynix Inc. (Quanto CHF)

Title

CH1548149934 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149934

Fälligkeitstag

21.08.2028

Basiswert

SK Hynix Inc.

10.02% (22.13% p.a.) Barrier Reverse Convertible on Adecco, Alcon, Clariant

Title

CH1548143317 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143317

Fälligkeitstag

29.12.2026

Basiswert

Adecco Group AG, Alcon Inc., Clariant AG - CH1548143317

10.02% (9.96% p.a.) Reverse Convertible on ASML, ENI, LVMH Moët Hennessy Louis Vuitton

Title

CH1596851902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851902

Fälligkeitstag

30.08.2027

Basiswert

ENI SpA, ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE - CH1596851902

10.02% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Lonza, Swiss Re

Title

CH1492027466 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027466

Fälligkeitstag

12.07.2027

Basiswert

Lonza Group AG, Alcon Inc., Swiss Re AG, Givaudan SA - CH1492027466

10.02% p.a. Autocallable Reverse Convertible on ASML, Dassault, SAP

Title

CH1548143200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143200

Fälligkeitstag

16.07.2027

Basiswert

SAP SE, ASML Holding NV, Dassault Systèmes S.A. - CH1548143200

10.02% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft

Title

CH1532245045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245045

Fälligkeitstag

01.04.2027

Basiswert

Microsoft Corp., Alphabet, Inc. - CH1532245045

10.02% p.a. Barrier Reverse Convertible on Bank of America, Goldman Sachs, Visa

Title

CH1492016659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016659

Fälligkeitstag

21.10.2026

Basiswert

Visa Inc., Bank of America Corporation, The Goldman Sachs Group, Inc. - CH1492016659

10.02% p.a. Reverse Convertible on L3Harris Technologies, Lockheed Martin, RTX Corporation (Quanto CHF)

Title

CH1532245912 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245912

Fälligkeitstag

05.10.2026

Basiswert

Lockheed Martin Corp, RTX Corporation, L3Harris Technologies Inc. - CH1532245912

10.03% p.a. Autocallable Barrier Reverse Convertible on Siemens Energy AG

Title

CH1548139554 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139554

Fälligkeitstag

24.06.2027

Basiswert

Siemens Energy AG

10.03% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1476904847 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476904847

Fälligkeitstag

01.03.2027

Basiswert

Palantir Technologies Inc.

10.03% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Bayer, Munich Re (Quanto CHF)

Title

CH1548145718 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145718

Fälligkeitstag

29.07.2027

Basiswert

Bayer AG, Münchener Rückversicherungs AG, ABN AMRO Bank N.V - CH1548145718

10.03% p.a. Barrier Reverse Convertible on ASML, Novartis, Swiss Re, VAT (Quanto CHF)

Title

CH1492019620 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019620

Fälligkeitstag

09.11.2026

Basiswert

Swiss Re AG, VAT Group AG, Novartis AG, ASML Holding NV - CH1492019620

10.04% (10.04% p.a.) Barrier Reverse Convertible on ASML, SAP, Unilever PLC

Title

CH1476910570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910570

Fälligkeitstag

02.10.2026

Basiswert

ASML Holding NV, Unilever PLC, SAP SE - CH1476910570

10.04% (20.08% p.a.) Reverse Convertible on Broadcom, NVIDIA

Title

CH1532242406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242406

Fälligkeitstag

17.09.2026

Basiswert

NVIDIA Corp., Broadcom Inc. - CH1532242406

10.04% p.a. Autocallable Reverse Convertible on Airbnb, Take-Two Interactive (Quanto EUR)

Title

CH1548144745 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144745

Fälligkeitstag

23.07.2027

Basiswert

Airbnb Inc., Take-Two Interactive Software Inc. - CH1548144745

10.04% p.a. Autocallable Reverse Convertible on Nike Inc.

Title

CH1548131056 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131056

Fälligkeitstag

07.05.2027

Basiswert

Nike Inc.

10.04% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Munich Re

Title

CH1548129811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129811

Fälligkeitstag

03.05.2027

Basiswert

ABN AMRO Bank N.V, Banco Santander SA, Münchener Rückversicherungs AG - CH1548129811

10.04% p.a. Barrier Reverse Convertible on Amgen, Coca-Cola, Verizon Communications

Title

CH1476905661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905661

Fälligkeitstag

01.09.2026

Basiswert

Verizon Communications Inc., Coca-Cola Company, Amgen Inc. - CH1476905661

10.05% (10.05% p.a.) Barrier Reverse Convertible on Lonza, LVMH Moët Hennessy Louis Vuitton, Swiss Life (Quanto CHF)

Title

CH1532247157 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247157

Fälligkeitstag

15.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Lonza Group AG, Swiss Life Holding AG - CH1532247157

10.05% p.a. Autocallable Barrier Reverse Convertible on Holcim, Sandoz Group, Sulzer

Title

CH1492033555 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033555

Fälligkeitstag

10.02.2027

Basiswert

Sandoz Group AG, Sulzer AG, Holcim Ltd - CH1492033555

10.05% p.a. Barrier Reverse Convertible on Alcon, Roche, Sandoz Group

Title

CH1532238669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238669

Fälligkeitstag

26.02.2027

Basiswert

Alcon Inc., Roche Holding AG, Sandoz Group AG - CH1532238669

10.05% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Straumann

Title

CH1548144257 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144257

Fälligkeitstag

21.07.2027

Basiswert

Straumann Holding AG, Logitech International SA, Kuehne + Nagel International AG - CH1548144257

10.05% p.a. Reverse Convertible on Eli Lilly, Novartis, Roche (Quanto CHF)

Title

CH1532245920 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245920

Fälligkeitstag

05.10.2026

Basiswert

Eli Lilly & Co., Roche Holding AG, Novartis AG - CH1532245920

10.05% p.a. Reverse Convertible on EssilorLuxottica, Hermes, L´Oréal

Title

CH1532237679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237679

Fälligkeitstag

25.02.2027

Basiswert

EssilorLuxottica SA, Hermes International, L´Oréal International - CH1532237679

10.06% (10.06% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1548129449 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129449

Fälligkeitstag

30.04.2027

Basiswert

ASML Holding NV

10.06% (19.90% p.a.) Barrier Reverse Convertible on Air France-KLM, Lufthansa

Title

CH1548149769 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149769

Fälligkeitstag

22.02.2027

Basiswert

Deutsche Lufthansa AG, Air France-KLM - CH1548149769

10.06% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1548145007 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145007

Fälligkeitstag

25.01.2028

Basiswert

Tesla Inc.

10.06% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Partners Group Holding

Title

CH1548126528 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126528

Fälligkeitstag

19.04.2027

Basiswert

Logitech International SA, Julius Bär Gruppe AG, Partners Group Holding AG - CH1548126528

10.06% p.a. Callable Barrier Reverse Convertible on Alcon, Givaudan, Logitech

Title

CH1492030460 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030460

Fälligkeitstag

27.07.2027

Basiswert

Logitech International SA, Alcon Inc., Givaudan SA - CH1492030460

10.06% p.a. Callable Barrier Reverse Convertible on Bachem, Sandoz Group, Siegfried

Title

CH1548140479 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140479

Fälligkeitstag

28.06.2027

Basiswert

Bachem Holding AG, Siegfried Holding AG, Sandoz Group AG - CH1548140479

10.06% p.a. Callable Barrier Reverse Convertible on Deutsche Bank, ING, SAP, Siemens (Quanto CHF)

Title

CH1492021352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021352

Fälligkeitstag

19.11.2026

Basiswert

ING Groep N.V., SAP SE, Siemens AG, Deutsche Bank AG - CH1492021352

10.07% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA

Title

CH1548140552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140552

Fälligkeitstag

31.12.2026

Basiswert

AXA SA, Allianz SE - CH1548140552

10.07% p.a. Autocallable Reverse Convertible on Bank of America, JPMorgan Chase, Wells Fargo

Title

CH1548143937 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143937

Fälligkeitstag

21.01.2027

Basiswert

JPMorgan Chase & Co., Bank of America Corporation, Wells Fargo & Company - CH1548143937

10.07% p.a. Autocallable Reverse Convertible on Microsoft, Netflix (Quanto EUR)

Title

CH1532241440 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241440

Fälligkeitstag

11.03.2027

Basiswert

Microsoft Corp., Netflix Inc. - CH1532241440

10.08% (10.08% p.a.) Reverse Convertible on Airbnb Inc.

Title

CH1548131288 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131288

Fälligkeitstag

07.05.2027

Basiswert

Airbnb Inc.

10.08% p.a. Autocallable Barrier Reverse Convertible on Adecco, Huber + Suhner

Title

CH1548146328 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146328

Fälligkeitstag

03.02.2027

Basiswert

Adecco Group AG, Huber + Suhner AG - CH1548146328

10.08% p.a. Autocallable Barrier Reverse Convertible on BASF, Daimler Truck, Deutsche Post, Heidelberg Materials (Quanto CHF)

Title

CH1532237851 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237851

Fälligkeitstag

25.02.2027

Basiswert

Heidelberg Materials AG, Daimler Truck Holding AG, BASF SE, Deutsche Post AG - CH1532237851

10.08% p.a. Autocallable Barrier Reverse Convertible on Barry Callebaut AG

Title

CH1492035139 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492035139

Fälligkeitstag

17.02.2027

Basiswert

Barry Callebaut AG

10.08% p.a. Autocallable Reverse Convertible on Adecco, Swiss Re

Title

CH1548147201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147201

Fälligkeitstag

04.02.2027

Basiswert

Swiss Re AG, Adecco Group AG - CH1548147201

10.08% p.a. Barrier Reverse Convertible on Adidas, Givaudan, Holcim, Microsoft, Palo Alto Networks, Partners Group Holding (Quanto CHF)

Title

CH1492019646 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019646

Fälligkeitstag

09.11.2026

Basiswert

Givaudan SA, Holcim Ltd, Adidas AG, Microsoft Corp., Partners Group Holding AG, Palo Alto Networks, Inc. - CH1492019646

10.08% p.a. Barrier Reverse Convertible on Alibaba Group, Byd Co, Tencent (Quanto USD)

Title

CH1492025197 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025197

Fälligkeitstag

18.12.2026

Basiswert

Alibaba Group Holding Limited, BYD Company Limited, Tencent Holdings Limited - CH1492025197

10.08% p.a. Barrier Reverse Convertible on Deutsche Telekom, SAP, Siemens

Title

CH1532242521 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242521

Fälligkeitstag

17.03.2028

Basiswert

SAP SE, Deutsche Telekom AG, Siemens AG - CH1532242521

10.08% p.a. Reverse Convertible on Tui, Unilever PLC

Title

CH1476911891 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911891

Fälligkeitstag

13.10.2026

Basiswert

Tui AG, Unilever PLC - CH1476911891

10.09% (10.09% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Sandoz Group

Title

CH1548135727 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135727

Fälligkeitstag

04.06.2027

Basiswert

Kuehne + Nagel International AG, Logitech International SA, Sandoz Group AG - CH1548135727

10.09% p.a. Autocallable Barrier Reverse Convertible on ASML, Siemens Healthineers, Symrise

Title

CH1492028043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028043

Fälligkeitstag

15.09.2026

Basiswert

ASML Holding NV, Symrise AG, Siemens Healthineers AG - CH1492028043

10.09% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1548138127 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138127

Fälligkeitstag

16.06.2027

Basiswert

Partners Group Holding AG

10.09% p.a. Autocallable Reverse Convertible on Broadcom Inc.

Title

CH1548138119 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138119

Fälligkeitstag

16.06.2027

Basiswert

Broadcom Inc.

10.09% p.a. Autocallable Reverse Convertible on Deutsche Telekom, Orange, Stellantis

Title

CH1548138721 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138721

Fälligkeitstag

19.06.2029

Basiswert

Stellantis N.V., Orange S.A., Deutsche Telekom AG - CH1548138721

10.09% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Logitech

Title

CH1532244410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244410

Fälligkeitstag

30.03.2027

Basiswert

Logitech International SA, Alcon Inc., Givaudan SA - CH1532244410

10.10% p.a. Autocallable Barrier Reverse Convertible on ASML, ENI, Mercedes-Benz Group

Title

CH1476904383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904383

Fälligkeitstag

25.02.2027

Basiswert

ENI SpA, ASML Holding NV, Mercedes-Benz Group AG - CH1476904383

10.10% p.a. Autocallable Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann, Swissquote

Title

CH1492021477 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021477

Fälligkeitstag

20.11.2026

Basiswert

Straumann Holding AG, Sandoz Group AG, Lonza Group AG, Swissquote Group Holding SA - CH1492021477

10.10% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com

Title

CH1548131890 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131890

Fälligkeitstag

12.05.2027

Basiswert

Amazon.com Inc., Alphabet, Inc. - CH1548131890

10.10% p.a. Barrier Reverse Convertible on Dow Inc

Title

CH1492032359 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492032359

Fälligkeitstag

04.02.2027

Basiswert

Dow Inc

10.10% p.a. Barrier Reverse Convertible on Eli Lilly, Novo Nordisk, UnitedHealth

Title

CH1476906008 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906008

Fälligkeitstag

03.09.2026

Basiswert

Eli Lilly & Co., Novo Nordisk A/S, UnitedHealth Group Inc. - CH1476906008

10.11% (10.05% p.a.) Barrier Reverse Convertible on Geberit, Givaudan, UBS Group

Title

CH1532244931 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244931

Fälligkeitstag

02.04.2027

Basiswert

Geberit AG, Givaudan SA, UBS Group AG - CH1532244931

10.11% (10.11% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika, VAT

Title

CH1492021402 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021402

Fälligkeitstag

19.11.2026

Basiswert

VAT Group AG, Sika AG, Partners Group Holding AG, Kuehne + Nagel International AG - CH1492021402

10.11% (10.11% p.a.) Reverse Convertible on Lonza, Richemont, Swiss Re

Title

CH1548149363 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149363

Fälligkeitstag

19.08.2027

Basiswert

Lonza Group AG, Compagnie Financière Richemont SA, Swiss Re AG - CH1548149363

10.11% p.a. Autocallable Barrier Reverse Convertible on Heidelberg Materials, Holcim, Partners Group Holding, Sika (Quanto CHF)

Title

CH1548128649 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128649

Fälligkeitstag

28.04.2027

Basiswert

Partners Group Holding AG, Sika AG, Holcim Ltd, Heidelberg Materials AG - CH1548128649

10.11% p.a. Autocallable Barrier Reverse Convertible on Tesla, Uber Technologies

Title

CH1492017087 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017087

Fälligkeitstag

23.10.2026

Basiswert

Uber Technologies Inc., Tesla Inc. - CH1492017087

10.11% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1532245532 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245532

Fälligkeitstag

05.04.2027

Basiswert

NVIDIA Corp.

10.11% p.a. Barrier Reverse Convertible on ABB, Givaudan, Holcim

Title

CH1532246464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246464

Fälligkeitstag

08.03.2027

Basiswert

Givaudan SA, ABB Ltd, Holcim Ltd - CH1532246464

10.11% p.a. Barrier Reverse Convertible on Adecco, Barry Callebaut, Givaudan

Title

CH1492022848 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022848

Fälligkeitstag

02.12.2026

Basiswert

Barry Callebaut AG, Adecco Group AG, Givaudan SA - CH1492022848

10.11% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Partners Group Holding

Title

CH1548149157 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149157

Fälligkeitstag

18.08.2027

Basiswert

Partners Group Holding AG, Julius Bär Gruppe AG, Logitech International SA - CH1548149157

10.11% p.a. Callable Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492023291 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023291

Fälligkeitstag

04.09.2026

Basiswert

Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1492023291

10.12% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Straumann, Swiss Life

Title

CH1492036111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036111

Fälligkeitstag

22.02.2027

Basiswert

Straumann Holding AG, Swiss Life Holding AG, Alcon Inc. - CH1492036111

10.12% (13.44% p.a.) Reverse Convertible on Comet, Inficon, VAT

Title

CH1548129514 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129514

Fälligkeitstag

01.02.2027

Basiswert

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548129514

10.12% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, UBS Group

Title

CH1476910372 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910372

Fälligkeitstag

01.10.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Partners Group Holding AG, UBS Group AG - CH1476910372

10.12% p.a. Autocallable Reverse Convertible on BMW, Daimler Truck, Volkswagen

Title

CH1548145916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145916

Fälligkeitstag

30.04.2027

Basiswert

Daimler Truck Holding AG, Volkswagen AG, Bayerische Motoren Werke AG - CH1548145916

10.12% p.a. Autocallable Reverse Convertible on Chevron Corp.

Title

CH1548145239 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145239

Fälligkeitstag

28.01.2027

Basiswert

Chevron Corp.

10.12% p.a. Barrier Reverse Convertible on Georg Fischer, Nestlé, Schneider Electric, VAT (Quanto CHF)

Title

CH1548130538 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130538

Fälligkeitstag

05.05.2027

Basiswert

Nestlé SA, VAT Group AG, Georg Fischer AG, Schneider Electric SE - CH1548130538

10.12% p.a. Callable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1548145072 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145072

Fälligkeitstag

27.07.2027

Basiswert

Rheinmetall AG

10.12% p.a. Callable Reverse Convertible on GE Aerospace, Honeywell, Northrop Grumman

Title

CH1532244352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244352

Fälligkeitstag

29.03.2027

Basiswert

GE Aerospace, Honeywell International Inc., Northrop Grumman Corp - CH1532244352

10.13% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Sika

Title

CH1548136246 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136246

Fälligkeitstag

07.06.2027

Basiswert

Alcon Inc., Sika AG, Partners Group Holding AG - CH1548136246

10.13% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Fresenius, RWE

Title

CH1548141659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141659

Fälligkeitstag

06.07.2027

Basiswert

Deutsche Telekom AG, Fresenius SE & Co. KGaA, RWE AG - CH1548141659

10.13% p.a. Autocallable Barrier Reverse Convertible on Richemont, Straumann, Swissquote, Ypsomed

Title

CH1492028928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028928

Fälligkeitstag

19.01.2027

Basiswert

Ypsomed Holding AG, Swissquote Group Holding SA, Straumann Holding AG, Compagnie Financière Richemont SA - CH1492028928

10.14% p.a. Autocallable Reverse Convertible on MercadoLibre Inc.

Title

CH1548144091 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144091

Fälligkeitstag

20.07.2027

Basiswert

MercadoLibre Inc.

10.14% p.a. Autocallable Reverse Convertible on Meta Platforms Inc.

Title

CH1476909978 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909978

Fälligkeitstag

29.09.2026

Basiswert

Meta Platforms Inc.

10.14% p.a. Barrier Reverse Convertible on ASM International, Siemens, STMicroelectronics

Title

CH1492018374 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018374

Fälligkeitstag

01.11.2027

Basiswert

Siemens AG, STMicroelectronics NV, ASM International NV - CH1492018374

10.14% p.a. Barrier Reverse Convertible on Holcim, Logitech, Sika

Title

CH1548131981 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131981

Fälligkeitstag

13.05.2027

Basiswert

Holcim Ltd, Logitech International SA, Sika AG - CH1548131981

10.14% p.a. Barrier Reverse Convertible on The Walt Disney Company

Title

CH1532237489 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237489

Fälligkeitstag

24.02.2027

Basiswert

The Walt Disney Company

10.15% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Julius Bär, Lonza

Title

CH1532245425 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245425

Fälligkeitstag

05.04.2027

Basiswert

Alcon Inc., Julius Bär Gruppe AG, Lonza Group AG - CH1532245425

10.15% p.a. Autocallable Barrier Reverse Convertible on Geberit, Nestlé, Roche (Quanto EUR)

Title

CH1548145262 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145262

Fälligkeitstag

28.07.2027

Basiswert

Nestlé SA, Roche Holding AG, Geberit AG - CH1548145262

10.15% p.a. Autocallable Barrier Reverse Convertible on Hermes, Netflix, Procter & Gamble (Quanto EUR)

Title

CH1492028365 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028365

Fälligkeitstag

19.01.2027

Basiswert

Netflix Inc., The Procter & Gamble Company, Hermes International - CH1492028365

10.15% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms, Moncler (Quanto EUR)

Title

CH1548142954 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142954

Fälligkeitstag

15.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Moncler SpA, Meta Platforms Inc. - CH1548142954

10.15% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1548126619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126619

Fälligkeitstag

19.04.2027

Basiswert

UBS Group AG, Novartis AG, Roche Holding AG - CH1548126619

10.15% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika

Title

CH1532243974 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243974

Fälligkeitstag

24.03.2027

Basiswert

Partners Group Holding AG, Sika AG - CH1532243974

10.15% p.a. Callable Reverse Convertible on JD.com, Inc.

Title

CH1596851704 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851704

Fälligkeitstag

29.02.2028

Basiswert

JD.com, Inc.

10.16% p.a. Barrier Reverse Convertible on Adidas, Deutsche Post, Kering (Quanto CHF)

Title

CH1548145692 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145692

Fälligkeitstag

29.07.2027

Basiswert

Adidas AG, Kering SA, Deutsche Post AG - CH1548145692

10.17% (10.17% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, UBS Group

Title

CH1548141501 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141501

Fälligkeitstag

06.07.2027

Basiswert

Alcon Inc., UBS Group AG, Givaudan SA - CH1548141501

10.17% (10.20% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Straumann

Title

CH1548134142 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134142

Fälligkeitstag

26.05.2027

Basiswert

Straumann Holding AG, Julius Bär Gruppe AG, Partners Group Holding AG - CH1548134142

10.17% (4.69% p.a.) Reverse Convertible on Nestlé, Roche

Title

CH1476909531 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909531

Fälligkeitstag

25.11.2027

Basiswert

Roche Holding AG, Nestlé SA - CH1476909531

10.17% (40.71% p.a.) Reverse Convertible on Accenture, IBM, Salesforce

Title

CH1548144687 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144687

Fälligkeitstag

23.10.2026

Basiswert

International Business Machines Corp., Accenture PLC, Salesforce, Inc. - CH1548144687

10.17% p.a. Autocallable Barrier Reverse Convertible on ETF Invesco QQQ Trust Series I, iShares China Large-Cap ETF, iShares Russell 2000 Index Fund

Title

CH1548145106 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145106

Fälligkeitstag

27.01.2028

Basiswert

ETF Invesco QQQ Trust Series I, iShares Russell 2000 Index Fund, iShares China Large-Cap ETF - CH1548145106

10.17% p.a. Autocallable Barrier Reverse Convertible on Prysmian, Sanofi, Symrise, TotalEnergies

Title

CH1468579078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579078

Fälligkeitstag

23.07.2027

Basiswert

Prysmian SpA, TotalEnergies SE , Sanofi SA, Symrise AG - CH1468579078

10.17% p.a. Callable Reverse Convertible on L3Harris Technologies, Northrop Grumman, Palantir

Title

CH1468579755 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579755

Fälligkeitstag

29.07.2027

Basiswert

Palantir Technologies Inc., Northrop Grumman Corp, L3Harris Technologies Inc. - CH1468579755

10.18% (10.12% p.a.) Barrier Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1492022392 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022392

Fälligkeitstag

30.11.2026

Basiswert

Alphabet, Inc., Apple Inc., NVIDIA Corp. - CH1492022392

10.18% p.a. Barrier Reverse Convertible on ENI, Intesa Sanpaolo, Stellantis (Quanto CHF)

Title

CH1492026260 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026260

Fälligkeitstag

28.12.2026

Basiswert

ENI SpA, Intesa Sanpaolo SpA, Stellantis N.V. - CH1492026260

10.18% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Swiss Re

Title

CH1548130280 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130280

Fälligkeitstag

04.05.2027

Basiswert

Givaudan SA, Swiss Re AG, Lonza Group AG - CH1548130280

10.18% p.a. Reverse Convertible on Roche Holding AG

Title

CH1548143036 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143036

Fälligkeitstag

15.10.2026

Basiswert

Roche Holding AG

10.19% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Société Générale, UBS Group (Quanto USD)

Title

CH1492028506 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028506

Fälligkeitstag

16.04.2027

Basiswert

Deutsche Bank AG, Société Générale, UBS Group AG - CH1492028506

10.19% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548130579 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130579

Fälligkeitstag

05.05.2027

Basiswert

Walmart Inc., Costco Wholesale Corp., Corning Inc. - CH1548130579

10.19% p.a. Autocallable Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1548143101 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143101

Fälligkeitstag

17.01.2028

Basiswert

Rheinmetall AG, Leonardo S.p.a., Thales SA - CH1548143101

10.19% p.a. Callable Barrier Reverse Convertible on Alphabet, Halliburton, Microsoft, SLB Ltd (Quanto CHF)

Title

CH1492032383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032383

Fälligkeitstag

04.02.2027

Basiswert

Halliburton Co., Alphabet, Inc., Microsoft Corp., SLB Ltd - CH1492032383

10.19% p.a. Reverse Convertible on Givaudan, VAT

Title

CH1492022632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022632

Fälligkeitstag

30.11.2026

Basiswert

Givaudan SA, VAT Group AG - CH1492022632

10.20% (10.20% p.a.) Barrier Reverse Convertible on AXA, LVMH Moët Hennessy Louis Vuitton, Munich Re, Vonovia

Title

CH1492035196 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035196

Fälligkeitstag

17.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Vonovia SE, AXA SA, Münchener Rückversicherungs AG - CH1492035196

10.20% (10.20% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548127666 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127666

Fälligkeitstag

22.04.2027

Basiswert

NVIDIA Corp.

10.20% p.a. Autocallable Barrier Reverse Convertible on Allianz, BNP Paribas, Intesa Sanpaolo, Siemens (Quanto CHF)

Title

CH1548146146 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146146

Fälligkeitstag

02.08.2027

Basiswert

Allianz SE, Siemens AG, BNP Paribas, Intesa Sanpaolo SpA - CH1548146146

10.20% p.a. Autocallable Barrier Reverse Convertible on Allianz, Deutsche Börse, Deutsche Post, Deutsche Telekom

Title

CH1548136899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136899

Fälligkeitstag

10.06.2027

Basiswert

Allianz SE, Deutsche Post AG, Deutsche Telekom AG, Deutsche Börse AG - CH1548136899

10.20% p.a. Autocallable Reverse Convertible on Constellation Energy, ENGIE, Nextera Energy (Quanto USD)

Title

CH1548146450 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146450

Fälligkeitstag

03.02.2028

Basiswert

Constellation Energy Corp., ENGIE SA, Nextera Energy Inc. - CH1548146450

10.20% p.a. Barrier Reverse Convertible on Galderma Group, Kardex, Microsoft, Nestlé, RWE, Visa (Quanto CHF)

Title

CH1548148290 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148290

Fälligkeitstag

13.08.2027

Basiswert

Galderma Group Ltd, Nestlé SA, Kardex AG, Microsoft Corp., Visa Inc., RWE AG - CH1548148290

10.20% p.a. Callable Barrier Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532243388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243388

Fälligkeitstag

19.03.2027

Basiswert

Alcon Inc., Sandoz Group AG, Galderma Group Ltd - CH1532243388

10.21% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, BNP Paribas, Intesa Sanpaolo, UBS Group (Quanto CHF)

Title

CH1548146161 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146161

Fälligkeitstag

02.08.2027

Basiswert

UBS Group AG, Intesa Sanpaolo SpA, BNP Paribas, Banco Santander SA - CH1548146161

10.21% p.a. Barrier Reverse Convertible on Deutsche Telekom, Lonza, Novartis, Partners Group Holding, Roche, Straumann (Quanto EUR)

Title

CH1548143226 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143226

Fälligkeitstag

16.07.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Novartis AG, Roche Holding AG, Partners Group Holding AG, Deutsche Telekom AG - CH15481...

10.21% p.a. Barrier Reverse Convertible on Givaudan, Holcim, Kardex, Sandoz Group, Sika

Title

CH1492027342 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027342

Fälligkeitstag

07.01.2027

Basiswert

Givaudan SA, Sika AG, Kardex AG, Sandoz Group AG, Holcim Ltd - CH1492027342

10.21% p.a. Barrier Reverse Convertible on Logitech, Swiss Re, UBS Group

Title

CH1548130504 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130504

Fälligkeitstag

05.05.2027

Basiswert

Logitech International SA, UBS Group AG, Swiss Re AG - CH1548130504

10.21% p.a. Callable Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Tecan

Title

CH1476903583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903583

Fälligkeitstag

16.08.2027

Basiswert

Tecan Group Ltd., Kuehne + Nagel International AG, Logitech International SA - CH1476903583

10.22% (10.22% p.a.) Reverse Convertible on Alphabet, Amazon.com, Meta Platforms

Title

CH1548144133 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144133

Fälligkeitstag

20.07.2027

Basiswert

Meta Platforms Inc., Amazon.com Inc., Alphabet, Inc. - CH1548144133

10.22% (11.36% p.a.) Reverse Convertible on Deutsche Telekom AG

Title

CH1492019513 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492019513

Fälligkeitstag

30.09.2026

Basiswert

Deutsche Telekom AG

10.22% (20.23% p.a.) Barrier Reverse Convertible on BASF, K+S

Title

CH1548126650 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126650

Fälligkeitstag

19.10.2026

Basiswert

BASF SE, K+S AG - CH1548126650

10.22% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto CHF)

Title

CH1548143507 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143507

Fälligkeitstag

19.07.2027

Basiswert

Rheinmetall AG, BAE Systems PLC, Leonardo S.p.a. - CH1548143507

10.22% p.a. Autocallable Barrier Reverse Convertible on Bank of America, JPMorgan Chase, Morgan Stanley, UBS Group (Quanto EUR)

Title

CH1548141642 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141642

Fälligkeitstag

07.07.2027

Basiswert

UBS Group AG, Morgan Stanley, JPMorgan Chase & Co., Bank of America Corporation - CH1548141642

10.22% p.a. Autocallable Reverse Convertible on Netflix Inc.

Title

CH1532239410 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239410

Fälligkeitstag

03.03.2027

Basiswert

Netflix Inc.

10.23% p.a. Barrier Reverse Convertible on ABB, Siemens Energy (Quanto CHF)

Title

CH1548127468 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127468

Fälligkeitstag

23.04.2029

Basiswert

ABB Ltd, Siemens Energy AG - CH1548127468

10.23% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Swissquote, VAT

Title

CH1532237364 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237364

Fälligkeitstag

24.02.2027

Basiswert

VAT Group AG, Swissquote Group Holding SA, Kuehne + Nagel International AG - CH1532237364

10.24% (20.25% p.a.) Barrier Reverse Convertible on Adobe, Salesforce, SAP (Quanto EUR)

Title

CH1548132906 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132906

Fälligkeitstag

17.11.2026

Basiswert

Salesforce, Inc., SAP SE, Adobe Systems Inc. - CH1548132906

10.24% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492017251 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017251

Fälligkeitstag

26.10.2026

Basiswert

NVIDIA Corp., Apple Inc., Microsoft Corp. - CH1492017251

10.25% (10.26% p.a.) Barrier Reverse Convertible on Logitech, Nestlé, Roche, Swiss Life

Title

CH1548145569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145569

Fälligkeitstag

29.07.2027

Basiswert

Swiss Life Holding AG, Nestlé SA, Logitech International SA, Roche Holding AG - CH1548145569

10.25% p.a. Barrier Reverse Convertible on Allianz, Danone, Infineon, SAP

Title

CH1492016683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016683

Fälligkeitstag

22.10.2026

Basiswert

Allianz SE, Danone SA, Infineon Technologies AG, SAP SE - CH1492016683

10.25% p.a. Barrier Reverse Convertible on Alstom, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1548131957 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131957

Fälligkeitstag

13.05.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA, Alstom SA - CH1548131957

10.25% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1548144216 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144216

Fälligkeitstag

21.07.2028

Basiswert

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1548144216

10.25% p.a. Reverse Convertible on Meta Platforms, NVIDIA (Quanto GBP)

Title

CH1548134886 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134886

Fälligkeitstag

28.05.2027

Basiswert

NVIDIA Corp., Meta Platforms Inc. - CH1548134886

10.26% (10.26% p.a.) Barrier Reverse Convertible on Barry Callebaut, Nestlé, Straumann

Title

CH1548141519 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141519

Fälligkeitstag

06.07.2027

Basiswert

Barry Callebaut AG, Nestlé SA, Straumann Holding AG - CH1548141519

10.26% p.a. Autocallable Barrier Reverse Convertible on Adobe, AMD, Broadcom

Title

CH1492028126 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028126

Fälligkeitstag

15.01.2027

Basiswert

Broadcom Inc., Advanced Micro Devices Inc., Adobe Systems Inc. - CH1492028126

10.26% p.a. Barrier Reverse Convertible on Adidas, ASML, Pfizer, Richemont, Siemens Healthineers (Quanto CHF)

Title

CH1492032656 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032656

Fälligkeitstag

05.02.2027

Basiswert

Pfizer Inc., Siemens Healthineers AG, Compagnie Financière Richemont SA, Adidas AG, ASML Holding NV - CH1492032656

10.26% p.a. Barrier Reverse Convertible on Adidas, Deutsche Telekom, ENI

Title

CH1548146559 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146559

Fälligkeitstag

04.08.2027

Basiswert

ENI SpA, Adidas AG, Deutsche Telekom AG - CH1548146559

10.26% p.a. Barrier Reverse Convertible on Givaudan, Richemont, UBS Group

Title

CH1548126502 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126502

Fälligkeitstag

19.04.2027

Basiswert

Givaudan SA, UBS Group AG, Compagnie Financière Richemont SA - CH1548126502

10.27% (10.21% p.a.) Barrier Reverse Convertible on Amrize Ltd, Partners Group Holding, SAP (Quanto CHF)

Title

CH1492034462 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034462

Fälligkeitstag

15.02.2027

Basiswert

Amrize Ltd, SAP SE, Partners Group Holding AG - CH1492034462

10.27% (10.27% p.a.) Reverse Convertible on Amazon.com, Colgate-Palmolive, PepsiCo

Title

CH1548150775 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150775

Fälligkeitstag

25.08.2027

Basiswert

Amazon.com Inc., Colgate-Palmolive Company, PepsiCo Inc. - CH1548150775

10.27% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis (Quanto CHF)

Title

CH1492024950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024950

Fälligkeitstag

17.12.2026

Basiswert

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024950

10.27% p.a. Barrier Reverse Convertible on Allianz, Amazon.com, Helvetia, Richemont, SAP (Quanto EUR)

Title

CH1476908863 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908863

Fälligkeitstag

22.09.2026

Basiswert

Allianz SE, SAP SE, Amazon.com Inc., Compagnie Financière Richemont SA, Helvetia Holding AG - CH1476908863

10.28% (10.28% p.a.) Barrier Reverse Convertible on ASML, SAP, Unilever PLC

Title

CH1476911180 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911180

Fälligkeitstag

09.10.2026

Basiswert

ASML Holding NV, Unilever PLC, SAP SE - CH1476911180

10.28% (10.28% p.a.) Reverse Convertible on BP, Reckitt Benckiser , Rio Tinto

Title

CH1548140750 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140750

Fälligkeitstag

01.07.2027

Basiswert

Rio Tinto PLC, BP PLC, Reckitt Benckiser Group PLC - CH1548140750

10.28% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis (Quanto CHF)

Title

CH1492024935 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024935

Fälligkeitstag

17.12.2026

Basiswert

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024935

10.28% p.a. Autocallable Barrier Reverse Convertible on KraneShares CSI China Internet ETF

Title

CH1492023499 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023499

Fälligkeitstag

07.12.2026

Basiswert

KraneShares CSI China Internet ETF

10.28% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft

Title

CH1532245722 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245722

Fälligkeitstag

05.04.2027

Basiswert

Amazon.com Inc., Microsoft Corp. - CH1532245722

10.29% p.a. Autocallable Barrier Reverse Convertible on Comet, Galderma Group, Kardex

Title

CH1476906107 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906107

Fälligkeitstag

04.09.2026

Basiswert

Comet Holding AG, Galderma Group Ltd, Kardex AG - CH1476906107

10.29% p.a. Barrier Reverse Convertible on Kering, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492033480 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033480

Fälligkeitstag

09.02.2027

Basiswert

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492033480

10.30% (10.24% p.a.) Barrier Reverse Convertible on Accor, ASML, Shell

Title

CH1492020586 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020586

Fälligkeitstag

16.11.2026

Basiswert

Accor SA, ASML Holding NV, Shell PLC - CH1492020586

10.30% (13.59% p.a.) Barrier Reverse Convertible on Lonza, VAT

Title

CH1532243578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243578

Fälligkeitstag

23.12.2026

Basiswert

VAT Group AG, Lonza Group AG - CH1532243578

10.30% p.a. Autocallable Barrier Reverse Convertible on AXA, Orange, Schneider Electric, St-Gobain

Title

CH1492035485 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035485

Fälligkeitstag

18.02.2027

Basiswert

Schneider Electric SE, Compagnie de St-Gobain, Orange S.A., AXA SA - CH1492035485

10.30% p.a. Autocallable Barrier Reverse Convertible on Carlsberg, Netflix, Nike (Quanto EUR)

Title

CH1492031880 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031880

Fälligkeitstag

02.02.2027

Basiswert

Carlsberg A/S, Netflix Inc., Nike Inc. - CH1492031880

10.30% p.a. Autocallable Reverse Convertible on ING, LVMH Moët Hennessy Louis Vuitton

Title

CH1532241432 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241432

Fälligkeitstag

11.03.2027

Basiswert

ING Groep N.V., LVMH Moët Hennessy Louis Vuitton SE - CH1532241432

10.30% p.a. Barrier Reverse Convertible on Charles Schwab, Citigroup, Visa

Title

CH1532242737 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242737

Fälligkeitstag

17.03.2027

Basiswert

Citigroup Inc., Charles Schwab Corp., Visa Inc. - CH1532242737

10.30% p.a. Barrier Reverse Convertible on Danone, EssilorLuxottica, L´Oréal

Title

CH1532242943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242943

Fälligkeitstag

20.09.2027

Basiswert

Danone SA, EssilorLuxottica SA, L´Oréal International - CH1532242943

10.31% (10.31% p.a.) Barrier Reverse Convertible on Bachem, Barry Callebaut, Logitech

Title

CH1492017095 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017095

Fälligkeitstag

23.10.2026

Basiswert

Logitech International SA, Bachem Holding AG, Barry Callebaut AG - CH1492017095

10.31% (13.70% p.a.) Reverse Convertible on Amazon.com Inc.

Title

CH1532242547 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242547

Fälligkeitstag

18.12.2026

Basiswert

Amazon.com Inc.

10.31% (20.51% p.a.) Barrier Reverse Convertible on Sartorius AG

Title

CH1548143556 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143556

Fälligkeitstag

18.01.2027

Basiswert

Sartorius AG

10.31% (30.95% p.a.) Barrier Reverse Convertible on Carnival, Norwegian Cruise Line, Royal Caribbean Cruises (Quanto AUD)

Title

CH1548129324 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129324

Fälligkeitstag

31.08.2026

Basiswert

Norwegian Cruise Line Holdings Ltd., Carnival Corp., Royal Caribbean Cruises Ltd. - CH1548129324

10.31% p.a. Reverse Convertible on Adobe, AMD, NVIDIA (Quanto CHF)

Title

CH1492029702 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029702

Fälligkeitstag

25.01.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Adobe Systems Inc. - CH1492029702

10.32% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Commerzbank

Title

CH1532241465 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241465

Fälligkeitstag

13.09.2027

Basiswert

Banco Santander SA, Commerzbank AG, ABN AMRO Bank N.V - CH1532241465

10.32% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1492020206 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020206

Fälligkeitstag

12.11.2027

Basiswert

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1492020206

10.32% p.a. Barrier Reverse Convertible on Deutsche Telekom, Galderma Group, Georg Fischer, Givaudan, Roche, Straumann (Quanto CHF)

Title

CH1548143275 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143275

Fälligkeitstag

16.07.2027

Basiswert

Givaudan SA, Deutsche Telekom AG, Roche Holding AG, Straumann Holding AG, Georg Fischer AG, Galderma Group Ltd - CH1548143275

10.33% (10.25% p.a.) Reverse Convertible on Broadcom, Microsoft, Salesforce (Quanto CHF)

Title

CH1532245789 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245789

Fälligkeitstag

05.04.2027

Basiswert

Microsoft Corp., Broadcom Inc., Salesforce, Inc. - CH1532245789

10.33% (10.33% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Straumann, Swissquote

Title

CH1548148258 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148258

Fälligkeitstag

13.08.2027

Basiswert

Helvetia Baloise Holding AG, Swissquote Group Holding SA, Straumann Holding AG - CH1548148258

10.33% (20.33% p.a.) Barrier Reverse Convertible on Allianz, ASML, SAP

Title

CH1548139869 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139869

Fälligkeitstag

28.12.2026

Basiswert

ASML Holding NV, SAP SE, Allianz SE - CH1548139869

10.33% (20.55% p.a.) Barrier Reverse Convertible on Lufthansa, Tui

Title

CH1532242026 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242026

Fälligkeitstag

14.09.2026

Basiswert

Deutsche Lufthansa AG, Tui AG - CH1532242026

10.33% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Rolls-Royce, Saab AB (Quanto EUR)

Title

CH1492034827 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034827

Fälligkeitstag

16.02.2027

Basiswert

Hensoldt AG, Rolls-Royce Holdings PLC, Saab AB - CH1492034827

10.33% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft

Title

CH1532239428 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239428

Fälligkeitstag

03.03.2027

Basiswert

Microsoft Corp., Meta Platforms Inc. - CH1532239428

10.33% p.a. Callable Barrier Reverse Convertible on ABB, Galderma Group, Richemont, Ypsomed

Title

CH1548141709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141709

Fälligkeitstag

06.07.2027

Basiswert

ABB Ltd, Ypsomed Holding AG, Galderma Group Ltd, Compagnie Financière Richemont SA - CH1548141709

10.34% (10.22% p.a.) Reverse Convertible on Georg Fischer, Lonza, Partners Group Holding

Title

CH1532245771 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245771

Fälligkeitstag

06.04.2027

Basiswert

Georg Fischer AG, Partners Group Holding AG, Lonza Group AG - CH1532245771

10.34% (20.02% p.a.) Barrier Reverse Convertible on iShares Expand.Tech-Software Sector ETF, Sportradar Group

Title

CH1548127526 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127526

Fälligkeitstag

03.11.2026

Basiswert

Sportradar Group AG, iShares Expanded Tech-Software Sector ETF - CH1548127526

10.34% p.a. Autocallable Barrier Reverse Convertible on Porsche, Volkswagen, Zalando (Quanto USD)

Title

CH1548127864 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127864

Fälligkeitstag

25.04.2028

Basiswert

Volkswagen AG, Zalando SE, Porsche Automobil Holding SE - CH1548127864

10.34% p.a. Barrier Reverse Convertible on Alibaba Group, Microsoft, Walt Disney (Quanto CHF)

Title

CH1532245847 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245847

Fälligkeitstag

05.04.2027

Basiswert

Microsoft Corp., Alibaba Group Holding Limited, The Walt Disney Company - CH1532245847

10.34% p.a. Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532242224 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242224

Fälligkeitstag

16.03.2027

Basiswert

Alcon Inc., Sandoz Group AG, Galderma Group Ltd - CH1532242224

10.35% p.a. Autocallable Barrier Reverse Convertible on Apollo Global, Goldman Sachs, Palo Alto Networks

Title

CH1492033092 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033092

Fälligkeitstag

06.08.2027

Basiswert

Apollo Global Management Inc., The Goldman Sachs Group, Inc., Palo Alto Networks, Inc. - CH1492033092

10.35% p.a. Autocallable Reverse Convertible on Anglo American, BHP Group

Title

CH1548143366 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143366

Fälligkeitstag

14.01.2027

Basiswert

BHP Group Limited, Anglo American PLC - CH1548143366

10.36% p.a. Autocallable Reverse Convertible on Amazon.com Inc.

Title

CH1532239790 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239790

Fälligkeitstag

04.03.2027

Basiswert

Amazon.com Inc.

10.36% p.a. Barrier Reverse Convertible on Galderma Group, Galenica, Sandoz Group

Title

CH1548142392 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142392

Fälligkeitstag

09.07.2027

Basiswert

Galenica AG, Sandoz Group AG, Galderma Group Ltd - CH1548142392

10.37% (10.37% p.a.) Barrier Reverse Convertible on Amazon.com, Meta Platforms, NVIDIA (Quanto CHF)

Title

CH1492028837 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028837

Fälligkeitstag

19.01.2027

Basiswert

Amazon.com Inc., Meta Platforms Inc., NVIDIA Corp. - CH1492028837

10.37% (10.49% p.a.) Reverse Convertible on AstraZeneca, Moderna (Quanto EUR)

Title

CH1548145023 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145023

Fälligkeitstag

23.07.2027

Basiswert

AstraZeneca Group PLC, Moderna Inc. - CH1548145023

10.37% p.a. Autocallable Barrier Reverse Convertible on Alphabet, MercadoLibre, Microsoft (Quanto CHF)

Title

CH1532238610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238610

Fälligkeitstag

27.05.2027

Basiswert

Microsoft Corp., Alphabet, Inc., MercadoLibre Inc. - CH1532238610

10.37% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swisscom, Zurich Insurance

Title

CH1532244170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244170

Fälligkeitstag

25.03.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swisscom AG - CH1532244170

10.37% p.a. Barrier Reverse Convertible on Amazon.com, Apple, Palo Alto Networks

Title

CH1492022491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022491

Fälligkeitstag

01.12.2026

Basiswert

Amazon.com Inc., Palo Alto Networks, Inc., Apple Inc. - CH1492022491

10.38% p.a. Autocallable Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1548143119 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143119

Fälligkeitstag

18.01.2028

Basiswert

Amazon.com Inc., Meta Platforms Inc., Microsoft Corp. - CH1548143119

10.38% p.a. Barrier Reverse Convertible on Logitech, Lonza, VAT (Quanto EUR)

Title

CH1476909275 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909275

Fälligkeitstag

24.09.2026

Basiswert

Logitech International SA, Lonza Group AG, VAT Group AG - CH1476909275

10.40% p.a. Callable Barrier Reverse Convertible on Comet, Huber + Suhner, Inficon

Title

CH1596851712 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851712

Fälligkeitstag

28.02.2028

Basiswert

Huber + Suhner AG, Comet Holding AG, Inficon Holding AG - CH1596851712

10.40% p.a. Reverse Convertible on Holcim Ltd

Title

CH1548128441 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128441

Fälligkeitstag

27.04.2027

Basiswert

Holcim Ltd

10.41% (20.61% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1532244303 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244303

Fälligkeitstag

28.09.2026

Basiswert

Heidelberg Materials AG

10.41% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Siemens Energy

Title

CH1492035089 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035089

Fälligkeitstag

17.02.2027

Basiswert

Siemens Energy AG, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1492035089

10.41% p.a. Barrier Reverse Convertible on Richemont, Swatch, UBS Group

Title

CH1532245854 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245854

Fälligkeitstag

06.04.2027

Basiswert

UBS Group AG, The Swatch Group AG, Compagnie Financière Richemont SA - CH1532245854

10.41% p.a. Barrier Reverse Convertible on Straumann, Swatch, VAT

Title

CH1548138804 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138804

Fälligkeitstag

21.06.2027

Basiswert

VAT Group AG, Straumann Holding AG, The Swatch Group AG - CH1548138804

10.42% p.a. Callable Barrier Reverse Convertible on Enel, ENGIE, Iberdrola, RWE

Title

CH1548130439 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130439

Fälligkeitstag

05.05.2027

Basiswert

Iberdrola SA, Enel SpA, ENGIE SA, RWE AG - CH1548130439

10.42% p.a. Reverse Convertible on Givaudan, Kuehne + Nagel, SGS

Title

CH1548132427 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132427

Fälligkeitstag

14.05.2027

Basiswert

Givaudan SA, Kuehne + Nagel International AG, SGS SA - CH1548132427

10.44% (10.44% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492024380 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492024380

Fälligkeitstag

15.12.2026

Basiswert

Logitech International SA

10.44% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492026401 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026401

Fälligkeitstag

29.12.2026

Basiswert

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1492026401

10.44% p.a. Callable Barrier Reverse Convertible on State Street Communication Service Select Sector SPDR ETF, State Street Financial Select Sector SPDR ETF, State Street Technology Select Sector SPDR ETF

Title

CH1548147557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147557

Fälligkeitstag

08.03.2027

Basiswert

State Street Technology Select Sector SPDR ETF, State Street Financial Select Sector SPDR ETF, State Street Communication Ser...

10.45% (10.39% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Swiss Re

Title

CH1492034728 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034728

Fälligkeitstag

15.02.2027

Basiswert

Straumann Holding AG, Swiss Re AG, Lonza Group AG - CH1492034728

10.45% (10.45% p.a.) Barrier Reverse Convertible on Eli Lilly, Microsoft, Pfizer, SLB Ltd

Title

CH1492027953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027953

Fälligkeitstag

14.01.2027

Basiswert

Pfizer Inc., Eli Lilly & Co., SLB Ltd, Microsoft Corp. - CH1492027953

10.45% (10.45% p.a.) Barrier Reverse Convertible on dormakaba, Givaudan, Richemont

Title

CH1532241234 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241234

Fälligkeitstag

11.03.2027

Basiswert

dormakaba Holding AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532241234

10.45% (10.45% p.a.) Barrier Reverse Convertible on dormakaba, Givaudan, Richemont

Title

CH1532241259 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241259

Fälligkeitstag

11.03.2027

Basiswert

dormakaba Holding AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532241259

10.45% p.a. Autocallable Barrier Reverse Convertible on ABB, Galderma Group, Sika, UBS Group

Title

CH1476910257 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910257

Fälligkeitstag

01.10.2026

Basiswert

Sika AG, UBS Group AG, ABB Ltd, Galderma Group Ltd - CH1476910257

10.45% p.a. Autocallable Barrier Reverse Convertible on Adecco, Geberit, Kuehne + Nagel

Title

CH1418946377 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418946377

Fälligkeitstag

28.09.2026

Basiswert

Adecco Group AG, Geberit AG, Kuehne + Nagel International AG - CH1418946377

10.45% p.a. Barrier Reverse Convertible on Fresenius, Lonza, Partners Group Holding, Richemont, Siemens Healthineers (Quanto CHF)

Title

CH1532240129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240129

Fälligkeitstag

02.09.2026

Basiswert

Lonza Group AG, Partners Group Holding AG, Compagnie Financière Richemont SA, Siemens Healthineers AG, Fresenius SE & Co. KGa...

10.46% (10.49% p.a.) Barrier Reverse Convertible on Julius Bär, Logitech, Zurich Insurance

Title

CH1548130496 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130496

Fälligkeitstag

05.05.2027

Basiswert

Zurich Insurance Group Ltd, Julius Bär Gruppe AG, Logitech International SA - CH1548130496

10.46% p.a. Autocallable Barrier Reverse Convertible on Airbnb, Palo Alto Networks, ServiceNow

Title

CH1446053923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446053923

Fälligkeitstag

17.06.2027

Basiswert

ServiceNow Inc, Palo Alto Networks, Inc., Airbnb Inc. - CH1446053923

10.46% p.a. Barrier Reverse Convertible on BASF, Merck KGaA, SAP

Title

CH1476906651 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906651

Fälligkeitstag

08.09.2026

Basiswert

BASF SE, SAP SE, Merck KGaA - CH1476906651

10.47% p.a. Autocallable Barrier Reverse Convertible on DSV Panalpina, LVMH Moët Hennessy Louis Vuitton, Ørsted (Quanto EUR)

Title

CH1492036616 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036616

Fälligkeitstag

23.02.2027

Basiswert

Ørsted A/S, LVMH Moët Hennessy Louis Vuitton SE, DSV Panalpina A/S - CH1492036616

10.47% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Sika, Ypsomed

Title

CH1492025064 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025064

Fälligkeitstag

18.12.2026

Basiswert

Ypsomed Holding AG, Sika AG, Sandoz Group AG, Partners Group Holding AG - CH1492025064

10.47% p.a. Autocallable Reverse Convertible on Amrize Ltd, Holcim, SGS

Title

CH1548150585 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150585

Fälligkeitstag

25.08.2027

Basiswert

Holcim Ltd, Amrize Ltd, SGS SA - CH1548150585

10.48% (20.63% p.a.) Reverse Convertible on Meta Platforms, Microsoft, Tesla

Title

CH1548132195 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132195

Fälligkeitstag

16.11.2026

Basiswert

Microsoft Corp., Meta Platforms Inc., Tesla Inc. - CH1548132195

10.48% p.a. Autocallable Reverse Convertible on Zalando SE

Title

CH1548142707 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142707

Fälligkeitstag

14.07.2027

Basiswert

Zalando SE

10.48% p.a. Callable Barrier Reverse Convertible on ABB, Alcon, Novartis, Zurich Insurance

Title

CH1548136006 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136006

Fälligkeitstag

04.06.2027

Basiswert

ABB Ltd, Novartis AG, Zurich Insurance Group Ltd, Alcon Inc. - CH1548136006

10.49% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Crédit Agricole, Société Générale

Title

CH1548148142 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148142

Fälligkeitstag

14.02.2028

Basiswert

BNP Paribas, Société Générale, Crédit Agricole SA - CH1548148142

10.50% (10.50% p.a.) Barrier Reverse Convertible on Alcon Inc.

Title

CH1548141907 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141907

Fälligkeitstag

07.07.2027

Basiswert

Alcon Inc.

10.50% (10.53% p.a.) Barrier Reverse Convertible on Landis+Gyr, Mobilezone, Stadler Rail

Title

CH1548132500 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132500

Fälligkeitstag

14.05.2027

Basiswert

Landis+Gyr Group AG, Mobilezone Holding AG, Stadler Rail AG - CH1548132500

10.50% p.a. Autocallable Reverse Convertible on Amazon.com, Robinhood Markets, Tesla

Title

CH1492035816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035816

Fälligkeitstag

19.02.2027

Basiswert

Amazon.com Inc., Robinhood Markets Inc., Tesla Inc. - CH1492035816

10.50% p.a. Autocallable Reverse Convertible on SAP, Schneider Electric

Title

CH1548149991 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149991

Fälligkeitstag

18.02.2027

Basiswert

SAP SE, Schneider Electric SE - CH1548149991

10.50% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1476908343 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908343

Fälligkeitstag

20.09.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1476908343

10.50% p.a. Barrier Reverse Convertible on Galenica, Mobilezone, Swissquote

Title

CH1492026773 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026773

Fälligkeitstag

30.12.2026

Basiswert

Mobilezone Holding AG, Swissquote Group Holding SA, Galenica AG - CH1492026773

10.50% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Swiss Life

Title

CH1492034348 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034348

Fälligkeitstag

12.02.2027

Basiswert

Swiss Life Holding AG, Partners Group Holding AG, Julius Bär Gruppe AG - CH1492034348

10.50% p.a. Reverse Convertible on Meta Platforms Inc. (Quanto CHF)

Title

CH1532245813 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245813

Fälligkeitstag

05.03.2027

Basiswert

Meta Platforms Inc.

10.50% p.a. Reverse Convertible on Tesla Inc.

Title

CH1548146112 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146112

Fälligkeitstag

30.07.2027

Basiswert

Tesla Inc.

10.51% (10.48% p.a.) Barrier Reverse Convertible on Geberit, Partners Group Holding, Sika, VAT

Title

CH1492031500 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031500

Fälligkeitstag

01.02.2027

Basiswert

Sika AG, VAT Group AG, Geberit AG, Partners Group Holding AG - CH1492031500

10.51% (10.51% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, UBS Group

Title

CH1548128466 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128466

Fälligkeitstag

27.04.2027

Basiswert

Julius Bär Gruppe AG, Givaudan SA, UBS Group AG - CH1548128466

10.51% p.a. Autocallable Barrier Reverse Convertible on Allianz, Enel, Intesa Sanpaolo (Quanto CHF)

Title

CH1548137921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137921

Fälligkeitstag

15.06.2027

Basiswert

Allianz SE, Intesa Sanpaolo SpA, Enel SpA - CH1548137921

10.51% p.a. Barrier Reverse Convertible on Intel, Johnson & Johnson, Pfizer

Title

CH1476908178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908178

Fälligkeitstag

17.09.2026

Basiswert

Pfizer Inc., Johnson & Johnson, Intel Corp. - CH1476908178

10.51% p.a. Barrier Reverse Convertible on PSP Swiss Property, Swiss Prime Site, VAT

Title

CH1548131239 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131239

Fälligkeitstag

10.05.2027

Basiswert

VAT Group AG, Swiss Prime Site AG, PSP Swiss Property AG - CH1548131239

10.51% p.a. Barrier Reverse Convertible on easyJet PLC

Title

CH1492023739 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023739

Fälligkeitstag

09.12.2026

Basiswert

easyJet PLC

10.51% p.a. Callable Barrier Reverse Convertible on ASML, SAP, Siemens

Title

CH1548151021 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151021

Fälligkeitstag

27.08.2027

Basiswert

SAP SE, Siemens AG, ASML Holding NV - CH1548151021

10.52% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont (Quanto EUR)

Title

CH1492017590 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017590

Fälligkeitstag

28.10.2026

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Lonza Group AG - CH1492017590

10.52% p.a. Reverse Convertible on ASML, Evonik Industries, Vonovia

Title

CH1548138184 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138184

Fälligkeitstag

16.06.2027

Basiswert

Evonik Industries AG, ASML Holding NV, Vonovia SE - CH1548138184

10.53% p.a. Autocallable Barrier Reverse Convertible on Comet, Kardex

Title

CH1548146310 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146310

Fälligkeitstag

03.02.2027

Basiswert

Comet Holding AG, Kardex AG - CH1548146310

10.53% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech

Title

CH1532238420 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238420

Fälligkeitstag

26.02.2027

Basiswert

Logitech International SA, Kuehne + Nagel International AG - CH1532238420

10.54% (10.54% p.a.) Barrier Reverse Convertible on Alstom, Sanofi, TotalEnergies (Quanto CHF)

Title

CH1548148324 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148324

Fälligkeitstag

13.08.2027

Basiswert

Sanofi SA, Alstom SA, TotalEnergies SE - CH1548148324

10.54% (14.06% p.a.) Barrier Reverse Convertible on Booking Holdings, PepsiCo, Visa

Title

CH1548143051 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143051

Fälligkeitstag

15.04.2027

Basiswert

PepsiCo Inc., Booking Holdings Inc., Visa Inc. - CH1548143051

10.54% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, BNP Paribas, Intesa Sanpaolo, Société Générale (Quanto CHF)

Title

CH1548148126 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148126

Fälligkeitstag

12.08.2027

Basiswert

BNP Paribas, Société Générale, Intesa Sanpaolo SpA, Banco Santander SA - CH1548148126

10.54% p.a. Autocallable Reverse Convertible on Adobe Systems Inc.

Title

CH1548129019 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129019

Fälligkeitstag

29.04.2027

Basiswert

Adobe Systems Inc.

10.54% p.a. Barrier Reverse Convertible on BELIMO Holding, Richemont, VAT

Title

CH1548127484 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127484

Fälligkeitstag

23.04.2029

Basiswert

BELIMO Holding AG, Compagnie Financière Richemont SA, VAT Group AG - CH1548127484

10.54% p.a. Barrier Reverse Convertible on Givaudan, Logitech, Swiss Re

Title

CH1548133110 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133110

Fälligkeitstag

19.05.2027

Basiswert

Givaudan SA, Logitech International SA, Swiss Re AG - CH1548133110

10.55% (10.55% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Straumann

Title

CH1492033134 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033134

Fälligkeitstag

09.02.2027

Basiswert

Alcon Inc., Holcim Ltd, Straumann Holding AG - CH1492033134

10.55% (10.55% p.a.) Barrier Reverse Convertible on Geberit, Nestlé, Partners Group Holding, Roche

Title

CH1492028688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028688

Fälligkeitstag

19.01.2027

Basiswert

Nestlé SA, Roche Holding AG, Partners Group Holding AG, Geberit AG - CH1492028688

10.55% p.a. Barrier Reverse Convertible on Accelleron Industries, Helvetia Baloise, Swiss Life

Title

CH1596852082 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852082

Fälligkeitstag

30.08.2027

Basiswert

Helvetia Baloise Holding AG, Swiss Life Holding AG, Accelleron Industries AG - CH1596852082

10.55% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, ENGIE

Title

CH1492030817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030817

Fälligkeitstag

28.07.2027

Basiswert

Adidas AG, Deutsche Telekom AG, ENGIE SA - CH1492030817

10.56% (10.68% p.a.) Reverse Convertible on Allianz, Generali, Swiss Re (Quanto GBP)

Title

CH1548139216 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139216

Fälligkeitstag

18.06.2027

Basiswert

Allianz SE, Swiss Re AG, Assicurazioni Generali SpA - CH1548139216

10.56% (14.19% p.a.) Reverse Convertible on SAP, Siemens Energy, Siemens Healthineers

Title

CH1492026534 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026534

Fälligkeitstag

28.09.2026

Basiswert

Siemens Healthineers AG, Siemens Energy AG, SAP SE - CH1492026534

10.56% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1548139885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139885

Fälligkeitstag

25.06.2027

Basiswert

Lonza Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1548139885

10.56% p.a. Barrier Reverse Convertible on Microsoft, Qualcomm, Visa

Title

CH1532238487 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238487

Fälligkeitstag

26.02.2027

Basiswert

Microsoft Corp., Qualcomm Inc., Visa Inc. - CH1532238487

10.57% (10.57% p.a.) Barrier Reverse Convertible on Air Liquide, Airbus, Henkel

Title

CH1548132518 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132518

Fälligkeitstag

14.05.2027

Basiswert

Airbus SE, Air Liquide SA, Henkel AG & Co. KGaA - CH1548132518

10.57% (10.57% p.a.) Barrier Reverse Convertible on Coca-Cola, NVIDIA, Visa

Title

CH1532242935 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242935

Fälligkeitstag

18.03.2027

Basiswert

NVIDIA Corp., Coca-Cola Company, Visa Inc. - CH1532242935

10.57% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1492036277 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036277

Fälligkeitstag

20.11.2026

Basiswert

Alibaba Group Holding Limited, JD.com, Inc. - CH1492036277

10.57% p.a. Autocallable Reverse Convertible on Amazon.com, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1532245078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245078

Fälligkeitstag

02.04.2027

Basiswert

Amazon.com Inc., LVMH Moët Hennessy Louis Vuitton SE - CH1532245078

10.57% p.a. Barrier Reverse Convertible on Adidas, Julius Bär, Straumann (Quanto CHF)

Title

CH1548126452 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126452

Fälligkeitstag

19.04.2027

Basiswert

Straumann Holding AG, Julius Bär Gruppe AG, Adidas AG - CH1548126452

10.58% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1532241580 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241580

Fälligkeitstag

11.06.2027

Basiswert

Amazon.com Inc., Meta Platforms Inc., Microsoft Corp. - CH1532241580

10.58% p.a. Callable Reverse Convertible on NVIDIA, Salesforce, Taiwan Semiconductor Manufacturing

Title

CH1418946526 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418946526

Fälligkeitstag

30.03.2027

Basiswert

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Salesforce, Inc. - CH1418946526

10.58% p.a. Reverse Convertible on Accelleron Industries, SIG Group, Stadler Rail

Title

CH1548145551 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145551

Fälligkeitstag

29.07.2027

Basiswert

Accelleron Industries AG, Stadler Rail AG, SIG Group AG - CH1548145551

10.59% p.a. Autocallable Barrier Reverse Convertible on ASML, Visa, Walmart (Quanto CHF)

Title

CH1492033688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033688

Fälligkeitstag

10.02.2027

Basiswert

Walmart Inc., Visa Inc., ASML Holding NV - CH1492033688

10.59% p.a. Autocallable Barrier Reverse Convertible on Broadcom, Palantir, Taiwan Semiconductor Manufacturing

Title

CH1596851787 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851787

Fälligkeitstag

29.02.2028

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Broadcom Inc., Palantir Technologies Inc. - CH1596851787

10.59% p.a. Callable Barrier Reverse Convertible on BASF, Orange, Sanofi

Title

CH1532242885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242885

Fälligkeitstag

18.03.2027

Basiswert

Sanofi SA, Orange S.A., BASF SE - CH1532242885

10.59% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Veolia

Title

CH1548138630 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138630

Fälligkeitstag

20.12.2027

Basiswert

Adidas AG, Deutsche Telekom AG, Veolia Environnement - CH1548138630

10.60% (10.52% p.a.) Barrier Reverse Convertible on Telefonica, Vestas (Quanto EUR)

Title

CH1492020941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020941

Fälligkeitstag

20.11.2026

Basiswert

Telefonica SA, Vestas Wind Systems A/S - CH1492020941

10.60% (10.63% p.a.) Barrier Reverse Convertible on Deutsche Telekom, SAP, Unilever PLC, Veolia

Title

CH1492020958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020958

Fälligkeitstag

18.11.2026

Basiswert

SAP SE, Deutsche Telekom AG, Veolia Environnement, Unilever PLC - CH1492020958

10.60% (7.03% p.a.) Barrier Reverse Convertible on BASF, Nestlé, Roche (Quanto CHF)

Title

CH1418947250 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418947250

Fälligkeitstag

05.10.2026

Basiswert

BASF SE, Roche Holding AG, Nestlé SA - CH1418947250

10.60% p.a. Barrier Reverse Convertible on ABB, Julius Bär, Siemens Energy (Quanto CHF)

Title

CH1492022863 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022863

Fälligkeitstag

02.12.2026

Basiswert

ABB Ltd, Siemens Energy AG, Julius Bär Gruppe AG - CH1492022863

10.61% (10.61% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Richemont

Title

CH1532243735 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243735

Fälligkeitstag

23.03.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Alcon Inc. - CH1532243735

10.61% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, VAT

Title

CH1548149017 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149017

Fälligkeitstag

17.08.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, VAT Group AG - CH1548149017

10.62% (10.56% p.a.) Barrier Reverse Convertible on EssilorLuxottica, ING, TotalEnergies

Title

CH1548136089 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136089

Fälligkeitstag

07.06.2027

Basiswert

EssilorLuxottica SA, TotalEnergies SE, ING Groep N.V. - CH1548136089

10.62% (10.62% p.a.) Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1492036582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036582

Fälligkeitstag

23.02.2027

Basiswert

Alcon Inc., Sonova Holding AG, Straumann Holding AG - CH1492036582

10.62% p.a. Autocallable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Ferrari, Mercedes-Benz Group (Quanto USD)

Title

CH1492026120 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026120

Fälligkeitstag

28.12.2026

Basiswert

Mercedes-Benz Group AG, Ferrari N.V., Dr. Ing. H.c. F. Porsche AG - CH1492026120

10.62% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Netflix (Quanto GBP)

Title

CH1492034751 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034751

Fälligkeitstag

14.02.2028

Basiswert

Microsoft Corp., Netflix Inc. - CH1492034751

10.62% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1532245797 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245797

Fälligkeitstag

03.04.2028

Basiswert

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1532245797

10.62% p.a. Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1548127278 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127278

Fälligkeitstag

21.10.2026

Basiswert

Swisscom AG, Sunrise Communications AG - CH1548127278

10.63% p.a. Callable Barrier Reverse Convertible on ASML, Deutsche Telekom, SAP

Title

CH1548132807 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132807

Fälligkeitstag

17.05.2027

Basiswert

ASML Holding NV, Deutsche Telekom AG, SAP SE - CH1548132807

10.63% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Veolia

Title

CH1548135586 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135586

Fälligkeitstag

06.12.2027

Basiswert

Adidas AG, Deutsche Telekom AG, Veolia Environnement - CH1548135586

10.64% (10.58% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Bank, ING

Title

CH1596851837 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851837

Fälligkeitstag

30.08.2027

Basiswert

ING Groep N.V., Commerzbank AG, Deutsche Bank AG - CH1596851837

10.64% (10.64% p.a.) Barrier Reverse Convertible on Lonza, Partners Group Holding, Straumann

Title

CH1492033613 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033613

Fälligkeitstag

10.02.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Lonza Group AG - CH1492033613

10.64% (14.19% p.a.) Reverse Convertible on Siemens Energy, Siemens Healthineers

Title

CH1492034132 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034132

Fälligkeitstag

12.11.2026

Basiswert

Siemens Energy AG, Siemens Healthineers AG - CH1492034132

10.64% p.a. Autocallable Barrier Reverse Convertible on Adyen , Prysmian, Symrise (Quanto CHF)

Title

CH1492027862 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027862

Fälligkeitstag

15.02.2027

Basiswert

Symrise AG, Prysmian SpA, Adyen N.V. - CH1492027862

10.64% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, NVIDIA (Quanto CHF)

Title

CH1492028159 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028159

Fälligkeitstag

15.01.2027

Basiswert

NVIDIA Corp., Amazon.com Inc., Alibaba Group Holding Limited - CH1492028159

10.64% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Galderma Group, Intesa Sanpaolo, UBS Group (Quanto CHF)

Title

CH1548135099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135099

Fälligkeitstag

31.05.2027

Basiswert

BNP Paribas, UBS Group AG, Intesa Sanpaolo SpA, Galderma Group Ltd - CH1548135099

10.65% (10.65% p.a.) Barrier Reverse Convertible on Ferrari, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1492032458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032458

Fälligkeitstag

04.02.2027

Basiswert

Ferrari N.V., LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492032458

10.65% (21.08% p.a.) Barrier Reverse Convertible on Lonza, Temenos

Title

CH1548149892 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149892

Fälligkeitstag

22.02.2027

Basiswert

Lonza Group AG, Temenos AG - CH1548149892

10.65% p.a. Autocallable Barrier Reverse Convertible on Barry Callebaut, Comet

Title

CH1548143234 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143234

Fälligkeitstag

18.01.2027

Basiswert

Barry Callebaut AG, Comet Holding AG - CH1548143234

10.65% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Shell, STMicroelectronics (Quanto USD)

Title

CH1532237513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237513

Fälligkeitstag

25.08.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Shell PLC, STMicroelectronics NV - CH1532237513

10.66% p.a. Callable Barrier Reverse Convertible on Alcon, Geberit, Straumann

Title

CH1476912808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912808

Fälligkeitstag

20.01.2027

Basiswert

Alcon Inc., Geberit AG, Straumann Holding AG - CH1476912808

10.66% p.a. Callable Barrier Reverse Convertible on Allianz, AXA, Partners Group Holding, UBS Group (Quanto CHF)

Title

CH1492030494 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030494

Fälligkeitstag

27.10.2026

Basiswert

UBS Group AG, AXA SA, Partners Group Holding AG, Allianz SE - CH1492030494

10.66% p.a. Callable Reverse Convertible on ASML, Infineon (Quanto USD)

Title

CH1548129399 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129399

Fälligkeitstag

02.05.2028

Basiswert

Infineon Technologies AG, ASML Holding NV - CH1548129399

10.67% p.a. Barrier Reverse Convertible on SAP SE (Quanto CHF)

Title

CH1548150189 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150189

Fälligkeitstag

10.03.2027

Basiswert

SAP SE

10.67% p.a. Callable Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532243099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243099

Fälligkeitstag

19.03.2027

Basiswert

Sandoz Group AG, Galderma Group Ltd, Alcon Inc. - CH1532243099

10.67% p.a. Reverse Convertible on Galderma Group, Sandoz Group, Straumann

Title

CH1492035279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035279

Fälligkeitstag

17.02.2027

Basiswert

Straumann Holding AG, Sandoz Group AG, Galderma Group Ltd - CH1492035279

10.68% (10.62% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1548138705 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138705

Fälligkeitstag

21.06.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Alcon Inc. - CH1548138705

10.68% (10.68% p.a.) Barrier Reverse Convertible on Chevron, Exxon Mobil, SLB Ltd

Title

CH1492028894 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028894

Fälligkeitstag

20.01.2027

Basiswert

SLB Ltd, Chevron Corp., Exxon Mobil Corp. - CH1492028894

10.68% (21.13% p.a.) Barrier Reverse Convertible on Dow Inc, Johnson & Johnson

Title

CH1548126668 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126668

Fälligkeitstag

19.10.2026

Basiswert

Johnson & Johnson, Dow Inc - CH1548126668

10.68% p.a. Barrier Reverse Convertible on Leonardo, LVMH Moët Hennessy Louis Vuitton, UniCredit (Quanto CHF)

Title

CH1548145734 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145734

Fälligkeitstag

29.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, UniCredit SpA, Leonardo S.p.a. - CH1548145734

10.68% p.a. Barrier Reverse Convertible on Partners Group Holding, Richemont, Straumann (Quanto EUR)

Title

CH1548133904 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133904

Fälligkeitstag

22.05.2028

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG, Straumann Holding AG - CH1548133904

10.69% (10.63% p.a.) Barrier Reverse Convertible on Barry Callebaut, Galderma Group, Nestlé, Zurich Insurance

Title

CH1548131247 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131247

Fälligkeitstag

10.05.2027

Basiswert

Barry Callebaut AG, Galderma Group Ltd, Nestlé SA, Zurich Insurance Group Ltd - CH1548131247

10.69% p.a. Autocallable Reverse Convertible on Alphabet, Meta Platforms (Quanto GBP)

Title

CH1476912824 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912824

Fälligkeitstag

20.10.2026

Basiswert

Alphabet, Inc., Meta Platforms Inc. - CH1476912824

10.70% (10.53% p.a.) Reverse Convertible on Cameco, Constellation Energy, Vistra Energy

Title

CH1492029231 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029231

Fälligkeitstag

27.01.2027

Basiswert

Cameco Corp., Constellation Energy Corp., Vistra Energy Corp. - CH1492029231

10.70% (10.64% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, Apple, NVIDIA

Title

CH1476909549 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909549

Fälligkeitstag

25.09.2026

Basiswert

Alphabet, Inc., NVIDIA Corp., Apple Inc., Amazon.com Inc. - CH1476909549

10.70% (10.70% p.a.) Reverse Convertible on EssilorLuxottica, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492022707 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022707

Fälligkeitstag

01.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, EssilorLuxottica SA, L´Oréal International - CH1492022707

10.71% (10.71% p.a.) Barrier Reverse Convertible on Bayer AG (Quanto CHF)

Title

CH1476912709 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912709

Fälligkeitstag

20.10.2026

Basiswert

Bayer AG

10.72% (10.66% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Straumann

Title

CH1492021691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021691

Fälligkeitstag

23.11.2026

Basiswert

Julius Bär Gruppe AG, Straumann Holding AG, Partners Group Holding AG - CH1492021691

10.72% p.a. Barrier Reverse Convertible on Georg Fischer, Microsoft, Nestlé, Novartis, NVIDIA (Quanto CHF)

Title

CH1492027359 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027359

Fälligkeitstag

07.01.2027

Basiswert

Georg Fischer AG, Novartis AG, Nestlé SA, Microsoft Corp., NVIDIA Corp. - CH1492027359

10.73% (10.73% p.a.) Barrier Reverse Convertible on Holcim, Lonza, Sandoz Group, Zurich Insurance

Title

CH1548145395 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145395

Fälligkeitstag

28.07.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Zurich Insurance Group Ltd, Holcim Ltd - CH1548145395

10.73% (10.73% p.a.) Barrier Reverse Convertible on Huber + Suhner, Kuehne + Nagel, Partners Group Holding, VAT

Title

CH1492035204 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035204

Fälligkeitstag

17.02.2027

Basiswert

Huber + Suhner AG, Kuehne + Nagel International AG, Partners Group Holding AG, VAT Group AG - CH1492035204

10.73% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., Newmont (Quanto CHF)

Title

CH1548143135 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143135

Fälligkeitstag

16.08.2027

Basiswert

Eli Lilly & Co., Freeport-McMoRan Inc., Newmont Corp. - CH1548143135

10.73% p.a. Autocallable Reverse Convertible on Microsoft, Oracle, Palantir

Title

CH1476910778 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910778

Fälligkeitstag

05.04.2027

Basiswert

Palantir Technologies Inc., Oracle Corp., Microsoft Corp. - CH1476910778

10.73% p.a. Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1548128342 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128342

Fälligkeitstag

27.04.2027

Basiswert

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548128342

10.74% (10.74% p.a.) Barrier Reverse Convertible on ASML, Schneider Electric, Siemens Healthineers

Title

CH1476907089 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907089

Fälligkeitstag

10.09.2026

Basiswert

Schneider Electric SE, ASML Holding NV, Siemens Healthineers AG - CH1476907089

10.74% p.a. Callable Barrier Reverse Convertible on Bachem, Inficon, Sulzer

Title

CH1548139463 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139463

Fälligkeitstag

23.06.2027

Basiswert

Bachem Holding AG, Inficon Holding AG, Sulzer AG - CH1548139463

10.75% (10.69% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding

Title

CH1492036368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036368

Fälligkeitstag

22.02.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG - CH1492036368

10.75% p.a. Autocallable Barrier Reverse Convertible on Byd Co, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1548135636 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135636

Fälligkeitstag

04.06.2027

Basiswert

Ferrari N.V., Mercedes-Benz Group AG, BYD Company Limited - CH1548135636

10.75% p.a. Autocallable Reverse Convertible on Alphabet, Intel, NVIDIA

Title

CH1548150536 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150536

Fälligkeitstag

25.08.2027

Basiswert

Alphabet, Inc., Intel Corp., NVIDIA Corp. - CH1548150536

10.75% p.a. Autocallable Reverse Convertible on Danaher, NXP Semiconductors

Title

CH1492032862 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032862

Fälligkeitstag

08.02.2027

Basiswert

NXP Semiconductors NV, Danaher Corporation - CH1492032862

10.75% p.a. Callable Barrier Reverse Convertible on Amrize Ltd, Nestlé, Sandoz Group

Title

CH1548149801 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149801

Fälligkeitstag

20.08.2027

Basiswert

Amrize Ltd, Nestlé SA, Sandoz Group AG - CH1548149801

10.76% p.a. Autocallable Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1532240483 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240483

Fälligkeitstag

08.03.2027

Basiswert

Norwegian Cruise Line Holdings Ltd.

10.76% p.a. Reverse Convertible on ASML, Hermes, Leonardo

Title

CH1418944505 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418944505

Fälligkeitstag

14.09.2026

Basiswert

ASML Holding NV, Hermes International, Leonardo S.p.a. - CH1418944505

10.77% p.a. Barrier Reverse Convertible on Delivery Hero SE (Quanto CHF)

Title

CH1492021113 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021113

Fälligkeitstag

18.11.2026

Basiswert

Delivery Hero SE

10.78% (10.69% p.a.) Reverse Convertible on RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1532244436 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244436

Fälligkeitstag

31.03.2027

Basiswert

Rheinmetall AG, RENK Group AG - CH1532244436

10.78% p.a. Autocallable Barrier Reverse Convertible on Bouygues, Eiffage, Taylor Wimpey, Vinci (Quanto USD)

Title

CH1532246456 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246456

Fälligkeitstag

08.10.2026

Basiswert

Bouygues SA, Eiffage SA, Vinci SA, Taylor Wimpey PLC - CH1532246456

10.78% p.a. Barrier Reverse Convertible on Givaudan, Partners Group Holding, PSP Swiss Property

Title

CH1548134464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134464

Fälligkeitstag

27.05.2027

Basiswert

Partners Group Holding AG, Givaudan SA, PSP Swiss Property AG - CH1548134464

10.79% (10.79% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto EUR)

Title

CH1532237422 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237422

Fälligkeitstag

24.02.2027

Basiswert

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1532237422

10.79% p.a. Autocallable Barrier Reverse Convertible on Infineon, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492028399 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028399

Fälligkeitstag

18.01.2027

Basiswert

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, Infineon Technologies AG - CH1492028399

10.80% (10.80% p.a.) Barrier Reverse Convertible on Energy Select Sector SPDR Fund, iShares Hang Seng TECH ETF (Quanto USD)

Title

CH1492021147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021147

Fälligkeitstag

18.11.2026

Basiswert

iShares Hang Seng TECH ETF, Energy Select Sector SPDR Fund - CH1492021147

10.80% (11.05% p.a.) Barrier Reverse Convertible on Microsoft, Qualcomm, Visa

Title

CH1492034355 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034355

Fälligkeitstag

12.02.2027

Basiswert

Microsoft Corp., Qualcomm Inc., Visa Inc. - CH1492034355

10.80% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Schneider Electric

Title

CH1548129605 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129605

Fälligkeitstag

30.04.2027

Basiswert

EssilorLuxottica SA, Schneider Electric SE - CH1548129605

10.80% p.a. Barrier Reverse Convertible on Adobe, Coca-Cola, Palo Alto Networks (Quanto CHF)

Title

CH1418948225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418948225

Fälligkeitstag

12.04.2027

Basiswert

Palo Alto Networks, Inc., Adobe Systems Inc., Coca-Cola Company - CH1418948225

10.81% (10.75% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Richemont

Title

CH1492034421 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034421

Fälligkeitstag

15.02.2027

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, Alcon Inc. - CH1492034421

10.81% (10.81% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1548127435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127435

Fälligkeitstag

22.04.2027

Basiswert

Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1548127435

10.81% p.a. Autocallable Barrier Reverse Convertible on Adyen , LVMH Moët Hennessy Louis Vuitton, Schneider Electric

Title

CH1532242851 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242851

Fälligkeitstag

18.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Schneider Electric SE, Adyen N.V. - CH1532242851

10.81% p.a. Barrier Reverse Convertible on Logitech, Richemont, Sika

Title

CH1548131148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131148

Fälligkeitstag

10.05.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Sika AG - CH1548131148

10.82% p.a. Barrier Reverse Convertible on Commerzbank, EssilorLuxottica, Tenaris (Quanto CHF)

Title

CH1548145742 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145742

Fälligkeitstag

29.07.2027

Basiswert

EssilorLuxottica SA, Tenaris SA, Commerzbank AG - CH1548145742

10.83% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Deutsche Bank

Title

CH1548140156 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140156

Fälligkeitstag

25.06.2027

Basiswert

ABN AMRO Bank N.V, Banco Santander SA, Deutsche Bank AG - CH1548140156

10.84% p.a. Autocallable Barrier Reverse Convertible on Dutch Bros Inc, Nike

Title

CH1548150924 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150924

Fälligkeitstag

26.08.2027

Basiswert

Nike Inc., Dutch Bros Inc - CH1548150924

10.84% p.a. Barrier Reverse Convertible on Microsoft, Palo Alto Networks, Salesforce

Title

CH1476906859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906859

Fälligkeitstag

10.09.2026

Basiswert

Microsoft Corp., Palo Alto Networks, Inc., Salesforce, Inc. - CH1476906859

10.85% (10.79% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, Sika

Title

CH1548126825 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126825

Fälligkeitstag

19.04.2027

Basiswert

Julius Bär Gruppe AG, Givaudan SA, Sika AG - CH1548126825

10.85% (10.79% p.a.) Reverse Convertible on iShares PHLX Semiconductor ETF

Title

CH1548147565 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147565

Fälligkeitstag

09.08.2027

Basiswert

iShares PHLX Semiconductor ETF

10.85% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Ferrari, LVMH Moët Hennessy Louis Vuitton, Société Générale (Quanto CHF)

Title

CH1476912840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912840

Fälligkeitstag

20.10.2026

Basiswert

BNP Paribas, LVMH Moët Hennessy Louis Vuitton SE, Ferrari N.V., Société Générale - CH1476912840

10.86% (10.86% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Sika (Quanto USD)

Title

CH1492036640 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036640

Fälligkeitstag

23.02.2027

Basiswert

Logitech International SA, Partners Group Holding AG, Sika AG - CH1492036640

10.86% p.a. Barrier Reverse Convertible on Comet, DocMorris

Title

CH1548150908 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150908

Fälligkeitstag

26.08.2027

Basiswert

DocMorris AG, Comet Holding AG - CH1548150908

10.87% (10.87% p.a.) Barrier Reverse Convertible on AXA, SAP, Siemens

Title

CH1532241861 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241861

Fälligkeitstag

12.03.2027

Basiswert

AXA SA, Siemens AG, SAP SE - CH1532241861

10.87% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1548128193 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128193

Fälligkeitstag

26.04.2027

Basiswert

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1548128193

10.88% (10.82% p.a.) Barrier Reverse Convertible on Amazon.com, Caterpillar, Visa

Title

CH1596851845 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851845

Fälligkeitstag

30.08.2027

Basiswert

Amazon.com Inc., Visa Inc., Caterpillar Inc. - CH1596851845

10.88% (10.88% p.a.) Barrier Reverse Convertible on Clariant, Huber + Suhner, Logitech, Sika

Title

CH1492034942 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034942

Fälligkeitstag

16.02.2027

Basiswert

Clariant AG, Sika AG, Huber + Suhner AG, Logitech International SA - CH1492034942

10.88% (10.88% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1548131551 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131551

Fälligkeitstag

11.05.2027

Basiswert

Netflix Inc.

10.88% (10.91% p.a.) Barrier Reverse Convertible on Avolta, Julius Bär, Straumann (Quanto USD)

Title

CH1476906172 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906172

Fälligkeitstag

04.09.2026

Basiswert

Straumann Holding AG, Julius Bär Gruppe AG, Avolta AG - CH1476906172

10.88% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Helvetia, Partners Group Holding, UBS Group

Title

CH1468579037 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579037

Fälligkeitstag

23.09.2026

Basiswert

Partners Group Holding AG, Galderma Group Ltd, Helvetia Holding AG, UBS Group AG - CH1468579037

10.89% p.a. Barrier Reverse Convertible on Alibaba Group, Amgen, Copart (Quanto CHF)

Title

CH1548133896 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133896

Fälligkeitstag

24.05.2027

Basiswert

Copart Inc., Alibaba Group Holding Limited, Amgen Inc. - CH1548133896

10.89% p.a. Callable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548128961 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128961

Fälligkeitstag

29.01.2027

Basiswert

Sandoz Group AG, Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548128961

10.90% (10.90% p.a.) Barrier Reverse Convertible on Adidas, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton

Title

CH1548150411 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150411

Fälligkeitstag

24.08.2027

Basiswert

Adidas AG, EssilorLuxottica SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548150411

10.90% p.a. Barrier Reverse Convertible on Geberit, Holcim, Logitech, VAT

Title

CH1548151104 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151104

Fälligkeitstag

27.08.2027

Basiswert

Geberit AG, Logitech International SA, Holcim Ltd, VAT Group AG - CH1548151104

10.91% (10.85% p.a.) Reverse Convertible on Alphabet, IBM

Title

CH1492035857 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035857

Fälligkeitstag

22.02.2027

Basiswert

Alphabet, Inc., International Business Machines Corp. - CH1492035857

10.92% (10.92% p.a.) Barrier Reverse Convertible on Julius Bär, Logitech, UBS Group

Title

CH1532244220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244220

Fälligkeitstag

25.03.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Logitech International SA - CH1532244220

10.92% (10.92% p.a.) Barrier Reverse Convertible on Microsoft, Newmont, Palo Alto Networks

Title

CH1548130835 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130835

Fälligkeitstag

06.05.2027

Basiswert

Microsoft Corp., Palo Alto Networks, Inc., Newmont Corp. - CH1548130835

10.94% p.a. Callable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont, Swatch (Quanto GBP)

Title

CH1492021469 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021469

Fälligkeitstag

20.11.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, The Swatch Group AG, Compagnie Financière Richemont SA - CH1492021469

10.95% (10.95% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1548138333 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138333

Fälligkeitstag

17.06.2027

Basiswert

Alcon Inc., Lonza Group AG, Straumann Holding AG - CH1548138333

10.95% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Broadcom, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492030668 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030668

Fälligkeitstag

27.01.2027

Basiswert

NVIDIA Corp., Microsoft Corp., Broadcom Inc., Alphabet, Inc. - CH1492030668

10.95% p.a. Autocallable Barrier Reverse Convertible on Bayer, Daimler Truck, Rheinmetall (Quanto CHF)

Title

CH1548136469 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136469

Fälligkeitstag

09.06.2028

Basiswert

Bayer AG, Rheinmetall AG, Daimler Truck Holding AG - CH1548136469

10.95% p.a. Autocallable Barrier Reverse Convertible on Crédit Agricole, Generali, TotalEnergies

Title

CH1492027292 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027292

Fälligkeitstag

07.01.2027

Basiswert

Crédit Agricole SA, Assicurazioni Generali SpA, TotalEnergies SE - CH1492027292

10.95% p.a. Autocallable Reverse Convertible on Electronic Arts, Marvell Technology , Walt Disney

Title

CH1476903435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903435

Fälligkeitstag

16.02.2027

Basiswert

The Walt Disney Company, Electronic Arts Inc., Marvell Technology Group Ltd. - CH1476903435

10.95% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, Partners Group Holding

Title

CH1548141840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141840

Fälligkeitstag

07.07.2027

Basiswert

Alcon Inc., Partners Group Holding AG, Kuehne + Nagel International AG - CH1548141840

10.96% (10.96% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, VAT

Title

CH1548149637 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149637

Fälligkeitstag

20.08.2027

Basiswert

VAT Group AG, ABB Ltd, Accelleron Industries AG - CH1548149637

10.96% (21.92% p.a.) Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1548126338 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126338

Fälligkeitstag

16.10.2026

Basiswert

Infineon Technologies AG

10.96% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1476906669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906669

Fälligkeitstag

08.09.2026

Basiswert

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476906669

10.96% p.a. Reverse Convertible on Alphabet, Microsoft

Title

CH1532237471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237471

Fälligkeitstag

24.02.2027

Basiswert

Microsoft Corp., Alphabet, Inc. - CH1532237471

10.97% (10.97% p.a.) Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548127708 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127708

Fälligkeitstag

23.04.2027

Basiswert

Sonova Holding AG, Straumann Holding AG, Alcon Inc. - CH1548127708

10.97% p.a. Autocallable Reverse Convertible on Netflix, Uber Technologies (Quanto EUR)

Title

CH1548139455 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139455

Fälligkeitstag

24.06.2027

Basiswert

Netflix Inc., Uber Technologies Inc. - CH1548139455

10.97% p.a. Reverse Convertible on Medacta Group Ltd

Title

CH1548145080 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145080

Fälligkeitstag

27.10.2026

Basiswert

Medacta Group Ltd

10.98% p.a. Autocallable Barrier Reverse Convertible on Dätwyler, Huber + Suhner, Komax

Title

CH1532244592 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244592

Fälligkeitstag

31.03.2027

Basiswert

Huber + Suhner AG, Komax Holding AG, Dätwyler Holding AG - CH1532244592

10.98% p.a. Barrier Reverse Convertible on Carl Zeiss Meditec AG

Title

CH1532237778 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237778

Fälligkeitstag

25.02.2027

Basiswert

Carl Zeiss Meditec AG

10.99% (10.93% p.a.) Reverse Convertible on Delta Air Lines Inc.

Title

CH1532240558 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240558

Fälligkeitstag

08.03.2027

Basiswert

Delta Air Lines Inc.

10.99% p.a. Autocallable Barrier Reverse Convertible on Byd Co, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1548135495 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135495

Fälligkeitstag

03.06.2027

Basiswert

Ferrari N.V., Mercedes-Benz Group AG, BYD Company Limited - CH1548135495

10.99% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Novo Nordisk (Quanto CHF)

Title

CH1476910760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910760

Fälligkeitstag

06.04.2027

Basiswert

Novo Nordisk A/S, Eli Lilly & Co. - CH1476910760

10.99% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, VAT

Title

CH1532243438 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243438

Fälligkeitstag

19.03.2027

Basiswert

Lonza Group AG, VAT Group AG, Kuehne + Nagel International AG - CH1532243438

10.99% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1476905257 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905257

Fälligkeitstag

01.03.2027

Basiswert

Palantir Technologies Inc.

10.99% p.a. Barrier Reverse Convertible on BAE Systems, Lockheed Martin, MTU Aero Engines, Rheinmetall, Rolls-Royce (Quanto CHF)

Title

CH1492020305 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020305

Fälligkeitstag

12.11.2026

Basiswert

MTU Aero Engines Holdings AG, BAE Systems PLC, Rolls-Royce Holdings PLC, Lockheed Martin Corp, Rheinmetall AG - CH1492020305

10.99% p.a. Barrier Reverse Convertible on Logitech, Sika, Stellantis (Quanto CHF)

Title

CH1532240301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240301

Fälligkeitstag

08.03.2027

Basiswert

Stellantis N.V., Sika AG, Logitech International SA - CH1532240301

108 Asymmetry Alpha Index Tracker

Title

CHA0DG - Compartment 1037

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DG8

Basiswert

108 Asymmetry Alpha Index

11.00% (11.00% p.a.) Barrier Reverse Convertible on Delivery Hero SE (Quanto CHF)

Title

CH1492022590 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022590

Fälligkeitstag

26.11.2026

Basiswert

Delivery Hero SE

11.00% (11.03% p.a.) Barrier Reverse Convertible on Adidas, Richemont, Swiss Re (Quanto CHF)

Title

CH1548130488 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130488

Fälligkeitstag

05.05.2027

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, Adidas AG - CH1548130488

11.00% p.a. Autocallable Barrier Reverse Convertible on Alcon, Straumann, VAT

Title

CH1492029918 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029918

Fälligkeitstag

25.01.2027

Basiswert

VAT Group AG, Straumann Holding AG, Alcon Inc. - CH1492029918

11.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1476906610 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906610

Fälligkeitstag

08.09.2026

Basiswert

Novo Nordisk A/S

11.00% p.a. Autocallable Reverse Convertible on Bayer AG

Title

CH1532242505 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242505

Fälligkeitstag

17.03.2027

Basiswert

Bayer AG

11.00% p.a. Autocallable Reverse Convertible on Boston Scientific, Thermo Fisher Scientific

Title

CH1548126163 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126163

Fälligkeitstag

16.04.2027

Basiswert

Thermo Fisher Scientific Inc., Boston Scientific Corporation - CH1548126163

11.00% p.a. Autocallable Reverse Convertible on Intel Corp. (Quanto CHF)

Title

CH1548145155 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145155

Fälligkeitstag

27.07.2027

Basiswert

Intel Corp.

11.00% p.a. Autocallable Reverse Convertible on JPMorgan Chase, Microsoft, Uber Technologies

Title

CH1492024083 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024083

Fälligkeitstag

11.03.2027

Basiswert

Microsoft Corp., Uber Technologies Inc., JPMorgan Chase & Co. - CH1492024083

11.00% p.a. Autocallable Reverse Convertible on Prysmian, Siemens

Title

CH1548146153 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146153

Fälligkeitstag

03.05.2027

Basiswert

Prysmian SpA, Siemens AG - CH1548146153

11.00% p.a. Autocallable Reverse Convertible on Sea, Taiwan Semiconductor Manufacturing, Walmart

Title

CH1548134928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134928

Fälligkeitstag

30.08.2027

Basiswert

Walmart Inc., Taiwan Semiconductor Manufacturing Co. Ltd, Sea Ltd - CH1548134928

11.00% p.a. Barrier Reverse Convertible on Barry Callebaut, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492032524 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032524

Fälligkeitstag

04.02.2027

Basiswert

L´Oréal International, LVMH Moët Hennessy Louis Vuitton SE, Barry Callebaut AG - CH1492032524

11.00% p.a. Barrier Reverse Convertible on Meta Platforms, Micron Technology, Palantir (Quanto CHF)

Title

CH1492021055 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021055

Fälligkeitstag

18.11.2026

Basiswert

Meta Platforms Inc., Palantir Technologies Inc., Micron Technology Inc. - CH1492021055

11.00% p.a. Reverse Convertible on Bâloise, Sonova, Straumann

Title

CH1492022616 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022616

Fälligkeitstag

30.11.2026

Basiswert

Bâloise Holding AG, Sonova Holding AG, Straumann Holding AG - CH1492022616

11.01% (11.01% p.a.) Barrier Reverse Convertible on ABB, Galenica, Sandoz Group, Sunrise Communications AG

Title

CH1548141972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141972

Fälligkeitstag

07.07.2027

Basiswert

Sunrise Communications AG, Galenica AG, Sandoz Group AG, ABB Ltd - CH1548141972

11.01% (11.01% p.a.) Barrier Reverse Convertible on Huber + Suhner, Lonza, Swiss Re, VAT

Title

CH1532239196 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239196

Fälligkeitstag

03.03.2027

Basiswert

Lonza Group AG, Swiss Re AG, VAT Group AG, Huber + Suhner AG - CH1532239196

11.01% p.a. Barrier Reverse Convertible on Adecco, Geberit, Swiss Re

Title

CH1492021659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021659

Fälligkeitstag

23.11.2026

Basiswert

Geberit AG, Swiss Re AG, Adecco Group AG - CH1492021659

11.01% p.a. Barrier Reverse Convertible on Alcon, Logitech, Swisscom

Title

CH1548132799 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132799

Fälligkeitstag

14.05.2027

Basiswert

Alcon Inc., Logitech International SA, Swisscom AG - CH1548132799

11.01% p.a. Barrier Reverse Convertible on Amazon.com, Caterpillar, FedEx (Quanto CHF)

Title

CH1548145726 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145726

Fälligkeitstag

29.07.2027

Basiswert

Caterpillar Inc., FedEx Corp., Amazon.com Inc. - CH1548145726

11.02% p.a. Autocallable Barrier Reverse Convertible on Adidas, LVMH Moët Hennessy Louis Vuitton, Valeo

Title

CH1418942079 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418942079

Fälligkeitstag

24.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Valeo SE, Adidas AG - CH1418942079

11.02% p.a. Callable Reverse Convertible on Lockheed Martin, Palantir, Palo Alto Networks

Title

CH1446053279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446053279

Fälligkeitstag

11.06.2027

Basiswert

Palo Alto Networks, Inc., Lockheed Martin Corp, Palantir Technologies Inc. - CH1446053279

11.03% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Kardex, Partners Group Holding, Sandoz Group

Title

CH1532237943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237943

Fälligkeitstag

25.02.2027

Basiswert

Partners Group Holding AG, Sandoz Group AG, Julius Bär Gruppe AG, Kardex AG - CH1532237943

11.03% p.a. Barrier Reverse Convertible on Deutsche Lufthansa AG

Title

CH1476911651 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476911651

Fälligkeitstag

12.10.2026

Basiswert

Deutsche Lufthansa AG

11.04% (11.07% p.a.) Reverse Convertible on Infineon, Micron Technology, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548129753 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129753

Fälligkeitstag

03.05.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Micron Technology Inc., Infineon Technologies AG - CH1548129753

11.04% p.a. Autocallable Barrier Reverse Convertible on Adidas, Continental, Valeo

Title

CH1548134555 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134555

Fälligkeitstag

29.05.2028

Basiswert

Valeo SE, Adidas AG, Continental AG - CH1548134555

11.04% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548140644 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140644

Fälligkeitstag

31.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

11.04% p.a. Barrier Reverse Convertible on Amazon.com, Berkshire Hathaway, Microsoft (Quanto EUR)

Title

CH1532239766 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239766

Fälligkeitstag

04.03.2027

Basiswert

Microsoft Corp., Amazon.com Inc., Berkshire Hathaway Inc. - CH1532239766

11.04% p.a. Barrier Reverse Convertible on Infineon, LVMH Moët Hennessy Louis Vuitton, Swissquote (Quanto CHF)

Title

CH1548150619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150619

Fälligkeitstag

25.08.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Swissquote Group Holding SA, Infineon Technologies AG - CH1548150619

11.04% p.a. Barrier Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1532245128 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245128

Fälligkeitstag

05.04.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG, Partners Group Holding AG - CH1532245128

11.05% (21.86% p.a.) Barrier Reverse Convertible on IBM, Oracle (Quanto CHF)

Title

CH1548141345 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141345

Fälligkeitstag

05.01.2027

Basiswert

International Business Machines Corp., Oracle Corp. - CH1548141345

11.05% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft

Title

CH1548142582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142582

Fälligkeitstag

13.07.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1548142582

11.05% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548128235 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128235

Fälligkeitstag

26.04.2027

Basiswert

Logitech International SA, UBS Group AG, Compagnie Financière Richemont SA - CH1548128235

11.05% p.a. Barrier Reverse Convertible on Oracle Corp. (Quanto EUR)

Title

CH1548129712 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129712

Fälligkeitstag

03.05.2027

Basiswert

Oracle Corp.

11.06% p.a. Autocallable Barrier Reverse Convertible on MercadoLibre, STMicroelectronics (Quanto CHF)

Title

CH1548150148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150148

Fälligkeitstag

23.08.2027

Basiswert

MercadoLibre Inc., STMicroelectronics NV - CH1548150148

11.07% (11.08% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548130843 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130843

Fälligkeitstag

07.05.2027

Basiswert

ABB Ltd, Accelleron Industries AG, Huber + Suhner AG, Lonza Group AG - CH1548130843

11.07% p.a. Autocallable Barrier Reverse Convertible on BMW, Mercedes-Benz Group, Volkswagen

Title

CH1492027219 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027219

Fälligkeitstag

06.01.2027

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG, Volkswagen AG - CH1492027219

11.07% p.a. Barrier Reverse Convertible on Sandoz Group, Sika, VAT

Title

CH1548136220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136220

Fälligkeitstag

05.06.2029

Basiswert

Sandoz Group AG, Sika AG, VAT Group AG - CH1548136220

11.08% (11.08% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1492023010 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023010

Fälligkeitstag

03.12.2026

Basiswert

Compagnie Financière Richemont SA

11.08% p.a. Barrier Reverse Convertible on Procter & Gamble, Waste Management, Zoetis

Title

CH1548130140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130140

Fälligkeitstag

01.11.2027

Basiswert

Waste Management, Inc., The Procter & Gamble Company, Zoetis Inc - CH1548130140

11.09% p.a. Autocallable Reverse Convertible on Leonardo, Rheinmetall, Thales (Quanto USD)

Title

CH1548143093 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143093

Fälligkeitstag

18.01.2028

Basiswert

Rheinmetall AG, Leonardo S.p.a., Thales SA - CH1548143093

11.09% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1548136626 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136626

Fälligkeitstag

08.06.2027

Basiswert

NVIDIA Corp.

11.09% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, Sika

Title

CH1548127187 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127187

Fälligkeitstag

21.04.2027

Basiswert

ABB Ltd, Sika AG, Partners Group Holding AG - CH1548127187

11.09% p.a. Barrier Reverse Convertible on Alcon, Logitech, Straumann

Title

CH1548139125 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139125

Fälligkeitstag

22.06.2027

Basiswert

Logitech International SA, Straumann Holding AG, Alcon Inc. - CH1548139125

11.09% p.a. Reverse Convertible on Banco Santander, BNP Paribas, Deutsche Bank

Title

CH1532243123 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243123

Fälligkeitstag

19.03.2027

Basiswert

BNP Paribas, Deutsche Bank AG, Banco Santander SA - CH1532243123

11.10% (11.01% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1532244485 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244485

Fälligkeitstag

31.03.2027

Basiswert

ASML Holding NV

11.10% p.a. Autocallable Barrier Reverse Convertible on Adidas, DSM-Firmenich, SAP (Quanto CHF)

Title

CH1492030569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030569

Fälligkeitstag

01.03.2027

Basiswert

SAP SE, DSM-Firmenich AG, Adidas AG - CH1492030569

11.10% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548130389 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130389

Fälligkeitstag

03.11.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

11.10% p.a. Callable Barrier Reverse Convertible on Amrize Ltd, Holcim, Richemont, Straumann

Title

CH1532240079 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240079

Fälligkeitstag

02.06.2027

Basiswert

Amrize Ltd, Holcim Ltd, Straumann Holding AG, Compagnie Financière Richemont SA - CH1532240079

11.11% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1492030825 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030825

Fälligkeitstag

28.07.2027

Basiswert

Logitech International SA, Comet Holding AG - CH1492030825

11.11% p.a. Reverse Convertible on Coca-Cola, Johnson & Johnson, Oracle

Title

CH1476910406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910406

Fälligkeitstag

02.10.2026

Basiswert

Coca-Cola Company, Johnson & Johnson, Oracle Corp. - CH1476910406

11.12% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492022723 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022723

Fälligkeitstag

02.12.2026

Basiswert

Microsoft Corp., Alphabet, Inc., NVIDIA Corp. - CH1492022723

11.13% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, NVIDIA, Tesla

Title

CH1492027508 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027508

Fälligkeitstag

13.07.2027

Basiswert

Amazon.com Inc., NVIDIA Corp., Tesla Inc. - CH1492027508

11.13% p.a. Barrier Reverse Convertible on Galderma Group, Georg Fischer, Givaudan, Richemont, Sika

Title

CH1532238354 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238354

Fälligkeitstag

26.02.2027

Basiswert

Sika AG, Givaudan SA, Georg Fischer AG, Galderma Group Ltd, Compagnie Financière Richemont SA - CH1532238354

11.14% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, SAP (Quanto EUR)

Title

CH1492034397 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034397

Fälligkeitstag

13.08.2027

Basiswert

Partners Group Holding AG, SAP SE - CH1492034397

11.14% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, UBS Group

Title

CH1532241598 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241598

Fälligkeitstag

11.03.2027

Basiswert

Logitech International SA, Partners Group Holding AG, UBS Group AG - CH1532241598

11.16% (11.16% p.a.) Barrier Reverse Convertible on Amrize Ltd, Richemont, Sandoz Group

Title

CH1492030932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030932

Fälligkeitstag

29.01.2027

Basiswert

Amrize Ltd, Compagnie Financière Richemont SA, Sandoz Group AG - CH1492030932

11.16% (22.58% p.a.) Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548130298 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130298

Fälligkeitstag

03.11.2026

Basiswert

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548130298

11.16% p.a. Autocallable Barrier Reverse Convertible on Burckhardt Compression, Logitech, Partners Group Holding

Title

CH1548137939 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137939

Fälligkeitstag

15.06.2027

Basiswert

Partners Group Holding AG, Logitech International SA, Burckhardt Compression Holding Ltd. - CH1548137939

11.17% (11.11% p.a.) Barrier Reverse Convertible on E.ON, ENGIE, RWE

Title

CH1476907584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907584

Fälligkeitstag

14.09.2026

Basiswert

RWE AG, ENGIE SA, E.ON SE - CH1476907584

11.17% (11.17% p.a.) Barrier Reverse Convertible on Lonza, SIG Group, VAT

Title

CH1548150825 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150825

Fälligkeitstag

26.08.2027

Basiswert

Lonza Group AG, SIG Group AG, VAT Group AG - CH1548150825

11.17% (11.24% p.a.) Barrier Reverse Convertible on Alcon, Richemont, Swiss Re

Title

CH1532246118 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246118

Fälligkeitstag

06.04.2027

Basiswert

Compagnie Financière Richemont SA, Alcon Inc., Swiss Re AG - CH1532246118

11.17% p.a. Autocallable Barrier Reverse Convertible on Adobe, Alphabet, Apple

Title

CH1476908681 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908681

Fälligkeitstag

21.09.2026

Basiswert

Apple Inc., Alphabet, Inc., Adobe Systems Inc. - CH1476908681

11.17% p.a. Autocallable Barrier Reverse Convertible on Galenica, Kardex, Richemont, VAT

Title

CH1532239634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239634

Fälligkeitstag

04.03.2027

Basiswert

Galenica AG, Kardex AG, Compagnie Financière Richemont SA, VAT Group AG - CH1532239634

11.17% p.a. Autocallable Reverse Convertible on Apple, Eli Lilly, NVIDIA

Title

CH1548136725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136725

Fälligkeitstag

09.06.2027

Basiswert

Eli Lilly & Co., NVIDIA Corp., Apple Inc. - CH1548136725

11.17% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1476909390 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909390

Fälligkeitstag

24.03.2027

Basiswert

Robinhood Markets Inc.

11.18% (11.18% p.a.) Barrier Reverse Convertible on Allianz, Heidelberg Materials, Munich Re, Unilever PLC

Title

CH1532239808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239808

Fälligkeitstag

04.03.2027

Basiswert

Münchener Rückversicherungs AG, Unilever PLC, Heidelberg Materials AG, Allianz SE - CH1532239808

11.18% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft

Title

CH1532243008 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243008

Fälligkeitstag

18.03.2027

Basiswert

Microsoft Corp., Amazon.com Inc. - CH1532243008

11.19% (11.13% p.a.) Barrier Reverse Convertible on SIG Group, Straumann, VAT (Quanto USD)

Title

CH1596852058 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852058

Fälligkeitstag

30.08.2027

Basiswert

SIG Group AG, Straumann Holding AG, VAT Group AG - CH1596852058

11.19% p.a. Barrier Reverse Convertible on ABB, Siemens Energy (Quanto EUR)

Title

CH1548139208 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139208

Fälligkeitstag

22.06.2028

Basiswert

Siemens Energy AG, ABB Ltd - CH1548139208

11.19% p.a. Barrier Reverse Convertible on Logitech, Sika, Straumann

Title

CH1532239691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239691

Fälligkeitstag

03.03.2028

Basiswert

Logitech International SA, Straumann Holding AG, Sika AG - CH1532239691

11.19% p.a. Callable Barrier Reverse Convertible on Nike, Walmart

Title

CH1548142830 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142830

Fälligkeitstag

14.07.2027

Basiswert

Nike Inc., Walmart Inc. - CH1548142830

11.20% (11.14% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1548126478 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126478

Fälligkeitstag

19.04.2027

Basiswert

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1548126478

11.20% p.a. Autocallable Barrier Reverse Convertible on ABN AMRO Bank, Fresenius (Quanto USD)

Title

CH1548136956 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136956

Fälligkeitstag

10.06.2027

Basiswert

Fresenius SE & Co. KGaA, ABN AMRO Bank N.V - CH1548136956

11.20% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Nextera Energy, NVIDIA (Quanto CHF)

Title

CH1532245433 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245433

Fälligkeitstag

05.04.2027

Basiswert

NVIDIA Corp., Alphabet, Inc., Nextera Energy Inc. - CH1532245433

11.20% p.a. Callable Barrier Reverse Convertible on Banco Santander, Deutsche Bank, UBS Group (Quanto CHF)

Title

CH1532237380 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237380

Fälligkeitstag

24.02.2027

Basiswert

Banco Santander SA, UBS Group AG, Deutsche Bank AG - CH1532237380

11.20% p.a. Callable Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Sika (Quanto EUR)

Title

CH1532246241 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246241

Fälligkeitstag

07.10.2027

Basiswert

Holcim Ltd, Sika AG, Kuehne + Nagel International AG - CH1532246241

11.21% (11.18% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT

Title

CH1492031518 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031518

Fälligkeitstag

01.02.2027

Basiswert

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492031518

11.21% p.a. Barrier Reverse Convertible on ENGIE, Helvetia Baloise, Infineon, Roche, Sika (Quanto CHF)

Title

CH1532240145 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240145

Fälligkeitstag

02.09.2026

Basiswert

Helvetia Baloise Holding AG, Roche Holding AG, ENGIE SA, Infineon Technologies AG, Sika AG - CH1532240145

11.21% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Swissquote

Title

CH1548146443 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146443

Fälligkeitstag

03.08.2027

Basiswert

Partners Group Holding AG, Swissquote Group Holding SA, Logitech International SA - CH1548146443

11.22% (11.23% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1548126387 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126387

Fälligkeitstag

16.04.2027

Basiswert

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1548126387

11.22% (14.80% p.a.) Barrier Reverse Convertible on Air Liquide, Heidelberg Materials, Stora Enso

Title

CH1548134795 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134795

Fälligkeitstag

01.03.2027

Basiswert

Heidelberg Materials AG, Air Liquide SA, Stora Enso OYJ - CH1548134795

11.22% p.a. Autocallable Barrier Reverse Convertible on Allianz, Munich Re, Novo Nordisk (Quanto EUR)

Title

CH1548143770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143770

Fälligkeitstag

20.07.2028

Basiswert

Allianz SE, Novo Nordisk A/S, Münchener Rückversicherungs AG - CH1548143770

11.23% p.a. Autocallable Barrier Reverse Convertible on Ferrari N.V. (Quanto EUR)

Title

CH1548145049 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145049

Fälligkeitstag

27.01.2027

Basiswert

Ferrari N.V.

11.23% p.a. Autocallable Barrier Reverse Convertible on First Solar, Oracle, Uber Technologies (Quanto CHF)

Title

CH1476903757 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903757

Fälligkeitstag

18.08.2027

Basiswert

First Solar Inc., Oracle Corp., Uber Technologies Inc. - CH1476903757

11.23% p.a. Autocallable Reverse Convertible on Alphabet, Netflix

Title

CH1492035774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035774

Fälligkeitstag

19.02.2027

Basiswert

Netflix Inc., Alphabet, Inc. - CH1492035774

11.23% p.a. Barrier Reverse Convertible on Airbus, BAE Systems, Leonardo (Quanto EUR)

Title

CH1548147953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147953

Fälligkeitstag

12.08.2027

Basiswert

BAE Systems PLC, Leonardo S.p.a., Airbus SE - CH1548147953

11.23% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492017079 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017079

Fälligkeitstag

23.10.2026

Basiswert

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1492017079

11.23% p.a. Barrier Reverse Convertible on Lonza, Roche, SGS

Title

CH1548138382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138382

Fälligkeitstag

17.06.2027

Basiswert

Lonza Group AG, Roche Holding AG, SGS SA - CH1548138382

11.24% p.a. Autocallable Barrier Reverse Convertible on Leonardo, RENK Group AG, Rheinmetall

Title

CH1492034835 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034835

Fälligkeitstag

16.02.2027

Basiswert

Leonardo S.p.a., Rheinmetall AG, RENK Group AG - CH1492034835

11.24% p.a. Autocallable Reverse Convertible on AstraZeneca, Moderna (Quanto EUR)

Title

CH1548145031 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145031

Fälligkeitstag

27.07.2027

Basiswert

Moderna Inc., AstraZeneca Group PLC - CH1548145031

11.24% p.a. Barrier Reverse Convertible on Hewlett-Packard Enterprise, LVMH Moët Hennessy Louis Vuitton, Microsoft (Quanto CHF)

Title

CH1532240327 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240327

Fälligkeitstag

08.03.2027

Basiswert

Microsoft Corp., Hewlett-Packard Enterprise Company, LVMH Moët Hennessy Louis Vuitton SE - CH1532240327

11.25% (11.25% p.a.) Reverse Convertible on Amazon.com, NVIDIA (Quanto EUR)

Title

CH1548129431 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129431

Fälligkeitstag

30.04.2027

Basiswert

NVIDIA Corp., Amazon.com Inc. - CH1548129431

11.25% (5.60% p.a.) Reverse Convertible on EURO STOXX 50®️ Index, Nikkei 225 Index, S&P 500®️ Index (Quanto EUR)

Title

CH1548139638 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139638

Fälligkeitstag

27.06.2028

Basiswert

EURO STOXX 50®️ Index, S&P 500®️ Index, Nikkei 225 Index - CH1548139638

11.25% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1548144117 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144117

Fälligkeitstag

20.07.2027

Basiswert

Alibaba Group Holding Limited, JD.com, Inc. - CH1548144117

11.25% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548128201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128201

Fälligkeitstag

26.04.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1548128201

11.26% (22.53% p.a.) Reverse Convertible on BNP Paribas, Moderna (Quanto EUR)

Title

CH1548145510 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145510

Fälligkeitstag

28.01.2027

Basiswert

BNP Paribas, Moderna Inc. - CH1548145510

11.26% p.a. Autocallable Reverse Convertible on Berkshire Hathaway, NVIDIA

Title

CH1532242984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242984

Fälligkeitstag

18.03.2027

Basiswert

NVIDIA Corp., Berkshire Hathaway Inc. - CH1532242984

11.26% p.a. Barrier Reverse Convertible on AMD, Microsoft, Netflix

Title

CH1476910786 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910786

Fälligkeitstag

06.10.2027

Basiswert

Microsoft Corp., Netflix Inc., Advanced Micro Devices Inc. - CH1476910786

11.26% p.a. Barrier Reverse Convertible on Petroleo Brasileiro SA (Quanto CHF)

Title

CH1548135362 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135362

Fälligkeitstag

30.11.2026

Basiswert

Petroleo Brasileiro SA

11.26% p.a. Callable Barrier Reverse Convertible on Givaudan, SGS, VAT

Title

CH1548141253 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141253

Fälligkeitstag

06.04.2027

Basiswert

Givaudan SA, VAT Group AG, SGS SA - CH1548141253

11.27% p.a. Callable Reverse Convertible on Givaudan, Nestlé, Partners Group Holding, Sonova, Swiss Re

Title

CH1492030676 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030676

Fälligkeitstag

28.01.2027

Basiswert

Partners Group Holding AG, Swiss Re AG, Givaudan SA, Sonova Holding AG, Nestlé SA - CH1492030676

11.28% (11.31% p.a.) Barrier Reverse Convertible on Accor, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton

Title

CH1548129878 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129878

Fälligkeitstag

03.05.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, EssilorLuxottica SA, Accor SA - CH1548129878

11.28% p.a. Autocallable Barrier Reverse Convertible on Adyen , Prosus, Sartorius (Quanto CHF)

Title

CH1548131569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131569

Fälligkeitstag

12.05.2027

Basiswert

Adyen N.V., Sartorius AG, Prosus NV - CH1548131569

11.28% p.a. Autocallable Barrier Reverse Convertible on Halliburton, Netflix, Uber Technologies

Title

CH1492026252 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026252

Fälligkeitstag

28.12.2027

Basiswert

Halliburton Co., Netflix Inc., Uber Technologies Inc. - CH1492026252

11.28% p.a. Autocallable Reverse Convertible on Merck KGaA, Novartis, Pfizer, Sanofi (Quanto EUR)

Title

CH1548141477 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141477

Fälligkeitstag

06.07.2027

Basiswert

Pfizer Inc., Merck KGaA, Novartis AG, Sanofi SA - CH1548141477

11.29% (15.52% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy (Quanto CHF)

Title

CH1532245102 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245102

Fälligkeitstag

29.12.2026

Basiswert

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245102

11.29% p.a. Autocallable Barrier Reverse Convertible on Allianz, Commerzbank, Deutsche Telekom

Title

CH1492034009 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034009

Fälligkeitstag

11.02.2027

Basiswert

Allianz SE, Deutsche Telekom AG, Commerzbank AG - CH1492034009

11.29% p.a. Callable Barrier Reverse Convertible on Givaudan, Partners Group Holding, Richemont

Title

CH1548134761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134761

Fälligkeitstag

01.03.2027

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG, Givaudan SA - CH1548134761

11.29% p.a. Callable Reverse Convertible on Chevron, ConocoPhillips, Exxon Mobil, Shell (Quanto USD)

Title

CH1548131775 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131775

Fälligkeitstag

12.05.2027

Basiswert

Exxon Mobil Corp., Chevron Corp., Shell PLC, ConocoPhillips - CH1548131775

11.30% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, Swatch

Title

CH1492035634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035634

Fälligkeitstag

18.02.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, The Swatch Group AG - CH1492035634

11.30% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, Swatch

Title

CH1492035626 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035626

Fälligkeitstag

18.02.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, The Swatch Group AG - CH1492035626

11.30% p.a. Barrier Reverse Convertible on Anglo American, Antofagasta

Title

CH1548127807 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127807

Fälligkeitstag

30.11.2026

Basiswert

Antofagasta PLC, Anglo American PLC - CH1548127807

11.30% p.a. Barrier Reverse Convertible on Holcim, Richemont, VAT

Title

CH1548137467 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137467

Fälligkeitstag

24.09.2027

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, VAT Group AG - CH1548137467

11.30% p.a. Reverse Convertible on Alphabet, Amazon.com, Tesla (Quanto CHF)

Title

CH1418950403 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950403

Fälligkeitstag

03.05.2027

Basiswert

Amazon.com Inc., Tesla Inc., Alphabet, Inc. - CH1418950403

11.31% (11.31% p.a.) Reverse Convertible on Chipotle, Coca-Cola, McDonalds, PepsiCo

Title

CH1548139349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139349

Fälligkeitstag

24.06.2027

Basiswert

McDonalds Corp., Coca-Cola Company, PepsiCo Inc., Chipotle Mexican Grill Inc. - CH1548139349

11.31% p.a. Reverse Convertible on Heidelberg Materials, Holcim, Newmont (Quanto CHF)

Title

CH1532245938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245938

Fälligkeitstag

05.10.2026

Basiswert

Heidelberg Materials AG, Holcim Ltd, Newmont Corp. - CH1532245938

11.32% (11.29% p.a.) Barrier Reverse Convertible on Logitech, Novartis

Title

CH1548131510 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131510

Fälligkeitstag

12.05.2027

Basiswert

Logitech International SA, Novartis AG - CH1548131510

11.32% (44.33% p.a.) Reverse Convertible on IonQ Inc.

Title

CH1548148803 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148803

Fälligkeitstag

16.11.2026

Basiswert

IonQ Inc.

11.32% p.a. Autocallable Barrier Reverse Convertible on ABB, Richemont, Sandoz Group

Title

CH1548145361 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145361

Fälligkeitstag

28.07.2027

Basiswert

ABB Ltd, Compagnie Financière Richemont SA, Sandoz Group AG - CH1548145361

11.32% p.a. Autocallable Barrier Reverse Convertible on Boeing, Leonardo, Safran (Quanto USD)

Title

CH1548149504 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149504

Fälligkeitstag

19.11.2027

Basiswert

Safran SA, Boeing Company, Leonardo S.p.a. - CH1548149504

11.32% p.a. Autocallable Barrier Reverse Convertible on Citigroup, JPMorgan Chase, Wells Fargo

Title

CH1314928057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314928057

Fälligkeitstag

03.09.2025

Basiswert

Citigroup Inc., JPMorgan Chase & Co., Wells Fargo & Company - CH1314928057

11.32% p.a. Autocallable Barrier Reverse Convertible on Merck, Meta Platforms, Visa

Title

CH1548142574 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142574

Fälligkeitstag

13.07.2027

Basiswert

Visa Inc., Meta Platforms Inc., Merck & Co. Inc. - CH1548142574

11.32% p.a. Barrier Reverse Convertible on Straumann, Sunrise Communications AG, VAT

Title

CH1548135446 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135446

Fälligkeitstag

02.06.2027

Basiswert

Sunrise Communications AG, VAT Group AG, Straumann Holding AG - CH1548135446

11.32% p.a. Callable Barrier Reverse Convertible on Heidelberg Materials, Holcim, Sika, Wienerberger (Quanto CHF)

Title

CH1492027763 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027763

Fälligkeitstag

13.01.2027

Basiswert

Sika AG, Heidelberg Materials AG, Holcim Ltd, Wienerberger AG - CH1492027763

11.33% (11.21% p.a.) Barrier Reverse Convertible on Galderma Group, Lonza, Partners Group Holding, Swiss Re

Title

CH1532238511 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238511

Fälligkeitstag

01.03.2027

Basiswert

Galderma Group Ltd, Partners Group Holding AG, Swiss Re AG, Lonza Group AG - CH1532238511

11.33% (11.21% p.a.) Reverse Convertible on Partners Group Holding, Sika

Title

CH1532245599 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245599

Fälligkeitstag

06.04.2027

Basiswert

Sika AG, Partners Group Holding AG - CH1532245599

11.33% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1476909119 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909119

Fälligkeitstag

23.09.2026

Basiswert

Robinhood Markets Inc.

11.34% (11.28% p.a.) Barrier Reverse Convertible on Holcim, Julius Bär, Swiss Re

Title

CH1532244923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244923

Fälligkeitstag

02.04.2027

Basiswert

Julius Bär Gruppe AG, Swiss Re AG, Holcim Ltd - CH1532244923

11.34% p.a. Barrier Reverse Convertible on Charles Schwab, Cognizant Technology, On Holding (Quanto CHF)

Title

CH1548133912 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133912

Fälligkeitstag

24.05.2027

Basiswert

Charles Schwab Corp., On Holding Ltd, Cognizant Technology Solutions Corp. - CH1548133912

11.35% (11.29% p.a.) Barrier Reverse Convertible on ENGIE, TotalEnergies, Vinci

Title

CH1548140123 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140123

Fälligkeitstag

28.06.2027

Basiswert

ENGIE SA, TotalEnergies SE, Vinci SA - CH1548140123

11.35% p.a. Autocallable Reverse Convertible on Adidas, L´Oréal, Zalando

Title

CH1548149926 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149926

Fälligkeitstag

23.08.2027

Basiswert

Zalando SE, Adidas AG, L´Oréal International - CH1548149926

11.36% (11.42% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA

Title

CH1548134100 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134100

Fälligkeitstag

25.05.2027

Basiswert

Amazon.com Inc., Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1548134100

11.36% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Sonova, UBS Group

Title

CH1548143473 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143473

Fälligkeitstag

19.07.2027

Basiswert

Sonova Holding AG, UBS Group AG, Galderma Group Ltd - CH1548143473

11.37% (15.17% p.a.) Barrier Reverse Convertible on Alcon, Kardex, Partners Group Holding

Title

CH1492033373 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033373

Fälligkeitstag

09.11.2026

Basiswert

Partners Group Holding AG, Kardex AG, Alcon Inc. - CH1492033373

11.37% p.a. Callable Barrier Reverse Convertible on Adidas, Hugo Boss, Nike (Quanto CHF)

Title

CH1532239345 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239345

Fälligkeitstag

03.03.2027

Basiswert

Adidas AG, Hugo Boss AG, Nike Inc. - CH1532239345

11.38% (11.38% p.a.) Barrier Reverse Convertible on Caterpillar, JPMorgan Chase, Microsoft

Title

CH1596851746 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851746

Fälligkeitstag

27.08.2027

Basiswert

JPMorgan Chase & Co., Microsoft Corp., Caterpillar Inc. - CH1596851746

11.38% (11.38% p.a.) Barrier Reverse Convertible on Home Depot Inc.

Title

CH1548137301 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137301

Fälligkeitstag

11.06.2027

Basiswert

Home Depot Inc.

11.38% (11.45% p.a.) Barrier Reverse Convertible on Adecco, Adidas, Visa (Quanto CHF)

Title

CH1532246308 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246308

Fälligkeitstag

07.04.2027

Basiswert

Adidas AG, Adecco Group AG, Visa Inc. - CH1532246308

11.38% p.a. Autocallable Reverse Convertible on Constellation Energy, ENGIE, Nextera Energy (Quanto USD)

Title

CH1548143747 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143747

Fälligkeitstag

18.01.2028

Basiswert

Constellation Energy Corp., ENGIE SA, Nextera Energy Inc. - CH1548143747

11.38% p.a. Barrier Reverse Convertible on Alcon, Julius Bär, UBS Group

Title

CH1548142517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142517

Fälligkeitstag

12.07.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Alcon Inc. - CH1548142517

11.39% (11.39% p.a.) Barrier Reverse Convertible on UBS Group AG

Title

CH1548141899 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141899

Fälligkeitstag

07.07.2027

Basiswert

UBS Group AG

11.39% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, BNP Paribas, ING, UBS Group (Quanto CHF)

Title

CH1532241382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241382

Fälligkeitstag

11.03.2027

Basiswert

BNP Paribas, Banco Santander SA, UBS Group AG, ING Groep N.V. - CH1532241382

11.39% p.a. Barrier Reverse Convertible on Accor, Danone, Schneider Electric

Title

CH1532246688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246688

Fälligkeitstag

08.04.2027

Basiswert

Accor SA, Schneider Electric SE, Danone SA - CH1532246688

11.39% p.a. Barrier Reverse Convertible on Alphabet, Tesla (Quanto CHF)

Title

CH1492032789 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032789

Fälligkeitstag

05.02.2029

Basiswert

Tesla Inc., Alphabet, Inc. - CH1492032789

11.40% (11.40% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1532247009 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247009

Fälligkeitstag

14.04.2027

Basiswert

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1532247009

11.40% (11.40% p.a.) Reverse Convertible on Alphabet, Microsoft, NVIDIA

Title

CH1532243040 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243040

Fälligkeitstag

19.03.2027

Basiswert

Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1532243040

11.40% p.a. Autocallable Reverse Convertible on ASML Holding NV

Title

CH1548148787 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148787

Fälligkeitstag

14.02.2028

Basiswert

ASML Holding NV

11.41% (11.41% p.a.) Barrier Reverse Convertible on Givaudan, Richemont, Sika

Title

CH1532247124 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247124

Fälligkeitstag

15.04.2027

Basiswert

Givaudan SA, Compagnie Financière Richemont SA, Sika AG - CH1532247124

11.41% p.a. Autocallable Barrier Reverse Convertible on BlackRock, Meta Platforms, Robinhood Markets

Title

CH1492029249 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029249

Fälligkeitstag

20.07.2027

Basiswert

BlackRock, Inc., Meta Platforms Inc., Robinhood Markets Inc. - CH1492029249

11.41% p.a. Barrier Reverse Convertible on BMW, Mercedes-Benz Group

Title

CH1492021550 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021550

Fälligkeitstag

23.11.2026

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG - CH1492021550

11.42% (11.42% p.a.) Barrier Reverse Convertible on BNP Paribas, Commerzbank, UniCredit

Title

CH1492036566 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036566

Fälligkeitstag

23.02.2027

Basiswert

UniCredit SpA, BNP Paribas, Commerzbank AG - CH1492036566

11.42% (22.48% p.a.) Barrier Reverse Convertible on K+S, Lufthansa

Title

CH1532245805 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245805

Fälligkeitstag

05.10.2026

Basiswert

K+S AG, Deutsche Lufthansa AG - CH1532245805

11.42% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Citigroup, Société Générale (Quanto GBP)

Title

CH1548149660 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149660

Fälligkeitstag

22.11.2027

Basiswert

Citigroup Inc., Société Générale, BNP Paribas - CH1548149660

11.42% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, UBS Group

Title

CH1548145619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145619

Fälligkeitstag

29.07.2027

Basiswert

Logitech International SA, Partners Group Holding AG, UBS Group AG - CH1548145619

11.42% p.a. Reverse Convertible on L´Oréal, SAP, Sea (Quanto USD)

Title

CH1548134233 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134233

Fälligkeitstag

26.08.2027

Basiswert

L´Oréal International, SAP SE, Sea Ltd - CH1548134233

11.43% (22.86% p.a.) Barrier Reverse Convertible on Humana Inc

Title

CH1548134209 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134209

Fälligkeitstag

27.11.2026

Basiswert

Humana Inc

11.43% (22.86% p.a.) Reverse Convertible on SoftBank Group Corp. (Quanto USD)

Title

CH1548126957 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126957

Fälligkeitstag

20.10.2026

Basiswert

SoftBank Group Corp.

11.44% p.a. Autocallable Barrier Reverse Convertible on Daimler Truck, Hapag-Lloyd AG , Rheinmetall (Quanto USD)

Title

CH1476907436 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907436

Fälligkeitstag

14.09.2026

Basiswert

Hapag-Lloyd AG , Daimler Truck Holding AG, Rheinmetall AG - CH1476907436

11.44% p.a. Autocallable Barrier Reverse Convertible on EMS-Chemie, Geberit, UBS Group

Title

CH1492035162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035162

Fälligkeitstag

17.02.2027

Basiswert

UBS Group AG, EMS-Chemie Holding AG, Geberit AG - CH1492035162

11.44% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re

Title

CH1548137632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137632

Fälligkeitstag

14.06.2027

Basiswert

Swiss Re AG, Novartis AG, Nestlé SA - CH1548137632

11.44% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548141667 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141667

Fälligkeitstag

06.07.2027

Basiswert

Sonova Holding AG, Partners Group Holding AG, Kuehne + Nagel International AG - CH1548141667

11.45% p.a. Barrier Reverse Convertible on ASML, Sanofi, Volkswagen

Title

CH1476906792 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906792

Fälligkeitstag

09.12.2026

Basiswert

ASML Holding NV, Sanofi SA, Volkswagen AG - CH1476906792

11.46% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft, Oracle

Title

CH1548137319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137319

Fälligkeitstag

13.12.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Oracle Corp. - CH1548137319

11.46% p.a. Callable Barrier Reverse Convertible on Banco Santander, BBVA, Intesa Sanpaolo

Title

CH1548146682 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146682

Fälligkeitstag

04.02.2027

Basiswert

Banco Santander SA, Banco Bilbao Vizcaya Argentaria SA, Intesa Sanpaolo SpA - CH1548146682

11.47% (22.94% p.a.) Barrier Reverse Convertible on Lufthansa, Volkswagen

Title

CH1548127005 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127005

Fälligkeitstag

20.10.2026

Basiswert

Deutsche Lufthansa AG, Volkswagen AG - CH1548127005

11.47% p.a. Autocallable Barrier Reverse Convertible on Infineon, SAP, St-Gobain

Title

CH1492026807 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026807

Fälligkeitstag

30.12.2026

Basiswert

Infineon Technologies AG, Compagnie de St-Gobain, SAP SE - CH1492026807

11.47% p.a. Autocallable Reverse Convertible on AMD, NVIDIA

Title

CH1548150999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150999

Fälligkeitstag

29.02.2028

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp. - CH1548150999

11.48% (11.48% p.a.) Reverse Convertible on Alphabet, Amazon.com, Nike

Title

CH1548146617 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146617

Fälligkeitstag

04.08.2027

Basiswert

Nike Inc., Amazon.com Inc., Alphabet, Inc. - CH1548146617

11.48% p.a. Autocallable Reverse Convertible on Holcim, Sika, UBS Group

Title

CH1548143911 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143911

Fälligkeitstag

20.01.2027

Basiswert

Holcim Ltd, Sika AG, UBS Group AG - CH1548143911

11.48% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Straumann

Title

CH1532238545 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238545

Fälligkeitstag

01.03.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Kuehne + Nagel International AG - CH1532238545

11.49% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Alphabet, SLB Ltd

Title

CH1492026153 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026153

Fälligkeitstag

28.12.2026

Basiswert

SLB Ltd, Alphabet, Inc., Alibaba Group Holding Limited - CH1492026153

11.50% (11.50% p.a.) Barrier Reverse Convertible on Alstom, Geberit, Richemont (Quanto CHF)

Title

CH1548144307 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144307

Fälligkeitstag

21.07.2027

Basiswert

Compagnie Financière Richemont SA, Geberit AG, Alstom SA - CH1548144307

11.50% (11.50% p.a.) Reverse Convertible on Amazon.com, Microsoft, Palo Alto Networks

Title

CH1532246662 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246662

Fälligkeitstag

08.04.2027

Basiswert

Microsoft Corp., Amazon.com Inc., Palo Alto Networks, Inc. - CH1532246662

11.50% p.a. Barrier Reverse Convertible on Geberit, Holcim, Lonza

Title

CH1532242315 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242315

Fälligkeitstag

16.03.2027

Basiswert

Holcim Ltd, Lonza Group AG, Geberit AG - CH1532242315

11.50% p.a. Barrier Reverse Convertible on Givaudan, Swisscom, UBS Group

Title

CH1492029520 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029520

Fälligkeitstag

22.01.2027

Basiswert

UBS Group AG, Givaudan SA, Swisscom AG - CH1492029520

11.51% (11.45% p.a.) Barrier Reverse Convertible on Coca-Cola, General Mills, Kraft Heinz

Title

CH1548132922 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132922

Fälligkeitstag

17.05.2027

Basiswert

Coca-Cola Company, The Kraft Heinz Company, General Mills Inc. - CH1548132922

11.51% (11.54% p.a.) Barrier Reverse Convertible on Holcim Ltd

Title

CH1548133987 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133987

Fälligkeitstag

25.05.2027

Basiswert

Holcim Ltd

11.51% (22.78% p.a.) Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1548147136 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147136

Fälligkeitstag

08.02.2027

Basiswert

Infineon Technologies AG

11.51% (23.28% p.a.) Barrier Reverse Convertible on Nutanix Inc. (Quanto CHF)

Title

CH1548130041 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130041

Fälligkeitstag

02.11.2026

Basiswert

Nutanix Inc.

11.52% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Richemont

Title

CH1532243719 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243719

Fälligkeitstag

23.03.2027

Basiswert

Julius Bär Gruppe AG, Logitech International SA, Compagnie Financière Richemont SA - CH1532243719

11.52% p.a. Reverse Convertible on Allianz, AXA, Generali

Title

CH1548129969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129969

Fälligkeitstag

03.05.2027

Basiswert

Assicurazioni Generali SpA, Allianz SE, AXA SA - CH1548129969

11.53% p.a. Autocallable Reverse Convertible on Adobe, Amazon.com

Title

CH1492031252 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031252

Fälligkeitstag

29.01.2027

Basiswert

Amazon.com Inc., Adobe Systems Inc. - CH1492031252

11.53% p.a. Callable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP, Veolia

Title

CH1548133375 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133375

Fälligkeitstag

19.11.2027

Basiswert

Veolia Environnement, SAP SE, LVMH Moët Hennessy Louis Vuitton SE - CH1548133375

11.54% (11.54% p.a.) Barrier Reverse Convertible on Comet, Kuehne + Nagel, Sika, VAT

Title

CH1532244063 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244063

Fälligkeitstag

24.03.2027

Basiswert

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Comet Holding AG - CH1532244063

11.54% p.a. Autocallable Reverse Convertible on Apple, Microsoft, Taiwan Semiconductor Manufacturing

Title

CH1476912295 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912295

Fälligkeitstag

16.10.2026

Basiswert

Microsoft Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Apple Inc. - CH1476912295

11.54% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1532241416 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241416

Fälligkeitstag

13.03.2028

Basiswert

NVIDIA Corp., Advanced Micro Devices Inc., Qualcomm Inc. - CH1532241416

11.55% p.a. Barrier Reverse Convertible on Givaudan, Logitech, Lonza

Title

CH1548130447 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130447

Fälligkeitstag

05.05.2027

Basiswert

Logitech International SA, Lonza Group AG, Givaudan SA - CH1548130447

11.56% p.a. Autocallable Barrier Reverse Convertible on Adidas, Deutsche Bank, SAP

Title

CH1492025429 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025429

Fälligkeitstag

21.12.2026

Basiswert

Adidas AG, SAP SE, Deutsche Bank AG - CH1492025429

11.57% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Huber + Suhner, Straumann

Title

CH1532246969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246969

Fälligkeitstag

14.04.2027

Basiswert

Alcon Inc., Huber + Suhner AG, Straumann Holding AG, Givaudan SA - CH1532246969

11.57% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re

Title

CH1532244188 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244188

Fälligkeitstag

25.03.2027

Basiswert

Nestlé SA, Novartis AG, Swiss Re AG - CH1532244188

11.58% (23.43% p.a.) Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548130926 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130926

Fälligkeitstag

05.11.2026

Basiswert

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548130926

11.58% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1548131296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131296

Fälligkeitstag

07.05.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Apple Inc. - CH1548131296

11.58% p.a. Autocallable Barrier Reverse Convertible on Nike, Salesforce, Snap (Quanto CHF)

Title

CH1476907923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907923

Fälligkeitstag

16.09.2027

Basiswert

Nike Inc., Snap Inc., Salesforce, Inc. - CH1476907923

11.58% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548144778 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144778

Fälligkeitstag

23.07.2027

Basiswert

Corning Inc., Walmart Inc., Costco Wholesale Corp. - CH1548144778

11.59% p.a. Autocallable Reverse Convertible on MercadoLibre Inc.

Title

CH1548143515 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143515

Fälligkeitstag

19.07.2027

Basiswert

MercadoLibre Inc.

11.59% p.a. Barrier Reverse Convertible on Amazon.com, Deutsche Telekom, Georg Fischer, Givaudan, Lonza, Schneider Electric (Quanto CHF)

Title

CH1548138341 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138341

Fälligkeitstag

17.06.2027

Basiswert

Georg Fischer AG, Lonza Group AG, Givaudan SA, Deutsche Telekom AG, Amazon.com Inc., Schneider Electric SE - CH1548138341

11.62% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548133482 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133482

Fälligkeitstag

21.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548133482

11.63% (11.63% p.a.) Barrier Reverse Convertible on Logitech, Straumann, UBS Group

Title

CH1548129332 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129332

Fälligkeitstag

30.04.2027

Basiswert

Logitech International SA, UBS Group AG, Straumann Holding AG - CH1548129332

11.63% (23.27% p.a.) Barrier Reverse Convertible on AMD, Meta Platforms, NVIDIA, Tesla

Title

CH1548136394 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136394

Fälligkeitstag

08.12.2026

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Tesla Inc., Meta Platforms Inc. - CH1548136394

11.63% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, VAT (Quanto EUR)

Title

CH1532245011 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245011

Fälligkeitstag

02.04.2027

Basiswert

VAT Group AG, Sika AG, Partners Group Holding AG - CH1532245011

11.63% p.a. Callable Reverse Convertible on Munich Re, SAP, Vinci

Title

CH1548142483 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142483

Fälligkeitstag

10.01.2028

Basiswert

SAP SE, Vinci SA, Münchener Rückversicherungs AG - CH1548142483

11.64% (11.64% p.a.) Barrier Reverse Convertible on Bank of America, Logitech, Nestlé (Quanto CHF)

Title

CH1492030544 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030544

Fälligkeitstag

27.01.2027

Basiswert

Bank of America Corporation, Logitech International SA, Nestlé SA - CH1492030544

11.64% (11.64% p.a.) Barrier Reverse Convertible on Evonik Industries, Philips

Title

CH1532239741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239741

Fälligkeitstag

04.03.2027

Basiswert

Koninklijke Philips N.V., Evonik Industries AG - CH1532239741

11.64% p.a. Barrier Reverse Convertible on Commerzbank, ING, Rheinmetall, Unilever PLC

Title

CH1476911008 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911008

Fälligkeitstag

08.10.2026

Basiswert

ING Groep N.V., Rheinmetall AG, Commerzbank AG, Unilever PLC - CH1476911008

11.65% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft

Title

CH1548132096 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132096

Fälligkeitstag

12.05.2027

Basiswert

Meta Platforms Inc., Microsoft Corp. - CH1548132096

11.67% (15.98% p.a.) Barrier Reverse Convertible on ASML, Nokia, Prysmian, Siemens

Title

CH1492029603 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029603

Fälligkeitstag

22.10.2026

Basiswert

Nokia OYJ, Siemens AG, ASML Holding NV, Prysmian SpA - CH1492029603

11.67% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, SAP (Quanto EUR)

Title

CH1492035865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035865

Fälligkeitstag

19.08.2027

Basiswert

Partners Group Holding AG, SAP SE - CH1492035865

11.68% (11.55% p.a.) Barrier Reverse Convertible on Logitech, Sika, Straumann, Sunrise Communications AG

Title

CH1532238552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238552

Fälligkeitstag

01.03.2027

Basiswert

Sika AG, Straumann Holding AG, Logitech International SA, Sunrise Communications AG - CH1532238552

11.68% p.a. Autocallable Reverse Convertible on Ferrari, Hermes, Moncler (Quanto EUR)

Title

CH1548127104 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127104

Fälligkeitstag

21.04.2027

Basiswert

Moncler SpA, Ferrari N.V., Hermes International - CH1548127104

11.68% p.a. Reverse Convertible on Applovin Corporation

Title

CH1548135818 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135818

Fälligkeitstag

07.06.2027

Basiswert

Applovin Corporation

11.69% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Tesla

Title

CH1492025445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025445

Fälligkeitstag

20.12.2027

Basiswert

Amazon.com Inc., Tesla Inc., Apple Inc. - CH1492025445

11.69% p.a. Barrier Reverse Convertible on Logitech, Straumann, Swatch

Title

CH1532239949 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239949

Fälligkeitstag

05.03.2027

Basiswert

Straumann Holding AG, The Swatch Group AG, Logitech International SA - CH1532239949

11.70% (11.70% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont (Quanto EUR)

Title

CH1476909044 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909044

Fälligkeitstag

23.09.2026

Basiswert

Partners Group Holding AG, Compagnie Financière Richemont SA, Logitech International SA - CH1476909044

11.70% p.a. Autocallable Barrier Reverse Convertible on ABB, Huber + Suhner

Title

CH1548149546 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149546

Fälligkeitstag

19.08.2027

Basiswert

ABB Ltd, Huber + Suhner AG - CH1548149546

11.70% p.a. Autocallable Barrier Reverse Convertible on ABB, Huber + Suhner

Title

CH1548149520 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149520

Fälligkeitstag

19.08.2027

Basiswert

Huber + Suhner AG, ABB Ltd - CH1548149520

11.71% (23.44% p.a.) Reverse Convertible on Palo Alto Networks, SanDisk Corp Registered

Title

CH1548138689 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138689

Fälligkeitstag

18.12.2026

Basiswert

Palo Alto Networks, Inc., SanDisk Corp Registered - CH1548138689

11.71% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548138739 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138739

Fälligkeitstag

21.06.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1548138739

11.73% (11.73% p.a.) Barrier Reverse Convertible on Givaudan, Kuehne + Nagel, Richemont

Title

CH1532247066 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247066

Fälligkeitstag

15.04.2027

Basiswert

Kuehne + Nagel International AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532247066

11.73% p.a. Autocallable Reverse Convertible on ASML, Generali

Title

CH1548149025 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149025

Fälligkeitstag

18.08.2027

Basiswert

ASML Holding NV, Assicurazioni Generali SpA - CH1548149025

11.74% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Robinhood Markets, Visa

Title

CH1492032425 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032425

Fälligkeitstag

04.02.2027

Basiswert

Robinhood Markets Inc., Visa Inc., Microsoft Corp. - CH1492032425

11.74% p.a. Barrier Reverse Convertible on Adidas, Lonza, Swiss Life (Quanto CHF)

Title

CH1532244949 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244949

Fälligkeitstag

02.04.2027

Basiswert

Lonza Group AG, Adidas AG, Swiss Life Holding AG - CH1532244949

11.74% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Novartis, Partners Group Holding, Roche, UBS Group

Title

CH1548148068 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148068

Fälligkeitstag

12.01.2027

Basiswert

Nestlé SA, Roche Holding AG, Novartis AG, Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1548148068

11.75% (20.05% p.a.) Barrier Reverse Convertible on Bachem, SIG Group, Sika, Stadler Rail

Title

CH1548146476 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146476

Fälligkeitstag

08.03.2027

Basiswert

Sika AG, SIG Group AG, Bachem Holding AG, Stadler Rail AG - CH1548146476

11.75% (7.83% p.a.) Barrier Reverse Convertible on ABB, Nestlé, Roche

Title

CH1532242414 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242414

Fälligkeitstag

17.09.2027

Basiswert

ABB Ltd, Nestlé SA, Roche Holding AG - CH1532242414

11.75% p.a. Barrier Reverse Convertible on Galderma Group, Lonza, Straumann

Title

CH1532238438 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238438

Fälligkeitstag

26.02.2027

Basiswert

Galderma Group Ltd, Lonza Group AG, Straumann Holding AG - CH1532238438

11.75% p.a. Barrier Reverse Convertible on Straumann, VAT

Title

CH1492025825 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025825

Fälligkeitstag

23.12.2026

Basiswert

Straumann Holding AG, VAT Group AG - CH1492025825

11.75% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1492026930 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026930

Fälligkeitstag

30.10.2026

Basiswert

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, Roche Holding AG, The Swatch Group AG - CH1492026930

11.76% (11.76% p.a.) Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto USD)

Title

CH1548133672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133672

Fälligkeitstag

20.05.2027

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1548133672

11.76% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548147151 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147151

Fälligkeitstag

10.05.2027

Basiswert

Logitech International SA

11.77% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1596852108 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852108

Fälligkeitstag

30.08.2027

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Partners Group Holding AG - CH1596852108

11.78% (11.71% p.a.) Barrier Reverse Convertible on Accor, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1532242075 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242075

Fälligkeitstag

15.03.2027

11.78% (11.71% p.a.) Barrier Reverse Convertible on Accor, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1532242075 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242075

Fälligkeitstag

15.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Accor SA, SAP SE - CH1532242075

11.78% (23.56% p.a.) Reverse Convertible on ServiceNow Inc

Title

CH1548137103 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137103

Fälligkeitstag

10.12.2026

Basiswert

ServiceNow Inc

11.78% p.a. Barrier Reverse Convertible on Bank of America, Citigroup, Goldman Sachs

Title

CH1532242125 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242125

Fälligkeitstag

15.03.2027

Basiswert

Citigroup Inc., The Goldman Sachs Group, Inc., Bank of America Corporation - CH1532242125

11.78% p.a. Barrier Reverse Convertible on Geberit, Logitech, UBS Group

Title

CH1532246944 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246944

Fälligkeitstag

07.04.2027

Basiswert

Logitech International SA, Geberit AG, UBS Group AG - CH1532246944

11.78% p.a. Barrier Reverse Convertible on Meta Platforms, NVIDIA, Oracle (Quanto EUR)

Title

CH1492026989 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026989

Fälligkeitstag

03.01.2029

Basiswert

NVIDIA Corp., Oracle Corp., Meta Platforms Inc. - CH1492026989

11.78% p.a. Barrier Reverse Convertible on Meta Platforms, NVIDIA, Oracle (Quanto EUR)

Title

CH1492026971 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026971

Fälligkeitstag

03.01.2029

Basiswert

NVIDIA Corp., Oracle Corp., Meta Platforms Inc. - CH1492026971

11.78% p.a. Barrier Reverse Convertible on Whirlpool Corp.

Title

CH1492027037 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492027037

Fälligkeitstag

31.12.2026

Basiswert

Whirlpool Corp.

11.79% (23.59% p.a.) Barrier Reverse Convertible on Airbus, Bayer, Heidelberg Materials, Safran

Title

CH1532247173 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247173

Fälligkeitstag

15.10.2026

Basiswert

Airbus SE, Heidelberg Materials AG, Bayer AG, Safran SA - CH1532247173

11.79% p.a. Autocallable Barrier Reverse Convertible on Enel, ENI, NVIDIA (Quanto CHF)

Title

CH1548149124 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149124

Fälligkeitstag

18.08.2027

Basiswert

ENI SpA, Enel SpA, NVIDIA Corp. - CH1548149124

11.79% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548141675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141675

Fälligkeitstag

06.07.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548141675

11.80% p.a. Reverse Convertible on Bouygues, Caterpillar, MP Materials Corp (Quanto USD)

Title

CH1548134258 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134258

Fälligkeitstag

26.08.2027

Basiswert

MP Materials Corp, Bouygues SA, Caterpillar Inc. - CH1548134258

11.81% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Microsoft (Quanto CHF)

Title

CH1548151096 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151096

Fälligkeitstag

27.08.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Apple Inc. - CH1548151096

11.82% p.a. Reverse Convertible on Amazon.com, Intel (Quanto CHF)

Title

CH1548148654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148654

Fälligkeitstag

14.08.2029

Basiswert

Amazon.com Inc., Intel Corp. - CH1548148654

11.83% p.a. Autocallable Reverse Convertible on MercadoLibre, Visa

Title

CH1548149843 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149843

Fälligkeitstag

23.02.2027

Basiswert

Visa Inc., MercadoLibre Inc. - CH1548149843

11.83% p.a. Barrier Reverse Convertible on Allianz, Deutsche Telekom, Ferrari, Infineon, Lonza (Quanto CHF)

Title

CH1476911917 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911917

Fälligkeitstag

14.10.2026

Basiswert

Lonza Group AG, Infineon Technologies AG, Ferrari N.V., Allianz SE, Deutsche Telekom AG - CH1476911917

11.83% p.a. Callable Barrier Reverse Convertible on BAE Systems, Lockheed Martin, Rheinmetall (Quanto EUR)

Title

CH1476904136 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904136

Fälligkeitstag

20.11.2026

Basiswert

Rheinmetall AG, BAE Systems PLC, Lockheed Martin Corp - CH1476904136

11.84% p.a. Autocallable Barrier Reverse Convertible on Boeing, Novo Nordisk, Rheinmetall (Quanto USD)

Title

CH1492029769 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029769

Fälligkeitstag

26.01.2027

Basiswert

Boeing Company, Rheinmetall AG, Novo Nordisk A/S - CH1492029769

11.84% p.a. Autocallable Barrier Reverse Convertible on Logitech International SA

Title

CH1548136402 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136402

Fälligkeitstag

08.12.2026

Basiswert

Logitech International SA

11.84% p.a. Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Newmont

Title

CH1492020099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020099

Fälligkeitstag

12.11.2026

Basiswert

Barrick Mining Corporation, Newmont Corp., AngloGold Ashanti plc - CH1492020099

11.85% (11.85% p.a.) Barrier Reverse Convertible on ABB, Holcim, Logitech

Title

CH1548141790 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141790

Fälligkeitstag

07.07.2027

Basiswert

Logitech International SA, ABB Ltd, Holcim Ltd - CH1548141790

11.85% p.a. Autocallable Barrier Reverse Convertible on Holcim, St-Gobain, Vinci (Quanto EUR)

Title

CH1548142715 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142715

Fälligkeitstag

14.07.2027

Basiswert

Compagnie de St-Gobain, Vinci SA, Holcim Ltd - CH1548142715

11.85% p.a. Reverse Convertible on Citigroup, Netflix, Oracle

Title

CH1548134241 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134241

Fälligkeitstag

26.08.2027

Basiswert

Netflix Inc., Citigroup Inc., Oracle Corp. - CH1548134241

11.86% p.a. Callable Barrier Reverse Convertible on Bachem, Julius Bär, Nestlé, Roche

Title

CH1548142475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142475

Fälligkeitstag

10.12.2026

Basiswert

Roche Holding AG, Nestlé SA, Julius Bär Gruppe AG, Bachem Holding AG - CH1548142475

11.87% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Richemont

Title

CH1548135206 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135206

Fälligkeitstag

31.05.2027

Basiswert

Partners Group Holding AG, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1548135206

11.88% (11.91% p.a.) Barrier Reverse Convertible on Holcim, Richemont, UBS Group

Title

CH1548129886 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129886

Fälligkeitstag

03.05.2027

Basiswert

Compagnie Financière Richemont SA, UBS Group AG, Holcim Ltd - CH1548129886

11.89% (11.89% p.a.) Barrier Reverse Convertible on McDonalds, Microsoft, Nike

Title

CH1492018937 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018937

Fälligkeitstag

04.11.2026

Basiswert

Microsoft Corp., McDonalds Corp., Nike Inc. - CH1492018937

11.90% (11.90% p.a.) Barrier Reverse Convertible on Fresenius, Hannover Rück, Schneider Electric, Siemens Energy

Title

CH1532239816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239816

Fälligkeitstag

04.03.2027

Basiswert

Hannover Rück SE, Siemens Energy AG, Schneider Electric SE, Fresenius SE & Co. KGaA - CH1532239816

11.91% (11.92% p.a.) Barrier Reverse Convertible on Adidas, AXA, TotalEnergies

Title

CH1548134654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134654

Fälligkeitstag

27.05.2027

Basiswert

Adidas AG, AXA SA, TotalEnergies SE - CH1548134654

11.91% (3.96% p.a.) Barrier Reverse Convertible on The Swatch Group AG

Title

CH1548130256 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130256

Fälligkeitstag

07.05.2029

Basiswert

The Swatch Group AG

11.91% p.a. Callable Reverse Convertible on Deutsche Telekom, Enel, Vinci

Title

CH1548131783 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131783

Fälligkeitstag

12.05.2027

Basiswert

Enel SpA, Deutsche Telekom AG, Vinci SA - CH1548131783

11.92% (11.86% p.a.) Barrier Reverse Convertible on AXA, ING, Shell (Quanto CHF)

Title

CH1548126486 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126486

Fälligkeitstag

19.04.2027

Basiswert

AXA SA, ING Groep N.V., Shell PLC - CH1548126486

11.93% p.a. Autocallable Barrier Reverse Convertible on Alcon, ARYZTA, DKSH, Sandoz Group (Quanto EUR)

Title

CH1548143457 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143457

Fälligkeitstag

19.07.2027

Basiswert

ARYZTA AG, Sandoz Group AG, Alcon Inc., DKSH Holding Ltd. - CH1548143457

11.93% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Rolls-Royce (Quanto GBP)

Title

CH1532239303 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239303

Fälligkeitstag

02.03.2028

Basiswert

Amazon.com Inc., Rolls-Royce Holdings PLC - CH1532239303

11.93% p.a. Autocallable Barrier Reverse Convertible on BELIMO Holding, Huber + Suhner

Title

CH1548144208 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144208

Fälligkeitstag

21.07.2027

Basiswert

Huber + Suhner AG, BELIMO Holding AG - CH1548144208

11.94% (11.87% p.a.) Barrier Reverse Convertible on Cembra Money Bank, Julius Bär, Swissquote

Title

CH1492034512 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034512

Fälligkeitstag

15.02.2027

Basiswert

Cembra Money Bank AG, Julius Bär Gruppe AG, Swissquote Group Holding SA - CH1492034512

11.94% p.a. Autocallable Barrier Reverse Convertible on iShares MSCI India ETF, iShares MSCI South Korea Index Fund, Nikkei 225 ETF (Quanto GBP)

Title

CH1532239329 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239329

Fälligkeitstag

02.03.2028

Basiswert

iShares MSCI India ETF, Nikkei 225 Exchange Traded Fund, iShares MSCI South Korea Index Fund - CH1532239329

11.96% (12.09% p.a.) Barrier Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1532246845 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246845

Fälligkeitstag

09.04.2027

Basiswert

Leonardo S.p.a., Thales SA, Rheinmetall AG - CH1532246845

11.96% p.a. Autocallable Barrier Reverse Convertible on Alcon, Roche, Straumann

Title

CH1446054616 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446054616

Fälligkeitstag

21.12.2026

Basiswert

Alcon Inc., Straumann Holding AG, Roche Holding AG - CH1446054616

11.96% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Microsoft, NVIDIA

Title

CH1548128102 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128102

Fälligkeitstag

26.07.2027

Basiswert

Amazon.com Inc., Microsoft Corp., NVIDIA Corp. - CH1548128102

11.96% p.a. Autocallable Reverse Convertible on Alphabet, Apple, NVIDIA (Quanto EUR)

Title

CH1532246365 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246365

Fälligkeitstag

07.04.2027

Basiswert

Apple Inc., Alphabet, Inc., NVIDIA Corp. - CH1532246365

11.96% p.a. Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann

Title

CH1548139489 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139489

Fälligkeitstag

23.06.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1548139489

11.96% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1548141634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141634

Fälligkeitstag

05.01.2028

Basiswert

Logitech International SA, Comet Holding AG - CH1548141634

11.97% (11.97% p.a.) Barrier Reverse Convertible on Georg Fischer, Lonza, Sika

Title

CH1492031856 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031856

Fälligkeitstag

02.02.2027

Basiswert

Lonza Group AG, Georg Fischer AG, Sika AG - CH1492031856

11.98% (15.97% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Orange, Vivendi

Title

CH1492028589 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028589

Fälligkeitstag

16.10.2026

Basiswert

Orange S.A., Deutsche Telekom AG, Vivendi SE - CH1492028589

11.98% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, JPMorgan Chase, UBS Group (Quanto CHF)

Title

CH1548130801 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130801

Fälligkeitstag

07.05.2027

Basiswert

UBS Group AG, Banco Santander SA, JPMorgan Chase & Co. - CH1548130801

11.99% p.a. Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1418949694 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949694

Fälligkeitstag

26.10.2026

Basiswert

Microsoft Corp., Alphabet, Inc., Meta Platforms Inc. - CH1418949694

11.99% p.a. Callable Reverse Convertible on AMD, NVIDIA, Palantir

Title

CH1492021964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021964

Fälligkeitstag

26.11.2027

Basiswert

NVIDIA Corp., Advanced Micro Devices Inc., Palantir Technologies Inc. - CH1492021964

12.00% p.a. Autocallable Barrier Reverse Convertible on ASML, Infineon

Title

CH1548148944 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148944

Fälligkeitstag

17.08.2027

Basiswert

ASML Holding NV, Infineon Technologies AG - CH1548148944

12.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto USD)

Title

CH1476907063 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476907063

Fälligkeitstag

10.09.2026

Basiswert

Novo Nordisk A/S

12.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto USD)

Title

CH1476906735 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906735

Fälligkeitstag

09.09.2026

Basiswert

Novo Nordisk A/S

12.00% p.a. Autocallable Multi FCN on Adobe, Microsoft, Synopsys Inc

Title

CH1492030981 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030981

Fälligkeitstag

09.11.2026

Basiswert

Microsoft Corp., Synopsys Inc, Adobe Systems Inc. - CH1492030981

12.00% p.a. Autocallable Multi FCN on Alphabet, Broadcom, Meta Platforms

Title

CH1548149611 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149611

Fälligkeitstag

03.03.2027

Basiswert

Broadcom Inc., Meta Platforms Inc., Alphabet, Inc. - CH1548149611

12.00% p.a. Autocallable Multi FCN on Broadcom, MasterCard, Netflix

Title

CH1492026922 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026922

Fälligkeitstag

08.10.2026

Basiswert

MasterCard Inc, Netflix Inc., Broadcom Inc. - CH1492026922

12.00% p.a. Autocallable Multi FCN on Fair Isaac, MasterCard, S&P Global, Taiwan Semiconductor Manufacturing

Title

CH1548136675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136675

Fälligkeitstag

18.03.2027

Basiswert

Fair Isaac Corp., Taiwan Semiconductor Manufacturing Co. Ltd, S&P Global Inc., MasterCard Inc - CH1548136675

12.00% p.a. Autocallable Multi FCN on Nintendo, SCREEN Holdings, Softbank

Title

CH1492025684 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025684

Fälligkeitstag

02.10.2026

Basiswert

SoftBank Group Corp., Nintendo Co Ltd., SCREEN Holdings Co Ltd - CH1492025684

12.00% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com

Title

CH1548135511 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135511

Fälligkeitstag

04.12.2026

Basiswert

Amazon.com Inc., Alphabet, Inc. - CH1548135511

12.00% p.a. Autocallable Reverse Convertible on Alphabet, Broadcom, Microsoft

Title

CH1548148019 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148019

Fälligkeitstag

12.02.2027

Basiswert

Broadcom Inc., Microsoft Corp., Alphabet, Inc. - CH1548148019

12.00% p.a. Autocallable Reverse Convertible on BHP Group, Rio Tinto

Title

CH1548130454 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130454

Fälligkeitstag

04.11.2026

Basiswert

Rio Tinto PLC, BHP Group Limited - CH1548130454

12.00% p.a. Autocallable Reverse Convertible on BHP Group, Rio Tinto

Title

CH1548136436 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136436

Fälligkeitstag

08.12.2026

Basiswert

BHP Group Limited, Rio Tinto PLC - CH1548136436

12.00% p.a. Autocallable Reverse Convertible on Cameco Corp.

Title

CH1532243446 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243446

Fälligkeitstag

21.09.2026

Basiswert

Cameco Corp.

12.00% p.a. Autocallable Reverse Convertible on Caterpillar, United Rentals

Title

CH1548133698 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133698

Fälligkeitstag

20.11.2026

Basiswert

United Rentals Inc., Caterpillar Inc. - CH1548133698

12.00% p.a. Autocallable Reverse Convertible on CoreWeave Inc.

Title

CH1548139919 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139919

Fälligkeitstag

28.12.2026

Basiswert

CoreWeave Inc.

12.00% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548136428 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136428

Fälligkeitstag

08.12.2026

Basiswert

NVIDIA Corp., Meta Platforms Inc. - CH1548136428

12.00% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548135453 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135453

Fälligkeitstag

04.12.2026

Basiswert

NVIDIA Corp., Meta Platforms Inc. - CH1548135453

12.00% p.a. Autocallable Reverse Convertible on iShares MSCI South Korea Index Fund

Title

CH1532243917 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243917

Fälligkeitstag

24.03.2027

Basiswert

iShares MSCI South Korea Index Fund

12.00% p.a. Barrier Reverse Convertible on Alphabet, Apple, Microsoft

Title

CH1548127997 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127997

Fälligkeitstag

23.04.2027

Basiswert

Alphabet, Inc., Apple Inc., Microsoft Corp. - CH1548127997

12.00% p.a. Barrier Reverse Convertible on Kering, NVIDIA, TotalEnergies (Quanto USD)

Title

CH1476907790 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907790

Fälligkeitstag

15.09.2026

Basiswert

Kering SA, NVIDIA Corp., TotalEnergies SE - CH1476907790

12.00% p.a. Callable Reverse Convertible on Meta Platforms Inc.

Title

CH1492028068 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028068

Fälligkeitstag

15.01.2027

Basiswert

Meta Platforms Inc.

12.00% p.a. Reverse Convertible on Alphabet, Amazon.com, NVIDIA (Quanto CHF)

Title

CH1532246100 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246100

Fälligkeitstag

05.04.2027

Basiswert

NVIDIA Corp., Alphabet, Inc., Amazon.com Inc. - CH1532246100

12.00% p.a. Reverse Convertible on Alphabet, Apple

Title

CH1548146468 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146468

Fälligkeitstag

04.11.2026

Basiswert

Alphabet, Inc., Apple Inc. - CH1548146468

12.00% p.a. Reverse Convertible on Alphabet, Meta Platforms, Uber Technologies (Quanto EUR)

Title

CH1548139042 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139042

Fälligkeitstag

22.06.2027

Basiswert

Alphabet, Inc., Meta Platforms Inc., Uber Technologies Inc. - CH1548139042

12.00% p.a. Reverse Convertible on Hitachi, Sony Group (Quanto USD)

Title

CH1548136337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136337

Fälligkeitstag

08.09.2026

Basiswert

Sony Group Corporation, Hitachi Ltd. - CH1548136337

12.00% p.a. Reverse Convertible on Intel Corp. (Quanto EUR)

Title

CH1548139026 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139026

Fälligkeitstag

22.06.2027

Basiswert

Intel Corp.

12.00% p.a. Reverse Convertible on Microsoft, NVIDIA, Oracle

Title

CH1548132914 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132914

Fälligkeitstag

15.05.2028

Basiswert

NVIDIA Corp., Microsoft Corp., Oracle Corp. - CH1548132914

12.00% p.a. Reverse Convertible on Tesla Inc.

Title

CH1548136329 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136329

Fälligkeitstag

08.09.2026

Basiswert

Tesla Inc.

12.02% (12.02% p.a.) Barrier Reverse Convertible on EssilorLuxottica, Richemont, Sika (Quanto CHF)

Title

CH1548132740 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132740

Fälligkeitstag

18.05.2027

Basiswert

Compagnie Financière Richemont SA, Sika AG, EssilorLuxottica SA - CH1548132740

12.02% p.a. Barrier Reverse Convertible on Carl Zeiss Meditec AG

Title

CH1532240723 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240723

Fälligkeitstag

09.03.2027

Basiswert

Carl Zeiss Meditec AG

12.02% p.a. Callable Reverse Convertible on Oracle Corp.

Title

CH1532245367 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245367

Fälligkeitstag

03.04.2028

Basiswert

Oracle Corp.

12.03% (12.03% p.a.) Barrier Reverse Convertible on Avolta, VAT

Title

CH1548139158 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139158

Fälligkeitstag

22.06.2027

Basiswert

Avolta AG, VAT Group AG - CH1548139158

12.03% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1548141956 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141956

Fälligkeitstag

06.01.2028

Basiswert

Logitech International SA, Comet Holding AG - CH1548141956

12.04% p.a. Autocallable Barrier Reverse Convertible on AXA, ING, L´Oréal, Munich Re (Quanto CHF)

Title

CH1548131494 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131494

Fälligkeitstag

12.05.2027

Basiswert

Münchener Rückversicherungs AG, ING Groep N.V., AXA SA, L´Oréal International - CH1548131494

12.05% (11.99% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Straumann

Title

CH1548128169 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128169

Fälligkeitstag

26.04.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1548128169

12.05% p.a. Autocallable Barrier Reverse Convertible on Constellation Brands, Kraft Heinz

Title

CH1532239253 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239253

Fälligkeitstag

01.03.2027

Basiswert

Constellation Brands, Inc., The Kraft Heinz Company - CH1532239253

12.05% p.a. Barrier Reverse Convertible on AMD, Uber Technologies, Visa

Title

CH1492019919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019919

Fälligkeitstag

10.11.2026

Basiswert

Uber Technologies Inc., Visa Inc., Advanced Micro Devices Inc. - CH1492019919

12.06% (24.00% p.a.) Reverse Convertible on Rigetti Computing Inc.

Title

CH1548131650 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131650

Fälligkeitstag

12.11.2026

Basiswert

Rigetti Computing Inc.

12.06% (48.81% p.a.) Reverse Convertible on AMD, Broadcom, NVIDIA

Title

CH1548140081 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140081

Fälligkeitstag

25.09.2026

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Broadcom Inc. - CH1548140081

12.06% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, EQT, Svenska Handelsbanken (Quanto USD)

Title

CH1548128763 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128763

Fälligkeitstag

28.04.2027

Basiswert

Svenska Handelsbanken AB, EQT AB, Commerzbank AG - CH1548128763

12.06% p.a. Autocallable Barrier Reverse Convertible on Danone, Mondelez Intl., PepsiCo, Tyson Foods (Quanto EUR)

Title

CH1548144224 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144224

Fälligkeitstag

22.01.2027

Basiswert

Mondelez International, Danone SA, PepsiCo Inc., Tyson Foods, Inc. - CH1548144224

12.08% (16.11% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Sunrise Communications AG

Title

CH1492033381 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033381

Fälligkeitstag

09.11.2026

Basiswert

Sunrise Communications AG, Straumann Holding AG, Lonza Group AG - CH1492033381

12.08% p.a. Autocallable Barrier Reverse Convertible on ASML, RWE, SAP, St-Gobain

Title

CH1476906180 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906180

Fälligkeitstag

04.09.2026

Basiswert

ASML Holding NV, Compagnie de St-Gobain, SAP SE, RWE AG - CH1476906180

12.08% p.a. Autocallable Barrier Reverse Convertible on Alphabet, United Rentals (Quanto GBP)

Title

CH1492034744 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034744

Fälligkeitstag

14.02.2028

Basiswert

Alphabet, Inc., United Rentals Inc. - CH1492034744

12.08% p.a. Autocallable Barrier Reverse Convertible on Geberit, Nestlé, NVIDIA (Quanto EUR)

Title

CH1548150395 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150395

Fälligkeitstag

24.08.2027

Basiswert

Geberit AG, Nestlé SA, NVIDIA Corp. - CH1548150395

12.09% p.a. Callable Barrier Reverse Convertible on Huber + Suhner, VAT

Title

CH1548141527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141527

Fälligkeitstag

06.04.2027

Basiswert

Huber + Suhner AG, VAT Group AG - CH1548141527

12.10% (12.10% p.a.) Barrier Reverse Convertible on Adidas, Lululemon Athletica, Nike (Quanto CHF)

Title

CH1476908319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908319

Fälligkeitstag

18.09.2026

Basiswert

Lululemon Athletica Inc., Adidas AG, Nike Inc. - CH1476908319

12.10% (12.14% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1532245904 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245904

Fälligkeitstag

06.04.2027

Basiswert

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1532245904

12.10% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1548138283 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138283

Fälligkeitstag

17.06.2027

Basiswert

Tesla Inc.

12.10% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Partners Group Holding

Title

CH1532241713 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241713

Fälligkeitstag

12.03.2027

Basiswert

Partners Group Holding AG, Lonza Group AG, Nestlé SA - CH1532241713

12.11% (12.11% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT (Quanto EUR)

Title

CH1492033589 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033589

Fälligkeitstag

10.02.2027

Basiswert

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492033589

12.11% (24.22% p.a.) Barrier Reverse Convertible on BASF, K+S

Title

CH1532247264 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247264

Fälligkeitstag

16.10.2026

Basiswert

BASF SE, K+S AG - CH1532247264

12.11% p.a. Reverse Convertible on Albemarle Corp

Title

CH1492020685 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020685

Fälligkeitstag

14.05.2027

Basiswert

Albemarle Corp

12.13% (12.14% p.a.) Barrier Reverse Convertible on Logitech, Richemont, VAT (Quanto EUR)

Title

CH1492026740 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026740

Fälligkeitstag

30.12.2026

Basiswert

VAT Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1492026740

12.13% (24.27% p.a.) Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1548146955 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146955

Fälligkeitstag

05.02.2027

Basiswert

Infineon Technologies AG

12.14% (12.07% p.a.) Barrier Reverse Convertible on Coca-Cola, Kraft Heinz, Procter & Gamble

Title

CH1596851795 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851795

Fälligkeitstag

30.08.2027

Basiswert

The Procter & Gamble Company, Coca-Cola Company, The Kraft Heinz Company - CH1596851795

12.14% (12.08% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Swiss Re, UBS Group

Title

CH1492020677 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020677

Fälligkeitstag

16.11.2026

Basiswert

Compagnie Financière Richemont SA, Lonza Group AG, Swiss Re AG, UBS Group AG - CH1492020677

12.14% p.a. Autocallable Barrier Reverse Convertible on A2A, Republic Services, Waste Management, Xylem Inc. (Quanto USD)

Title

CH1532241655 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241655

Fälligkeitstag

14.09.2026

Basiswert

Xylem Inc., Waste Management, Inc., Republic Services Inc., A2A SpA - CH1532241655

12.14% p.a. Autocallable Reverse Convertible on Sea Ltd

Title

CH1548135693 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135693

Fälligkeitstag

07.06.2027

Basiswert

Sea Ltd

12.14% p.a. Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1548129126 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129126

Fälligkeitstag

29.01.2027

Basiswert

Microsoft Corp., Alphabet, Inc., Meta Platforms Inc. - CH1548129126

12.14% p.a. Reverse Convertible on Logitech International SA

Title

CH1532240418 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240418

Fälligkeitstag

03.02.2027

Basiswert

Logitech International SA

12.15% (13.50% p.a.) Barrier Reverse Convertible on Logitech, Lonza

Title

CH1492032839 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032839

Fälligkeitstag

29.12.2026

Basiswert

Logitech International SA, Lonza Group AG - CH1492032839

12.15% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto EUR)

Title

CH1548126635 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126635

Fälligkeitstag

19.04.2027

Basiswert

BAE Systems PLC, Rheinmetall AG, Leonardo S.p.a. - CH1548126635

12.15% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis

Title

CH1492024901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024901

Fälligkeitstag

17.12.2026

Basiswert

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024901

12.15% p.a. Autocallable Reverse Convertible on Constellation Energy, Nextera Energy, Vistra Energy

Title

CH1548138663 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138663

Fälligkeitstag

20.12.2027

Basiswert

Constellation Energy Corp., Nextera Energy Inc., Vistra Energy Corp. - CH1548138663

12.15% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1532245318 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245318

Fälligkeitstag

05.04.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG - CH1532245318

12.16% (24.06% p.a.) Barrier Reverse Convertible on Siemens Energy AG

Title

CH1532244311 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244311

Fälligkeitstag

28.09.2026

Basiswert

Siemens Energy AG

12.16% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548141154 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141154

Fälligkeitstag

02.07.2027

Basiswert

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548141154

12.17% (16.17% p.a.) Barrier Reverse Convertible on ABB, Geberit, Nestlé, VAT (Quanto USD)

Title

CH1548150320 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150320

Fälligkeitstag

25.05.2027

Basiswert

Nestlé SA, Geberit AG, VAT Group AG, ABB Ltd - CH1548150320

12.18% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548129027 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129027

Fälligkeitstag

29.04.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548129027

12.18% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548129050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129050

Fälligkeitstag

29.04.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, UBS Group AG - CH1548129050

12.18% p.a. Autocallable Reverse Convertible on Airbus, Leonardo, Rheinmetall

Title

CH1532243313 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243313

Fälligkeitstag

20.09.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a., Airbus SE - CH1532243313

12.19% (16.26% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1532244014 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244014

Fälligkeitstag

24.12.2026

Basiswert

Siemens Energy AG, Schneider Electric SE - CH1532244014

12.19% p.a. Autocallable Barrier Reverse Convertible on Adyen , JD.com, Meta Platforms (Quanto EUR)

Title

CH1532237554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237554

Fälligkeitstag

25.05.2027

Basiswert

Adyen N.V., JD.com, Inc., Meta Platforms Inc. - CH1532237554

12.19% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika (Quanto USD)

Title

CH1492019786 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019786

Fälligkeitstag

10.11.2026

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sika AG - CH1492019786

12.20% (12.20% p.a.) Barrier Reverse Convertible on Bouygues, Orange, Safran

Title

CH1548135768 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135768

Fälligkeitstag

04.06.2027

Basiswert

Orange S.A., Safran SA, Bouygues SA - CH1548135768

12.20% p.a. Barrier Reverse Convertible on Alcon, ALSO Holding, Partners Group Holding

Title

CH1548138895 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138895

Fälligkeitstag

21.06.2027

Basiswert

Partners Group Holding AG, ALSO Holding AG, Alcon Inc. - CH1548138895

12.20% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce (Quanto CHF)

Title

CH1532244246 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244246

Fälligkeitstag

25.09.2026

Basiswert

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244246

12.21% (13.61% p.a.) Barrier Reverse Convertible on Accor, Booking Holdings, Expedia Group (Quanto CHF)

Title

CH1532241622 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241622

Fälligkeitstag

11.02.2027

Basiswert

Booking Holdings Inc., Expedia Group Inc., Accor SA - CH1532241622

12.21% p.a. Autocallable Reverse Convertible on ConocoPhillips, Sea

Title

CH1492028308 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028308

Fälligkeitstag

19.01.2027

Basiswert

Sea Ltd, ConocoPhillips - CH1492028308

12.23% p.a. Autocallable Barrier Reverse Convertible on Ørsted, Siemens Energy (Quanto CHF)

Title

CH1532246613 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246613

Fälligkeitstag

08.07.2027

Basiswert

Ørsted A/S, Siemens Energy AG - CH1532246613

12.24% p.a. Autocallable Barrier Reverse Convertible on Transocean Ltd. (Quanto CHF)

Title

CH1548145981 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145981

Fälligkeitstag

30.07.2027

Basiswert

Transocean Ltd.

12.24% p.a. Autocallable Reverse Convertible on Caterpillar, United Rentals

Title

CH1548133805 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133805

Fälligkeitstag

23.11.2026

Basiswert

United Rentals Inc., Caterpillar Inc. - CH1548133805

12.24% p.a. Callable Barrier Reverse Convertible on Byd Co, Dr. Ing. H.c. F. Porsche AG, Mercedes-Benz Group (Quanto CHF)

Title

CH1532239352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239352

Fälligkeitstag

03.03.2027

Basiswert

BYD Company Limited, Mercedes-Benz Group AG, Dr. Ing. H.c. F. Porsche AG - CH1532239352

12.25% p.a. Autocallable Barrier Reverse Convertible on Anglo American, Barrick Mining, Newmont (Quanto GBP)

Title

CH1492032748 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032748

Fälligkeitstag

05.08.2027

Basiswert

Anglo American PLC, Barrick Mining Corporation, Newmont Corp. - CH1492032748

12.25% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Leonardo, Rheinmetall

Title

CH1492017103 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017103

Fälligkeitstag

23.10.2026

Basiswert

Rheinmetall AG, Leonardo S.p.a., Hensoldt AG - CH1492017103

12.25% p.a. Reverse Convertible on AMD, Palantir, Salesforce (Quanto CHF)

Title

CH1532239204 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239204

Fälligkeitstag

03.03.2027

Basiswert

Palantir Technologies Inc., Salesforce, Inc., Advanced Micro Devices Inc. - CH1532239204

12.26% (12.29% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, AMD

Title

CH1532238081 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238081

Fälligkeitstag

25.02.2027

Basiswert

Advanced Micro Devices Inc., Amazon.com Inc., Alphabet, Inc. - CH1532238081

12.26% (49.05% p.a.) Reverse Convertible on SK Hynix Inc. (Quanto CHF)

Title

CH1548149322 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149322

Fälligkeitstag

19.11.2026

Basiswert

SK Hynix Inc.

12.26% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto CHF)

Title

CH1532241325 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241325

Fälligkeitstag

11.06.2027

Basiswert

Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1532241325

12.26% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1492017186 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017186

Fälligkeitstag

26.10.2026

Basiswert

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1492017186

12.27% p.a. Autocallable Reverse Convertible on Straumann, Tecan

Title

CH1548138408 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138408

Fälligkeitstag

15.12.2026

Basiswert

Straumann Holding AG, Tecan Group Ltd. - CH1548138408

12.29% (12.29% p.a.) Barrier Reverse Convertible on Accor, Adidas, BNP Paribas

Title

CH1548147250 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147250

Fälligkeitstag

06.08.2027

Basiswert

Adidas AG, Accor SA, BNP Paribas - CH1548147250

12.29% (12.29% p.a.) Barrier Reverse Convertible on Amrize Ltd, Helvetia Baloise, Infineon (Quanto CHF)

Title

CH1548150650 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150650

Fälligkeitstag

25.08.2027

Basiswert

Infineon Technologies AG, Amrize Ltd, Helvetia Baloise Holding AG - CH1548150650

12.29% (24.18% p.a.) Barrier Reverse Convertible on Fresenius Medical Care, Kering

Title

CH1532245631 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245631

Fälligkeitstag

05.10.2026

Basiswert

Kering SA, Fresenius Medical Care AG - CH1532245631

12.29% p.a. Autocallable Reverse Convertible on Suncor Energy Inc.

Title

CH1548145247 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145247

Fälligkeitstag

28.01.2027

Basiswert

Suncor Energy Inc.

12.29% p.a. Barrier Reverse Convertible on Adidas, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton

Title

CH1532245417 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245417

Fälligkeitstag

06.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Adidas AG, EssilorLuxottica SA - CH1532245417

12.30% (12.24% p.a.) Barrier Reverse Convertible on Partners Group Holding, VAT, Zurich Insurance

Title

CH1492021683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021683

Fälligkeitstag

23.11.2026

Basiswert

VAT Group AG, Zurich Insurance Group Ltd, Partners Group Holding AG - CH1492021683

12.30% p.a. Barrier Reverse Convertible on Dow Inc

Title

CH1492023044 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023044

Fälligkeitstag

04.12.2026

Basiswert

Dow Inc

12.31% (12.31% p.a.) Barrier Reverse Convertible on BAE Systems, Rheinmetall, Safran (Quanto EUR)

Title

CH1532242372 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242372

Fälligkeitstag

16.03.2027

Basiswert

BAE Systems PLC, Rheinmetall AG, Safran SA - CH1532242372

12.31% p.a. Autocallable Reverse Convertible on Abbott Labs, UnitedHealth

Title

CH1548150833 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150833

Fälligkeitstag

26.02.2027

Basiswert

Abbott Laboratories, UnitedHealth Group Inc. - CH1548150833

12.32% (24.51% p.a.) Reverse Convertible on Antofagasta, BHP Group (Quanto EUR)

Title

CH1548147482 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147482

Fälligkeitstag

08.02.2027

Basiswert

Antofagasta PLC, BHP Group Limited - CH1548147482

12.32% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Baidu, NetEase

Title

CH1492032136 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032136

Fälligkeitstag

03.02.2027

Basiswert

Alibaba Group Holding Limited, Baidu, Inc., NetEase, Inc. - CH1492032136

12.32% p.a. Autocallable Reverse Convertible on Apple, Netflix

Title

CH1532242992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242992

Fälligkeitstag

18.03.2027

Basiswert

Apple Inc., Netflix Inc. - CH1532242992

12.32% p.a. Callable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1476909192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909192

Fälligkeitstag

23.12.2026

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1476909192

12.33% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548137848 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137848

Fälligkeitstag

15.06.2027

Basiswert

Meta Platforms Inc., NVIDIA Corp. - CH1548137848

12.33% p.a. Callable Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks

Title

CH1548136527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136527

Fälligkeitstag

08.06.2028

Basiswert

Datadog Inc., Palo Alto Networks, Inc., Crowdstrike Holdings Inc. - CH1548136527

12.34% (12.27% p.a.) Barrier Reverse Convertible on Alcon, Julius Bär, Logitech

Title

CH1548136154 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136154

Fälligkeitstag

07.06.2027

Basiswert

Alcon Inc., Logitech International SA, Julius Bär Gruppe AG - CH1548136154

12.34% p.a. Autocallable Reverse Convertible on Infineon, Rheinmetall

Title

CH1492028456 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028456

Fälligkeitstag

18.01.2027

Basiswert

Infineon Technologies AG, Rheinmetall AG - CH1492028456

12.34% p.a. Barrier Reverse Convertible on Arista Networks, Inc. (Quanto EUR)

Title

CH1548139794 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139794

Fälligkeitstag

25.06.2027

Basiswert

Arista Networks, Inc.

12.34% p.a. Barrier Reverse Convertible on SIG Group, Straumann, Swatch

Title

CH1548136576 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136576

Fälligkeitstag

08.06.2027

Basiswert

Straumann Holding AG, The Swatch Group AG, SIG Group AG - CH1548136576

12.35% p.a. Autocallable Barrier Reverse Convertible on Amrize Ltd, Bilfinger, Georg Fischer, Sika (Quanto CHF)

Title

CH1492023812 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023812

Fälligkeitstag

10.12.2026

Basiswert

Bilfinger SE, Sika AG, Georg Fischer AG, Amrize Ltd - CH1492023812

12.35% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., Newmont (Quanto CHF)

Title

CH1548144034 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144034

Fälligkeitstag

20.07.2027

Basiswert

Freeport-McMoRan Inc., Newmont Corp., Eli Lilly & Co. - CH1548144034

12.36% p.a. Callable Barrier Reverse Convertible on Banco Santander, ING, Vinci (Quanto CHF)

Title

CH1548139745 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139745

Fälligkeitstag

24.09.2027

Basiswert

Banco Santander SA, Vinci SA, ING Groep N.V. - CH1548139745

12.37% (12.37% p.a.) Reverse Convertible on Amazon.com, Microsoft, Palantir (Quanto CHF)

Title

CH1548142939 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142939

Fälligkeitstag

15.07.2027

Basiswert

Microsoft Corp., Amazon.com Inc., Palantir Technologies Inc. - CH1548142939

12.37% (24.74% p.a.) Barrier Reverse Convertible on Oracle Corp. (Quanto EUR)

Title

CH1548126445 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126445

Fälligkeitstag

16.10.2026

Basiswert

Oracle Corp.

12.37% p.a. Autocallable Reverse Convertible on Barrick Mining, Freeport-McMoRan Inc., Newmont

Title

CH1548143739 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143739

Fälligkeitstag

18.01.2028

Basiswert

Barrick Mining Corporation, Newmont Corp., Freeport-McMoRan Inc. - CH1548143739

12.37% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1548133888 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133888

Fälligkeitstag

22.05.2028

Basiswert

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1548133888

12.38% (16.33% p.a.) Reverse Convertible on Alphabet, Amazon.com, NVIDIA

Title

CH1492034678 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034678

Fälligkeitstag

16.11.2026

Basiswert

Alphabet, Inc., Amazon.com Inc., NVIDIA Corp. - CH1492034678

12.38% p.a. Autocallable Barrier Reverse Convertible on Berkshire Hathaway, BlackRock, Exor, State Street (Quanto USD)

Title

CH1492026484 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026484

Fälligkeitstag

29.12.2026

Basiswert

State Street Corporation, Berkshire Hathaway Inc., BlackRock, Inc., Exor N.V. - CH1492026484

12.38% p.a. Autocallable Reverse Convertible on BAE Systems, Hensoldt , Rheinmetall (Quanto EUR)

Title

CH1532244907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244907

Fälligkeitstag

01.04.2027

Basiswert

BAE Systems PLC, Hensoldt AG, Rheinmetall AG - CH1532244907

12.39% (24.51% p.a.) Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1548133052 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133052

Fälligkeitstag

17.11.2026

Basiswert

Norwegian Cruise Line Holdings Ltd.

12.39% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, NVIDIA, Walt Disney

Title

CH1476912618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912618

Fälligkeitstag

19.10.2026

Basiswert

NVIDIA Corp., The Walt Disney Company, Eli Lilly & Co. - CH1476912618

12.39% p.a. Autocallable Reverse Convertible on Société Générale

Title

CH1548138937 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138937

Fälligkeitstag

21.12.2026

Basiswert

Société Générale

12.40% (12.40% p.a.) Barrier Reverse Convertible on Nestlé, Schindler, VAT

Title

CH1532237661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237661

Fälligkeitstag

25.02.2027

Basiswert

Nestlé SA, VAT Group AG, Schindler Holding AG - CH1532237661

12.40% p.a. Autocallable Reverse Convertible on Anglo American, BHP Group

Title

CH1596851852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851852

Fälligkeitstag

26.05.2027

Basiswert

Anglo American PLC, BHP Group Limited - CH1596851852

12.40% p.a. Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548142616 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142616

Fälligkeitstag

13.07.2029

Basiswert

Advanced Micro Devices Inc.

12.41% p.a. Autocallable Barrier Reverse Convertible on Infineon, MercadoLibre, TAL Education Group (Quanto EUR)

Title

CH1476908921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908921

Fälligkeitstag

22.12.2026

Basiswert

Infineon Technologies AG, MercadoLibre Inc., TAL Education Group - CH1476908921

12.41% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika (Quanto EUR)

Title

CH1532243503 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243503

Fälligkeitstag

22.03.2027

Basiswert

Kuehne + Nagel International AG, Sika AG, Partners Group Holding AG - CH1532243503

12.42% (12.42% p.a.) Reverse Convertible on Microsoft, NVIDIA

Title

CH1492024497 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024497

Fälligkeitstag

15.12.2026

Basiswert

Microsoft Corp., NVIDIA Corp. - CH1492024497

12.42% p.a. Autocallable Barrier Reverse Convertible on Airbus, SAP, Tui (Quanto USD)

Title

CH1532238289 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238289

Fälligkeitstag

26.02.2027

Basiswert

Airbus SE, SAP SE, Tui AG - CH1532238289

12.42% p.a. Barrier Reverse Convertible on Tui AG

Title

CH1492022335 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022335

Fälligkeitstag

27.11.2026

Basiswert

Tui AG

12.43% p.a. Autocallable Barrier Reverse Convertible on Logitech, Sonova, VAT

Title

CH1532243016 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243016

Fälligkeitstag

18.03.2027

Basiswert

VAT Group AG, Logitech International SA, Sonova Holding AG - CH1532243016

12.44% (12.44% p.a.) Barrier Reverse Convertible on Bayer, Straumann, Temenos (Quanto CHF)

Title

CH1476911719 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911719

Fälligkeitstag

13.10.2026

Basiswert

Bayer AG, Temenos AG, Straumann Holding AG - CH1476911719

12.44% (21.33% p.a.) Barrier Reverse Convertible on ASML, BMW, Heidelberg Materials, Siemens Energy

Title

CH1492036509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036509

Fälligkeitstag

23.09.2026

Basiswert

ASML Holding NV, Siemens Energy AG, Bayerische Motoren Werke AG, Heidelberg Materials AG - CH1492036509

12.44% p.a. Autocallable Barrier Reverse Convertible on Apple, Dutch Bros Inc, MercadoLibre

Title

CH1548148563 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148563

Fälligkeitstag

13.08.2027

Basiswert

Apple Inc., MercadoLibre Inc., Dutch Bros Inc - CH1548148563

12.44% p.a. Autocallable Barrier Reverse Convertible on Barclays, BBVA, Deutsche Bank, Société Générale, UniCredit (Quanto CHF)

Title

CH1548149918 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149918

Fälligkeitstag

22.02.2027

Basiswert

Barclays Plc, Banco Bilbao Vizcaya Argentaria SA, Deutsche Bank AG, Société Générale, UniCredit SpA - CH1548149918

12.44% p.a. Barrier Reverse Convertible on Alphabet, Amrize Ltd, Infineon, Straumann, Swiss Re (Quanto CHF)

Title

CH1492027367 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027367

Fälligkeitstag

07.01.2027

Basiswert

Amrize Ltd, Straumann Holding AG, Alphabet, Inc., Swiss Re AG, Infineon Technologies AG - CH1492027367

12.45% (12.45% p.a.) Barrier Reverse Convertible on 3M, Amazon.com, MP Materials Corp (Quanto CHF)

Title

CH1548148993 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148993

Fälligkeitstag

17.08.2027

Basiswert

Amazon.com Inc., 3M Company, MP Materials Corp - CH1548148993

12.45% (12.45% p.a.) Barrier Reverse Convertible on Commerzbank, ING, Rheinmetall, Unilever PLC

Title

CH1476911131 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911131

Fälligkeitstag

08.10.2026

Basiswert

ING Groep N.V., Commerzbank AG, Rheinmetall AG, Unilever PLC - CH1476911131

12.46% p.a. Barrier Reverse Convertible on Nemetschek SE

Title

CH1548138077 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138077

Fälligkeitstag

16.06.2027

Basiswert

Nemetschek SE

12.46% p.a. Callable Barrier Reverse Convertible on BASF, Bayer, Sanofi (Quanto CHF)

Title

CH1548142756 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142756

Fälligkeitstag

14.10.2027

Basiswert

BASF SE, Bayer AG, Sanofi SA - CH1548142756

12.47% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Deutsche Bank, ING

Title

CH1532239626 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239626

Fälligkeitstag

04.03.2027

Basiswert

BNP Paribas, Deutsche Bank AG, ING Groep N.V. - CH1532239626

12.48% p.a. Autocallable Reverse Convertible on Bouygues, Hochtief, Vinci

Title

CH1548138226 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138226

Fälligkeitstag

16.12.2027

Basiswert

Bouygues SA, Vinci SA, Hochtief AG - CH1548138226

12.48% p.a. Callable Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto GBP)

Title

CH1492031807 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031807

Fälligkeitstag

31.01.2028

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, NVIDIA Corp. - CH1492031807

12.49% (12.49% p.a.) Barrier Reverse Convertible on ABB, Geberit, Partners Group Holding, Sika, VAT

Title

CH1492021410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021410

Fälligkeitstag

19.11.2026

Basiswert

ABB Ltd, VAT Group AG, Geberit AG, Partners Group Holding AG, Sika AG - CH1492021410

12.49% p.a. Autocallable Barrier Reverse Convertible on Burckhardt Compression, Sandoz Group, VAT (Quanto USD)

Title

CH1532241473 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241473

Fälligkeitstag

11.03.2027

Basiswert

Sandoz Group AG, VAT Group AG, Burckhardt Compression Holding Ltd. - CH1532241473

12.49% p.a. Autocallable Barrier Reverse Convertible on Oracle Corp.

Title

CH1476911669 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476911669

Fälligkeitstag

13.10.2026

Basiswert

Oracle Corp.

12.50% p.a. Autocallable Reverse Convertible on Allianz, ASML, Siemens (Quanto CHF)

Title

CH1548146039 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146039

Fälligkeitstag

01.02.2027

Basiswert

Allianz SE, Siemens AG, ASML Holding NV - CH1548146039

12.50% p.a. Autocallable Reverse Convertible on Danaher, DexCom

Title

CH1492036657 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036657

Fälligkeitstag

24.02.2027

Basiswert

Danaher Corporation, DexCom Inc. - CH1492036657

12.50% p.a. Autocallable Reverse Convertible on Infineon, SAP

Title

CH1548147680 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147680

Fälligkeitstag

08.02.2027

Basiswert

Infineon Technologies AG, SAP SE - CH1548147680

12.50% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Siegfried, VAT

Title

CH1476912238 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912238

Fälligkeitstag

14.01.2027

Basiswert

VAT Group AG, Siegfried Holding AG, Partners Group Holding AG - CH1476912238

12.51% (12.51% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Swiss Re

Title

CH1532247140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247140

Fälligkeitstag

15.04.2027

Basiswert

Alcon Inc., Logitech International SA, Swiss Re AG - CH1532247140

12.51% (12.51% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann, Swatch

Title

CH1492035519 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035519

Fälligkeitstag

18.02.2027

Basiswert

Sika AG, Kuehne + Nagel International AG, The Swatch Group AG, Straumann Holding AG - CH1492035519

12.51% p.a. Barrier Reverse Convertible on Nike Inc.

Title

CH1492034249 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034249

Fälligkeitstag

12.02.2027

Basiswert

Nike Inc.

12.53% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple, Microsoft

Title

CH1548129639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129639

Fälligkeitstag

30.04.2027

Basiswert

Microsoft Corp., Apple Inc., Alphabet, Inc., Amazon.com Inc. - CH1548129639

12.53% p.a. Autocallable Reverse Convertible on Deere, Merck, Robinhood Markets

Title

CH1548142814 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142814

Fälligkeitstag

14.01.2028

Basiswert

Merck & Co. Inc., Robinhood Markets Inc., Deere & Co. - CH1548142814

12.53% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1476910273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910273

Fälligkeitstag

01.10.2026

Basiswert

Sika AG, Kuehne + Nagel International AG, Partners Group Holding AG - CH1476910273

12.54% p.a. Barrier Reverse Convertible on Alcon, Richemont, UBS Group

Title

CH1548126775 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126775

Fälligkeitstag

19.04.2027

Basiswert

Compagnie Financière Richemont SA, Alcon Inc., UBS Group AG - CH1548126775

12.55% (12.55% p.a.) Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1532239162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239162

Fälligkeitstag

03.03.2027

Basiswert

VAT Group AG, Comet Holding AG, Inficon Holding AG - CH1532239162

12.56% p.a. Autocallable Barrier Reverse Convertible on Apple, Nextera Energy, NVIDIA (Quanto CHF)

Title

CH1532245888 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245888

Fälligkeitstag

05.04.2027

Basiswert

NVIDIA Corp., Apple Inc., Nextera Energy Inc. - CH1532245888

12.56% p.a. Barrier Reverse Convertible on Commerzbank, Société Générale, UBS Group (Quanto EUR)

Title

CH1476912055 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912055

Fälligkeitstag

14.10.2026

Basiswert

Commerzbank AG, Société Générale, UBS Group AG - CH1476912055

12.56% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548136972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136972

Fälligkeitstag

10.06.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548136972

12.57% p.a. Autocallable Barrier Reverse Convertible on Allianz, Commerzbank, Munich Re

Title

CH1492036624 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036624

Fälligkeitstag

23.02.2027

Basiswert

Allianz SE, Commerzbank AG, Münchener Rückversicherungs AG - CH1492036624

12.57% p.a. Autocallable Reverse Convertible on Meta Platforms, Nike, Uber Technologies

Title

CH1548140545 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140545

Fälligkeitstag

30.12.2027

Basiswert

Meta Platforms Inc., Uber Technologies Inc., Nike Inc. - CH1548140545

12.58% (12.48% p.a.) Barrier Reverse Convertible on BAE Systems, Rheinmetall, Safran (Quanto CHF)

Title

CH1532244451 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244451

Fälligkeitstag

31.03.2027

Basiswert

Safran SA, Rheinmetall AG, BAE Systems PLC - CH1532244451

12.58% p.a. Autocallable Barrier Reverse Convertible on AXA, LVMH Moët Hennessy Louis Vuitton, Vinci

Title

CH1548150874 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150874

Fälligkeitstag

28.02.2028

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Vinci SA, AXA SA - CH1548150874

12.58% p.a. Autocallable Barrier Reverse Convertible on Anglo American, Barrick Mining, Newmont (Quanto USD)

Title

CH1492032730 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032730

Fälligkeitstag

05.08.2027

Basiswert

Anglo American PLC, Barrick Mining Corporation, Newmont Corp. - CH1492032730

12.60% (12.60% p.a.) Reverse Convertible on Dassault, Prosus, SAP

Title

CH1548134605 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134605

Fälligkeitstag

27.05.2027

Basiswert

SAP SE, Dassault Systèmes S.A., Prosus NV - CH1548134605

12.60% p.a. Autocallable Reverse Convertible on AMD, Corning, NVIDIA (Quanto CHF)

Title

CH1548147664 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147664

Fälligkeitstag

10.08.2027

Basiswert

Advanced Micro Devices Inc., Corning Inc., NVIDIA Corp. - CH1548147664

12.60% p.a. Autocallable Reverse Convertible on GE Vernova, NVIDIA, Tesla

Title

CH1548140693 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140693

Fälligkeitstag

31.12.2027

Basiswert

NVIDIA Corp., Tesla Inc., GE Vernova Inc. - CH1548140693

12.60% p.a. Autocallable Reverse Convertible on Oracle Corp.

Title

CH1548143754 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143754

Fälligkeitstag

18.01.2028

Basiswert

Oracle Corp.

12.60% p.a. Barrier Reverse Convertible on Adidas, AXA, LVMH Moët Hennessy Louis Vuitton

Title

CH1532238842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238842

Fälligkeitstag

02.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Adidas AG, AXA SA - CH1532238842

12.61% p.a. Autocallable Barrier Reverse Convertible on Amgen, Eli Lilly, MercadoLibre, Palo Alto Networks

Title

CH1492019448 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019448

Fälligkeitstag

06.11.2026

Basiswert

Amgen Inc., Palo Alto Networks, Inc., Eli Lilly & Co., MercadoLibre Inc. - CH1492019448

12.61% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, UBS Group, Zurich Insurance

Title

CH1548140875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140875

Fälligkeitstag

01.07.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG, UBS Group AG, Zurich Insurance Group Ltd - CH1548140875

12.64% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG (Quanto CHF)

Title

CH1548150528 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150528

Fälligkeitstag

25.01.2027

Basiswert

Rheinmetall AG

12.64% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Straumann

Title

CH1548138929 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138929

Fälligkeitstag

21.06.2027

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, Straumann Holding AG - CH1548138929

12.64% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, UBS Group

Title

CH1548131023 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131023

Fälligkeitstag

10.05.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, UBS Group AG - CH1548131023

12.65% p.a. Autocallable Barrier Reverse Convertible on ASML, Julius Bär, Nestlé (Quanto EUR)

Title

CH1548149512 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149512

Fälligkeitstag

19.11.2027

Basiswert

Julius Bär Gruppe AG, Nestlé SA, ASML Holding NV - CH1548149512

12.65% p.a. Autocallable Barrier Reverse Convertible on Adecco, UBS Group

Title

CH1548150643 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150643

Fälligkeitstag

25.08.2027

Basiswert

Adecco Group AG, UBS Group AG - CH1548150643

12.65% p.a. Autocallable Reverse Convertible on Amazon.com, NVIDIA

Title

CH1532239782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239782

Fälligkeitstag

03.12.2026

Basiswert

Amazon.com Inc., NVIDIA Corp. - CH1532239782

12.65% p.a. Barrier Reverse Convertible on IBM, Salesforce

Title

CH1548135339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135339

Fälligkeitstag

01.06.2027

Basiswert

Salesforce, Inc., International Business Machines Corp. - CH1548135339

12.66% p.a. Barrier Reverse Convertible on EssilorLuxottica, Siemens, TotalEnergies

Title

CH1532238859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238859

Fälligkeitstag

02.03.2027

Basiswert

EssilorLuxottica SA, Siemens AG, TotalEnergies SE - CH1532238859

12.67% (12.67% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Richemont, VAT

Title

CH1492028696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028696

Fälligkeitstag

19.01.2027

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, VAT Group AG - CH1492028696

12.67% p.a. Autocallable Barrier Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492035675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035675

Fälligkeitstag

18.02.2027

Basiswert

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1492035675

12.67% p.a. Autocallable Reverse Convertible on SAP, Société Générale (Quanto USD)

Title

CH1532242679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242679

Fälligkeitstag

17.09.2027

Basiswert

Société Générale, SAP SE - CH1532242679

12.68% (12.68% p.a.) Barrier Reverse Convertible on Chevron, Exxon Mobil, SLB Ltd

Title

CH1492020974 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020974

Fälligkeitstag

18.11.2026

Basiswert

SLB Ltd, Chevron Corp., Exxon Mobil Corp. - CH1492020974

12.68% p.a. Autocallable Barrier Reverse Convertible on Lindt & Sprüngli, Novo Nordisk (Quanto EUR)

Title

CH1548135313 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135313

Fälligkeitstag

31.05.2027

Basiswert

Lindt & Sprüngli AG, Novo Nordisk A/S - CH1548135313

12.68% p.a. Callable Barrier Reverse Convertible on Galderma Group, Richemont, Straumann, UBS Group

Title

CH1548136790 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136790

Fälligkeitstag

09.06.2027

Basiswert

Straumann Holding AG, Compagnie Financière Richemont SA, UBS Group AG, Galderma Group Ltd - CH1548136790

12.68% p.a. Reverse Convertible on Cloudflare Inc, Okta, Zscaler (Quanto EUR)

Title

CH1548134829 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134829

Fälligkeitstag

08.06.2028

Basiswert

Cloudflare Inc, Zscaler Inc., Okta Inc. - CH1548134829

12.69% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Rheinmetall (Quanto GBP)

Title

CH1532242844 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242844

Fälligkeitstag

21.09.2027

Basiswert

Alibaba Group Holding Limited, Rheinmetall AG - CH1532242844

12.69% p.a. Autocallable Reverse Convertible on Coinbase Global Inc.

Title

CH1468579607 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1468579607

Fälligkeitstag

28.01.2027

Basiswert

Coinbase Global Inc.

12.70% p.a. Autocallable Barrier Reverse Convertible on Adecco, Julius Bär, Sandoz Group, Sika

Title

CH1476905372 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905372

Fälligkeitstag

31.08.2026

Basiswert

Sika AG, Julius Bär Gruppe AG, Adecco Group AG, Sandoz Group AG - CH1476905372

12.70% p.a. Autocallable Reverse Convertible on Meta Platforms, Nike, Uber Technologies

Title

CH1548140255 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140255

Fälligkeitstag

30.12.2027

Basiswert

Meta Platforms Inc., Uber Technologies Inc., Nike Inc. - CH1548140255

12.70% p.a. Autocallable Reverse Convertible on SLB Ltd

Title

CH1548128516 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128516

Fälligkeitstag

27.10.2026

Basiswert

Schlumberger Ltd

12.70% p.a. Barrier Reverse Convertible on Holcim, Lonza, Richemont

Title

CH1492029322 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029322

Fälligkeitstag

21.01.2027

Basiswert

Compagnie Financière Richemont SA, Lonza Group AG, Holcim Ltd - CH1492029322

12.71% p.a. Barrier Reverse Convertible on SIG Group, Straumann, Swatch

Title

CH1548136212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136212

Fälligkeitstag

07.06.2027

Basiswert

Straumann Holding AG, The Swatch Group AG, SIG Group AG - CH1548136212

12.73% (25.46% p.a.) Barrier Reverse Convertible on Alcoa Corporation

Title

CH1548127344 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127344

Fälligkeitstag

21.10.2026

Basiswert

Alcoa Corporation

12.73% p.a. Reverse Convertible on ConocoPhillips, Dow Inc

Title

CH1548133201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133201

Fälligkeitstag

18.05.2027

Basiswert

ConocoPhillips, Dow Inc - CH1548133201

12.74% (12.71% p.a.) Barrier Reverse Convertible on Alphabet, NVIDIA

Title

CH1492031583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031583

Fälligkeitstag

01.02.2027

Basiswert

Alphabet, Inc., NVIDIA Corp. - CH1492031583

12.74% (12.74% p.a.) Reverse Convertible on Alphabet, Meta Platforms, Netflix

Title

CH1548149215 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149215

Fälligkeitstag

18.08.2027

Basiswert

Alphabet, Inc., Meta Platforms Inc., Netflix Inc. - CH1548149215

12.74% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1548143523 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143523

Fälligkeitstag

19.07.2027

Basiswert

Alibaba Group Holding Limited, JD.com, Inc. - CH1548143523

12.74% p.a. Reverse Convertible on Accenture, Alphabet

Title

CH1532244212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244212

Fälligkeitstag

27.09.2027

Basiswert

Accenture PLC, Alphabet, Inc. - CH1532244212

12.75% (12.68% p.a.) Barrier Reverse Convertible on Deutsche Bank, Société Générale

Title

CH1492036103 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036103

Fälligkeitstag

22.02.2027

Basiswert

Société Générale, Deutsche Bank AG - CH1492036103

12.76% p.a. Barrier Reverse Convertible on Apple, NVIDIA, Tesla (Quanto CHF)

Title

CH1492027284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027284

Fälligkeitstag

09.01.2029

Basiswert

Tesla Inc., Apple Inc., NVIDIA Corp. - CH1492027284

12.77% (17.03% p.a.) Reverse Convertible on Logitech, Richemont, VAT

Title

CH1532242711 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242711

Fälligkeitstag

17.12.2026

Basiswert

Compagnie Financière Richemont SA, VAT Group AG, Logitech International SA - CH1532242711

12.77% (33.08% p.a.) Reverse Convertible on Micron Technology Inc. (Quanto CHF)

Title

CH1548146401 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146401

Fälligkeitstag

22.12.2026

Basiswert

Micron Technology Inc.

12.77% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Meta Platforms, Microsoft (Quanto EUR)

Title

CH1532238016 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238016

Fälligkeitstag

26.01.2027

Basiswert

Microsoft Corp., Apple Inc., Meta Platforms Inc., Amazon.com Inc. - CH1532238016

12.78% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548137582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137582

Fälligkeitstag

14.06.2027

Basiswert

Meta Platforms Inc., NVIDIA Corp. - CH1548137582

12.78% p.a. Barrier Reverse Convertible on Allianz, Galderma Group, SAP, Sika, Straumann, Visa (Quanto CHF)

Title

CH1548138358 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138358

Fälligkeitstag

17.06.2027

Basiswert

Galderma Group Ltd, Straumann Holding AG, Sika AG, Visa Inc., Allianz SE, SAP SE - CH1548138358

12.79% (12.86% p.a.) Reverse Convertible on Comet, VAT

Title

CH1532246373 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246373

Fälligkeitstag

07.04.2027

Basiswert

VAT Group AG, Comet Holding AG - CH1532246373

12.79% p.a. Autocallable Reverse Convertible on Siemens Energy AG

Title

CH1548140214 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140214

Fälligkeitstag

30.03.2027

Basiswert

Siemens Energy AG

12.79% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1492018150 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018150

Fälligkeitstag

29.10.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1492018150

12.79% p.a. Barrier Reverse Convertible on Nestlé, Richemont, Swisscom

Title

CH1532242299 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242299

Fälligkeitstag

16.03.2027

Basiswert

Swisscom AG, Nestlé SA, Compagnie Financière Richemont SA - CH1532242299

12.79% p.a. Barrier Reverse Convertible on The Blackstone Group Inc. (Quanto CHF)

Title

CH1548130124 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130124

Fälligkeitstag

02.11.2026

Basiswert

The Blackstone Group Inc.

12.80% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft, Oracle

Title

CH1548129175 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129175

Fälligkeitstag

29.10.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Oracle Corp. - CH1548129175

12.81% p.a. Callable Barrier Reverse Convertible on Adecco, Richemont, UBS Group

Title

CH1548147672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147672

Fälligkeitstag

10.08.2027

Basiswert

Adecco Group AG, UBS Group AG, Compagnie Financière Richemont SA - CH1548147672

12.83% (12.76% p.a.) Barrier Reverse Convertible on Logitech, Novo Nordisk, UBS Group (Quanto CHF)

Title

CH1492036129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036129

Fälligkeitstag

22.02.2027

Basiswert

Logitech International SA, Novo Nordisk A/S, UBS Group AG - CH1492036129

12.84% (12.84% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Swiss Re

Title

CH1532240061 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240061

Fälligkeitstag

05.03.2027

Basiswert

Sandoz Group AG, Swiss Re AG, Partners Group Holding AG - CH1532240061

12.84% p.a. Barrier Reverse Convertible on Bachem, STMicroelectronics, Tecan (Quanto CHF)

Title

CH1532245862 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245862

Fälligkeitstag

06.04.2027

Basiswert

Tecan Group Ltd., Bachem Holding AG, STMicroelectronics NV - CH1532245862

12.85% (25.28% p.a.) Barrier Reverse Convertible on Rocket Lab Corp (Quanto EUR)

Title

CH1548149686 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149686

Fälligkeitstag

23.02.2027

Basiswert

Rocket Lab Corp

12.85% p.a. Autocallable Reverse Convertible on Amazon.com, Netflix

Title

CH1532241804 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241804

Fälligkeitstag

12.03.2027

Basiswert

Netflix Inc., Amazon.com Inc. - CH1532241804

12.86% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, AMD

Title

CH1548149488 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149488

Fälligkeitstag

22.02.2028

Basiswert

Advanced Micro Devices Inc., Alphabet, Inc., Amazon.com Inc. - CH1548149488

12.90% p.a. Autocallable Barrier Reverse Convertible on Nike, On Holding (Quanto EUR)

Title

CH1548144422 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144422

Fälligkeitstag

22.07.2027

Basiswert

Nike Inc., On Holding Ltd - CH1548144422

12.90% p.a. Autocallable Reverse Convertible on Logitech, SAP (Quanto EUR)

Title

CH1548147094 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147094

Fälligkeitstag

04.02.2027

Basiswert

Logitech International SA, SAP SE - CH1548147094

12.91% p.a. Autocallable Barrier Reverse Convertible on ABB, Lonza, Swatch

Title

CH1492031385 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031385

Fälligkeitstag

01.02.2027

Basiswert

ABB Ltd, The Swatch Group AG, Lonza Group AG - CH1492031385

12.91% p.a. Autocallable Multi FCN on Amazon.com, MercadoLibre, S&P Global

Title

CH1492029009 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029009

Fälligkeitstag

29.10.2026

Basiswert

MercadoLibre Inc., S&P Global Inc., Amazon.com Inc. - CH1492029009

12.92% (12.93% p.a.) Barrier Reverse Convertible on Alphabet, Apple, Microsoft, NVIDIA

Title

CH1548127229 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127229

Fälligkeitstag

21.04.2027

Basiswert

Apple Inc., NVIDIA Corp., Microsoft Corp., Alphabet, Inc. - CH1548127229

12.92% (17.75% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy (Quanto EUR)

Title

CH1532245094 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245094

Fälligkeitstag

29.12.2026

Basiswert

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245094

12.93% (12.93% p.a.) Barrier Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1476908277 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476908277

Fälligkeitstag

18.09.2026

Basiswert

Novo Nordisk A/S

12.96% (17.35% p.a.) Barrier Reverse Convertible on Baker Hughes, Cheniere Energy, Diamondback Energy

Title

CH1548141832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141832

Fälligkeitstag

06.04.2027

Basiswert

Baker Hughes Co., Cheniere Energy Inc., Diamondback Energy Inc. - CH1548141832

12.96% p.a. Autocallable Barrier Reverse Convertible on Carnival, Royal Caribbean Cruises, Volkswagen (Quanto USD)

Title

CH1492034843 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034843

Fälligkeitstag

17.02.2027

Basiswert

Volkswagen AG, Royal Caribbean Cruises Ltd., Carnival Corp. - CH1492034843

12.96% p.a. Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1492025023 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025023

Fälligkeitstag

17.12.2026

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, Geberit AG, Zurich Insurance Group Ltd - CH1492025023

12.97% p.a. Autocallable Barrier Reverse Convertible on EssilorLuxottica, Hermes, LVMH Moët Hennessy Louis Vuitton, Moncler

Title

CH1548147284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147284

Fälligkeitstag

06.08.2027

Basiswert

Hermes International, Moncler SpA, EssilorLuxottica SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548147284

12.98% p.a. Autocallable Barrier Reverse Convertible on Adyen , DSM-Firmenich, Infineon

Title

CH1492024612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024612

Fälligkeitstag

16.10.2026

Basiswert

Adyen N.V., Infineon Technologies AG, DSM-Firmenich AG - CH1492024612

12Y USD CMS Spread Range Accrual Bonds 2014(26)

Title

A1ZN2M - Compartment 3

Kategorie

Structured Products - Rates

ISIN

DE000A1ZN2M9

Fälligkeitstag

16.09.2026

Basiswert

HSH Nordbank 2026 Zerobond

12y EUR Accumulus Composite Return Index Tracker

Title

A14A6N - Compartment 14

Kategorie

Instifolio - Alternative

ISIN

DE000A14A6N3

Fälligkeitstag

12.03.2027

Basiswert

Accumulus Index (EUR)

12y EUR Everest Composite Index Tracker

Title

A1Z3EL - Compartment 23

Kategorie

Instifolio - Alternative

ISIN

DE000A1Z3EL7

Fälligkeitstag

13.07.2027

Basiswert

Everest Secured Loan Fund (EUR),SUV Horizon Fund (EUR)

12y USD Accumulus Composite Return Index Tracker

Title

A14A6M - Compartment 15

Kategorie

Instifolio - Alternative

ISIN

DE000A14A6M5

Fälligkeitstag

12.03.2027

Basiswert

Accumulus Index (USD)

12y USD Accumulus Composite Yield Index Tracker

Title

A14DZZ - Compartment 13

Kategorie

Instifolio - Alternative

ISIN

DE000A14DZZ4

Fälligkeitstag

25.01.2027

Basiswert

USD Accumulus Composite Yield Index

13.00% p.a. Autocallable Reverse Convertible on Infineon, Uber Technologies (Quanto GBP)

Title

CH1492032417 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032417

Fälligkeitstag

04.02.2027

Basiswert

Uber Technologies Inc., Infineon Technologies AG - CH1492032417

13.00% p.a. Autocallable Reverse Convertible on Palo Alto Networks, Salesforce, ServiceNow

Title

CH1492019695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019695

Fälligkeitstag

09.11.2026

Basiswert

Salesforce, Inc., Palo Alto Networks, Inc., ServiceNow Inc - CH1492019695

13.00% p.a. Autocallable Reverse Convertible on Spotify Technology S.A. (Quanto EUR)

Title

CH1532244618 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244618

Fälligkeitstag

29.12.2026

Basiswert

Spotify Technology S.A.

13.01% p.a. Callable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1548144869 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144869

Fälligkeitstag

26.07.2027

Basiswert

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Compagnie Financière Richemont SA - CH1548144869

13.02% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Lonza, Sandoz Group, Siegfried

Title

CH1532244600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244600

Fälligkeitstag

31.03.2027

Basiswert

Alcon Inc., Galderma Group Ltd, Sandoz Group AG, Lonza Group AG, Siegfried Holding AG - CH1532244600

13.02% p.a. Autocallable Reverse Convertible on DKSH, Richemont, Sika, Sunrise Communications AG

Title

CH1548150676 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150676

Fälligkeitstag

25.02.2027

Basiswert

Sunrise Communications AG, DKSH Holding Ltd., Sika AG, Compagnie Financière Richemont SA - CH1548150676

13.02% p.a. Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548135370 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135370

Fälligkeitstag

01.06.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp., NVIDIA Corp. - CH1548135370

13.03% (26.06% p.a.) Barrier Reverse Convertible on ASML, Infineon

Title

CH1548138044 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138044

Fälligkeitstag

16.12.2026

Basiswert

ASML Holding NV, Infineon Technologies AG - CH1548138044

13.03% p.a. Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1548127427 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127427

Fälligkeitstag

22.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, SAP SE - CH1548127427

13.03% p.a. Barrier Reverse Convertible on PSP Swiss Property, Swiss Prime Site, VAT

Title

CH1548126346 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126346

Fälligkeitstag

16.04.2027

Basiswert

PSP Swiss Property AG, Swiss Prime Site AG, VAT Group AG - CH1548126346

13.04% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, NVIDIA, Tesla

Title

CH1492031070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031070

Fälligkeitstag

29.01.2027

Basiswert

Meta Platforms Inc., NVIDIA Corp., Tesla Inc. - CH1492031070

13.04% p.a. Barrier Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1476906867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906867

Fälligkeitstag

10.09.2026

Basiswert

Alphabet, Inc., NVIDIA Corp., Apple Inc. - CH1476906867

13.05% p.a. Autocallable Reverse Convertible on NetEase, Taiwan Semiconductor Manufacturing

Title

CH1548143549 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143549

Fälligkeitstag

19.07.2027

Basiswert

NetEase, Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548143549

13.07% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, Bayer, Prosus

Title

CH1596851738 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851738

Fälligkeitstag

27.09.2027

Basiswert

Prosus NV, Bayer AG, Banco Santander SA - CH1596851738

13.08% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto EUR)

Title

CH1532242539 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242539

Fälligkeitstag

17.03.2028

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1532242539

13.09% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Elevance Health, Merck (Quanto EUR)

Title

CH1476908665 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908665

Fälligkeitstag

21.09.2026

Basiswert

Alibaba Group Holding Limited, Elevance Health Inc., Merck & Co. Inc. - CH1476908665

13.09% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, MP Materials Corp (Quanto CHF)

Title

CH1492032201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032201

Fälligkeitstag

04.05.2027

Basiswert

Amazon.com Inc., Meta Platforms Inc., MP Materials Corp - CH1492032201

13.09% p.a. Barrier Reverse Convertible on Barry Callebaut, BKW, Georg Fischer

Title

CH1548143598 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143598

Fälligkeitstag

19.07.2027

Basiswert

Georg Fischer AG, BKW AG, Barry Callebaut AG - CH1548143598

13.09% p.a. Barrier Reverse Convertible on Logitech, Lonza, Swiss Life

Title

CH1532245060 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245060

Fälligkeitstag

02.04.2027

Basiswert

Lonza Group AG, Swiss Life Holding AG, Logitech International SA - CH1532245060

13.09% p.a. Callable Reverse Convertible on Apple, Broadcom, Intel

Title

CH1548136535 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136535

Fälligkeitstag

08.06.2028

Basiswert

Broadcom Inc., Intel Corp., Apple Inc. - CH1548136535

13.10% p.a. Callable Barrier Reverse Convertible on AXA, Hannover Rück, Munich Re, SCOR, Swiss Re (Quanto CHF)

Title

CH1548138291 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138291

Fälligkeitstag

17.06.2027

Basiswert

SCOR SE, Swiss Re AG, Münchener Rückversicherungs AG, Hannover Rück SE, AXA SA - CH1548138291

13.11% (13.11% p.a.) Barrier Reverse Convertible on Adidas, Lululemon Athletica, Nike (Quanto CHF)

Title

CH1476908301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908301

Fälligkeitstag

18.09.2026

Basiswert

Lululemon Athletica Inc., Adidas AG, Nike Inc. - CH1476908301

13.11% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Meta Platforms (Quanto GBP)

Title

CH1548139612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139612

Fälligkeitstag

29.12.2027

Basiswert

Crowdstrike Holdings Inc., Meta Platforms Inc. - CH1548139612

13.12% (13.12% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1532238248 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238248

Fälligkeitstag

26.02.2027

Basiswert

ASML Holding NV

13.12% p.a. Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548135974 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135974

Fälligkeitstag

07.06.2027

Basiswert

Marvell Technology Group Ltd.

13.13% p.a. Autocallable Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1548145957 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145957

Fälligkeitstag

30.07.2027

Basiswert

Infineon Technologies AG

13.15% p.a. Autocallable Barrier Reverse Convertible on Siemens Energy, Vinci

Title

CH1548146849 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146849

Fälligkeitstag

05.08.2027

Basiswert

Siemens Energy AG, Vinci SA - CH1548146849

13.15% p.a. Autocallable Reverse Convertible on Marvell Technology , Tesla

Title

CH1492027417 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027417

Fälligkeitstag

12.01.2027

Basiswert

Marvell Technology Group Ltd., Tesla Inc. - CH1492027417

13.17% p.a. Barrier Reverse Convertible on Amrize Ltd, Barry Callebaut, Lonza

Title

CH1548140669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140669

Fälligkeitstag

30.06.2027

Basiswert

Barry Callebaut AG, Lonza Group AG, Amrize Ltd - CH1548140669

13.18% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto EUR)

Title

CH1492030338 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030338

Fälligkeitstag

27.01.2027

Basiswert

Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The, Bayerische Motoren Werke AG - CH1492030338

13.18% p.a. Reverse Convertible on Bucher, Georg Fischer

Title

CH1548128458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128458

Fälligkeitstag

01.03.2027

Basiswert

Bucher Industries AG, Georg Fischer AG - CH1548128458

13.19% (26.09% p.a.) Reverse Convertible on American Airlines, Delta Air Lines, United Airlines Holdings

Title

CH1532243198 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243198

Fälligkeitstag

21.09.2026

Basiswert

United Airlines Holdings Inc., American Airlines Group Inc., Delta Air Lines Inc. - CH1532243198

13.19% (53.36% p.a.) Reverse Convertible on Broadcom, Marvell Technology , Palo Alto Networks

Title

CH1548150213 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150213

Fälligkeitstag

20.11.2026

Basiswert

Palo Alto Networks, Inc., Marvell Technology Group Ltd., Broadcom Inc. - CH1548150213

13.19% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1532243610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243610

Fälligkeitstag

22.03.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1532243610

13.20% p.a. Autocallable Barrier Reverse Convertible on ASML, Goodyear, ING (Quanto EUR)

Title

CH1532238958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238958

Fälligkeitstag

02.03.2027

Basiswert

ING Groep N.V., ASML Holding NV, Goodyear Tire & Rubber Co./The - CH1532238958

13.21% (25.99% p.a.) Barrier Reverse Convertible on 3M, Accenture

Title

CH1548126312 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126312

Fälligkeitstag

19.10.2026

Basiswert

3M Company, Accenture PLC - CH1548126312

13.21% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, UBS Group, Zurich Insurance

Title

CH1548133649 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133649

Fälligkeitstag

21.05.2027

Basiswert

Partners Group Holding AG, Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd, UBS Group AG - CH1548133649

13.22% p.a. Autocallable Reverse Convertible on Rheinmetall AG

Title

CH1548148985 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148985

Fälligkeitstag

17.05.2027

Basiswert

Rheinmetall AG

13.23% (13.16% p.a.) Barrier Reverse Convertible on Bank of America, Goldman Sachs, JPMorgan Chase, Morgan Stanley, Wells Fargo

Title

CH1596851761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851761

Fälligkeitstag

30.08.2027

Basiswert

JPMorgan Chase & Co., Morgan Stanley, Wells Fargo & Company, Bank of America Corporation, The Goldman Sachs Group, Inc. - CH1...

13.23% (13.23% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, Palo Alto Networks, Visa

Title

CH1492020982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020982

Fälligkeitstag

18.11.2026

Basiswert

Apple Inc., Visa Inc., Palo Alto Networks, Inc., Amazon.com Inc. - CH1492020982

13.23% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1492029181 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029181

Fälligkeitstag

20.07.2027

Basiswert

Apple Inc., Amazon.com Inc., Alphabet, Inc. - CH1492029181

13.24% p.a. Callable Reverse Convertible on Broadcom, Micron Technology, NVIDIA (Quanto CHF)

Title

CH1548142491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142491

Fälligkeitstag

13.07.2028

Basiswert

Micron Technology Inc., Broadcom Inc., NVIDIA Corp. - CH1548142491

13.25% p.a. Autocallable Barrier Reverse Convertible on Airbnb, Pinterest, ServiceNow (Quanto CHF)

Title

CH1548134563 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134563

Fälligkeitstag

31.05.2028

Basiswert

Pinterest Inc., ServiceNow Inc, Airbnb Inc. - CH1548134563

13.25% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, Mobileye Global, ServiceNow

Title

CH1492022277 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022277

Fälligkeitstag

30.11.2027

Basiswert

Mobileye Global Inc., Meta Platforms Inc., ServiceNow Inc - CH1492022277

13.26% (13.12% p.a.) Barrier Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto EUR)

Title

CH1532245201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245201

Fälligkeitstag

05.04.2027

Basiswert

ABB Ltd, Schneider Electric SE, Siemens AG - CH1532245201

13.26% p.a. Reverse Convertible on Alibaba Group, Ferrari

Title

CH1548127179 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127179

Fälligkeitstag

21.04.2027

Basiswert

Ferrari N.V., Alibaba Group Holding Limited - CH1548127179

13.27% (13.16% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1492036434 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036434

Fälligkeitstag

23.02.2027

Basiswert

SAP SE, Microsoft Corp., Oracle Corp. - CH1492036434

13.27% (26.24% p.a.) Reverse Convertible on ServiceNow Inc

Title

CH1548134431 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134431

Fälligkeitstag

30.11.2026

Basiswert

ServiceNow Inc

13.29% p.a. Autocallable Barrier Reverse Convertible on AXA, UBS Group, UniCredit (Quanto EUR)

Title

CH1548137905 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137905

Fälligkeitstag

15.06.2027

Basiswert

AXA SA, UniCredit SpA, UBS Group AG - CH1548137905

13.30% (13.34% p.a.) Barrier Reverse Convertible on Allianz, Deutsche Telekom, SAP

Title

CH1548130553 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130553

Fälligkeitstag

05.05.2027

Basiswert

SAP SE, Allianz SE, Deutsche Telekom AG - CH1548130553

13.30% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1492030833 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030833

Fälligkeitstag

28.01.2027

Basiswert

Rheinmetall AG

13.30% p.a. Autocallable Reverse Convertible on BNP Paribas, Deutsche Bank, Société Générale

Title

CH1532243321 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243321

Fälligkeitstag

20.09.2027

Basiswert

Deutsche Bank AG, BNP Paribas, Société Générale - CH1532243321

13.30% p.a. Autocallable Reverse Convertible on Microsoft, NVIDIA

Title

CH1532244345 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244345

Fälligkeitstag

29.03.2027

Basiswert

NVIDIA Corp., Microsoft Corp. - CH1532244345

13.30% p.a. Callable Reverse Convertible on ASML, Micron Technology, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548132724 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132724

Fälligkeitstag

15.05.2028

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Micron Technology Inc. - CH1548132724

13.31% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, Tencent (Quanto EUR)

Title

CH1492031153 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031153

Fälligkeitstag

29.01.2027

Basiswert

Alibaba Group Holding Limited, Amazon.com Inc., Tencent Holdings Limited - CH1492031153

13.31% p.a. Reverse Convertible on ASML Holding NV

Title

CH1548148837 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148837

Fälligkeitstag

17.02.2027

Basiswert

ASML Holding NV

13.32% (13.32% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann, Swatch

Title

CH1492036483 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036483

Fälligkeitstag

23.02.2027

Basiswert

Straumann Holding AG, The Swatch Group AG, Sika AG, Kuehne + Nagel International AG - CH1492036483

13.32% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Novartis, Roche, UBS Group

Title

CH1548148811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148811

Fälligkeitstag

13.08.2027

Basiswert

Julius Bär Gruppe AG, Nestlé SA, Novartis AG, Roche Holding AG, UBS Group AG - CH1548148811

13.32% p.a. Reverse Convertible on Cameco, GE Vernova (Quanto CHF)

Title

CH1548133938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133938

Fälligkeitstag

24.05.2027

Basiswert

GE Vernova Inc., Cameco Corp. - CH1548133938

13.33% (13.33% p.a.) Barrier Reverse Convertible on BNP Paribas, EssilorLuxottica, ING

Title

CH1548134662 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134662

Fälligkeitstag

27.05.2027

Basiswert

BNP Paribas, EssilorLuxottica SA, ING Groep N.V. - CH1548134662

13.34% (26.69% p.a.) Barrier Reverse Convertible on Micron Technology Inc.

Title

CH1548127013 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127013

Fälligkeitstag

20.10.2026

Basiswert

Micron Technology Inc.

13.34% p.a. Autocallable Reverse Convertible on AMD, NVIDIA, Palantir

Title

CH1532241630 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241630

Fälligkeitstag

11.03.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Palantir Technologies Inc. - CH1532241630

13.35% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rolls-Royce, Saab AB (Quanto EUR)

Title

CH1492017632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017632

Fälligkeitstag

28.10.2026

Basiswert

Saab AB, Rolls-Royce Holdings PLC, RENK Group AG - CH1492017632

13.36% (26.73% p.a.) Reverse Convertible on Moderna, ServiceNow (Quanto EUR)

Title

CH1548137475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137475

Fälligkeitstag

11.12.2026

Basiswert

Moderna Inc., ServiceNow Inc - CH1548137475

13.36% p.a. Autocallable Barrier Reverse Convertible on AMD, Broadcom, Taiwan Semiconductor Manufacturing

Title

CH1548130942 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130942

Fälligkeitstag

08.11.2027

Basiswert

Advanced Micro Devices Inc., Broadcom Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548130942

13.36% p.a. Autocallable Barrier Reverse Convertible on Lonza, Partners Group Holding, Roche, VAT

Title

CH1492030262 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030262

Fälligkeitstag

29.12.2026

Basiswert

VAT Group AG, Lonza Group AG, Roche Holding AG, Partners Group Holding AG - CH1492030262

13.37% p.a. Autocallable Barrier Reverse Convertible on Moderna Inc. (Quanto GBP)

Title

CH1548144190 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144190

Fälligkeitstag

21.07.2027

Basiswert

Moderna Inc.

13.37% p.a. Autocallable Reverse Convertible on Oracle, Salesforce

Title

CH1532246027 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246027

Fälligkeitstag

06.07.2027

Basiswert

Oracle Corp., Salesforce, Inc. - CH1532246027

13.37% p.a. Barrier Reverse Convertible on SAP SE

Title

CH1548150221 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150221

Fälligkeitstag

10.03.2027

Basiswert

SAP SE

13.39% p.a. Autocallable Barrier Reverse Convertible on AstraZeneca, Merck, Unilever PLC (Quanto EUR)

Title

CH1548146054 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146054

Fälligkeitstag

30.07.2027

Basiswert

AstraZeneca Group PLC, Unilever PLC, Merck & Co. Inc. - CH1548146054

13.40% p.a. Autocallable Reverse Convertible on Apple, Broadcom, Dell Technologies

Title

CH1532242653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242653

Fälligkeitstag

17.03.2027

Basiswert

Apple Inc., Broadcom Inc., Dell Technologies Inc. - CH1532242653

13.41% p.a. Barrier Reverse Convertible on Eli Lilly, Merck KGaA, Novartis, Roche (Quanto CHF)

Title

CH1548140974 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140974

Fälligkeitstag

02.11.2026

Basiswert

Novartis AG, Roche Holding AG, Eli Lilly & Co., Merck KGaA - CH1548140974

13.42% p.a. Autocallable Barrier Reverse Convertible on Coca-Cola, McDonalds, Nike

Title

CH1548142178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142178

Fälligkeitstag

09.07.2027

Basiswert

Nike Inc., McDonalds Corp., Coca-Cola Company - CH1548142178

13.43% (13.28% p.a.) Barrier Reverse Convertible on ING, SAP, Tui

Title

CH1492021162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021162

Fälligkeitstag

18.11.2026

Basiswert

ING Groep N.V., SAP SE, Tui AG - CH1492021162

13.43% p.a. Barrier Reverse Convertible on ENGIE, ENI, Kering

Title

CH1548136121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136121

Fälligkeitstag

07.06.2027

Basiswert

ENI SpA, Kering SA, ENGIE SA - CH1548136121

13.44% (13.37% p.a.) Barrier Reverse Convertible on SIG Group, Sika, VAT

Title

CH1532243552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243552

Fälligkeitstag

22.03.2027

Basiswert

VAT Group AG, Sika AG, SIG Group AG - CH1532243552

13.44% (13.44% p.a.) Barrier Reverse Convertible on ASML, Schneider Electric, Siemens Energy

Title

CH1492020040 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020040

Fälligkeitstag

11.11.2026

Basiswert

ASML Holding NV, Schneider Electric SE, Siemens Energy AG - CH1492020040

13.44% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, MercadoLibre (Quanto GBP)

Title

CH1532239311 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239311

Fälligkeitstag

02.03.2028

Basiswert

Alibaba Group Holding Limited, MercadoLibre Inc. - CH1532239311

13.44% p.a. Autocallable Barrier Reverse Convertible on Bachem, Bristol-Myers Squibb, Sanofi, Siegfried (Quanto EUR)

Title

CH1532246902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246902

Fälligkeitstag

09.04.2027

Basiswert

Siegfried Holding AG, Bachem Holding AG, Bristol-Myers Squibb Co., Sanofi SA - CH1532246902

13.44% p.a. Autocallable Barrier Reverse Convertible on Novartis, Novo Nordisk, Straumann (Quanto CHF)

Title

CH1548144448 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144448

Fälligkeitstag

22.07.2027

Basiswert

Novo Nordisk A/S, Straumann Holding AG, Novartis AG - CH1548144448

13.45% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548130462 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130462

Fälligkeitstag

05.05.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548130462

13.46% p.a. Autocallable Reverse Convertible on GE Vernova, NVIDIA, Tesla

Title

CH1548144521 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144521

Fälligkeitstag

25.01.2028

Basiswert

NVIDIA Corp., Tesla Inc., GE Vernova Inc. - CH1548144521

13.46% p.a. Barrier Reverse Convertible on CNH Industrial N.V. (Quanto CHF)

Title

CH1548130017 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130017

Fälligkeitstag

02.11.2026

Basiswert

CNH Industrial N.V.

13.48% p.a. Autocallable Reverse Convertible on Oracle Corp.

Title

CH1548142228 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142228

Fälligkeitstag

10.01.2028

Basiswert

Oracle Corp.

13.49% (13.53% p.a.) Reverse Convertible on Micron Technology Inc.

Title

CH1548134753 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134753

Fälligkeitstag

28.05.2027

Basiswert

Micron Technology Inc.

13.49% p.a. Autocallable Reverse Convertible on NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548141238 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141238

Fälligkeitstag

05.01.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp. - CH1548141238

13.49% p.a. Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1476909440 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909440

Fälligkeitstag

25.09.2026

Basiswert

VAT Group AG, Inficon Holding AG, Comet Holding AG - CH1476909440

13.50% p.a. Autocallable Barrier Reverse Convertible on AstraZeneca, Merck, Unilever PLC (Quanto EUR)

Title

CH1548145254 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145254

Fälligkeitstag

28.07.2027

Basiswert

Merck & Co. Inc., Unilever PLC, AstraZeneca Group PLC - CH1548145254

13.50% p.a. Autocallable Barrier Reverse Convertible on Microsoft, NVIDIA, SAP (Quanto EUR)

Title

CH1492032920 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032920

Fälligkeitstag

08.02.2027

Basiswert

NVIDIA Corp., Microsoft Corp., SAP SE - CH1492032920

13.50% p.a. Autocallable Reverse Convertible on Infineon Technologies AG

Title

CH1548148373 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148373

Fälligkeitstag

13.08.2027

Basiswert

Infineon Technologies AG

13.51% (26.74% p.a.) Barrier Reverse Convertible on CME , Deutsche Bank, IntercontinentalExchange (Quanto USD)

Title

CH1548132732 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132732

Fälligkeitstag

17.11.2026

Basiswert

CME Group Inc., Deutsche Bank AG, IntercontinentalExchange Inc. - CH1548132732

13.51% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology , Microsoft, SAP (Quanto EUR)

Title

CH1492033274 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033274

Fälligkeitstag

10.05.2027

Basiswert

Marvell Technology Group Ltd., Microsoft Corp., SAP SE - CH1492033274

13.51% p.a. Reverse Convertible on Microsoft, NVIDIA, Oracle (Quanto EUR)

Title

CH1548128623 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128623

Fälligkeitstag

28.04.2027

Basiswert

Oracle Corp., Microsoft Corp., NVIDIA Corp. - CH1548128623

13.52% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476909556 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909556

Fälligkeitstag

25.09.2026

Basiswert

Rheinmetall AG, RENK Group AG - CH1476909556

13.52% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548128425 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128425

Fälligkeitstag

27.04.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548128425

13.54% (13.43% p.a.) Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto EUR)

Title

CH1492026476 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026476

Fälligkeitstag

05.01.2027

Basiswert

Kering SA, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1492026476

13.56% (11.15% p.a.) Barrier Reverse Convertible on Dell Technologies, Uber Technologies

Title

CH1492035840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035840

Fälligkeitstag

07.05.2027

Basiswert

Uber Technologies Inc., Dell Technologies Inc. - CH1492035840

13.56% (13.49% p.a.) Barrier Reverse Convertible on BP, Shell (Quanto GBP)

Title

CH1548140115 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140115

Fälligkeitstag

28.06.2027

Basiswert

BP PLC, Shell PLC - CH1548140115

13.56% p.a. Autocallable Reverse Convertible on Alcon, Lonza, Roche, Straumann

Title

CH1548150668 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150668

Fälligkeitstag

25.02.2027

Basiswert

Roche Holding AG, Straumann Holding AG, Lonza Group AG, Alcon Inc. - CH1548150668

13.58% p.a. Reverse Convertible on NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548129134 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129134

Fälligkeitstag

29.01.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp. - CH1548129134

13.63% (13.63% p.a.) Barrier Reverse Convertible on ASML, BASF, Kering

Title

CH1492033597 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033597

Fälligkeitstag

10.02.2027

Basiswert

ASML Holding NV, BASF SE, Kering SA - CH1492033597

13.63% p.a. Reverse Convertible on Palantir Technologies Inc.

Title

CH1532244196 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244196

Fälligkeitstag

25.09.2026

Basiswert

Palantir Technologies Inc.

13.65% (13.65% p.a.) Barrier Reverse Convertible on A.P. Moller Maersk A/S (Quanto EUR)

Title

CH1548147631 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147631

Fälligkeitstag

10.08.2027

Basiswert

A.P. Moller Maersk A/S

13.65% (6.80% p.a.) Reverse Convertible on Danone, Endesa, Pfizer (Quanto EUR)

Title

CH1548134969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134969

Fälligkeitstag

31.05.2028

Basiswert

Danone SA, Endesa SA, Pfizer Inc. - CH1548134969

13.65% p.a. Autocallable Reverse Convertible on Hewlett-Packard Enterprise Company

Title

CH1548145460 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145460

Fälligkeitstag

28.01.2028

Basiswert

Hewlett-Packard Enterprise Company

13.67% (13.67% p.a.) Barrier Reverse Convertible on AXA, Munich Re, SAP

Title

CH1492034983 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034983

Fälligkeitstag

16.02.2027

Basiswert

AXA SA, Münchener Rückversicherungs AG, SAP SE - CH1492034983

13.68% (13.60% p.a.) Barrier Reverse Convertible on Altria, Macy's

Title

CH1548132930 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132930

Fälligkeitstag

17.05.2027

Basiswert

Altria Group Inc., Macy's Inc. - CH1548132930

13.68% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548147623 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147623

Fälligkeitstag

07.02.2028

Basiswert

Robinhood Markets Inc.

13.70% (27.41% p.a.) Barrier Reverse Convertible on The Trade Desk Inc. (Quanto CHF)

Title

CH1548150353 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150353

Fälligkeitstag

24.02.2027

Basiswert

The Trade Desk Inc.

13.70% p.a. Barrier Reverse Convertible on Infineon, Merck KGaA, Unilever PLC

Title

CH1492032698 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032698

Fälligkeitstag

05.02.2027

Basiswert

Merck KGaA, Unilever PLC, Infineon Technologies AG - CH1492032698

13.72% p.a. Autocallable Barrier Reverse Convertible on Logitech, VAT

Title

CH1492027870 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027870

Fälligkeitstag

14.07.2027

Basiswert

VAT Group AG, Logitech International SA - CH1492027870

13.75% p.a. Callable Barrier Reverse Convertible on BNP Paribas, Generali, UniCredit (Quanto CHF)

Title

CH1548137012 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137012

Fälligkeitstag

10.09.2027

Basiswert

BNP Paribas, Assicurazioni Generali SpA, UniCredit SpA - CH1548137012

13.76% p.a. Autocallable Reverse Convertible on Applied Materials Inc.

Title

CH1548144547 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144547

Fälligkeitstag

25.01.2028

Basiswert

Applied Materials Inc.

13.76% p.a. Reverse Convertible on Amazon.com, AMD, Micron Technology (Quanto EUR)

Title

CH1548134894 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134894

Fälligkeitstag

28.05.2027

Basiswert

Advanced Micro Devices Inc., Amazon.com Inc., Micron Technology Inc. - CH1548134894

13.78% p.a. Autocallable Barrier Reverse Convertible on Adecco, Logitech, Richemont

Title

CH1476907261 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907261

Fälligkeitstag

14.09.2026

Basiswert

Adecco Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476907261

13.78% p.a. Autocallable Barrier Reverse Convertible on IBM, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492022871 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022871

Fälligkeitstag

03.12.2026

Basiswert

International Business Machines Corp., Microsoft Corp., NVIDIA Corp. - CH1492022871

13.80% (13.80% p.a.) Barrier Reverse Convertible on Banco Santander, Deutsche Bank, UniCredit

Title

CH1532243982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243982

Fälligkeitstag

24.03.2027

Basiswert

UniCredit SpA, Deutsche Bank AG, Banco Santander SA - CH1532243982

13.80% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank

Title

CH1532241333 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241333

Fälligkeitstag

11.03.2027

Basiswert

Deutsche Bank AG, Commerzbank AG - CH1532241333

13.80% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Heidelberg Materials

Title

CH1492036491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036491

Fälligkeitstag

23.02.2027

Basiswert

Heidelberg Materials AG, Deutsche Bank AG - CH1492036491

13.80% p.a. Autocallable Multi FCN on Amazon.com, Intuit, Microsoft

Title

CH1548128177 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128177

Fälligkeitstag

03.02.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Intuit Inc. - CH1548128177

13.80% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548147615 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147615

Fälligkeitstag

07.02.2028

Basiswert

Robinhood Markets Inc.

13.80% p.a. Autocallable Reverse Convertible on Shopify Inc, Tesla

Title

CH1492021089 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021089

Fälligkeitstag

18.11.2026

Basiswert

Tesla Inc., Shopify Inc - CH1492021089

13.81% (13.74% p.a.) Barrier Reverse Convertible on Barry Callebaut, Givaudan, Richemont

Title

CH1492034520 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034520

Fälligkeitstag

15.02.2027

Basiswert

Barry Callebaut AG, Givaudan SA, Compagnie Financière Richemont SA - CH1492034520

13.81% (27.47% p.a.) Barrier Reverse Convertible on Oracle Corp.

Title

CH1548140461 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140461

Fälligkeitstag

30.12.2026

Basiswert

Oracle Corp.

13.81% p.a. Barrier Reverse Convertible on Swiss Life, VAT, Zurich Insurance

Title

CH1532245664 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245664

Fälligkeitstag

06.04.2027

Basiswert

VAT Group AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1532245664

13.82% p.a. Autocallable Barrier Reverse Convertible on Xiaomi Corporation (Quanto USD)

Title

CH1476910851 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910851

Fälligkeitstag

08.10.2026

Basiswert

Xiaomi Corporation

13.82% p.a. Callable Reverse Convertible on Cisco Systems Inc.

Title

CH1548136105 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136105

Fälligkeitstag

07.12.2026

Basiswert

Cisco Systems Inc.

13.83% (13.83% p.a.) Barrier Reverse Convertible on Siemens, Siemens Energy, Siemens Healthineers

Title

CH1492029553 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029553

Fälligkeitstag

22.01.2027

Basiswert

Siemens AG, Siemens Energy AG, Siemens Healthineers AG - CH1492029553

13.85% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rolls-Royce, Saab AB (Quanto USD)

Title

CH1476908574 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908574

Fälligkeitstag

21.09.2026

Basiswert

Saab AB, Rolls-Royce Holdings PLC, RENK Group AG - CH1476908574

13.88% p.a. Callable Barrier Reverse Convertible on Straumann Holding AG

Title

CH1548148381 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148381

Fälligkeitstag

13.08.2027

Basiswert

Straumann Holding AG

13.89% (13.78% p.a.) Barrier Reverse Convertible on Airbus, Hensoldt , MTU Aero Engines, Thales

Title

CH1532244469 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244469

Fälligkeitstag

31.03.2027

Basiswert

MTU Aero Engines Holdings AG, Hensoldt AG, Airbus SE, Thales SA - CH1532244469

13.89% (7.85% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Bank (Quanto CHF)

Title

CH1532244378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244378

Fälligkeitstag

03.01.2028

Basiswert

Deutsche Bank AG, Commerzbank AG - CH1532244378

13.89% p.a. Autocallable Barrier Reverse Convertible on Best Buy, PepsiCo, Starbucks

Title

CH1476908384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908384

Fälligkeitstag

18.09.2026

Basiswert

PepsiCo Inc., Starbucks Corp., Best Buy Co. Inc. - CH1476908384

13.89% p.a. Barrier Reverse Convertible on ABB, Richemont, VAT

Title

CH1548136139 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136139

Fälligkeitstag

07.06.2027

Basiswert

Compagnie Financière Richemont SA, VAT Group AG, ABB Ltd - CH1548136139

13.90% (13.90% p.a.) Reverse Convertible on Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548134951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134951

Fälligkeitstag

28.05.2027

Basiswert

Meta Platforms Inc., NVIDIA Corp. - CH1548134951

13.91% (4.63% p.a.) Barrier Reverse Convertible on Société Générale

Title

CH1314930756 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1314930756

Fälligkeitstag

22.11.2027

Basiswert

Société Générale

13.92% p.a. Autocallable Reverse Convertible on Boston Scientific, Micron Technology, ServiceNow

Title

CH1548149058 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149058

Fälligkeitstag

19.02.2027

Basiswert

ServiceNow Inc, Micron Technology Inc., Boston Scientific Corporation - CH1548149058

13.93% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, MercadoLibre

Title

CH1548131007 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131007

Fälligkeitstag

08.05.2028

Basiswert

Alibaba Group Holding Limited, MercadoLibre Inc. - CH1548131007

13.95% (27.76% p.a.) Reverse Convertible on Anglo American, Teck Resources (Quanto EUR)

Title

CH1548147466 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147466

Fälligkeitstag

08.02.2027

Basiswert

Anglo American PLC, Teck Resources Ltd - CH1548147466

13.95% p.a. Autocallable Barrier Reverse Convertible on Adyen , Banco Santander, Deutsche Telekom (Quanto CHF)

Title

CH1548131817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131817

Fälligkeitstag

12.02.2027

Basiswert

Adyen N.V., Banco Santander SA, Deutsche Telekom AG - CH1548131817

13.95% p.a. Barrier Reverse Convertible on Bank of America, Visa, Waste Management

Title

CH1548127831 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127831

Fälligkeitstag

23.04.2027

Basiswert

Waste Management, Inc., Bank of America Corporation, Visa Inc. - CH1548127831

13.99% (13.99% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT

Title

CH1492030486 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030486

Fälligkeitstag

27.01.2027

Basiswert

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492030486

14.00% p.a. Callable Barrier Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1532246399 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246399

Fälligkeitstag

07.04.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Meta Platforms Inc. - CH1532246399

14.01% (13.97% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, Visa (Quanto CHF)

Title

CH1492035691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035691

Fälligkeitstag

19.02.2027

Basiswert

Microsoft Corp., Visa Inc., Oracle Corp. - CH1492035691

14.01% p.a. Autocallable Barrier Reverse Convertible on AMD, Taiwan Semiconductor Manufacturing, Tesla (Quanto EUR)

Title

CH1492017178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017178

Fälligkeitstag

23.10.2026

Basiswert

Advanced Micro Devices Inc., Tesla Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1492017178

14.02% (27.59% p.a.) Barrier Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548142012 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142012

Fälligkeitstag

11.01.2027

Basiswert

Advanced Micro Devices Inc.

14.02% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto CHF)

Title

CH1476906206 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906206

Fälligkeitstag

04.09.2026

Basiswert

Novo Nordisk A/S

14.03% p.a. Autocallable Reverse Convertible on Moderna Inc.

Title

CH1548148092 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148092

Fälligkeitstag

12.08.2027

Basiswert

Moderna Inc.

14.04% p.a. Autocallable Barrier Reverse Convertible on JD.com, Meta Platforms, STMicroelectronics (Quanto EUR)

Title

CH1548132005 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132005

Fälligkeitstag

12.08.2027

Basiswert

JD.com, Inc., STMicroelectronics NV, Meta Platforms Inc. - CH1548132005

14.06% (14.06% p.a.) Barrier Reverse Convertible on Fincantieri, Prysmian

Title

CH1548134514 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134514

Fälligkeitstag

27.05.2027

Basiswert

Fincantieri S.p.A., Prysmian SpA - CH1548134514

14.06% p.a. Autocallable Reverse Convertible on Ferrari N.V.

Title

CH1548135644 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135644

Fälligkeitstag

04.12.2026

Basiswert

Ferrari N.V.

14.06% p.a. Barrier Reverse Convertible on Tencent Music Entertainment Group (Quanto CHF)

Title

CH1548130090 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130090

Fälligkeitstag

02.11.2026

Basiswert

Tencent Music Entertainment Group

14.07% p.a. Autocallable Reverse Convertible on Alibaba Group Holding Limited

Title

CH1548136733 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136733

Fälligkeitstag

09.12.2026

Basiswert

Alibaba Group Holding Limited

14.07% p.a. Barrier Reverse Convertible on ASML, Heidelberg Materials, ING (Quanto CHF)

Title

CH1532243941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243941

Fälligkeitstag

24.03.2027

Basiswert

Heidelberg Materials AG, ING Groep N.V., ASML Holding NV - CH1532243941

14.07% p.a. Barrier Reverse Convertible on Partners Group Holding, VAT, Zurich Insurance

Title

CH1532245177 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245177

Fälligkeitstag

05.04.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, VAT Group AG - CH1532245177

14.09% (14.09% p.a.) Reverse Convertible on Microsoft, NVIDIA

Title

CH1492024372 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024372

Fälligkeitstag

15.12.2026

Basiswert

Microsoft Corp., NVIDIA Corp. - CH1492024372

14.12% (14.04% p.a.) Barrier Reverse Convertible on Freeport-McMoRan Inc., Newmont

Title

CH1548132948 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132948

Fälligkeitstag

17.05.2027

Basiswert

Newmont Corp., Freeport-McMoRan Inc. - CH1548132948

14.12% (14.12% p.a.) Barrier Reverse Convertible on Crown Castle, IBM, Microsoft

Title

CH1548141188 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141188

Fälligkeitstag

02.07.2027

Basiswert

International Business Machines Corp., Microsoft Corp., Crown Castle International Corp. - CH1548141188

14.12% (27.94% p.a.) Barrier Reverse Convertible on Moderna Inc. (Quanto CHF)

Title

CH1548136253 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136253

Fälligkeitstag

07.12.2026

Basiswert

Moderna Inc.

14.15% (14.15% p.a.) Barrier Reverse Convertible on ABB, Schneider Electric, Siemens Energy (Quanto EUR)

Title

CH1492033852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033852

Fälligkeitstag

11.02.2027

Basiswert

Schneider Electric SE, ABB Ltd, Siemens Energy AG - CH1492033852

14.15% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont (Quanto EUR)

Title

CH1532239758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239758

Fälligkeitstag

04.03.2027

Basiswert

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1532239758

14.15% p.a. Barrier Reverse Convertible on SAP, Wolters Kluwer

Title

CH1548145015 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145015

Fälligkeitstag

26.07.2027

Basiswert

SAP SE, Wolters Kluwer NV - CH1548145015

14.17% (14.17% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492021238 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021238

Fälligkeitstag

19.11.2026

Basiswert

Apple Inc., Microsoft Corp., NVIDIA Corp. - CH1492021238

14.18% (19.20% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy

Title

CH1532245086 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245086

Fälligkeitstag

29.12.2026

Basiswert

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245086

14.18% p.a. Autocallable Barrier Reverse Convertible on Generali, Leonardo, UniCredit

Title

CH1548127633 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127633

Fälligkeitstag

22.04.2027

Basiswert

Assicurazioni Generali SpA, Leonardo S.p.a., UniCredit SpA - CH1548127633

14.19% p.a. Reverse Convertible on JD.com, Marvell Technology , Meta Platforms

Title

CH1548134225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134225

Fälligkeitstag

26.08.2027

Basiswert

Marvell Technology Group Ltd., Meta Platforms Inc., JD.com, Inc. - CH1548134225

14.24% p.a. Autocallable Reverse Convertible on SAP, Siemens

Title

CH1548149827 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149827

Fälligkeitstag

22.02.2027

Basiswert

SAP SE, Siemens AG - CH1548149827

14.25% p.a. Autocallable Barrier Reverse Convertible on Deere, IBM, ServiceNow

Title

CH1548130199 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130199

Fälligkeitstag

04.05.2027

Basiswert

ServiceNow Inc, International Business Machines Corp., Deere & Co. - CH1548130199

14.25% p.a. Autocallable Reverse Convertible on AMD, Constellation Energy

Title

CH1532243453 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243453

Fälligkeitstag

19.03.2027

Basiswert

Constellation Energy Corp., Advanced Micro Devices Inc. - CH1532243453

14.26% (14.26% p.a.) Barrier Reverse Convertible on Allianz, Heidelberg Materials, Munich Re, Siemens Energy

Title

CH1548150338 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150338

Fälligkeitstag

24.08.2027

Basiswert

Siemens Energy AG, Heidelberg Materials AG, Münchener Rückversicherungs AG, Allianz SE - CH1548150338

14.27% p.a. Callable Barrier Reverse Convertible on Asahi Group, Fujitsu, Hitachi, Sumitomo

Title

CH1548150312 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150312

Fälligkeitstag

25.02.2027

Basiswert

Sumitomo Corporation, Fujitsu Ltd, Hitachi Ltd., Asahi Group Holdings Ltd. - CH1548150312

14.28% (14.28% p.a.) Barrier Reverse Convertible on Airbus, Bayer, Deutsche Börse

Title

CH1492021923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021923

Fälligkeitstag

25.11.2026

Basiswert

Deutsche Börse AG, Bayer AG, Airbus SE - CH1492021923

14.28% (14.36% p.a.) Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks (Quanto GBP)

Title

CH1548138614 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138614

Fälligkeitstag

16.06.2027

Basiswert

Crowdstrike Holdings Inc., Palo Alto Networks, Inc., Datadog Inc. - CH1548138614

14.28% p.a. Callable Barrier Reverse Convertible on Adecco, Nestlé, Roche, Swatch

Title

CH1418947953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418947953

Fälligkeitstag

08.10.2026

Basiswert

Adecco Group AG, Roche Holding AG, Nestlé SA, The Swatch Group AG - CH1418947953

14.29% p.a. Autocallable Barrier Reverse Convertible on Broadcom, ENI, NVIDIA (Quanto CHF)

Title

CH1548139547 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139547

Fälligkeitstag

25.06.2027

Basiswert

Broadcom Inc., NVIDIA Corp., ENI SpA - CH1548139547

14.30% (14.30% p.a.) Reverse Convertible on Netflix, NVIDIA

Title

CH1548147326 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147326

Fälligkeitstag

06.08.2027

Basiswert

Netflix Inc., NVIDIA Corp. - CH1548147326

14.30% p.a. Autocallable Reverse Convertible on Bristol-Myers Squibb, DexCom

Title

CH1492031229 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031229

Fälligkeitstag

29.01.2027

Basiswert

DexCom Inc., Bristol-Myers Squibb Co. - CH1492031229

14.30% p.a. Reverse Convertible on Comet, VAT

Title

CH1548138150 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138150

Fälligkeitstag

16.10.2026

Basiswert

VAT Group AG, Comet Holding AG - CH1548138150

14.32% (14.20% p.a.) Reverse Convertible on AMD, NVIDIA

Title

CH1492028407 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028407

Fälligkeitstag

19.01.2027

Basiswert

NVIDIA Corp., Advanced Micro Devices Inc. - CH1492028407

14.32% p.a. Autocallable Barrier Reverse Convertible on ABB, Richemont, UBS Group

Title

CH1548143283 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143283

Fälligkeitstag

16.07.2027

Basiswert

Compagnie Financière Richemont SA, UBS Group AG, ABB Ltd - CH1548143283

14.32% p.a. Autocallable Barrier Reverse Convertible on ASML Holding NV

Title

CH1548147649 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147649

Fälligkeitstag

10.08.2027

Basiswert

ASML Holding NV

14.35% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com, Meta Platforms

Title

CH1492024174 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024174

Fälligkeitstag

11.12.2026

Basiswert

Amazon.com Inc., Alphabet, Inc., Meta Platforms Inc. - CH1492024174

14.36% p.a. Autocallable Reverse Convertible on Hensoldt , RENK Group AG

Title

CH1548141758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141758

Fälligkeitstag

06.01.2028

Basiswert

RENK Group AG, Hensoldt AG - CH1548141758

14.38% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms, Tesla (Quanto CHF)

Title

CH1476910224 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910224

Fälligkeitstag

30.09.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Meta Platforms Inc., Tesla Inc. - CH1476910224

14.40% p.a. Autocallable Multi FCN on Crédit Agricole, Infineon, LVMH Moët Hennessy Louis Vuitton, Rheinmetall

Title

CH1548141733 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141733

Fälligkeitstag

18.01.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Crédit Agricole SA, Rheinmetall AG, Infineon Technologies AG - CH1548141733

14.42% (14.42% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Schneider Electric, Veolia

Title

CH1548127732 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127732

Fälligkeitstag

23.04.2027

Basiswert

Heidelberg Materials AG, Schneider Electric SE, Veolia Environnement - CH1548127732

14.42% (14.42% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Swiss Re, VAT

Title

CH1492019398 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019398

Fälligkeitstag

06.11.2026

Basiswert

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Swiss Re AG - CH1492019398

14.43% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp (Quanto EUR)

Title

CH1532237570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237570

Fälligkeitstag

25.05.2027

Basiswert

Caterpillar Inc., Exxon Mobil Corp., MP Materials Corp - CH1532237570

14.43% p.a. Barrier Reverse Convertible on BKW, Helvetia Baloise, VAT

Title

CH1532245052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245052

Fälligkeitstag

02.04.2027

Basiswert

VAT Group AG, BKW AG, Helvetia Baloise Holding AG - CH1532245052

14.43% p.a. Barrier Reverse Convertible on Lanxess, Tui, Zalando

Title

CH1548134183 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134183

Fälligkeitstag

26.05.2028

Basiswert

Lanxess AG, Zalando SE, Tui AG - CH1548134183

14.44% (28.56% p.a.) Reverse Convertible on Intel, Oracle

Title

CH1532243206 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243206

Fälligkeitstag

21.09.2026

Basiswert

Oracle Corp., Intel Corp. - CH1532243206

14.46% p.a. Autocallable Reverse Convertible on American Express, Oracle, ServiceNow

Title

CH1548140719 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140719

Fälligkeitstag

31.12.2027

Basiswert

Oracle Corp., ServiceNow Inc, American Express Company - CH1548140719

14.48% p.a. Barrier Reverse Convertible on Adecco, Logitech, VAT

Title

CH1476907311 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907311

Fälligkeitstag

11.09.2026

Basiswert

VAT Group AG, Logitech International SA, Adecco Group AG - CH1476907311

14.49% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Fresenius, Prosus, Siemens Energy (Quanto CHF)

Title

CH1548144349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144349

Fälligkeitstag

24.05.2027

Basiswert

Prosus NV, Deutsche Telekom AG, Fresenius SE & Co. KGaA, Siemens Energy AG - CH1548144349

14.50% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce (Quanto EUR)

Title

CH1532244253 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244253

Fälligkeitstag

25.09.2026

Basiswert

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244253

14.51% (14.51% p.a.) Reverse Convertible on BELIMO Holding, Huber + Suhner, VAT

Title

CH1548149082 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149082

Fälligkeitstag

18.08.2027

Basiswert

BELIMO Holding AG, VAT Group AG, Huber + Suhner AG - CH1548149082

14.51% p.a. Autocallable Barrier Reverse Convertible on Bouygues, Caterpillar, MP Materials Corp (Quanto EUR)

Title

CH1548133037 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133037

Fälligkeitstag

16.08.2027

Basiswert

Caterpillar Inc., Bouygues SA, MP Materials Corp - CH1548133037

14.53% p.a. Reverse Convertible on Applied Digital Corporation (Quanto EUR)

Title

CH1492026591 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026591

Fälligkeitstag

29.12.2026

Basiswert

Applied Digital Corporation

14.53% p.a. Reverse Convertible on Micron Technology Inc.

Title

CH1548135800 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135800

Fälligkeitstag

07.06.2027

Basiswert

Micron Technology Inc.

14.54% p.a. Autocallable Reverse Convertible on AMD, NVIDIA

Title

CH1548138275 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138275

Fälligkeitstag

17.06.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp. - CH1548138275

14.54% p.a. Autocallable Reverse Convertible on Oklo Inc Registered

Title

CH1548140263 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140263

Fälligkeitstag

30.12.2027

Basiswert

Oklo Inc Registered

14.54% p.a. Callable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548139737 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139737

Fälligkeitstag

24.06.2027

Basiswert

Hermes International, Kering SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548139737

14.55% (28.62% p.a.) Barrier Reverse Convertible on Micron Technology Inc.

Title

CH1548126304 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126304

Fälligkeitstag

19.10.2026

Basiswert

Micron Technology Inc.

14.58% p.a. Autocallable Barrier Reverse Convertible on Robinhood Markets Inc.

Title

CH1492020511 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020511

Fälligkeitstag

16.11.2026

Basiswert

Robinhood Markets Inc.

14.59% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Oracle

Title

CH1548128565 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128565

Fälligkeitstag

27.10.2027

Basiswert

Microsoft Corp., Oracle Corp. - CH1548128565

14.59% p.a. Barrier Reverse Convertible on Logitech, Sika, UBS Group (Quanto EUR)

Title

CH1548127328 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127328

Fälligkeitstag

21.04.2027

Basiswert

Logitech International SA, Sika AG, UBS Group AG - CH1548127328

14.60% p.a. Autocallable Reverse Convertible on DexCom, Siemens Energy (Quanto USD)

Title

CH1548139307 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139307

Fälligkeitstag

24.06.2027

Basiswert

DexCom Inc., Siemens Energy AG - CH1548139307

14.60% p.a. Barrier Reverse Convertible on Gerresheimer AG

Title

CH1492034892 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034892

Fälligkeitstag

16.02.2027

Basiswert

Gerresheimer AG

14.61% p.a. Autocallable Reverse Convertible on Alphabet, AMD, Microsoft

Title

CH1548133003 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133003

Fälligkeitstag

16.11.2027

Basiswert

Advanced Micro Devices Inc., Microsoft Corp., Alphabet, Inc. - CH1548133003

14.62% (14.62% p.a.) Barrier Reverse Convertible on BlackRock, Charles Schwab, Visa

Title

CH1532241903 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241903

Fälligkeitstag

12.03.2027

Basiswert

Visa Inc., BlackRock, Inc., Charles Schwab Corp. - CH1532241903

14.63% (14.63% p.a.) Barrier Reverse Convertible on BMW, Legrand, LVMH Moët Hennessy Louis Vuitton

Title

CH1548144554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144554

Fälligkeitstag

23.07.2027

Basiswert

Legrand SA, LVMH Moët Hennessy Louis Vuitton SE, Bayerische Motoren Werke AG - CH1548144554

14.64% (14.56% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Swiss Re, VAT

Title

CH1492019570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019570

Fälligkeitstag

09.11.2026

Basiswert

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Swiss Re AG - CH1492019570

14.66% (14.70% p.a.) Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks (Quanto GBP)

Title

CH1548139224 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139224

Fälligkeitstag

21.06.2027

Basiswert

Crowdstrike Holdings Inc., Palo Alto Networks, Inc., Datadog Inc. - CH1548139224

14.66% p.a. Autocallable Reverse Convertible on Dell Technologies Inc.

Title

CH1548144760 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144760

Fälligkeitstag

25.01.2028

Basiswert

Dell Technologies Inc.

14.67% p.a. Autocallable Barrier Reverse Convertible on Space Exploration Technologies Corporati, TAL Education Group, UnitedHealth (Quanto EUR)

Title

CH1548148340 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148340

Fälligkeitstag

16.11.2027

Basiswert

UnitedHealth Group Inc., TAL Education Group, Space Exploration Technologies Corporation - CH1548148340

14.68% p.a. Autocallable Barrier Reverse Convertible on ASML, Broadcom (Quanto EUR)

Title

CH1548137780 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137780

Fälligkeitstag

15.12.2027

Basiswert

Broadcom Inc., ASML Holding NV - CH1548137780

14.68% p.a. Autocallable Barrier Reverse Convertible on Holcim, Straumann, VAT

Title

CH1548143291 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143291

Fälligkeitstag

16.07.2027

Basiswert

Holcim Ltd, Straumann Holding AG, VAT Group AG - CH1548143291

14.68% p.a. Barrier Reverse Convertible on Spotify Technology S.A.

Title

CH1532238172 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238172

Fälligkeitstag

26.02.2027

Basiswert

Spotify Technology S.A.

14.69% p.a. Barrier Reverse Convertible on Barry Callebaut, Lonza, Straumann

Title

CH1548128532 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128532

Fälligkeitstag

27.04.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Barry Callebaut AG - CH1548128532

14.70% p.a. Barrier Reverse Convertible on Alcon, Comet, Givaudan, Roche, Stadler Rail

Title

CH1532243420 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243420

Fälligkeitstag

21.09.2026

Basiswert

Alcon Inc., Comet Holding AG, Givaudan SA, Stadler Rail AG, Roche Holding AG - CH1532243420

14.71% p.a. Autocallable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Ferrari, Volkswagen (Quanto EUR)

Title

CH1492028829 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028829

Fälligkeitstag

20.01.2027

Basiswert

Ferrari N.V., Dr. Ing. H.c. F. Porsche AG, Volkswagen AG - CH1492028829

14.72% (59.56% p.a.) Reverse Convertible on AMD, Coherent, Crowdstrike Holdings

Title

CH1548150205 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150205

Fälligkeitstag

20.11.2026

Basiswert

Advanced Micro Devices Inc., Coherent Corp., Crowdstrike Holdings Inc. - CH1548150205

14.72% p.a. Autocallable Reverse Convertible on Archer-Daniels-Midland, Caterpillar, Deere

Title

CH1548134043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134043

Fälligkeitstag

26.11.2027

Basiswert

Caterpillar Inc., Deere & Co., Archer-Daniels-Midland Company - CH1548134043

14.73% (29.30% p.a.) Barrier Reverse Convertible on Intel, NVIDIA

Title

CH1548146120 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146120

Fälligkeitstag

01.02.2027

Basiswert

Intel Corp., NVIDIA Corp. - CH1548146120

14.74% (7.52% p.a.) Reverse Convertible on Adecco, Kuehne + Nagel, Swisscom

Title

CH1446053907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446053907

Fälligkeitstag

03.06.2027

Basiswert

Kuehne + Nagel International AG, Swisscom AG, Adecco Group AG - CH1446053907

14.75% (14.79% p.a.) Barrier Reverse Convertible on Capgemini, Infineon, Symrise

Title

CH1492026526 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026526

Fälligkeitstag

29.12.2026

Basiswert

Infineon Technologies AG, Capgemini SE, Symrise AG - CH1492026526

14.75% p.a. Autocallable Reverse Convertible on NVIDIA, Softbank (Quanto USD)

Title

CH1548142095 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142095

Fälligkeitstag

09.07.2027

Basiswert

NVIDIA Corp., SoftBank Group Corp. - CH1548142095

14.75% p.a. Reverse Convertible on Arista Networks, Broadcom, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548130652 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130652

Fälligkeitstag

06.05.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Arista Networks, Inc., Broadcom Inc. - CH1548130652

14.76% p.a. Autocallable Barrier Reverse Convertible on Freeport-McMoRan Inc., Newmont, Spotify (Quanto EUR)

Title

CH1548128490 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128490

Fälligkeitstag

27.08.2027

Basiswert

Freeport-McMoRan Inc., Newmont Corp., Spotify Technology S.A. - CH1548128490

14.76% p.a. Reverse Convertible on BAE Systems, GE Aerospace, Rolls-Royce (Quanto GBP)

Title

CH1532244899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244899

Fälligkeitstag

01.04.2027

Basiswert

BAE Systems PLC, GE Aerospace, Rolls-Royce Holdings PLC - CH1532244899

14.76% p.a. Reverse Convertible on Bank of America, Goldman Sachs, Visa

Title

CH1532241788 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241788

Fälligkeitstag

15.09.2026

Basiswert

Bank of America Corporation, The Goldman Sachs Group, Inc., Visa Inc. - CH1532241788

14.76% p.a. Reverse Convertible on Intel, Tesla (Quanto GBP)

Title

CH1548134878 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134878

Fälligkeitstag

28.05.2027

Basiswert

Tesla Inc., Intel Corp. - CH1548134878

14.77% p.a. Barrier Reverse Convertible on Accelleron Industries, Julius Bär, Swatch

Title

CH1532242356 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242356

Fälligkeitstag

16.03.2027

Basiswert

Julius Bär Gruppe AG, The Swatch Group AG, Accelleron Industries AG - CH1532242356

14.78% (29.40% p.a.) Barrier Reverse Convertible on Freeport-McMoRan Inc., Halliburton, SLB Ltd, Southern Copper Corp

Title

CH1532244725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244725

Fälligkeitstag

28.09.2026

Basiswert

Freeport-McMoRan Inc., Southern Copper Corp, Halliburton Co., SLB Ltd - CH1532244725

14.78% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology , Micron Technology

Title

CH1476907220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907220

Fälligkeitstag

10.03.2027

Basiswert

Micron Technology Inc., Marvell Technology Group Ltd. - CH1476907220

14.78% p.a. Autocallable Reverse Convertible on Cameco Corp.

Title

CH1548150197 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150197

Fälligkeitstag

23.08.2027

Basiswert

Cameco Corp.

14.79% p.a. Autocallable Barrier Reverse Convertible on ASML, Infineon, NVIDIA (Quanto EUR)

Title

CH1548130215 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130215

Fälligkeitstag

03.11.2026

Basiswert

ASML Holding NV, Infineon Technologies AG, NVIDIA Corp. - CH1548130215

14.79% p.a. Autocallable Reverse Convertible on Dell Technologies Inc.

Title

CH1548145478 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145478

Fälligkeitstag

28.01.2028

Basiswert

Dell Technologies Inc.

14.79% p.a. Barrier Reverse Convertible on Julius Bär, NVIDIA, Partners Group Holding (Quanto CHF)

Title

CH1548136543 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136543

Fälligkeitstag

08.06.2027

Basiswert

Partners Group Holding AG, NVIDIA Corp., Julius Bär Gruppe AG - CH1548136543

14.79% p.a. Reverse Convertible on NVIDIA, Oracle, Palantir

Title

CH1548148464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148464

Fälligkeitstag

13.08.2027

Basiswert

NVIDIA Corp., Oracle Corp., Palantir Technologies Inc. - CH1548148464

14.80% p.a. Autocallable Barrier Reverse Convertible on Ferrari, Salesforce, XPeng (Quanto EUR)

Title

CH1532237588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237588

Fälligkeitstag

25.05.2027

Basiswert

Ferrari N.V., Salesforce, Inc., XPeng Inc. - CH1532237588

14.80% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532241747 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241747

Fälligkeitstag

12.03.2027

Basiswert

Advanced Micro Devices Inc., Shopify Inc - CH1532241747

14.81% (9.86% p.a.) Barrier Reverse Convertible on Estée Lauder, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1446052248 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052248

Fälligkeitstag

04.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Estée Lauder Companies Inc. - CH1446052248

14.81% p.a. Barrier Reverse Convertible on Georg Fischer, SGS, Temenos (Quanto EUR)

Title

CH1548127294 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127294

Fälligkeitstag

21.04.2027

Basiswert

SGS SA, Georg Fischer AG, Temenos AG - CH1548127294

14.81% p.a. Reverse Convertible on Infineon, Schneider Electric, Siemens Energy

Title

CH1418944513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418944513

Fälligkeitstag

14.09.2026

Basiswert

Infineon Technologies AG, Schneider Electric SE, Siemens Energy AG - CH1418944513

14.82% (14.82% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1548144562 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144562

Fälligkeitstag

23.07.2027

Basiswert

Heidelberg Materials AG

14.83% p.a. Autocallable Barrier Reverse Convertible on ams-OSRAM, VAT

Title

CH1548139950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139950

Fälligkeitstag

27.09.2027

Basiswert

ams-OSRAM AG, VAT Group AG - CH1548139950

14.83% p.a. Reverse Convertible on Robinhood Markets Inc.

Title

CH1492035188 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492035188

Fälligkeitstag

17.08.2027

Basiswert

Robinhood Markets Inc.

14.84% p.a. Barrier Reverse Convertible on Arm Holding plc, Sony Group

Title

CH1532244881 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244881

Fälligkeitstag

30.06.2027

Basiswert

Arm Holding plc, Sony Group Corporation - CH1532244881

14.86% p.a. Autocallable Barrier Reverse Convertible on Enel, Hermes, Prosus

Title

CH1492026666 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026666

Fälligkeitstag

30.12.2026

Basiswert

Prosus NV, Hermes International, Enel SpA - CH1492026666

14.87% p.a. Callable Barrier Reverse Convertible on ABB, Adecco, VAT

Title

CH1548149751 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149751

Fälligkeitstag

22.02.2027

Basiswert

ABB Ltd, Adecco Group AG, VAT Group AG - CH1548149751

14.87% p.a. Callable Barrier Reverse Convertible on Meta Platforms, Spotify (Quanto CAD)

Title

CH1446053220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446053220

Fälligkeitstag

14.09.2026

Basiswert

Spotify Technology S.A., Meta Platforms Inc. - CH1446053220

14.88% p.a. Autocallable Barrier Reverse Convertible on Accor, Alstom, Schneider Electric

Title

CH1492022970 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022970

Fälligkeitstag

03.12.2026

Basiswert

Schneider Electric SE, Alstom SA, Accor SA - CH1492022970

14.89% (14.89% p.a.) Barrier Reverse Convertible on Givaudan, Logitech, Richemont

Title

CH1548139356 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139356

Fälligkeitstag

23.06.2027

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Givaudan SA - CH1548139356

14.89% p.a. Autocallable Reverse Convertible on ASML, Infineon, STMicroelectronics

Title

CH1532242273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242273

Fälligkeitstag

16.09.2027

Basiswert

ASML Holding NV, STMicroelectronics NV, Infineon Technologies AG - CH1532242273

14.90% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1548126239 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126239

Fälligkeitstag

16.04.2027

Basiswert

Partners Group Holding AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548126239

14.91% (14.91% p.a.) Barrier Reverse Convertible on Comet, SIG Group, VAT

Title

CH1548136444 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136444

Fälligkeitstag

08.06.2027

Basiswert

VAT Group AG, SIG Group AG, Comet Holding AG - CH1548136444

14.92% p.a. Barrier Reverse Convertible on Global Payments Inc (Quanto CHF)

Title

CH1548130116 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130116

Fälligkeitstag

02.11.2026

Basiswert

Global Payments Inc

14.93% (29.70% p.a.) Barrier Reverse Convertible on Intel Corp.

Title

CH1548143788 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143788

Fälligkeitstag

21.01.2027

Basiswert

Intel Corp.

14.93% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1548131122 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131122

Fälligkeitstag

07.05.2027

Basiswert

Pfizer Inc., Moderna Inc. - CH1548131122

14.94% p.a. Reverse Convertible on ASML, Capgemini, SAP

Title

CH1492035717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035717

Fälligkeitstag

18.02.2027

Basiswert

ASML Holding NV, Capgemini SE, SAP SE - CH1492035717

14.95% (14.95% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1532243743 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243743

Fälligkeitstag

23.03.2027

Basiswert

ASML Holding NV

14.97% (14.97% p.a.) Barrier Reverse Convertible on Deutsche Telekom, ING, SAP

Title

CH1492022319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022319

Fälligkeitstag

27.11.2026

Basiswert

ING Groep N.V., SAP SE, Deutsche Telekom AG - CH1492022319

14.97% (30.28% p.a.) Barrier Reverse Convertible on Barclays, BBVA, Société Générale, Standard Chartered, UniCredit (Quanto EUR)

Title

CH1532246290 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246290

Fälligkeitstag

07.10.2026

Basiswert

Barclays Plc, Banco Bilbao Vizcaya Argentaria SA, Société Générale, Standard Chartered PLC, UniCredit SpA - CH1532246290

14.97% p.a. Autocallable Barrier Reverse Convertible on Adidas, ASML, Sartorius (Quanto CHF)

Title

CH1532238693 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238693

Fälligkeitstag

01.03.2027

Basiswert

ASML Holding NV, Adidas AG, Sartorius AG - CH1532238693

14.97% p.a. Autocallable Barrier Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548145965 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145965

Fälligkeitstag

30.07.2027

Basiswert

Advanced Micro Devices Inc.

15.00% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto USD)

Title

CH1492032946 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032946

Fälligkeitstag

08.02.2027

Basiswert

Bayerische Motoren Werke AG, Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The - CH1492032946

15.00% p.a. Autocallable Multi FCN on Berkshire Hathaway, Microsoft, Oracle

Title

CH1548129803 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129803

Fälligkeitstag

12.11.2026

Basiswert

Oracle Corp., Microsoft Corp., Berkshire Hathaway Inc. - CH1548129803

15.00% p.a. Barrier Reverse Convertible on Digital Realty Trust, Equinix, Vertiv Holdings Co

Title

CH1548131726 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131726

Fälligkeitstag

11.05.2027

Basiswert

Vertiv Holdings Co, Equinix Inc., Digital Realty Trust Inc. - CH1548131726

15.00% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto EUR)

Title

CH1548134597 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134597

Fälligkeitstag

30.05.2028

Basiswert

SAP SE, Oracle Corp., ServiceNow Inc - CH1548134597

15.01% (15.01% p.a.) Barrier Reverse Convertible on Heidelberg Materials, ING, Unilever PLC

Title

CH1492034991 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034991

Fälligkeitstag

16.02.2027

Basiswert

ING Groep N.V., Unilever PLC, Heidelberg Materials AG - CH1492034991

15.01% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Novo Nordisk, STMicroelectronics (Quanto EUR)

Title

CH1476908657 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908657

Fälligkeitstag

21.09.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Novo Nordisk A/S, STMicroelectronics NV - CH1476908657

15.02% p.a. Autocallable Reverse Convertible on AMD, ASML, NVIDIA (Quanto EUR)

Title

CH1532244121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244121

Fälligkeitstag

24.03.2027

Basiswert

NVIDIA Corp., ASML Holding NV, Advanced Micro Devices Inc. - CH1532244121

15.02% p.a. Callable Barrier Reverse Convertible on Hermes, L´Oréal, Zalando (Quanto USD)

Title

CH1548140834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140834

Fälligkeitstag

05.01.2027

Basiswert

L´Oréal International, Zalando SE, Hermes International - CH1548140834

15.02% p.a. Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548140396 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140396

Fälligkeitstag

29.06.2028

Basiswert

Advanced Micro Devices Inc.

15.03% (29.89% p.a.) Reverse Convertible on Freeport-McMoRan Inc., Southern Copper Corp (Quanto EUR)

Title

CH1548147474 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147474

Fälligkeitstag

08.02.2027

Basiswert

Freeport-McMoRan Inc., Southern Copper Corp - CH1548147474

15.03% p.a. Autocallable Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548148134 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148134

Fälligkeitstag

12.08.2027

Basiswert

Advanced Micro Devices Inc.

15.06% p.a. Callable Barrier Reverse Convertible on Logitech, Netflix, Walt Disney (Quanto USD)

Title

CH1548140537 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140537

Fälligkeitstag

30.12.2026

Basiswert

Netflix Inc., Logitech International SA, The Walt Disney Company - CH1548140537

15.07% p.a. Autocallable Reverse Convertible on ENGIE, GE Vernova, RWE (Quanto USD)

Title

CH1548141329 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141329

Fälligkeitstag

05.01.2027

Basiswert

GE Vernova Inc., ENGIE SA, RWE AG - CH1548141329

15.08% p.a. Autocallable Reverse Convertible on AMD, Tesla

Title

CH1548136667 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136667

Fälligkeitstag

09.06.2027

Basiswert

Tesla Inc., Advanced Micro Devices Inc. - CH1548136667

15.08% p.a. Barrier Reverse Convertible on Alibaba Group, Chipotle, Expedia Group

Title

CH1532241697 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241697

Fälligkeitstag

15.09.2026

Basiswert

Alibaba Group Holding Limited, Expedia Group Inc., Chipotle Mexican Grill Inc. - CH1532241697

15.09% p.a. Barrier Reverse Convertible on Adidas, Nike, On Holding (Quanto CHF)

Title

CH1548133078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133078

Fälligkeitstag

18.05.2027

Basiswert

On Holding Ltd, Nike Inc., Adidas AG - CH1548133078

15.10% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Oracle

Title

CH1548137889 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137889

Fälligkeitstag

15.06.2027

Basiswert

Crowdstrike Holdings Inc., Oracle Corp. - CH1548137889

15.10% p.a. Barrier Reverse Convertible on ASM International, Bayer, Siemens Energy (Quanto CHF)

Title

CH1548128680 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128680

Fälligkeitstag

28.04.2027

Basiswert

Siemens Energy AG, ASM International NV, Bayer AG - CH1548128680

15.10% p.a. Reverse Convertible on Intesa Sanpaolo, UniCredit

Title

CH1532245227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245227

Fälligkeitstag

02.10.2026

Basiswert

Intesa Sanpaolo SpA, UniCredit SpA - CH1532245227

15.14% (14.61% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Swatch, UBS Group

Title

CH1548126205 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126205

Fälligkeitstag

29.04.2027

Basiswert

The Swatch Group AG, UBS Group AG, Kuehne + Nagel International AG - CH1548126205

15.14% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Shell, Siemens Energy

Title

CH1532239618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239618

Fälligkeitstag

04.03.2027

Basiswert

Schneider Electric SE, Siemens Energy AG, Shell PLC - CH1532239618

15.14% p.a. Callable Barrier Reverse Convertible on ConocoPhillips, Diamondback Energy, SLB Ltd

Title

CH1548147359 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147359

Fälligkeitstag

08.02.2027

Basiswert

SLB Ltd, ConocoPhillips, Diamondback Energy Inc. - CH1548147359

15.15% p.a. Autocallable Reverse Convertible on Shopify Inc, Tesla

Title

CH1492020560 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020560

Fälligkeitstag

17.11.2026

Basiswert

Tesla Inc., Shopify Inc - CH1492020560

15.16% p.a. Barrier Reverse Convertible on Apple, Dell Technologies, Microsoft (Quanto CHF)

Title

CH1548137988 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137988

Fälligkeitstag

15.06.2029

Basiswert

Dell Technologies Inc., Microsoft Corp., Apple Inc. - CH1548137988

15.16% p.a. Barrier Reverse Convertible on Whirlpool Corp.

Title

CH1492021782 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021782

Fälligkeitstag

24.11.2026

Basiswert

Whirlpool Corp.

15.17% p.a. Autocallable Barrier Reverse Convertible on Infineon, Rheinmetall, Tui (Quanto CHF)

Title

CH1492032110 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032110

Fälligkeitstag

03.02.2027

Basiswert

Rheinmetall AG, Tui AG, Infineon Technologies AG - CH1492032110

15.19% (30.22% p.a.) Barrier Reverse Convertible on D-Wave Quantum Inc.

Title

CH1548132021 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132021

Fälligkeitstag

13.11.2026

Basiswert

D-Wave Quantum Inc.

15.19% (8.29% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, VAT

Title

CH1418947243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418947243

Fälligkeitstag

02.02.2027

Basiswert

Nestlé SA, Novartis AG, VAT Group AG - CH1418947243

15.19% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Johnson & Johnson, Pfizer

Title

CH1548130033 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130033

Fälligkeitstag

02.11.2026

Basiswert

Eli Lilly & Co., Johnson & Johnson, Pfizer Inc. - CH1548130033

15.20% p.a. Autocallable Barrier Reverse Convertible on Bayer, SAP, Siemens

Title

CH1532239709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239709

Fälligkeitstag

04.03.2027

Basiswert

SAP SE, Bayer AG, Siemens AG - CH1532239709

15.20% p.a. Reverse Convertible on Tesla Inc.

Title

CH1492032482 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492032482

Fälligkeitstag

04.02.2027

Basiswert

Tesla Inc.

15.21% p.a. Autocallable Barrier Reverse Convertible on Apple, JPMorgan Chase, PayPal

Title

CH1548128920 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128920

Fälligkeitstag

29.04.2027

Basiswert

Apple Inc., JPMorgan Chase & Co., PayPal Holdings Inc. - CH1548128920

15.24% (15.15% p.a.) Barrier Reverse Convertible on BBVA, Deutsche Bank, Société Générale

Title

CH1492034710 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034710

Fälligkeitstag

15.02.2027

Basiswert

Banco Bilbao Vizcaya Argentaria SA, Société Générale, Deutsche Bank AG - CH1492034710

15.24% p.a. Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA

Title

CH1492031823 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031823

Fälligkeitstag

31.01.2028

Basiswert

NVIDIA Corp., Microsoft Corp., Alphabet, Inc., Amazon.com Inc. - CH1492031823

15.25% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Palantir, Spotify

Title

CH1476911388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911388

Fälligkeitstag

09.10.2026

Basiswert

Spotify Technology S.A., Crowdstrike Holdings Inc., Palantir Technologies Inc. - CH1476911388

15.26% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, Leonardo, NVIDIA (Quanto CHF)

Title

CH1492028472 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028472

Fälligkeitstag

16.04.2027

Basiswert

Banco Santander SA, NVIDIA Corp., Leonardo S.p.a. - CH1492028472

15.26% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1548145809 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145809

Fälligkeitstag

29.01.2027

Basiswert

NVIDIA Corp.

15.29% (15.29% p.a.) Barrier Reverse Convertible on Caterpillar, Linde PLC, Procter & Gamble

Title

CH1532243867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243867

Fälligkeitstag

23.03.2027

Basiswert

The Procter & Gamble Company, Linde PLC, Caterpillar Inc. - CH1532243867

15.29% p.a. Autocallable Reverse Convertible on Atlassian, Tesla

Title

CH1548136410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136410

Fälligkeitstag

08.06.2027

Basiswert

Atlassian Corp., Tesla Inc. - CH1548136410

15.29% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1548148928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148928

Fälligkeitstag

17.02.2027

Basiswert

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, The Swatch Group AG, Roche Holding AG - CH1548148928

15.31% p.a. Autocallable Barrier Reverse Convertible on L´Oréal, SAP, Sea (Quanto EUR)

Title

CH1548149603 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149603

Fälligkeitstag

22.11.2027

Basiswert

L´Oréal International, SAP SE, Sea Ltd - CH1548149603

15.32% p.a. Barrier Reverse Convertible on Beiersdorf, Rheinmetall, SAP

Title

CH1548141592 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141592

Fälligkeitstag

06.07.2027

Basiswert

Beiersdorf AG, Rheinmetall AG, SAP SE - CH1548141592

15.32% p.a. Reverse Convertible on Caterpillar, Home Depot, Walmart

Title

CH1532242760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242760

Fälligkeitstag

18.09.2026

Basiswert

Home Depot Inc., Walmart Inc., Caterpillar Inc. - CH1532242760

15.36% (15.40% p.a.) Barrier Reverse Convertible on ASML, Rheinmetall, RTX Corporation (Quanto USD)

Title

CH1532238099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238099

Fälligkeitstag

25.02.2027

Basiswert

RTX Corporation, ASML Holding NV, Rheinmetall AG - CH1532238099

15.39% p.a. Callable Barrier Reverse Convertible on Novartis, Roche, Sonova, Straumann

Title

CH1548142467 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142467

Fälligkeitstag

12.07.2027

Basiswert

Novartis AG, Roche Holding AG, Sonova Holding AG, Straumann Holding AG - CH1548142467

15.40% (15.32% p.a.) Barrier Reverse Convertible on Siemens Energy AG

Title

CH1492023226 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023226

Fälligkeitstag

07.12.2026

Basiswert

Siemens Energy AG

15.40% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532241085 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241085

Fälligkeitstag

10.03.2027

Basiswert

Advanced Micro Devices Inc., Shopify Inc - CH1532241085

15.40% p.a. Barrier Reverse Convertible on Nestlé, Swiss Re, VAT (Quanto EUR)

Title

CH1548126379 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126379

Fälligkeitstag

16.10.2026

Basiswert

Nestlé SA, VAT Group AG, Swiss Re AG - CH1548126379

15.42% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Société Générale, TAL Education Group (Quanto EUR)

Title

CH1492033290 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033290

Fälligkeitstag

10.05.2027

Basiswert

BNP Paribas, Société Générale, TAL Education Group - CH1492033290

15.44% p.a. Callable Barrier Reverse Convertible on BAE Systems, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548144653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144653

Fälligkeitstag

23.07.2027

Basiswert

BAE Systems PLC, RENK Group AG, Rheinmetall AG - CH1548144653

15.45% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Sika, Swatch, UBS Group

Title

CH1548148936 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148936

Fälligkeitstag

17.02.2027

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Sika AG - CH1548148936

15.47% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Richemont, Roche, Swatch, UBS Group

Title

CH1548136352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136352

Fälligkeitstag

08.02.2027

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Compagnie Financière Richemont SA, Roche Holding AG - CH1548136352

15.48% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, ServiceNow

Title

CH1548139513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139513

Fälligkeitstag

25.06.2027

Basiswert

Amazon.com Inc., ServiceNow Inc, Meta Platforms Inc. - CH1548139513

15.48% p.a. Autocallable Barrier Reverse Convertible on General Mills, Kraft Heinz, PepsiCo

Title

CH1548139174 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139174

Fälligkeitstag

23.06.2027

Basiswert

General Mills Inc., PepsiCo Inc., The Kraft Heinz Company - CH1548139174

15.49% (20.73% p.a.) Barrier Reverse Convertible on ASM International, ASML, Nemetschek

Title

CH1548141824 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141824

Fälligkeitstag

06.04.2027

Basiswert

ASML Holding NV, ASM International NV, Nemetschek SE - CH1548141824

15.49% p.a. Autocallable Barrier Reverse Convertible on Adyen , JD.com, Meta Platforms (Quanto USD)

Title

CH1532237687 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237687

Fälligkeitstag

25.05.2027

Basiswert

Adyen N.V., JD.com, Inc., Meta Platforms Inc. - CH1532237687

15.51% p.a. Autocallable Barrier Reverse Convertible on ASML, Carrefour, Infineon

Title

CH1548148977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148977

Fälligkeitstag

17.08.2027

Basiswert

Carrefour SA, Infineon Technologies AG, ASML Holding NV - CH1548148977

15.51% p.a. Autocallable Barrier Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1492029595 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492029595

Fälligkeitstag

25.01.2027

Basiswert

Norwegian Cruise Line Holdings Ltd.

15.55% p.a. Autocallable Barrier Reverse Convertible on ASML, Goodyear, ING (Quanto EUR)

Title

CH1492033621 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033621

Fälligkeitstag

10.02.2027

Basiswert

ASML Holding NV, Goodyear Tire & Rubber Co./The, ING Groep N.V. - CH1492033621

15.56% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532240038 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240038

Fälligkeitstag

05.03.2027

Basiswert

Pfizer Inc., Moderna Inc. - CH1532240038

15.56% p.a. Autocallable Reverse Convertible on Texas Instruments Inc.

Title

CH1548134332 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134332

Fälligkeitstag

27.11.2026

Basiswert

Texas Instruments Inc.

15.61% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548129670 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129670

Fälligkeitstag

01.11.2027

Basiswert

Robinhood Markets Inc.

15.61% p.a. Callable Barrier Reverse Convertible on Airbus, Boeing, Leonardo, Rheinmetall, St-Gobain (Quanto CHF)

Title

CH1476908905 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908905

Fälligkeitstag

22.09.2026

Basiswert

Leonardo S.p.a., Boeing Company, Compagnie de St-Gobain, Rheinmetall AG, Airbus SE - CH1476908905

15.61% p.a. Callable Barrier Reverse Convertible on Bristol-Myers Squibb, Edwards Lifesciences, Novo Nordisk

Title

CH1548148217 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148217

Fälligkeitstag

12.03.2027

Basiswert

Edwards Lifesciences Corp , Novo Nordisk A/S, Bristol-Myers Squibb Co. - CH1548148217

15.62% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Rheinmetall

Title

CH1492027938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027938

Fälligkeitstag

14.01.2027

Basiswert

Rheinmetall AG, Hensoldt AG - CH1492027938

15.64% p.a. Autocallable Barrier Reverse Convertible on Adyen N.V.

Title

CH1548136808 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136808

Fälligkeitstag

09.06.2027

Basiswert

Adyen N.V.

15.64% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1548140453 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140453

Fälligkeitstag

29.06.2027

Basiswert

Schneider Electric SE, Siemens Energy AG - CH1548140453

15.64% p.a. Callable Barrier Reverse Convertible on Adidas, L´Oréal, Zalando (Quanto USD)

Title

CH1548135164 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135164

Fälligkeitstag

01.12.2026

Basiswert

Adidas AG, Zalando SE, L´Oréal International - CH1548135164

15.66% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548145304 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145304

Fälligkeitstag

29.12.2026

Basiswert

Roche Holding AG, Novartis AG, Julius Bär Gruppe AG, Partners Group Holding AG, The Swatch Group AG, UBS Group AG - CH1548145304

15.67% p.a. Callable Barrier Reverse Convertible on Biogen, Fresenius Medical Care, Straumann (Quanto USD)

Title

CH1548142277 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142277

Fälligkeitstag

11.01.2027

Basiswert

Straumann Holding AG, Biogen Inc., Fresenius Medical Care AG - CH1548142277

15.68% (20.91% p.a.) Reverse Convertible on Adyen , SAP, St-Gobain

Title

CH1532242562 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242562

Fälligkeitstag

17.12.2026

Basiswert

Adyen N.V., SAP SE, Compagnie de St-Gobain - CH1532242562

15.70% p.a. Callable Barrier Reverse Convertible on Daimler Truck, Mercedes-Benz Group, Volkswagen (Quanto CHF)

Title

CH1476912816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912816

Fälligkeitstag

20.01.2027

Basiswert

Volkswagen AG, Daimler Truck Holding AG, Mercedes-Benz Group AG - CH1476912816

15.71% p.a. Autocallable Barrier Reverse Convertible on A.P. Moller Maersk, Danske Bank, Novo Nordisk (Quanto USD)

Title

CH1492027946 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027946

Fälligkeitstag

14.01.2027

Basiswert

A.P. Moller Maersk A/S, Danske Bank A/S, Novo Nordisk A/S - CH1492027946

15.71% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Applied Materials, Microsoft (Quanto EUR)

Title

CH1548129217 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129217

Fälligkeitstag

31.05.2027

Basiswert

Applied Materials Inc., Microsoft Corp., Alphabet, Inc. - CH1548129217

15.71% p.a. Barrier Reverse Convertible on Airbnb, Booking Holdings, Home Depot

Title

CH1548131270 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131270

Fälligkeitstag

06.11.2026

Basiswert

Airbnb Inc., Booking Holdings Inc., Home Depot Inc. - CH1548131270

15.71% p.a. Callable Barrier Reverse Convertible on BAT, Glencore, Lloyds Bank

Title

CH1532237539 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237539

Fälligkeitstag

25.02.2027

Basiswert

British American Tobacco PLC, Lloyds Banking Group PLC, Glencore PLC - CH1532237539

15.73% p.a. Autocallable Barrier Reverse Convertible on BKW, Siemens, Siemens Energy (Quanto CHF)

Title

CH1548146229 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146229

Fälligkeitstag

02.08.2027

Basiswert

BKW AG, Siemens AG, Siemens Energy AG - CH1548146229

15.73% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1548140388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140388

Fälligkeitstag

29.06.2027

Basiswert

Schneider Electric SE, Siemens Energy AG - CH1548140388

15.75% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, UBS Group (Quanto USD)

Title

CH1532243560 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243560

Fälligkeitstag

22.03.2027

Basiswert

Kuehne + Nagel International AG, Alcon Inc., UBS Group AG - CH1532243560

15.76% p.a. Autocallable Barrier Reverse Convertible on Exxon Mobil, MP Materials Corp, NVIDIA (Quanto CHF)

Title

CH1532237828 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237828

Fälligkeitstag

25.05.2027

Basiswert

Exxon Mobil Corp., MP Materials Corp, NVIDIA Corp. - CH1532237828

15.76% p.a. Barrier Reverse Convertible on Lufthansa, Tui

Title

CH1532240707 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240707

Fälligkeitstag

09.03.2027

Basiswert

Tui AG, Deutsche Lufthansa AG - CH1532240707

15.78% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548150403 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150403

Fälligkeitstag

25.01.2027

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Novartis AG, Roche Holding AG - CH1548150403

15.80% p.a. Autocallable Reverse Convertible on ASML, Siemens (Quanto USD)

Title

CH1548139133 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139133

Fälligkeitstag

22.06.2027

Basiswert

ASML Holding NV, Siemens AG - CH1548139133

15.80% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1548131304 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131304

Fälligkeitstag

07.05.2027

Basiswert

Meta Platforms Inc., Micron Technology Inc. - CH1548131304

15.80% p.a. Barrier Reverse Convertible on AMD, Microsoft, Oracle (Quanto CHF)

Title

CH1476909937 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909937

Fälligkeitstag

29.09.2026

Basiswert

Advanced Micro Devices Inc., Oracle Corp., Microsoft Corp. - CH1476909937

15.81% (15.72% p.a.) Barrier Reverse Convertible on Logitech, Nestlé, UBS Group

Title

CH1492034470 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034470

Fälligkeitstag

15.02.2027

Basiswert

Logitech International SA, UBS Group AG, Nestlé SA - CH1492034470

15.82% p.a. Autocallable Barrier Reverse Convertible on Royal Caribbean Cruises, Salesforce

Title

CH1548131312 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131312

Fälligkeitstag

08.05.2028

Basiswert

Royal Caribbean Cruises Ltd., Salesforce, Inc. - CH1548131312

15.83% p.a. Autocallable Reverse Convertible on Micron Technology Inc. (Quanto GBP)

Title

CH1548133763 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133763

Fälligkeitstag

21.05.2027

Basiswert

Micron Technology Inc.

15.86% (21.14% p.a.) Reverse Convertible on Adidas, Banco Santander, Wolters Kluwer

Title

CH1532242570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242570

Fälligkeitstag

17.12.2026

Basiswert

Adidas AG, Banco Santander SA, Wolters Kluwer NV - CH1532242570

15.86% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1532239014 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239014

Fälligkeitstag

02.03.2027

Basiswert

RENK Group AG, Hensoldt AG, Rheinmetall AG - CH1532239014

15.87% p.a. Autocallable Barrier Reverse Convertible on Netflix, Nike, Novo Nordisk (Quanto EUR)

Title

CH1492032672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032672

Fälligkeitstag

05.02.2027

Basiswert

Nike Inc., Netflix Inc., Novo Nordisk A/S - CH1492032672

15.89% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Novartis, Partners Group Holding, Swatch, UBS Group

Title

CH1548150973 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150973

Fälligkeitstag

26.02.2027

Basiswert

Nestlé SA, Novartis AG, Julius Bär Gruppe AG, Partners Group Holding AG, The Swatch Group AG, UBS Group AG - CH1548150973

15.90% p.a. Barrier Reverse Convertible on AXA, Banco Santander, Siemens

Title

CH1492034447 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034447

Fälligkeitstag

15.02.2027

Basiswert

Banco Santander SA, AXA SA, Siemens AG - CH1492034447

15.90% p.a. Barrier Reverse Convertible on Delivery Hero, Helvetia Baloise, Swisscom (Quanto CHF)

Title

CH1492028951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028951

Fälligkeitstag

19.10.2026

Basiswert

Swisscom AG, Delivery Hero SE, Helvetia Baloise Holding AG - CH1492028951

15.91% p.a. Autocallable Barrier Reverse Convertible on Moderna Inc.

Title

CH1548145973 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145973

Fälligkeitstag

30.07.2027

Basiswert

Moderna Inc.

15.93% p.a. Autocallable Barrier Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, Rheinmetall (Quanto USD)

Title

CH1492031021 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031021

Fälligkeitstag

29.01.2027

Basiswert

ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE, Rheinmetall AG - CH1492031021

15.95% (15.95% p.a.) Barrier Reverse Convertible on Amazon.com, Microsoft, Netflix

Title

CH1532239501 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239501

Fälligkeitstag

03.03.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Netflix Inc. - CH1532239501

15.95% (15.95% p.a.) Barrier Reverse Convertible on Nu Holdings Limited (Quanto EUR)

Title

CH1548133979 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133979

Fälligkeitstag

25.05.2027

Basiswert

Nu Holdings Limited

15.95% (16.04% p.a.) Barrier Reverse Convertible on Deutsche Post, Heidelberg Materials

Title

CH1532246647 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246647

Fälligkeitstag

08.04.2027

Basiswert

Heidelberg Materials AG, Deutsche Post AG - CH1532246647

15.97% (16.06% p.a.) Barrier Reverse Convertible on Bunge Global, STMicroelectronics (Quanto EUR)

Title

CH1492026948 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026948

Fälligkeitstag

31.12.2026

Basiswert

Bunge Global SA, STMicroelectronics NV - CH1492026948

15.98% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532241762 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241762

Fälligkeitstag

12.03.2027

Basiswert

Meta Platforms Inc., Micron Technology Inc. - CH1532241762

15.98% p.a. Callable Barrier Reverse Convertible on Danone, Deutsche Post, Enel

Title

CH1532242240 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242240

Fälligkeitstag

16.03.2027

Basiswert

Enel SpA, Danone SA, Deutsche Post AG - CH1532242240

15.99% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Munich Re, Société Générale

Title

CH1532245466 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245466

Fälligkeitstag

06.04.2027

Basiswert

Commerzbank AG, Münchener Rückversicherungs AG, Société Générale - CH1532245466

16.00% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532243164 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243164

Fälligkeitstag

19.03.2027

Basiswert

Shopify Inc, Advanced Micro Devices Inc. - CH1532243164

16.00% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548140446 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140446

Fälligkeitstag

29.06.2027

Basiswert

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548140446

16.01% (10.62% p.a.) Barrier Reverse Convertible on Air Liquide, LVMH Moët Hennessy Louis Vuitton, Merck (Quanto EUR)

Title

CH1446049152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049152

Fälligkeitstag

17.11.2026

Basiswert

Merck & Co. Inc., Air Liquide SA, LVMH Moët Hennessy Louis Vuitton SE - CH1446049152

16.04% p.a. Barrier Reverse Convertible on AMD, Broadcom, NVIDIA (Quanto CHF)

Title

CH1532242398 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242398

Fälligkeitstag

17.03.2027

Basiswert

NVIDIA Corp., Broadcom Inc., Advanced Micro Devices Inc. - CH1532242398

16.05% (15.96% p.a.) Barrier Reverse Convertible on Leonardo, Rheinmetall (Quanto CHF)

Title

CH1548141360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141360

Fälligkeitstag

05.07.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a. - CH1548141360

16.05% p.a. Callable Barrier Reverse Convertible on Julius Bär, Swissquote, UBS Group

Title

CH1492028480 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028480

Fälligkeitstag

16.04.2027

Basiswert

Julius Bär Gruppe AG, Swissquote Group Holding SA, UBS Group AG - CH1492028480

16.06% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548142376 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142376

Fälligkeitstag

12.07.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp., ASML Holding NV - CH1548142376

16.07% p.a. Autocallable Barrier Reverse Convertible on Adecco, Lonza, VAT

Title

CH1492027888 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027888

Fälligkeitstag

14.07.2027

Basiswert

Lonza Group AG, Adecco Group AG, VAT Group AG - CH1492027888

16.10% (10.72% p.a.) Barrier Reverse Convertible on Estée Lauder, Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1446052255 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052255

Fälligkeitstag

04.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Estée Lauder Companies Inc., Hermes International - CH1446052255

16.10% p.a. Autocallable Barrier Reverse Convertible on Alphabet, ASML, Microsoft, NVIDIA (Quanto USD)

Title

CH1492025858 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025858

Fälligkeitstag

23.12.2026

Basiswert

NVIDIA Corp., Microsoft Corp., Alphabet, Inc., ASML Holding NV - CH1492025858

16.11% p.a. Autocallable Barrier Reverse Convertible on Alcoa Corp., UnitedHealth, Verizon Communications

Title

CH1532237729 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237729

Fälligkeitstag

25.05.2027

Basiswert

Alcoa Corporation, UnitedHealth Group Inc., Verizon Communications Inc. - CH1532237729

16.12% p.a. Autocallable Barrier Reverse Convertible on BlackRock, London Stock Exchange , MSCI, NASDAQ OMX Group (Quanto EUR)

Title

CH1532246910 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246910

Fälligkeitstag

09.04.2027

Basiswert

NASDAQ OMX Group Inc., London Stock Exchange Group Plc, MSCI Inc., BlackRock, Inc. - CH1532246910

16.12% p.a. Callable Barrier Reverse Convertible on Allianz, Commerzbank, Deutsche Bank, Munich Re (Quanto CHF)

Title

CH1548146294 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146294

Fälligkeitstag

02.08.2027

Basiswert

Allianz SE, Commerzbank AG, Deutsche Bank AG, Münchener Rückversicherungs AG - CH1548146294

16.13% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Julius Bär, Société Générale (Quanto CHF)

Title

CH1548143028 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143028

Fälligkeitstag

15.10.2027

Basiswert

Julius Bär Gruppe AG, Société Générale, Commerzbank AG - CH1548143028

16.13% p.a. Barrier Reverse Convertible on Comet, Logitech, Straumann, VAT

Title

CH1548141378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141378

Fälligkeitstag

05.07.2027

Basiswert

Comet Holding AG, VAT Group AG, Logitech International SA, Straumann Holding AG - CH1548141378

16.13% p.a. Reverse Convertible on Apple Inc. (Quanto CHF)

Title

CH1548141295 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141295

Fälligkeitstag

05.01.2027

Basiswert

Apple Inc.

16.14% p.a. Callable Barrier Reverse Convertible on Adecco, Logitech, Straumann

Title

CH1548145312 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145312

Fälligkeitstag

28.07.2027

Basiswert

Adecco Group AG, Logitech International SA, Straumann Holding AG - CH1548145312

16.15% (16.16% p.a.) Barrier Reverse Convertible on AMD, NVIDIA, Salesforce

Title

CH1532239725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239725

Fälligkeitstag

04.03.2027

Basiswert

NVIDIA Corp., Advanced Micro Devices Inc., Salesforce, Inc. - CH1532239725

16.15% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp

Title

CH1492031435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031435

Fälligkeitstag

30.04.2027

Basiswert

MP Materials Corp, Caterpillar Inc., Exxon Mobil Corp. - CH1492031435

16.15% p.a. Barrier Reverse Convertible on ABB, Barry Callebaut, Siemens Energy (Quanto CHF)

Title

CH1532241176 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241176

Fälligkeitstag

10.03.2027

Basiswert

ABB Ltd, Siemens Energy AG, Barry Callebaut AG - CH1532241176

16.16% (32.68% p.a.) Barrier Reverse Convertible on BMW, Daimler Truck, Mercedes-Benz Group, Siemens Energy

Title

CH1532246068 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246068

Fälligkeitstag

05.10.2026

Basiswert

Daimler Truck Holding AG, Siemens Energy AG, Mercedes-Benz Group AG, Bayerische Motoren Werke AG - CH1532246068

16.16% p.a. Barrier Reverse Convertible on Axon Enterprise Inc. (Quanto EUR)

Title

CH1548139786 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139786

Fälligkeitstag

25.06.2027

Basiswert

Axon Enterprise Inc.

16.17% (16.17% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, NVIDIA

Title

CH1492026518 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026518

Fälligkeitstag

29.12.2026

Basiswert

Apple Inc., Amazon.com Inc., NVIDIA Corp. - CH1492026518

16.17% (63.30% p.a.) Reverse Convertible on AMD, Marvell Technology , Palo Alto Networks

Title

CH1548148795 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148795

Fälligkeitstag

16.11.2026

Basiswert

Advanced Micro Devices Inc., Marvell Technology Group Ltd., Palo Alto Networks, Inc. - CH1548148795

16.19% p.a. Reverse Convertible on Applied Digital Corporation

Title

CH1492026617 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026617

Fälligkeitstag

29.12.2026

Basiswert

Applied Digital Corporation

16.19% p.a. Reverse Convertible on Space Exploration Technologies Corporation (Quanto EUR)

Title

CH1548148282 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148282

Fälligkeitstag

16.02.2027

Basiswert

Space Exploration Technologies Corporation

16.20% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp

Title

CH1532237703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237703

Fälligkeitstag

25.05.2027

Basiswert

Caterpillar Inc., Exxon Mobil Corp., MP Materials Corp - CH1532237703

16.20% p.a. Callable Barrier Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548130132 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130132

Fälligkeitstag

03.05.2027

Basiswert

Meta Platforms Inc., NVIDIA Corp. - CH1548130132

16.22% (16.22% p.a.) Barrier Reverse Convertible on AMD, NVIDIA, Salesforce

Title

CH1532239915 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239915

Fälligkeitstag

04.03.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Salesforce, Inc. - CH1532239915

16.23% (16.14% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1532240459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240459

Fälligkeitstag

08.03.2027

Basiswert

Microsoft Corp., SAP SE, Oracle Corp. - CH1532240459

16.23% p.a. Callable Barrier Reverse Convertible on Anheuser-Busch InBev, Constellation Brands, LVMH Moët Hennessy Louis Vuitton, PepsiCo (Quanto EUR)

Title

CH1492017442 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017442

Fälligkeitstag

27.01.2027

Basiswert

PepsiCo Inc., Constellation Brands, Inc., LVMH Moët Hennessy Louis Vuitton SE, Anheuser-Busch InBev NV - CH1492017442

16.24% (10.87% p.a.) Barrier Reverse Convertible on Nestlé, Sandoz Group, UBS Group

Title

CH1446052073 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052073

Fälligkeitstag

30.11.2026

Basiswert

Nestlé SA, Sandoz Group AG, UBS Group AG - CH1446052073

16.24% (64.98% p.a.) Reverse Convertible on Nebius Group N.V. , Space Exploration Technologies Corporati (Quanto EUR)

Title

CH1548144612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144612

Fälligkeitstag

23.10.2026

Basiswert

Space Exploration Technologies Corporation, Nebius Group N.V. - CH1548144612

16.25% p.a. Reverse Convertible on Alibaba Group, Baidu, Tencent, XPeng (Quanto EUR)

Title

CH1548129688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129688

Fälligkeitstag

30.04.2027

Basiswert

Alibaba Group Holding Limited, Tencent Holdings Limited, Baidu, Inc., XPeng Inc. - CH1548129688

16.25% p.a. Reverse Convertible on Intuitive Surgical, Robinhood Markets, Tesla

Title

CH1492032490 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032490

Fälligkeitstag

04.02.2027

Basiswert

Tesla Inc., Robinhood Markets Inc., Intuitive Surgical Inc. - CH1492032490

16.28% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548142236 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142236

Fälligkeitstag

10.01.2028

Basiswert

Robinhood Markets Inc.

16.29% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Swissquote (Quanto EUR)

Title

CH1492030684 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030684

Fälligkeitstag

28.01.2027

Basiswert

Coinbase Global Inc., Swissquote Group Holding SA - CH1492030684

16.33% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Société Générale

Title

CH1548140529 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140529

Fälligkeitstag

30.12.2026

Basiswert

Société Générale, Banco Santander SA, ABN AMRO Bank N.V - CH1548140529

16.34% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, ThyssenKrupp

Title

CH1532237562 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237562

Fälligkeitstag

25.05.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG, ThyssenKrupp AG - CH1532237562

16.36% p.a. Autocallable Reverse Convertible on NVIDIA, Oracle, ServiceNow

Title

CH1548137228 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137228

Fälligkeitstag

13.12.2027

Basiswert

NVIDIA Corp., Oracle Corp., ServiceNow Inc - CH1548137228

16.37% p.a. Barrier Reverse Convertible on Klarna Group PLC (Quanto CHF)

Title

CH1548135354 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135354

Fälligkeitstag

31.08.2026

Basiswert

Klarna Group PLC

16.37% p.a. Callable Barrier Reverse Convertible on Galderma Group, Holcim, Logitech, Nestlé

Title

CH1548146104 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146104

Fälligkeitstag

30.07.2027

Basiswert

Galderma Group Ltd, Nestlé SA, Holcim Ltd, Logitech International SA - CH1548146104

16.40% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532243156 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243156

Fälligkeitstag

19.03.2027

Basiswert

Micron Technology Inc., Meta Platforms Inc. - CH1532243156

16.40% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532241077 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241077

Fälligkeitstag

10.03.2027

Basiswert

Meta Platforms Inc., Micron Technology Inc. - CH1532241077

16.40% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532243172 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243172

Fälligkeitstag

19.03.2027

Basiswert

Pfizer Inc., Moderna Inc. - CH1532243172

16.44% p.a. Barrier Reverse Convertible on Fair Isaac Corp. (Quanto CHF)

Title

CH1596852033 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596852033

Fälligkeitstag

26.02.2027

Basiswert

Fair Isaac Corp.

16.45% (16.45% p.a.) Reverse Convertible on Biogen, GE Healthcare Technologies, Halliburton

Title

CH1492021535 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021535

Fälligkeitstag

20.11.2026

Basiswert

Halliburton Co., GE Healthcare Technologies Inc., Biogen Inc. - CH1492021535

16.45% p.a. Autocallable Barrier Reverse Convertible on BKW, Schneider Electric, Siemens Energy (Quanto EUR)

Title

CH1548139752 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139752

Fälligkeitstag

24.06.2027

Basiswert

BKW AG, Siemens Energy AG, Schneider Electric SE - CH1548139752

16.45% p.a. Autocallable Barrier Reverse Convertible on First Solar, Microsoft, SAP (Quanto USD)

Title

CH1532237711 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237711

Fälligkeitstag

25.05.2027

Basiswert

SAP SE, Microsoft Corp., First Solar Inc. - CH1532237711

16.46% p.a. Barrier Reverse Convertible on Zebra Technologies Corp (Quanto CHF)

Title

CH1548130108 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130108

Fälligkeitstag

02.11.2026

Basiswert

Zebra Technologies Corp

16.47% p.a. Autocallable Barrier Reverse Convertible on easyJet, PUMA, Zalando (Quanto CHF)

Title

CH1476905703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905703

Fälligkeitstag

03.09.2026

Basiswert

easyJet PLC , Zalando SE, PUMA SE - CH1476905703

16.55% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce

Title

CH1532244238 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244238

Fälligkeitstag

25.09.2026

Basiswert

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244238

16.56% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532241754 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241754

Fälligkeitstag

12.03.2027

Basiswert

Pfizer Inc., Moderna Inc. - CH1532241754

16.60% p.a. Barrier Reverse Convertible on CarMax Inc. (Quanto CHF)

Title

CH1548135321 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135321

Fälligkeitstag

30.11.2026

Basiswert

CarMax Inc.

16.60% p.a. Barrier Reverse Convertible on Moderna, Novo Nordisk, Sandoz Group (Quanto CHF)

Title

CH1548130371 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130371

Fälligkeitstag

04.05.2027

Basiswert

Moderna Inc., Sandoz Group AG, Novo Nordisk A/S - CH1548130371

16.61% p.a. Barrier Reverse Convertible on SIG Group, Sonova, Swatch

Title

CH1548138572 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138572

Fälligkeitstag

18.06.2027

Basiswert

SIG Group AG, Sonova Holding AG, The Swatch Group AG - CH1548138572

16.63% (32.55% p.a.) Barrier Reverse Convertible on Cisco Systems, Intel

Title

CH1548151070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151070

Fälligkeitstag

01.03.2027

Basiswert

Cisco Systems Inc., Intel Corp. - CH1548151070

16.63% p.a. Barrier Reverse Convertible on BELIMO Holding, Ferrari, Merck, Microsoft, SAP (Quanto CHF)

Title

CH1548130520 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130520

Fälligkeitstag

05.05.2027

Basiswert

BELIMO Holding AG, Ferrari N.V., Merck & Co. Inc., SAP SE, Microsoft Corp. - CH1548130520

16.66% (16.56% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Telekom, Société Générale

Title

CH1476909770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909770

Fälligkeitstag

28.09.2026

Basiswert

Commerzbank AG, Deutsche Telekom AG, Société Générale - CH1476909770

16.66% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, Tencent (Quanto EUR)

Title

CH1492029934 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029934

Fälligkeitstag

26.01.2027

Basiswert

Tencent Holdings Limited, Amazon.com Inc., Alibaba Group Holding Limited - CH1492029934

16.66% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1548147078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147078

Fälligkeitstag

06.08.2027

Basiswert

Advanced Micro Devices Inc., Shopify Inc - CH1548147078

16.66% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1532244840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244840

Fälligkeitstag

01.04.2027

Basiswert

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1532244840

16.68% p.a. Autocallable Reverse Convertible on Banco BPM, Stellantis

Title

CH1548145130 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145130

Fälligkeitstag

27.07.2027

Basiswert

Banco BPM S.p.A., Stellantis N.V. - CH1548145130

16.71% (16.85% p.a.) Barrier Reverse Convertible on Berkshire Hathaway, Broadcom, NVIDIA

Title

CH1532242463 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242463

Fälligkeitstag

17.03.2027

Basiswert

NVIDIA Corp., Broadcom Inc., Berkshire Hathaway Inc. - CH1532242463

16.71% (8.35% p.a.) Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1532240368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240368

Fälligkeitstag

06.03.2028

Basiswert

Microsoft Corp., Meta Platforms Inc., Alphabet, Inc. - CH1532240368

16.71% p.a. Autocallable Reverse Convertible on Banco BPM, Stellantis

Title

CH1548144844 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144844

Fälligkeitstag

26.07.2027

Basiswert

Stellantis N.V., Banco BPM S.p.A. - CH1548144844

16.73% (16.64% p.a.) Barrier Reverse Convertible on Caterpillar, Chevron, Visa

Title

CH1532242042 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242042

Fälligkeitstag

15.03.2027

Basiswert

Visa Inc., Caterpillar Inc., Chevron Corp. - CH1532242042

16.73% (16.73% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Siemens Energy, Siemens Healthineers

Title

CH1548138440 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138440

Fälligkeitstag

18.06.2027

Basiswert

Heidelberg Materials AG, Siemens Energy AG, Siemens Healthineers AG - CH1548138440

16.73% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Commerzbank, Deutsche Bank

Title

CH1548142079 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142079

Fälligkeitstag

08.07.2027

Basiswert

Deutsche Bank AG, Commerzbank AG, BNP Paribas - CH1548142079

16.74% (16.74% p.a.) Barrier Reverse Convertible on BNP Paribas, Nordea Bank, UniCredit (Quanto EUR)

Title

CH1548134217 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134217

Fälligkeitstag

26.05.2027

Basiswert

Nordea Bank Abp, UniCredit SpA, BNP Paribas - CH1548134217

16.75% (9.46% p.a.) Barrier Reverse Convertible on Infineon, SAP (Quanto CHF)

Title

CH1532244360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244360

Fälligkeitstag

03.01.2028

Basiswert

Infineon Technologies AG, SAP SE - CH1532244360

16.75% p.a. Autocallable Reverse Convertible on AMD, Corning, NVIDIA

Title

CH1548147656 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147656

Fälligkeitstag

10.08.2027

Basiswert

Advanced Micro Devices Inc., Corning Inc., NVIDIA Corp. - CH1548147656

16.80% p.a. Reverse Convertible on AST SpaceMobile Inc (Quanto EUR)

Title

CH1548135388 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135388

Fälligkeitstag

28.05.2027

Basiswert

AST SpaceMobile Inc

16.85% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto CHF)

Title

CH1548134803 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134803

Fälligkeitstag

28.05.2027

Basiswert

SAP SE, Oracle Corp., ServiceNow Inc - CH1548134803

16.87% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548144950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144950

Fälligkeitstag

27.07.2027

Basiswert

Advantest Corp., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144950

16.87% p.a. Barrier Reverse Convertible on Adecco, Barry Callebaut, VAT

Title

CH1476906024 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906024

Fälligkeitstag

03.09.2026

Basiswert

Adecco Group AG, Barry Callebaut AG, VAT Group AG - CH1476906024

16.88% (33.59% p.a.) Barrier Reverse Convertible on Airbus, Infineon, RENK Group AG, Siemens Energy

Title

CH1532244733 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244733

Fälligkeitstag

28.09.2026

Basiswert

Siemens Energy AG, Airbus SE, RENK Group AG, Infineon Technologies AG - CH1532244733

16.91% (33.83% p.a.) Reverse Convertible on Ciena Corp.

Title

CH1548140677 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140677

Fälligkeitstag

31.12.2026

Basiswert

Ciena Corp.

16.91% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology Group Ltd. (Quanto GBP)

Title

CH1548144182 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144182

Fälligkeitstag

21.07.2027

Basiswert

Marvell Technology Group Ltd.

16.91% p.a. Barrier Reverse Convertible on Apple, NVIDIA, Tesla (Quanto CHF)

Title

CH1492027375 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027375

Fälligkeitstag

06.01.2028

Basiswert

NVIDIA Corp., Tesla Inc., Apple Inc. - CH1492027375

16.91% p.a. Barrier Reverse Convertible on Toast Inc (Quanto CHF)

Title

CH1548146286 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146286

Fälligkeitstag

01.02.2027

Basiswert

Toast Inc

16.93% (33.67% p.a.) Reverse Convertible on Navitas Semiconductor Corp

Title

CH1548131668 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131668

Fälligkeitstag

12.11.2026

Basiswert

Navitas Semiconductor Corp

16.93% p.a. Callable Barrier Reverse Convertible on Adecco, Barry Callebaut, Logitech

Title

CH1476912220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912220

Fälligkeitstag

14.01.2027

Basiswert

Adecco Group AG, Barry Callebaut AG, Logitech International SA - CH1476912220

16.95% (16.95% p.a.) Barrier Reverse Convertible on Barry Callebaut, Schindler, VAT

Title

CH1532237612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237612

Fälligkeitstag

25.02.2027

Basiswert

Barry Callebaut AG, VAT Group AG, Schindler Holding AG - CH1532237612

16.95% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1548142798 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142798

Fälligkeitstag

14.07.2027

Basiswert

Moderna Inc., Pfizer Inc. - CH1548142798

16.97% (33.39% p.a.) Barrier Reverse Convertible on Airbus, Infineon, RENK Group AG, Siemens Energy

Title

CH1532245607 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245607

Fälligkeitstag

05.10.2026

Basiswert

Infineon Technologies AG, RENK Group AG, Airbus SE, Siemens Energy AG - CH1532245607

16.97% p.a. Reverse Convertible on AMD, Broadcom

Title

CH1492035725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035725

Fälligkeitstag

19.02.2027

Basiswert

Broadcom Inc., Advanced Micro Devices Inc. - CH1492035725

16.98% (16.98% p.a.) Barrier Reverse Convertible on Schneider Electric, STMicroelectronics

Title

CH1548150866 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150866

Fälligkeitstag

26.08.2027

Basiswert

Schneider Electric SE, STMicroelectronics NV - CH1548150866

16.98% (34.34% p.a.) Barrier Reverse Convertible on Airbus, Hensoldt , MTU Aero Engines, Siemens Energy

Title

CH1532246076 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246076

Fälligkeitstag

05.10.2026

Basiswert

Siemens Energy AG, Hensoldt AG, MTU Aero Engines Holdings AG, Airbus SE - CH1532246076

17.00% p.a. Reverse Convertible on Logitech, Straumann, VZ Holding AG

Title

CH1548129423 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129423

Fälligkeitstag

30.10.2026

Basiswert

Straumann Holding AG, VZ Holding AG, Logitech International SA - CH1548129423

17.01% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1548150510 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150510

Fälligkeitstag

25.02.2027

Basiswert

Rheinmetall AG

17.02% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1548136642 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136642

Fälligkeitstag

09.06.2027

Basiswert

Shopify Inc, Advanced Micro Devices Inc. - CH1548136642

17.02% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto EUR)

Title

CH1548129241 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129241

Fälligkeitstag

02.05.2028

Basiswert

SAP SE, Oracle Corp., ServiceNow Inc - CH1548129241

17.03% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Swatch, UBS Group

Title

CH1548134266 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134266

Fälligkeitstag

26.11.2026

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Novartis AG - CH1548134266

17.04% (16.90% p.a.) Barrier Reverse Convertible on Micron Technology Inc. (Quanto GBP)

Title

CH1548136048 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136048

Fälligkeitstag

08.06.2027

Basiswert

Micron Technology Inc.

17.05% (17.05% p.a.) Barrier Reverse Convertible on SAP, Siemens Energy, Siemens Healthineers

Title

CH1492023077 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023077

Fälligkeitstag

03.12.2026

Basiswert

Siemens Energy AG, Siemens Healthineers AG, SAP SE - CH1492023077

17.05% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, NVIDIA

Title

CH1548131577 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131577

Fälligkeitstag

12.11.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., NVIDIA Corp. - CH1548131577

17.07% p.a. Callable Barrier Reverse Convertible on Apollo Global, KKR & Co, The Blackstone Group

Title

CH1548148225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148225

Fälligkeitstag

12.03.2027

Basiswert

KKR & Co Inc., Apollo Global Management Inc., The Blackstone Group Inc. - CH1548148225

17.09% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, ThyssenKrupp (Quanto USD)

Title

CH1532237695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237695

Fälligkeitstag

25.05.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG, ThyssenKrupp AG - CH1532237695

17.10% p.a. Autocallable Reverse Convertible on Global X Silver Miners ETF

Title

CH1548129860 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129860

Fälligkeitstag

02.11.2026

Basiswert

Global X Silver Miners ETF

17.10% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532241119 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241119

Fälligkeitstag

10.03.2027

Basiswert

Moderna Inc., Pfizer Inc. - CH1532241119

17.11% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto CHF)

Title

CH1476907147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907147

Fälligkeitstag

10.09.2026

Basiswert

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907147

17.15% p.a. Barrier Reverse Convertible on Delivery Hero, Zalando

Title

CH1476908582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908582

Fälligkeitstag

21.09.2026

Basiswert

Delivery Hero SE, Zalando SE - CH1476908582

17.18% p.a. Reverse Convertible on JPMorgan Chase, Meta Platforms, Rheinmetall (Quanto GBP)

Title

CH1532240889 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240889

Fälligkeitstag

09.03.2027

Basiswert

Rheinmetall AG, Meta Platforms Inc., JPMorgan Chase & Co. - CH1532240889

17.19% p.a. Barrier Reverse Convertible on Paycom Software Inc (Quanto CHF)

Title

CH1548146260 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146260

Fälligkeitstag

01.02.2027

Basiswert

Paycom Software Inc

17.21% (17.21% p.a.) Barrier Reverse Convertible on Deutsche Telekom, SAP, Siemens

Title

CH1548140586 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140586

Fälligkeitstag

30.06.2027

Basiswert

Deutsche Telekom AG, SAP SE, Siemens AG - CH1548140586

17.22% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group Holding Limited (Quanto EUR)

Title

CH1548141287 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141287

Fälligkeitstag

06.07.2027

Basiswert

Alibaba Group Holding Limited

17.24% p.a. Autocallable Reverse Convertible on Intel, Microsoft, Visa

Title

CH1548140701 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140701

Fälligkeitstag

31.12.2027

Basiswert

Intel Corp., Visa Inc., Microsoft Corp. - CH1548140701

17.25% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1548134522 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134522

Fälligkeitstag

27.05.2027

Basiswert

Hensoldt AG, Rheinmetall AG, RENK Group AG - CH1548134522

17.25% p.a. Reverse Convertible on Robinhood Markets Inc.

Title

CH1492032466 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492032466

Fälligkeitstag

04.02.2027

Basiswert

Robinhood Markets Inc.

17.30% p.a. Autocallable Reverse Convertible on Cameco Corp.

Title

CH1548128524 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128524

Fälligkeitstag

27.10.2026

Basiswert

Cameco Corp.

17.31% p.a. Autocallable Reverse Convertible on Intel, Microsoft, Visa

Title

CH1548144513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144513

Fälligkeitstag

25.01.2028

Basiswert

Intel Corp., Visa Inc., Microsoft Corp. - CH1548144513

17.32% (17.27% p.a.) Barrier Reverse Convertible on Merck, Novo Nordisk, Roche (Quanto CHF)

Title

CH1492031328 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031328

Fälligkeitstag

01.02.2027

Basiswert

Merck & Co. Inc., Novo Nordisk A/S, Roche Holding AG - CH1492031328

17.34% p.a. Callable Reverse Convertible on Lockheed Martin, Palantir, Rheinmetall (Quanto USD)

Title

CH1468579268 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579268

Fälligkeitstag

26.07.2027

Basiswert

Rheinmetall AG, Lockheed Martin Corp, Palantir Technologies Inc. - CH1468579268

17.38% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Electrolux, Kering (Quanto EUR)

Title

CH1532244584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244584

Fälligkeitstag

31.03.2027

Basiswert

Deutsche Bank AG, Kering SA, Electrolux AB - CH1532244584

17.39% (17.30% p.a.) Barrier Reverse Convertible on easyJet, ING, Novo Nordisk (Quanto CHF)

Title

CH1492034413 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034413

Fälligkeitstag

15.02.2027

Basiswert

Novo Nordisk A/S, ING Groep N.V., easyJet PLC - CH1492034413

17.39% (34.59% p.a.) Barrier Reverse Convertible on Hensoldt , Rheinmetall, Safran, ThyssenKrupp

Title

CH1532244741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244741

Fälligkeitstag

28.09.2026

Basiswert

Rheinmetall AG, Safran SA, ThyssenKrupp AG, Hensoldt AG - CH1532244741

17.39% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, Netflix

Title

CH1492034637 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034637

Fälligkeitstag

16.02.2027

Basiswert

Meta Platforms Inc., Netflix Inc. - CH1492034637

17.39% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, PayPal, The Blackstone Group (Quanto USD)

Title

CH1548134852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134852

Fälligkeitstag

01.12.2026

Basiswert

PayPal Holdings Inc., The Blackstone Group Inc., Partners Group Holding AG - CH1548134852

17.40% (17.30% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Safran, Société Générale

Title

CH1548140131 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140131

Fälligkeitstag

28.06.2027

Basiswert

Société Générale, Safran SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548140131

17.40% (17.40% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Munich Re, Rheinmetall

Title

CH1548129548 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129548

Fälligkeitstag

30.04.2027

Basiswert

Münchener Rückversicherungs AG, Rheinmetall AG, Deutsche Telekom AG - CH1548129548

17.40% (34.61% p.a.) Barrier Reverse Convertible on Hensoldt , Rheinmetall, Safran, ThyssenKrupp

Title

CH1532244709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244709

Fälligkeitstag

28.09.2026

Basiswert

Safran SA, Rheinmetall AG, Hensoldt AG, ThyssenKrupp AG - CH1532244709

17.41% p.a. Barrier Reverse Convertible on Dollar Tree Inc. (Quanto CHF)

Title

CH1548135305 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135305

Fälligkeitstag

30.11.2026

Basiswert

Dollar Tree Inc.

17.43% p.a. Autocallable Reverse Convertible on AMD, Broadcom, NVIDIA (Quanto EUR)

Title

CH1532244915 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244915

Fälligkeitstag

01.04.2027

Basiswert

Advanced Micro Devices Inc., Broadcom Inc., NVIDIA Corp. - CH1532244915

17.44% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1548132898 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132898

Fälligkeitstag

17.05.2027

Basiswert

Meta Platforms Inc., Micron Technology Inc. - CH1548132898

17.45% (17.45% p.a.) Barrier Reverse Convertible on Broadcom, Microsoft, NVIDIA

Title

CH1532246233 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246233

Fälligkeitstag

06.04.2027

Basiswert

NVIDIA Corp., Microsoft Corp., Broadcom Inc. - CH1532246233

17.47% p.a. Autocallable Reverse Convertible on AbbVie Inc, Biogen, Eli Lilly

Title

CH1492023093 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023093

Fälligkeitstag

04.12.2026

Basiswert

Eli Lilly & Co., Biogen Inc., AbbVie Inc - CH1492023093

17.55% p.a. Reverse Convertible on AMD, ASML, Broadcom (Quanto CHF)

Title

CH1532245946 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245946

Fälligkeitstag

05.10.2026

Basiswert

Advanced Micro Devices Inc., Broadcom Inc., ASML Holding NV - CH1532245946

17.56% (71.05% p.a.) Reverse Convertible on Coherent, Lumentum Holdings, Marvell Technology

Title

CH1548140099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140099

Fälligkeitstag

25.09.2026

Basiswert

Marvell Technology Group Ltd., Lumentum Holdings Inc., Coherent Corp. - CH1548140099

17.59% p.a. Reverse Convertible on ServiceNow Inc

Title

CH1548144596 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144596

Fälligkeitstag

26.01.2027

Basiswert

ServiceNow Inc

17.62% p.a. Autocallable Reverse Convertible on Bank of America, Broadcom, Dell Technologies

Title

CH1548143796 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143796

Fälligkeitstag

21.01.2028

Basiswert

Bank of America Corporation, Broadcom Inc., Dell Technologies Inc. - CH1548143796

17.62% p.a. Reverse Convertible on Coinbase Global Inc. (Quanto EUR)

Title

CH1548141014 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141014

Fälligkeitstag

03.01.2028

Basiswert

Coinbase Global Inc.

17.64% p.a. Autocallable Barrier Reverse Convertible on Citigroup, Netflix, Oracle (Quanto EUR)

Title

CH1548132963 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132963

Fälligkeitstag

16.08.2027

Basiswert

Netflix Inc., Citigroup Inc., Oracle Corp. - CH1548132963

17.66% p.a. Autocallable Reverse Convertible on MP Materials Corp

Title

CH1548150072 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150072

Fälligkeitstag

21.05.2027

Basiswert

MP Materials Corp

17.67% p.a. Callable Barrier Reverse Convertible on Leonardo, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548150734 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150734

Fälligkeitstag

25.08.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a., RENK Group AG - CH1548150734

17.74% (17.74% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492030536 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030536

Fälligkeitstag

27.01.2027

Basiswert

Apple Inc., Microsoft Corp., NVIDIA Corp. - CH1492030536

17.75% (17.80% p.a.) Barrier Reverse Convertible on AMD, ASML, Hermes (Quanto CHF)

Title

CH1548127617 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127617

Fälligkeitstag

21.04.2027

Basiswert

ASML Holding NV, Hermes International, Advanced Micro Devices Inc. - CH1548127617

17.77% p.a. Autocallable Reverse Convertible on Palantir, Vertiv Holdings Co

Title

CH1548134670 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134670

Fälligkeitstag

27.05.2027

Basiswert

Palantir Technologies Inc., Vertiv Holdings Co - CH1548134670

17.80% (17.80% p.a.) Barrier Reverse Convertible on Apple, Eli Lilly, NVIDIA

Title

CH1492025643 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025643

Fälligkeitstag

22.12.2026

Basiswert

Apple Inc., Eli Lilly & Co., NVIDIA Corp. - CH1492025643

17.82% (17.67% p.a.) Barrier Reverse Convertible on Moderna, Novartis, Roche (Quanto CHF)

Title

CH1548141337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141337

Fälligkeitstag

06.07.2027

Basiswert

Moderna Inc., Roche Holding AG, Novartis AG - CH1548141337

17.83% p.a. Callable Reverse Convertible on ASML, Micron Technology, SK Hynix (Quanto USD)

Title

CH1548147730 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147730

Fälligkeitstag

11.08.2028

Basiswert

Micron Technology Inc., SK Hynix Inc., ASML Holding NV - CH1548147730

17.85% (17.85% p.a.) Barrier Reverse Convertible on Amazon.com, Broadcom, NVIDIA

Title

CH1532241606 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241606

Fälligkeitstag

11.03.2027

Basiswert

Amazon.com Inc., NVIDIA Corp., Broadcom Inc. - CH1532241606

17.86% p.a. Autocallable Reverse Convertible on Alphabet, Broadcom

Title

CH1548132591 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132591

Fälligkeitstag

17.11.2026

Basiswert

Alphabet, Inc., Broadcom Inc. - CH1548132591

17.87% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476910190 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910190

Fälligkeitstag

31.12.2026

Basiswert

RENK Group AG, Hensoldt AG, Rheinmetall AG - CH1476910190

17.89% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548136659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136659

Fälligkeitstag

09.06.2027

Basiswert

Micron Technology Inc., NVIDIA Corp. - CH1548136659

17.90% p.a. Autocallable Barrier Reverse Convertible on A.P. Moller Maersk, Danske Bank, Novo Nordisk (Quanto USD)

Title

CH1492032151 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032151

Fälligkeitstag

03.02.2027

Basiswert

A.P. Moller Maersk A/S, Danske Bank A/S, Novo Nordisk A/S - CH1492032151

17.93% p.a. Barrier Reverse Convertible on Broadcom, Meta Platforms, NVIDIA

Title

CH1532242133 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242133

Fälligkeitstag

15.03.2027

Basiswert

Broadcom Inc., NVIDIA Corp., Meta Platforms Inc. - CH1532242133

17.95% p.a. Autocallable Barrier Reverse Convertible on Royal Caribbean Cruises, ServiceNow

Title

CH1548133029 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133029

Fälligkeitstag

15.05.2028

Basiswert

Royal Caribbean Cruises Ltd., ServiceNow Inc - CH1548133029

17.99% (17.99% p.a.) Barrier Reverse Convertible on MTU Aero Engines, Rheinmetall

Title

CH1548134019 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134019

Fälligkeitstag

25.05.2027

Basiswert

MTU Aero Engines Holdings AG, Rheinmetall AG - CH1548134019

18.00% p.a. Autocallable Barrier Reverse Convertible on Applovin Corp, Microsoft, Netflix

Title

CH1532241887 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241887

Fälligkeitstag

13.03.2028

Basiswert

Microsoft Corp., Netflix Inc., Applovin Corporation - CH1532241887

18.00% p.a. Callable Barrier Reverse Convertible on ASML, Heidelberg Materials, SAP

Title

CH1532246407 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246407

Fälligkeitstag

07.04.2027

Basiswert

SAP SE, ASML Holding NV, Heidelberg Materials AG - CH1532246407

18.11% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548138002 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138002

Fälligkeitstag

15.06.2027

Basiswert

Micron Technology Inc., NVIDIA Corp. - CH1548138002

18.12% p.a. Callable Barrier Reverse Convertible on Diageo, Lanxess, Pernod-Ricard (Quanto EUR)

Title

CH1532239717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239717

Fälligkeitstag

02.06.2027

Basiswert

Lanxess AG, Pernod-Ricard SA, Diageo PLC - CH1532239717

18.15% p.a. Autocallable Barrier Reverse Convertible on Alstom, Sanofi, Symrise, Telefonica

Title

CH1548133854 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133854

Fälligkeitstag

23.08.2027

Basiswert

Alstom SA, Symrise AG, Telefonica SA, Sanofi SA - CH1548133854

18.16% p.a. Autocallable Barrier Reverse Convertible on BKW, E.ON, Enel, Siemens Energy (Quanto CHF)

Title

CH1532243727 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243727

Fälligkeitstag

23.03.2027

Basiswert

Enel SpA, E.ON SE, Siemens Energy AG, BKW AG - CH1532243727

18.20% p.a. Autocallable Barrier Reverse Convertible on BELIMO Holding, Comet, Huber + Suhner

Title

CH1548146237 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146237

Fälligkeitstag

02.08.2027

Basiswert

BELIMO Holding AG, Comet Holding AG, Huber + Suhner AG - CH1548146237

18.20% p.a. Autocallable Barrier Reverse Convertible on Lufthansa, Rheinmetall, SAP (Quanto CHF)

Title

CH1548146179 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146179

Fälligkeitstag

02.08.2027

Basiswert

Rheinmetall AG, SAP SE, Deutsche Lufthansa AG - CH1548146179

18.20% p.a. Autocallable Reverse Convertible on Palantir, Vertiv Holdings Co

Title

CH1548137046 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137046

Fälligkeitstag

10.06.2027

Basiswert

Palantir Technologies Inc., Vertiv Holdings Co - CH1548137046

18.26% (9.13% p.a.) Reverse Convertible on Nestlé, Stadler Rail, Swiss Re

Title

CH1492035592 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035592

Fälligkeitstag

18.02.2028

Basiswert

Swiss Re AG, Nestlé SA, Stadler Rail AG - CH1492035592

18.28% p.a. Callable Barrier Reverse Convertible on ENGIE, Schneider Electric, Siemens Energy (Quanto CHF)

Title

CH1548133193 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133193

Fälligkeitstag

19.05.2027

Basiswert

ENGIE SA, Siemens Energy AG, Schneider Electric SE - CH1548133193

18.31% (18.31% p.a.) Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1492028902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028902

Fälligkeitstag

19.01.2027

Basiswert

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1492028902

18.32% (18.32% p.a.) Barrier Reverse Convertible on Rheinmetall, Siemens Energy, TotalEnergies

Title

CH1476910141 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910141

Fälligkeitstag

30.09.2026

Basiswert

Rheinmetall AG, Siemens Energy AG, TotalEnergies SE - CH1476910141

18.32% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Crédit Agricole, Monte dei Paschi di Siena

Title

CH1532237885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237885

Fälligkeitstag

28.12.2026

Basiswert

ABN AMRO Bank N.V, Crédit Agricole SA, Banco Santander SA, Banca Monte dei Paschi di Siena SpA - CH1532237885

18.34% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548132674 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132674

Fälligkeitstag

15.02.2027

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Roche Holding AG - CH1548132674

18.36% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1548142780 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142780

Fälligkeitstag

14.07.2027

Basiswert

Advanced Micro Devices Inc., Shopify Inc - CH1548142780

18.38% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548135628 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135628

Fälligkeitstag

08.03.2027

Basiswert

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Roche Holding AG - CH1548135628

18.45% (18.50% p.a.) Barrier Reverse Convertible on AMD, Microsoft, NVIDIA

Title

CH1476906214 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906214

Fälligkeitstag

02.09.2026

Basiswert

NVIDIA Corp., Microsoft Corp., Advanced Micro Devices Inc. - CH1476906214

18.52% (18.52% p.a.) Barrier Reverse Convertible on Dassault, ENGIE, Heidelberg Materials, Safran

Title

CH1532247090 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247090

Fälligkeitstag

15.04.2027

Basiswert

ENGIE SA, Heidelberg Materials AG, Dassault Systèmes S.A., Safran SA - CH1532247090

18.52% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532238222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238222

Fälligkeitstag

26.02.2027

Basiswert

Las Vegas Sands Corp., Porsche Automobil Holding SE, ThyssenKrupp AG - CH1532238222

18.52% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532238321 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238321

Fälligkeitstag

26.02.2027

Basiswert

ThyssenKrupp AG, Porsche Automobil Holding SE, Las Vegas Sands Corp. - CH1532238321

18.60% (9.27% p.a.) Reverse Convertible on Nestlé, Straumann, Swiss Re

Title

CH1548147300 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147300

Fälligkeitstag

08.08.2028

Basiswert

Straumann Holding AG, Swiss Re AG, Nestlé SA - CH1548147300

18.60% p.a. Barrier Reverse Convertible on Skyworks Solutions Inc. (Quanto CHF)

Title

CH1596851977 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851977

Fälligkeitstag

26.02.2027

Basiswert

Skyworks Solutions Inc.

18.61% (18.46% p.a.) Barrier Reverse Convertible on Boeing, Lockheed Martin, Northrop Grumman, RTX Corporation

Title

CH1532244766 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244766

Fälligkeitstag

30.03.2027

Basiswert

RTX Corporation, Lockheed Martin Corp, Northrop Grumman Corp, Boeing Company - CH1532244766

18.63% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548148027 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148027

Fälligkeitstag

12.08.2027

Basiswert

Micron Technology Inc.

18.65% p.a. Autocallable Barrier Reverse Convertible on Intel, Nordea Bank, Palantir (Quanto EUR)

Title

CH1532238941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238941

Fälligkeitstag

02.03.2027

Basiswert

Intel Corp., Palantir Technologies Inc., Nordea Bank Abp - CH1532238941

18.67% (44.52% p.a.) Reverse Convertible on Lumentum Holdings, Marvell Technology , Micron Technology

Title

CH1548145437 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145437

Fälligkeitstag

29.12.2026

Basiswert

Micron Technology Inc., Lumentum Holdings Inc., Marvell Technology Group Ltd. - CH1548145437

18.68% p.a. Autocallable Barrier Reverse Convertible on ABB, Siemens, Siemens Energy (Quanto EUR)

Title

CH1548132328 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132328

Fälligkeitstag

14.05.2027

Basiswert

ABB Ltd, Siemens AG, Siemens Energy AG - CH1548132328

18.70% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1532245995 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245995

Fälligkeitstag

05.04.2027

Basiswert

Palantir Technologies Inc.

18.72% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548142806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142806

Fälligkeitstag

14.07.2027

Basiswert

Micron Technology Inc., NVIDIA Corp. - CH1548142806

18.72% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1548129902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129902

Fälligkeitstag

01.02.2027

Basiswert

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, The Swatch Group AG, Roche Holding AG - CH1548129902

18.73% p.a. Autocallable Reverse Convertible on ASML, Fortinet, Qualcomm

Title

CH1548139760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139760

Fälligkeitstag

25.06.2027

Basiswert

ASML Holding NV, Fortinet Inc., Qualcomm Inc. - CH1548139760

18.77% p.a. Autocallable Reverse Convertible on Amazon.com, Meta Platforms

Title

CH1548145213 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145213

Fälligkeitstag

28.01.2027

Basiswert

Meta Platforms Inc., Amazon.com Inc. - CH1548145213

18.80% p.a. Autocallable Barrier Reverse Convertible on Boeing, Novo Nordisk, Rheinmetall (Quanto USD)

Title

CH1492029744 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029744

Fälligkeitstag

25.01.2027

Basiswert

Boeing Company, Rheinmetall AG, Novo Nordisk A/S - CH1492029744

18.81% p.a. Reverse Convertible on Salesforce, ServiceNow

Title

CH1548134480 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134480

Fälligkeitstag

27.05.2027

Basiswert

Salesforce, Inc., ServiceNow Inc - CH1548134480

18.90% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, RWE, Schneider Electric

Title

CH1532245490 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245490

Fälligkeitstag

06.04.2027

Basiswert

RWE AG, Deutsche Telekom AG, Schneider Electric SE - CH1532245490

18.92% (18.92% p.a.) Barrier Reverse Convertible on Caterpillar, Newmont, Palo Alto Networks

Title

CH1548127237 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127237

Fälligkeitstag

21.04.2027

Basiswert

Newmont Corp., Palo Alto Networks, Inc., Caterpillar Inc. - CH1548127237

18.93% p.a. Callable Barrier Reverse Convertible on E.ON, RWE, Siemens Energy (Quanto CHF)

Title

CH1548137004 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137004

Fälligkeitstag

10.06.2027

Basiswert

E.ON SE, RWE AG, Siemens Energy AG - CH1548137004

18.98% p.a. Autocallable Barrier Reverse Convertible on Dassault, Nike, Salesforce (Quanto USD)

Title

CH1548129563 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129563

Fälligkeitstag

30.04.2027

Basiswert

Salesforce, Inc., Nike Inc., Dassault Systèmes S.A. - CH1548129563

18.98% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548147920 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147920

Fälligkeitstag

12.05.2027

Basiswert

Nestlé SA, UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Roche Holding AG - CH1548147920

19.01% (22.36% p.a.) Barrier Reverse Convertible on ASML, BMW, Heidelberg Materials, Siemens Energy

Title

CH1492036517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036517

Fälligkeitstag

29.12.2026

Basiswert

Siemens Energy AG, Bayerische Motoren Werke AG, Heidelberg Materials AG, ASML Holding NV - CH1492036517

19.03% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Ferrari (Quanto EUR)

Title

CH1548126171 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126171

Fälligkeitstag

16.04.2027

Basiswert

Ferrari N.V., EssilorLuxottica SA - CH1548126171

19.03% p.a. Autocallable Reverse Convertible on Intel, Tesla

Title

CH1548137053 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137053

Fälligkeitstag

10.06.2027

Basiswert

Intel Corp., Tesla Inc. - CH1548137053

19.05% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548132385 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132385

Fälligkeitstag

17.11.2026

Basiswert

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548132385

19.09% p.a. Autocallable Reverse Convertible on Chevron, Transocean

Title

CH1548126908 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126908

Fälligkeitstag

20.10.2026

Basiswert

Chevron Corp., Transocean Ltd. - CH1548126908

19.10% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto USD)

Title

CH1492032896 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032896

Fälligkeitstag

08.02.2027

Basiswert

Bayerische Motoren Werke AG, Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The - CH1492032896

19.11% p.a. Autocallable Reverse Convertible on Intel, Marvell Technology , Oracle

Title

CH1548128573 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128573

Fälligkeitstag

28.04.2027

Basiswert

Intel Corp., Marvell Technology Group Ltd., Oracle Corp. - CH1548128573

19.12% p.a. Barrier Reverse Convertible on NIO Inc. (Quanto CHF)

Title

CH1548141063 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141063

Fälligkeitstag

31.12.2026

Basiswert

NIO Inc.

19.13% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Corning, Meta Platforms

Title

CH1492033324 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033324

Fälligkeitstag

09.02.2027

Basiswert

Alphabet, Inc., Corning Inc., Meta Platforms Inc. - CH1492033324

19.15% (19.00% p.a.) Reverse Convertible on AMD, Applied Materials, Intel, Tesla

Title

CH1548138671 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138671

Fälligkeitstag

21.06.2027

Basiswert

Tesla Inc., Applied Materials Inc., Advanced Micro Devices Inc., Intel Corp. - CH1548138671

19.15% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale

Title

CH1476907139 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907139

Fälligkeitstag

10.09.2026

Basiswert

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907139

19.15% p.a. Autocallable Reverse Convertible on GE Vernova Inc.

Title

CH1548142863 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142863

Fälligkeitstag

14.01.2027

Basiswert

GE Vernova Inc.

19.16% (15.36% p.a.) Barrier Reverse Convertible on Geberit, Inficon, VAT

Title

CH1548145841 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145841

Fälligkeitstag

29.10.2027

Basiswert

Geberit AG, Inficon Holding AG, VAT Group AG - CH1548145841

19.22% p.a. Autocallable Reverse Convertible on Intel, Tesla (Quanto GBP)

Title

CH1548138911 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138911

Fälligkeitstag

22.06.2027

Basiswert

Tesla Inc., Intel Corp. - CH1548138911

19.26% p.a. Autocallable Barrier Reverse Convertible on Arista Networks, Cloudflare Inc, Zscaler

Title

CH1548136485 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136485

Fälligkeitstag

08.06.2028

Basiswert

Arista Networks, Inc., Cloudflare Inc, Zscaler Inc. - CH1548136485

19.28% (19.28% p.a.) Reverse Convertible on Alphabet, Intel, Palantir

Title

CH1548149009 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149009

Fälligkeitstag

17.08.2027

Basiswert

Intel Corp., Palantir Technologies Inc., Alphabet, Inc. - CH1548149009

19.28% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., GE Vernova

Title

CH1548143903 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143903

Fälligkeitstag

21.06.2027

Basiswert

GE Vernova Inc., Freeport-McMoRan Inc., Eli Lilly & Co. - CH1548143903

19.32% p.a. Barrier Reverse Convertible on ASML, AXA, Banco Santander, BBVA, Enel

Title

CH1492020222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020222

Fälligkeitstag

11.11.2026

Basiswert

AXA SA, ASML Holding NV, Enel SpA, Banco Bilbao Vizcaya Argentaria SA, Banco Santander SA - CH1492020222

19.35% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1548136147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136147

Fälligkeitstag

07.06.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1548136147

19.38% p.a. Reverse Convertible on Arista Networks, Micron Technology

Title

CH1492035733 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035733

Fälligkeitstag

19.02.2027

Basiswert

Micron Technology Inc., Arista Networks, Inc. - CH1492035733

19.43% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto EUR)

Title

CH1532240343 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240343

Fälligkeitstag

08.03.2027

Basiswert

BAE Systems PLC, Rheinmetall AG, Leonardo S.p.a. - CH1532240343

19.43% p.a. Reverse Convertible on NVIDIA, SK Hynix, Taiwan Semiconductor Manufacturing

Title

CH1548149116 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149116

Fälligkeitstag

18.08.2027

Basiswert

SK Hynix Inc., Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp. - CH1548149116

19.44% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, Saab AB (Quanto EUR)

Title

CH1548129100 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129100

Fälligkeitstag

29.04.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG, Saab AB - CH1548129100

19.47% (15.57% p.a.) Barrier Reverse Convertible on Commerzbank, Intesa Sanpaolo, Société Générale

Title

CH1548142632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142632

Fälligkeitstag

13.10.2027

Basiswert

Commerzbank AG, Intesa Sanpaolo SpA, Société Générale - CH1548142632

19.47% p.a. Callable Barrier Reverse Convertible on Byd Co, Xiaomi Corporation, XPeng (Quanto CHF)

Title

CH1548137236 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137236

Fälligkeitstag

14.06.2027

Basiswert

XPeng Inc., Xiaomi Corporation, BYD Company Limited - CH1548137236

19.48% (25.98% p.a.) Reverse Convertible on Infineon, Rheinmetall, Siemens Energy

Title

CH1532242703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242703

Fälligkeitstag

17.12.2026

Basiswert

Siemens Energy AG, Rheinmetall AG, Infineon Technologies AG - CH1532242703

19.50% p.a. Barrier Reverse Convertible on ASML, Infineon, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548137178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137178

Fälligkeitstag

13.10.2026

Basiswert

Infineon Technologies AG, ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548137178

19.52% (26.03% p.a.) Reverse Convertible on Infineon, Rheinmetall, Siemens Energy

Title

CH1532242588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242588

Fälligkeitstag

17.12.2026

Basiswert

Infineon Technologies AG, Rheinmetall AG, Siemens Energy AG - CH1532242588

19.52% p.a. Reverse Convertible on CoreWeave, Microsoft, NuScale Power

Title

CH1492021527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021527

Fälligkeitstag

19.11.2026

Basiswert

CoreWeave Inc., NuScale Power Corp., Microsoft Corp. - CH1492021527

19.68% p.a. Autocallable Reverse Convertible on AMD, Arm Holding plc

Title

CH1548137798 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137798

Fälligkeitstag

15.12.2027

Basiswert

Arm Holding plc, Advanced Micro Devices Inc. - CH1548137798

19.78% p.a. Barrier Reverse Convertible on Akamai Technologies Inc (Quanto CHF)

Title

CH1548130074 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130074

Fälligkeitstag

02.11.2026

Basiswert

Akamai Technologies Inc

19.87% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Novo Nordisk, SAP (Quanto EUR)

Title

CH1492026682 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026682

Fälligkeitstag

04.01.2027

Basiswert

SAP SE, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1492026682

19.90% p.a. Autocallable Barrier Reverse Convertible on Cigna, Hewlett-Packard Enterprise, Nike

Title

CH1476908400 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908400

Fälligkeitstag

18.09.2026

Basiswert

Nike Inc., Hewlett-Packard Enterprise Company, Cigna Corporation - CH1476908400

19.91% (19.91% p.a.) Barrier Reverse Convertible on Freeport-McMoRan Inc., GE Vernova, Microsoft

Title

CH1548150460 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150460

Fälligkeitstag

24.08.2027

Basiswert

Microsoft Corp., GE Vernova Inc., Freeport-McMoRan Inc. - CH1548150460

19.94% (34.19% p.a.) Barrier Reverse Convertible on Boeing, Intel, NVIDIA, Southern Copper Corp

Title

CH1492036525 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036525

Fälligkeitstag

24.09.2026

Basiswert

Intel Corp., Southern Copper Corp, NVIDIA Corp., Boeing Company - CH1492036525

19.99% p.a. Callable Barrier Reverse Convertible on ALSO Holding, ARYZTA, Logitech, UBS Group

Title

CH1548147896 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147896

Fälligkeitstag

11.02.2027

Basiswert

Logitech International SA, ALSO Holding AG, UBS Group AG, ARYZTA AG - CH1548147896

1L Capital Serenity Index Tracker

Title

A4AJXY - Compartment 843

Kategorie

Instifolio - Alternative

ISIN

DE000A4AJXY3

Basiswert

1L Capital Serenity Index

1OAK STREAM Index Tracker Certificate

Title

CHA0C2 - Compartment 1019

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C29

Basiswert

10AK Stream Index

2,0% Immobilienanleihe Deutschland (2025)

Title

A3KZPA - Compartment 321

Kategorie

Loan linked - Corporate

ISIN

DE000A3KZPA6

Fälligkeitstag

05.12.2028

Basiswert

Empira Real Estate Loan

2.04% (4.09% p.a.) Reverse Convertible on Sonova Holding AG

Title

CH1532242513 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242513

Fälligkeitstag

17.09.2026

Basiswert

Sonova Holding AG

2.04% (4.11% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Holcim, Sika (Quanto CHF)

Title

CH1548140925 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140925

Fälligkeitstag

29.12.2026

Basiswert

Holcim Ltd, Heidelberg Materials AG, Sika AG - CH1548140925

2.06% (12.19% p.a.) Reverse Convertible on Chevron, Exxon Mobil

Title

CH1548147946 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147946

Fälligkeitstag

13.10.2026

Basiswert

Exxon Mobil Holdings Corp., Chevron Corp. - CH1548147946

2.17% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life, Zurich Insurance

Title

CH1532243891 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243891

Fälligkeitstag

23.03.2027

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532243891

2.18% (4.39% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548140933 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140933

Fälligkeitstag

29.12.2026

Basiswert

Roche Holding AG, Novartis AG, Sandoz Group AG - CH1548140933

2.18% (5.24% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1548142731 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142731

Fälligkeitstag

14.12.2026

Basiswert

Sunrise Communications AG

2.23% (6.65% p.a.) Reverse Convertible on Barrick Mining Corporation

Title

CH1548133631 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133631

Fälligkeitstag

21.09.2026

Basiswert

Barrick Mining Corporation

2.24% p.a. Barrier Reverse Convertible on Sandoz Group, Swisscom

Title

CH1492026443 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026443

Fälligkeitstag

29.12.2026

Basiswert

Sandoz Group AG, Swisscom AG - CH1492026443

2.26% (4.51% p.a.) Reverse Convertible on EssilorLuxottica SA

Title

CH1532243479 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243479

Fälligkeitstag

21.09.2026

Basiswert

EssilorLuxottica SA

2.31% p.a. Callable Barrier Reverse Convertible on Air Liquide SA

Title

CH1532240087 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240087

Fälligkeitstag

05.03.2027

Basiswert

Air Liquide SA

2.32% (9.31% p.a.) Reverse Convertible on argenx SE

Title

CH1548143978 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143978

Fälligkeitstag

20.10.2026

Basiswert

argenx SE

2.35% (5.66% p.a.) Reverse Convertible on Nestlé, SGS, Swiss Life

Title

CH1548145817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145817

Fälligkeitstag

31.12.2026

Basiswert

Nestlé SA, SGS SA, Swiss Life Holding AG - CH1548145817

2.35% (9.01% p.a.) Barrier Reverse Convertible on Broadcom, Robinhood Markets (Quanto GBP)

Title

CH1548135917 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135917

Fälligkeitstag

08.09.2026

Basiswert

Robinhood Markets Inc., Broadcom Inc. - CH1548135917

2.36% (9.23% p.a.) Barrier Reverse Convertible on Barry Callebaut, Lindt & Sprüngli, Nestlé

Title

CH1548141436 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141436

Fälligkeitstag

05.10.2026

Basiswert

Lindt & Sprüngli AG, Barry Callebaut AG, Nestlé SA - CH1548141436

2.38% p.a. Barrier Reverse Convertible on Geberit, Swiss Re, Zurich Insurance

Title

CH1492026450 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026450

Fälligkeitstag

29.12.2026

Basiswert

Geberit AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492026450

2.39% (4.79% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1532240608 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240608

Fälligkeitstag

09.09.2026

Basiswert

Münchener Rückversicherungs AG

2.42% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492026435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026435

Fälligkeitstag

29.12.2026

Basiswert

Roche Holding AG, Nestlé SA, Novartis AG - CH1492026435

2.51% (5.02% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1548128912 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128912

Fälligkeitstag

29.10.2026

Basiswert

Münchener Rückversicherungs AG

2.58% (10.10% p.a.) Reverse Convertible on Heidelberg Materials AG

Title

CH1548149900 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149900

Fälligkeitstag

23.11.2026

Basiswert

Heidelberg Materials AG

2.59% (3.46% p.a.) Reverse Convertible on Alcon, Logitech

Title

CH1492035337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035337

Fälligkeitstag

17.11.2026

Basiswert

Logitech International SA, Alcon Inc. - CH1492035337

2.60% (10.29% p.a.) Reverse Convertible on SoftBank Group Corp. (Quanto USD)

Title

CH1548148191 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148191

Fälligkeitstag

13.11.2026

Basiswert

SoftBank Group Corp.

2.61% (5.22% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1548127492 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127492

Fälligkeitstag

22.10.2026

Basiswert

Münchener Rückversicherungs AG

2.62% (5.27% p.a.) Reverse Convertible on Barry Callebaut AG

Title

CH1532246191 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246191

Fälligkeitstag

07.10.2026

Basiswert

Barry Callebaut AG

2.62% (6.29% p.a.) Reverse Convertible on Sika AG

Title

CH1548142723 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142723

Fälligkeitstag

14.12.2026

Basiswert

Sika AG

2.63% (5.27% p.a.) Barrier Reverse Convertible on Allianz, Danone, Iberdrola

Title

CH1548129613 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129613

Fälligkeitstag

30.10.2026

Basiswert

Allianz SE, Iberdrola SA, Danone SA - CH1548129613

2.64% (5.28% p.a.) Reverse Convertible on Vonovia SE

Title

CH1548127765 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127765

Fälligkeitstag

23.10.2026

Basiswert

Vonovia SE

2.67% (10.34% p.a.) Barrier Reverse Convertible on Prosus, Rheinmetall, RWE (Quanto GBP)

Title

CH1548135941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135941

Fälligkeitstag

07.09.2026

Basiswert

RWE AG, Rheinmetall AG, Prosus NV - CH1548135941

2.67% (5.34% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1548149264 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149264

Fälligkeitstag

18.02.2027

Basiswert

Münchener Rückversicherungs AG

2.67% p.a. Callable Reverse Convertible on Alcon, Richemont, Zurich Insurance

Title

CH1548149090 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149090

Fälligkeitstag

18.08.2027

Basiswert

Zurich Insurance Group Ltd, Alcon Inc., Compagnie Financière Richemont SA - CH1548149090

2.69% (8.01% p.a.) Reverse Convertible on Adecco, Kuehne + Nagel, Logitech

Title

CH1548145759 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145759

Fälligkeitstag

30.11.2026

Basiswert

Adecco Group AG, Kuehne + Nagel International AG, Logitech International SA - CH1548145759

2.70% (5.44% p.a.) Barrier Reverse Convertible on Lonza, Novartis, Roche

Title

CH1548134621 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134621

Fälligkeitstag

27.11.2026

Basiswert

Lonza Group AG, Roche Holding AG, Novartis AG - CH1548134621

2.72% (10.54% p.a.) Reverse Convertible on Norwegian Cruise Line Holdings Ltd.

Title

CH1596851936 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851936

Fälligkeitstag

01.12.2026

Basiswert

Norwegian Cruise Line Holdings Ltd.

2.76% (5.49% p.a.) Barrier Reverse Convertible on Alcon, Straumann

Title

CH1548133813 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133813

Fälligkeitstag

23.11.2026

Basiswert

Straumann Holding AG, Alcon Inc. - CH1548133813

2.84% (11.49% p.a.) Reverse Convertible on ThyssenKrupp AG (Quanto USD)

Title

CH1548135214 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135214

Fälligkeitstag

31.08.2026

Basiswert

ThyssenKrupp AG

2.85% (2.86% p.a.) Barrier Reverse Convertible on Givaudan, Sika, Swiss Life

Title

CH1548135784 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135784

Fälligkeitstag

04.06.2027

Basiswert

Swiss Life Holding AG, Sika AG, Givaudan SA - CH1548135784

2.85% (8.34% p.a.) Reverse Convertible on EssilorLuxottica SA (Quanto CHF)

Title

CH1548150890 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150890

Fälligkeitstag

29.12.2026

Basiswert

EssilorLuxottica SA

2.86% (11.46% p.a.) Barrier Reverse Convertible on Merck, Tesla

Title

CH1548142327 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142327

Fälligkeitstag

09.10.2026

Basiswert

Merck & Co. Inc., Tesla Inc. - CH1548142327

2.87% (5.74% p.a.) Reverse Convertible on ALSO Holding AG

Title

CH1548149462 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149462

Fälligkeitstag

19.02.2027

Basiswert

ALSO Holding AG

2.88% (11.54% p.a.) Reverse Convertible on Rio Tinto PLC

Title

CH1548147698 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147698

Fälligkeitstag

10.11.2026

Basiswert

Rio Tinto PLC

2.90% (27.53% p.a.) Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548150478 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150478

Fälligkeitstag

29.09.2026

Basiswert

Advanced Micro Devices Inc.

2.90% (8.70% p.a.) Reverse Convertible on Elevance Health, NVIDIA, Tesla (Quanto CHF)

Title

CH1548150114 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150114

Fälligkeitstag

21.12.2026

Basiswert

Elevance Health Inc., NVIDIA Corp., Tesla Inc. - CH1548150114

2.90% (8.71% p.a.) Reverse Convertible on Micron Technology Inc.

Title

CH1548149199 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149199

Fälligkeitstag

18.12.2026

Basiswert

Micron Technology Inc.

2.91% (11.16% p.a.) Barrier Reverse Convertible on AMD, Palantir (Quanto GBP)

Title

CH1548135925 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135925

Fälligkeitstag

08.09.2026

Basiswert

Advanced Micro Devices Inc., Palantir Technologies Inc. - CH1548135925

2.91% (11.67% p.a.) Reverse Convertible on Nestlé SA

Title

CH1548146518 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146518

Fälligkeitstag

04.11.2026

Basiswert

Nestlé SA

2.93% (5.77% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1548140032 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140032

Fälligkeitstag

28.12.2026

Basiswert

ASML Holding NV

2.95% (11.82% p.a.) Reverse Convertible on Eli Lilly & Co.

Title

CH1548143986 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143986

Fälligkeitstag

20.10.2026

Basiswert

Eli Lilly & Co.

2.96% p.a. Reverse Convertible on Allianz SE

Title

CH1476908814 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476908814

Fälligkeitstag

07.11.2025

Basiswert

Allianz SE

2.97% (12.04% p.a.) Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1548139398 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139398

Fälligkeitstag

23.09.2026

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd

2.98% (5.93% p.a.) Barrier Reverse Convertible on SGS, Sonova, Swiss Re

Title

CH1548133821 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133821

Fälligkeitstag

23.11.2026

Basiswert

Swiss Re AG, SGS SA, Sonova Holding AG - CH1548133821

2.99% (2.97% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sunrise Communications AG, Swiss Re

Title

CH1492033043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033043

Fälligkeitstag

08.02.2027

Basiswert

Swiss Re AG, Sunrise Communications AG, Kuehne + Nagel International AG - CH1492033043

20.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk, Ørsted, Vestas (Quanto EUR)

Title

CH1548145890 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145890

Fälligkeitstag

30.07.2027

Basiswert

Ørsted A/S, Novo Nordisk A/S, Vestas Wind Systems A/S - CH1548145890

20.00% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548136881 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136881

Fälligkeitstag

09.12.2026

Basiswert

Micron Technology Inc.

20.00% p.a. Autocallable Reverse Convertible on Micron Technology, Taiwan Semiconductor Manufacturing

Title

CH1548134530 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134530

Fälligkeitstag

27.05.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Micron Technology Inc. - CH1548134530

20.00% p.a. Callable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Renault, Stellantis, Volkswagen

Title

CH1492025932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025932

Fälligkeitstag

24.12.2026

Basiswert

Renault SA, Stellantis N.V., Dr. Ing. H.c. F. Porsche AG, Volkswagen AG - CH1492025932

20.04% p.a. Barrier Reverse Convertible on ASML, Banco Santander, Siemens Energy

Title

CH1476912527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912527

Fälligkeitstag

16.10.2026

Basiswert

ASML Holding NV, Siemens Energy AG, Banco Santander SA - CH1476912527

20.06% (10.03% p.a.) Reverse Convertible on Straumann, Tecan

Title

CH1492035600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035600

Fälligkeitstag

18.02.2028

Basiswert

Tecan Group Ltd., Straumann Holding AG - CH1492035600

20.07% p.a. Callable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1532240665 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240665

Fälligkeitstag

09.03.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1532240665

20.08% p.a. Autocallable Barrier Reverse Convertible on Adobe, Palantir, Salesforce (Quanto EUR)

Title

CH1532238636 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238636

Fälligkeitstag

01.03.2027

Basiswert

Adobe Systems Inc., Salesforce, Inc., Palantir Technologies Inc. - CH1532238636

20.08% p.a. Barrier Reverse Convertible on Charter Communications Inc. (Quanto CHF)

Title

CH1596852025 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596852025

Fälligkeitstag

26.02.2027

Basiswert

Charter Communications Inc.

20.10% p.a. Autocallable Reverse Convertible on AMD, Arm Holding plc, Netflix, NVIDIA, SoFi Technologies

Title

CH1492034330 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034330

Fälligkeitstag

14.02.2028

Basiswert

Advanced Micro Devices Inc., Arm Holding plc, Netflix Inc., NVIDIA Corp., SoFi Technologies Inc. - CH1492034330

20.10% p.a. Barrier Reverse Convertible on Broadcom, Cerebras Systems Inc (Quanto CHF)

Title

CH1548145098 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145098

Fälligkeitstag

27.07.2027

Basiswert

Broadcom Inc., Cerebras Systems Inc - CH1548145098

20.10% p.a. Callable Barrier Reverse Convertible on ASML, Bayer, Siemens Energy

Title

CH1548129795 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129795

Fälligkeitstag

01.02.2027

Basiswert

Bayer AG, Siemens Energy AG, ASML Holding NV - CH1548129795

20.14% p.a. Callable Barrier Reverse Convertible on ASML, Bayer, Siemens Energy

Title

CH1548129852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129852

Fälligkeitstag

01.02.2027

Basiswert

Bayer AG, Siemens Energy AG, ASML Holding NV - CH1548129852

20.21% p.a. Autocallable Reverse Convertible on Lam Research, Microchip Technology, Micron Technology

Title

CH1548138267 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138267

Fälligkeitstag

17.12.2026

Basiswert

Micron Technology Inc., Lam Research Corp., Microchip Technology Inc. - CH1548138267

20.25% p.a. Autocallable Reverse Convertible on Exxon Mobil, First Solar

Title

CH1548140164 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140164

Fälligkeitstag

30.12.2026

Basiswert

First Solar Inc., Exxon Mobil Corp. - CH1548140164

20.34% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto USD)

Title

CH1476907162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907162

Fälligkeitstag

11.09.2026

Basiswert

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907162

20.35% p.a. Autocallable Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548150593 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150593

Fälligkeitstag

25.05.2027

Basiswert

Marvell Technology Group Ltd.

20.36% p.a. Barrier Reverse Convertible on Alcoa Corp., Oracle, Rheinmetall (Quanto USD)

Title

CH1548147458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147458

Fälligkeitstag

07.08.2028

Basiswert

Oracle Corp., Rheinmetall AG, Alcoa Corporation - CH1548147458

20.37% (20.20% p.a.) Barrier Reverse Convertible on Amazon.com, Qualcomm, United Airlines Holdings

Title

CH1476907477 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907477

Fälligkeitstag

14.09.2026

Basiswert

Amazon.com Inc., Qualcomm Inc., United Airlines Holdings Inc. - CH1476907477

20.37% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto GBP)

Title

CH1476907154 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907154

Fälligkeitstag

10.09.2026

Basiswert

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907154

20.47% p.a. Autocallable Reverse Convertible on Micron Technology, Softbank (Quanto USD)

Title

CH1548143705 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143705

Fälligkeitstag

20.07.2027

Basiswert

SoftBank Group Corp., Micron Technology Inc. - CH1548143705

20.50% (16.40% p.a.) Barrier Reverse Convertible on Adyen , Commerzbank, UniCredit

Title

CH1492030999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030999

Fälligkeitstag

29.04.2027

Basiswert

Adyen N.V., Commerzbank AG, UniCredit SpA - CH1492030999

20.52% p.a. Barrier Reverse Convertible on Carvana Co. (Quanto CHF)

Title

CH1548141048 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141048

Fälligkeitstag

31.12.2026

Basiswert

Carvana Co.

20.53% p.a. Reverse Convertible on SK Hynix Inc.

Title

CH1548144836 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144836

Fälligkeitstag

26.07.2027

Basiswert

SK Hynix Inc.

20.54% p.a. Autocallable Barrier Reverse Convertible on AMD, Micron Technology, Oracle, Prysmian (Quanto CHF)

Title

CH1476908798 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908798

Fälligkeitstag

22.09.2026

Basiswert

Advanced Micro Devices Inc., Micron Technology Inc., Prysmian SpA, Oracle Corp. - CH1476908798

20.60% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, MercadoLibre (Quanto EUR)

Title

CH1492028811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028811

Fälligkeitstag

20.01.2027

Basiswert

Alibaba Group Holding Limited, Amazon.com Inc., MercadoLibre Inc. - CH1492028811

20.70% (20.58% p.a.) Reverse Convertible on SK Hynix Inc. (Quanto GBP)

Title

CH1548144828 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144828

Fälligkeitstag

26.07.2027

Basiswert

SK Hynix Inc.

20.73% p.a. Autocallable Barrier Reverse Convertible on Cloudflare Inc, Crowdstrike Holdings, Fortinet, Palo Alto Networks (Quanto CHF)

Title

CH1548145940 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145940

Fälligkeitstag

30.07.2027

Basiswert

Cloudflare Inc, Crowdstrike Holdings Inc., Fortinet Inc., Palo Alto Networks, Inc. - CH1548145940

20.89% p.a. Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto USD)

Title

CH1532244964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244964

Fälligkeitstag

02.04.2027

Basiswert

Oracle Corp., SAP SE, Microsoft Corp. - CH1532244964

20.89% p.a. Callable Barrier Reverse Convertible on Adobe, Alphabet, Meta Platforms, Microsoft

Title

CH1548149306 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149306

Fälligkeitstag

19.02.2027

Basiswert

Adobe Systems Inc., Microsoft Corp., Meta Platforms Inc., Alphabet, Inc. - CH1548149306

20.91% p.a. Reverse Convertible on Axon Enterprise, Marvell Technology (Quanto GBP)

Title

CH1548137715 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137715

Fälligkeitstag

14.06.2027

Basiswert

Axon Enterprise Inc., Marvell Technology Group Ltd. - CH1548137715

20.92% p.a. Barrier Reverse Convertible on AMD, Arista Networks, NVIDIA

Title

CH1492016691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016691

Fälligkeitstag

22.10.2026

Basiswert

NVIDIA Corp., Arista Networks, Inc., Advanced Micro Devices Inc. - CH1492016691

20.94% p.a. Autocallable Barrier Reverse Convertible on Netflix, Robinhood Markets, UnitedHealth

Title

CH1492028910 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028910

Fälligkeitstag

20.01.2027

Basiswert

UnitedHealth Group Inc., Netflix Inc., Robinhood Markets Inc. - CH1492028910

2018(49) EUR Partizipationszertifikate auf den TradeCom FondsTrader

Title

A2MXZQ - Compartment 7

Kategorie

Basket linked - AIF

ISIN

DE000A2MXZQ4

Basiswert

TradeCom FondsTrader

21.00% p.a. Autocallable Barrier Reverse Convertible on Lufthansa, Rheinmetall, SAP

Title

CH1548146187 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146187

Fälligkeitstag

02.08.2027

Basiswert

Rheinmetall AG, SAP SE, Deutsche Lufthansa AG - CH1548146187

21.00% p.a. Autocallable Multi FCN on SCREEN Holdings, Softbank, Taiyo Yuden

Title

CH1548150809 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150809

Fälligkeitstag

04.03.2027

Basiswert

SoftBank Group Corp., SCREEN Holdings Co Ltd, Taiyo Yuden Co. Ltd. - CH1548150809

21.07% p.a. Autocallable Barrier Reverse Convertible on ams-OSRAM, Barry Callebaut, Comet

Title

CH1548131692 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131692

Fälligkeitstag

12.05.2027

Basiswert

Barry Callebaut AG, ams-OSRAM AG, Comet Holding AG - CH1548131692

21.07% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548146831 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146831

Fälligkeitstag

06.05.2027

Basiswert

Micron Technology Inc.

21.11% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Infineon, Siemens Energy (Quanto USD)

Title

CH1532246928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246928

Fälligkeitstag

09.04.2027

Basiswert

Deutsche Telekom AG, Infineon Technologies AG, Siemens Energy AG - CH1532246928

21.14% (21.03% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1492022640 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022640

Fälligkeitstag

30.11.2026

Basiswert

RENK Group AG, Rheinmetall AG, Hensoldt AG - CH1492022640

21.15% p.a. Reverse Convertible on AMD, Astera Labs Inc, Vertiv Holdings Co (Quanto EUR)

Title

CH1548130629 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130629

Fälligkeitstag

06.05.2027

Basiswert

Advanced Micro Devices Inc., Astera Labs Inc, Vertiv Holdings Co - CH1548130629

21.20% p.a. Autocallable Barrier Reverse Convertible on Lufthansa, Rheinmetall, SAP

Title

CH1548146088 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146088

Fälligkeitstag

30.07.2027

Basiswert

Rheinmetall AG, SAP SE, Deutsche Lufthansa AG - CH1548146088

21.21% p.a. Autocallable Reverse Convertible on Freeport-McMoRan Inc., Qualcomm

Title

CH1548133797 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133797

Fälligkeitstag

23.11.2026

Basiswert

Qualcomm Inc., Freeport-McMoRan Inc. - CH1548133797

21.26% p.a. Barrier Reverse Convertible on Amazon.com, Palantir, Strategy

Title

CH1476909663 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909663

Fälligkeitstag

25.09.2026

Basiswert

Palantir Technologies Inc., Amazon.com Inc., Strategy Inc. - CH1476909663

21.27% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548140073 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140073

Fälligkeitstag

25.06.2027

Basiswert

RENK Group AG, Rheinmetall AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1548140073

21.30% p.a. Callable Barrier Reverse Convertible on Adidas, Kering, Vonovia, Zalando

Title

CH1548149793 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149793

Fälligkeitstag

20.10.2027

Basiswert

Zalando SE, Adidas AG, Vonovia SE, Kering SA - CH1548149793

21.31% p.a. Autocallable Reverse Convertible on Applovin Corp, Palantir, Robinhood Markets

Title

CH1476910604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910604

Fälligkeitstag

05.10.2026

Basiswert

Applovin Corporation, Palantir Technologies Inc., Robinhood Markets Inc. - CH1476910604

21.33% p.a. Autocallable Barrier Reverse Convertible on Adyen N.V. (Quanto CHF)

Title

CH1548149629 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149629

Fälligkeitstag

21.12.2026

Basiswert

Adyen N.V.

21.34% (21.34% p.a.) Barrier Reverse Convertible on Hewlett-Packard Enterprise, Nike, Robinhood Markets (Quanto CHF)

Title

CH1492024661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024661

Fälligkeitstag

15.12.2026

Basiswert

Nike Inc., Hewlett-Packard Enterprise Company, Robinhood Markets Inc. - CH1492024661

21.54% (21.60% p.a.) Reverse Convertible on SK Hynix Inc. (Quanto GBP)

Title

CH1548144976 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144976

Fälligkeitstag

23.07.2027

Basiswert

SK Hynix Inc.

21.55% p.a. Autocallable Barrier Reverse Convertible on Dassault, Hensoldt , Rheinmetall

Title

CH1492034306 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034306

Fälligkeitstag

12.02.2027

Basiswert

Hensoldt AG, Rheinmetall AG, Dassault Systèmes S.A. - CH1492034306

21.56% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548145411 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145411

Fälligkeitstag

28.04.2027

Basiswert

Micron Technology Inc.

21.62% p.a. Reverse Convertible on Arista Networks, Meta Platforms, NVIDIA

Title

CH1532246035 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246035

Fälligkeitstag

05.10.2026

Basiswert

NVIDIA Corp., Meta Platforms Inc., Arista Networks, Inc. - CH1532246035

21.78% p.a. Autocallable Barrier Reverse Convertible on Adecco, Edenred, Hewlett-Packard Enterprise, SoftwareONE Holding AG Namen (Quanto CHF)

Title

CH1492025049 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025049

Fälligkeitstag

17.12.2026

Basiswert

Edenred S.A., SoftwareONE Holding AG Namen, Adecco Group AG, Hewlett-Packard Enterprise Company - CH1492025049

21.80% p.a. Reverse Convertible on AMD, Micron Technology

Title

CH1548146716 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146716

Fälligkeitstag

09.08.2027

Basiswert

Advanced Micro Devices Inc., Micron Technology Inc. - CH1548146716

21.84% p.a. Autocallable Barrier Reverse Convertible on Corning Inc. (Quanto EUR)

Title

CH1548150684 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150684

Fälligkeitstag

25.08.2027

Basiswert

Corning Inc.

21.90% (43.80% p.a.) Reverse Convertible on AST SpaceMobile Inc

Title

CH1548138655 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138655

Fälligkeitstag

18.12.2026

Basiswert

AST SpaceMobile Inc

21.92% p.a. Barrier Reverse Convertible on Royal Caribbean Cruises Ltd. (Quanto EUR)

Title

CH1548139109 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139109

Fälligkeitstag

22.12.2026

Basiswert

Royal Caribbean Cruises Ltd.

21.93% (21.80% p.a.) Barrier Reverse Convertible on Crowdstrike Holdings Inc.

Title

CH1548148720 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148720

Fälligkeitstag

16.08.2027

Basiswert

Crowdstrike Holdings Inc.

21.96% p.a. Autocallable Reverse Convertible on AMD, AST SpaceMobile Inc, NVIDIA

Title

CH1548130397 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130397

Fälligkeitstag

04.05.2027

Basiswert

AST SpaceMobile Inc, Advanced Micro Devices Inc., NVIDIA Corp. - CH1548130397

21.97% p.a. Autocallable Barrier Reverse Convertible on Beiersdorf, Rheinmetall, SAP

Title

CH1548140867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140867

Fälligkeitstag

01.07.2027

Basiswert

Beiersdorf AG, Rheinmetall AG, SAP SE - CH1548140867

21.97% p.a. Barrier Reverse Convertible on Hertz Global Holdings Inc. (Quanto CHF)

Title

CH1548135347 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135347

Fälligkeitstag

30.11.2026

Basiswert

Hertz Global Holdings Inc.

22.03% p.a. Barrier Reverse Convertible on Broadcom, Crowdstrike Holdings, NVIDIA

Title

CH1548149553 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149553

Fälligkeitstag

19.08.2027

Basiswert

Broadcom Inc., Crowdstrike Holdings Inc., NVIDIA Corp. - CH1548149553

22.03% p.a. Barrier Reverse Convertible on Rocket Companies Inc. (Quanto CHF)

Title

CH1548141055 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141055

Fälligkeitstag

31.12.2026

Basiswert

Rocket Companies Inc.

22.06% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Newmont, Pan American Silver (Quanto CHF)

Title

CH1548133474 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133474

Fälligkeitstag

22.02.2027

Basiswert

Barrick Mining Corporation, Newmont Corp., AngloGold Ashanti plc, Pan American Silver Corp. - CH1548133474

22.08% (11.06% p.a.) Barrier Reverse Convertible on Alphabet, AMD, Meta Platforms (Quanto EUR)

Title

CH1314933941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314933941

Fälligkeitstag

05.01.2027

Basiswert

Meta Platforms Inc., Alphabet, Inc., Advanced Micro Devices Inc. - CH1314933941

22.08% p.a. Reverse Convertible on SK Hynix Inc.

Title

CH1548145171 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145171

Fälligkeitstag

27.07.2027

Basiswert

SK Hynix Inc.

22.11% p.a. Reverse Convertible on Lam Research, Micron Technology, Seagate Technology Holdings (Quanto EUR)

Title

CH1548130363 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130363

Fälligkeitstag

05.05.2027

Basiswert

Seagate Technology Holdings PLC, Micron Technology Inc., Lam Research Corp. - CH1548130363

22.15% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548144125 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144125

Fälligkeitstag

21.07.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Advantest Corp. - CH1548144125

22.17% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548144141 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144141

Fälligkeitstag

21.07.2027

Basiswert

Advantest Corp., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144141

22.18% p.a. Reverse Convertible on Micron Technology, SanDisk Corp Registered (Quanto GBP)

Title

CH1548133995 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133995

Fälligkeitstag

25.05.2027

Basiswert

SanDisk Corp Registered, Micron Technology Inc. - CH1548133995

22.20% (22.20% p.a.) Barrier Reverse Convertible on Oracle Corp.

Title

CH1492034389 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034389

Fälligkeitstag

12.02.2027

Basiswert

Oracle Corp.

22.21% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476908913 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908913

Fälligkeitstag

22.09.2026

Basiswert

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1476908913

22.36% p.a. Autocallable Barrier Reverse Convertible on Intel, Micron Technology, Vertiv Holdings Co (Quanto CHF)

Title

CH1548145924 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145924

Fälligkeitstag

30.07.2027

Basiswert

Intel Corp., Micron Technology Inc., Vertiv Holdings Co - CH1548145924

22.37% (22.37% p.a.) Barrier Reverse Convertible on Apple, Intel, Tempus AI Inc (Quanto CHF)

Title

CH1492032243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032243

Fälligkeitstag

03.02.2027

Basiswert

Intel Corp., Tempus AI Inc, Apple Inc. - CH1492032243

22.40% (7.47% p.a.) Barrier Reverse Convertible on Coty Inc.

Title

CH1476912782 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912782

Fälligkeitstag

20.10.2028

Basiswert

Coty Inc.

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907048

Fälligkeitstag

09.09.2026

Basiswert

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907048

Fälligkeitstag

09.09.2026

Basiswert

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907048

Fälligkeitstag

09.09.2026

Basiswert

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.50% p.a. Barrier Reverse Convertible on Intel, Micron Technology, Vertiv Holdings Co

Title

CH1548146567 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146567

Fälligkeitstag

04.08.2027

Basiswert

Intel Corp., Micron Technology Inc., Vertiv Holdings Co - CH1548146567

22.52% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476911412 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911412

Fälligkeitstag

12.10.2026

Basiswert

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1476911412

22.55% p.a. Autocallable Barrier Reverse Convertible on Adobe, Corning, Tesla

Title

CH1548146609 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146609

Fälligkeitstag

04.08.2027

Basiswert

Corning Inc., Tesla Inc., Adobe Systems Inc. - CH1548146609

22.57% p.a. Autocallable Barrier Reverse Convertible on Arm Holding plc, Broadcom, Dell Technologies (Quanto CHF)

Title

CH1548145932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145932

Fälligkeitstag

30.07.2027

Basiswert

Dell Technologies Inc., Broadcom Inc., Arm Holding plc - CH1548145932

22.59% p.a. Autocallable Barrier Reverse Convertible on BYD Electronic, Tesla (Quanto EUR)

Title

CH1492028845 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028845

Fälligkeitstag

20.01.2027

Basiswert

Tesla Inc., BYD Electronic (International) Company Limited - CH1492028845

22.66% p.a. Autocallable Barrier Reverse Convertible on Intel, Lam Research, ON Semiconductor

Title

CH1548141469 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141469

Fälligkeitstag

06.07.2027

Basiswert

Intel Corp., ON Semiconductor Corp., Lam Research Corp. - CH1548141469

22.68% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476906271 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906271

Fälligkeitstag

07.09.2026

Basiswert

MTU Aero Engines Holdings AG, RENK Group AG, Rheinmetall AG, Hensoldt AG - CH1476906271

22.72% p.a. Barrier Reverse Convertible on Boston Scientific, Micron Technology, Nike, ServiceNow (Quanto CHF)

Title

CH1548148902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148902

Fälligkeitstag

18.02.2027

Basiswert

ServiceNow Inc, Micron Technology Inc., Nike Inc., Boston Scientific Corporation - CH1548148902

22.77% p.a. Autocallable Barrier Reverse Convertible on Broadcom, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548130173 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130173

Fälligkeitstag

30.04.2027

Basiswert

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Broadcom Inc. - CH1548130173

22.80% p.a. Callable Barrier Reverse Convertible on AMD, NVIDIA, Western Digital (Quanto CHF)

Title

CH1548129191 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129191

Fälligkeitstag

29.04.2027

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Western Digital Corporation - CH1548129191

22.88% p.a. Autocallable Barrier Reverse Convertible on AMD, Intel, Micron Technology

Title

CH1548146989 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146989

Fälligkeitstag

07.02.2028

Basiswert

Advanced Micro Devices Inc., Intel Corp., Micron Technology Inc. - CH1548146989

22.89% (22.89% p.a.) Barrier Reverse Convertible on Disco Corp. (Quanto EUR)

Title

CH1548147102 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147102

Fälligkeitstag

06.08.2027

Basiswert

Disco Corp.

23.06% p.a. Callable Barrier Reverse Convertible on Bayer, Estée Lauder, Logitech, LVMH Moët Hennessy Louis Vuitton, Nike (Quanto EUR)

Title

CH1548150429 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150429

Fälligkeitstag

24.11.2027

Basiswert

Nike Inc., Estée Lauder Companies Inc., LVMH Moët Hennessy Louis Vuitton SE, Logitech International SA, Bayer AG - CH1548150429

23.11% p.a. Barrier Reverse Convertible on Akamai Technologies, Fortinet, Palo Alto Networks

Title

CH1548128268 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128268

Fälligkeitstag

26.04.2027

Basiswert

Akamai Technologies Inc, Fortinet Inc., Palo Alto Networks, Inc. - CH1548128268

23.20% p.a. Barrier Reverse Convertible on Albemarle, Freeport-McMoRan Inc., Glencore (Quanto USD)

Title

CH1492017020 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017020

Fälligkeitstag

23.10.2026

Basiswert

Glencore PLC, Freeport-McMoRan Inc., Albemarle Corp - CH1492017020

23.32% p.a. Barrier Reverse Convertible on Arm Holding plc, Broadcom, KLA-Tencor

Title

CH1548146575 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146575

Fälligkeitstag

04.08.2027

Basiswert

Arm Holding plc, Broadcom Inc., KLA-Tencor Corp. - CH1548146575

23.33% p.a. Autocallable Reverse Convertible on First Majestic Silver, Pan American Silver

Title

CH1532242695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242695

Fälligkeitstag

17.09.2026

Basiswert

First Majestic Silver Corp, Pan American Silver Corp. - CH1532242695

23.39% (23.39% p.a.) Barrier Reverse Convertible on Alphabet, NVIDIA, Oracle

Title

CH1492034322 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034322

Fälligkeitstag

12.02.2027

Basiswert

Alphabet, Inc., NVIDIA Corp., Oracle Corp. - CH1492034322

23.43% p.a. Barrier Reverse Convertible on KLA-Tencor, Micron Technology, NVIDIA (Quanto CHF)

Title

CH1548141212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141212

Fälligkeitstag

05.01.2027

Basiswert

Micron Technology Inc., NVIDIA Corp., KLA-Tencor Corp. - CH1548141212

23.51% p.a. Barrier Reverse Convertible on NVIDIA, Oracle, PayPal

Title

CH1476912337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912337

Fälligkeitstag

16.10.2026

Basiswert

PayPal Holdings Inc., Oracle Corp., NVIDIA Corp. - CH1476912337

23.56% (23.36% p.a.) Barrier Reverse Convertible on ENI, MTU Aero Engines, Siemens Energy, TotalEnergies

Title

CH1532244758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244758

Fälligkeitstag

31.03.2027

Basiswert

Siemens Energy AG, MTU Aero Engines Holdings AG, ENI SpA, TotalEnergies SE - CH1532244758

23.58% p.a. Callable Barrier Reverse Convertible on Rheinmetall, ThyssenKrupp

Title

CH1548137210 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137210

Fälligkeitstag

11.06.2027

Basiswert

Rheinmetall AG, ThyssenKrupp AG - CH1548137210

23.60% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Oracle, Salesforce

Title

CH1532240236 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240236

Fälligkeitstag

04.12.2026

Basiswert

Microsoft Corp., Salesforce, Inc., Oracle Corp. - CH1532240236

23.81% p.a. Callable Barrier Reverse Convertible on Ford, Merck, Oracle

Title

CH1548135669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135669

Fälligkeitstag

04.06.2027

Basiswert

Ford Motor Company, Oracle Corp., Merck & Co. Inc. - CH1548135669

23.93% (23.93% p.a.) Barrier Reverse Convertible on Linde PLC, MercadoLibre, Robinhood Markets

Title

CH1492024802 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024802

Fälligkeitstag

15.12.2026

Basiswert

Linde PLC, MercadoLibre Inc., Robinhood Markets Inc. - CH1492024802

24.00% p.a. Reverse Convertible on Crowdstrike Holdings, Datadog, Intuit, Micron Technology, Oracle, Workday (Quanto GBP)

Title

CH1548132708 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132708

Fälligkeitstag

14.05.2027

Basiswert

Micron Technology Inc., Datadog Inc., Workday, Inc., Intuit Inc., Crowdstrike Holdings Inc., Oracle Corp. - CH1548132708

24.03% p.a. Autocallable Reverse Convertible on GE Vernova, Marvell Technology , Nextera Energy (Quanto CHF)

Title

CH1548144943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144943

Fälligkeitstag

26.07.2027

Basiswert

GE Vernova Inc., Marvell Technology Group Ltd., Nextera Energy Inc. - CH1548144943

24.11% p.a. Callable Barrier Reverse Convertible on Commerzbank, Raiffeisen Bank, Société Générale, UBS Group (Quanto EUR)

Title

CH1548148910 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148910

Fälligkeitstag

17.02.2027

Basiswert

UBS Group AG, Société Générale, Commerzbank AG, Raiffeisen Bank International AG - CH1548148910

24.18% (32.12% p.a.) Barrier Reverse Convertible on Intel, NVIDIA, Palantir, Tesla

Title

CH1492027987 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027987

Fälligkeitstag

15.10.2026

Basiswert

NVIDIA Corp., Palantir Technologies Inc., Tesla Inc., Intel Corp. - CH1492027987

24.25% p.a. Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft, Strategy

Title

CH1476906990 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906990

Fälligkeitstag

10.09.2026

Basiswert

Microsoft Corp., Strategy Inc., Alphabet, Inc., Meta Platforms Inc. - CH1476906990

24.30% p.a. Autocallable Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548147417 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147417

Fälligkeitstag

07.05.2027

Basiswert

Marvell Technology Group Ltd.

24.49% p.a. Callable Barrier Reverse Convertible on ArcelorMittal, Bayer, Infineon

Title

CH1548139497 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139497

Fälligkeitstag

23.06.2027

Basiswert

Infineon Technologies AG, Bayer AG, ArcelorMittal S.A. - CH1548139497

24.74% (8.24% p.a.) Barrier Reverse Convertible on Alcoa Corporation

Title

CH1492024315 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492024315

Fälligkeitstag

12.12.2028

Basiswert

Alcoa Corporation

24.78% p.a. Autocallable Multi FCN on Micron Technology, Space Exploration Technologies Corporati

Title

CH1548144372 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144372

Fälligkeitstag

02.02.2027

Basiswert

Micron Technology Inc., Space Exploration Technologies Corporation - CH1548144372

24.87% p.a. Barrier Reverse Convertible on Celsius Holdings Inc (Quanto CHF)

Title

CH1548135289 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135289

Fälligkeitstag

01.12.2026

Basiswert

Celsius Holdings Inc

25.00% p.a. Autocallable Barrier Reverse Convertible on Boeing, Ciena, Netflix

Title

CH1532238966 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238966

Fälligkeitstag

02.03.2027

Basiswert

Netflix Inc., Ciena Corp., Boeing Company - CH1532238966

25.15% p.a. Barrier Reverse Convertible on Boston Scientific, Micron Technology, Nike, ServiceNow (Quanto EUR)

Title

CH1548148894 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148894

Fälligkeitstag

18.02.2027

Basiswert

ServiceNow Inc, Micron Technology Inc., Nike Inc., Boston Scientific Corporation - CH1548148894

25.24% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548133094 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133094

Fälligkeitstag

18.02.2027

Basiswert

Rheinmetall AG, Hensoldt AG, RENK Group AG, MTU Aero Engines Holdings AG - CH1548133094

25.25% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532242729 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242729

Fälligkeitstag

17.03.2027

Basiswert

Las Vegas Sands Corp., Porsche Automobil Holding SE, ThyssenKrupp AG - CH1532242729

25.28% p.a. Barrier Reverse Convertible on Allianz, Fresenius, Merck KGaA, SAP

Title

CH1548126791 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126791

Fälligkeitstag

19.10.2026

Basiswert

Allianz SE, Merck KGaA, Fresenius SE & Co. KGaA, SAP SE - CH1548126791

25.29% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , ThyssenKrupp

Title

CH1532245474 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245474

Fälligkeitstag

06.04.2027

Basiswert

Hensoldt AG, ThyssenKrupp AG - CH1532245474

25.32% p.a. Reverse Convertible on D-Wave Quantum, IonQ, Rigetti Computing (Quanto EUR)

Title

CH1492025510 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025510

Fälligkeitstag

21.12.2026

Basiswert

IonQ Inc., Rigetti Computing Inc. , D-Wave Quantum Inc. - CH1492025510

25.37% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476910943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910943

Fälligkeitstag

08.10.2026

Basiswert

Rheinmetall AG, Hensoldt AG, RENK Group AG, MTU Aero Engines Holdings AG - CH1476910943

25.39% p.a. Autocallable Barrier Reverse Convertible on Astera Labs Inc (Quanto GBP)

Title

CH1548139505 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139505

Fälligkeitstag

24.06.2027

Basiswert

Astera Labs Inc

25.43% p.a. Callable Barrier Reverse Convertible on Adyen , Lanxess, Porsche, Renault

Title

CH1532239121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239121

Fälligkeitstag

31.05.2027

Basiswert

Porsche Automobil Holding SE, Lanxess AG, Adyen N.V., Renault SA - CH1532239121

25.49% p.a. Callable Barrier Reverse Convertible on Alstom, Barry Callebaut, Partners Group Holding, Stellantis (Quanto EUR)

Title

CH1548136634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136634

Fälligkeitstag

08.09.2027

Basiswert

Barry Callebaut AG, Partners Group Holding AG, Stellantis N.V., Alstom SA - CH1548136634

25.50% p.a. Barrier Reverse Convertible on Novo Nordisk A/S (Quanto CHF)

Title

CH1548139190 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139190

Fälligkeitstag

22.09.2026

Basiswert

Novo Nordisk A/S

25.55% (25.62% p.a.) Barrier Reverse Convertible on BMW, Daimler Truck, Mercedes-Benz Group, Siemens Energy

Title

CH1532246084 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246084

Fälligkeitstag

06.04.2027

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG, Daimler Truck Holding AG, Siemens Energy AG - CH1532246084

25.57% (20.45% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1476910885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910885

Fälligkeitstag

07.01.2027

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1476910885

25.73% p.a. Barrier Reverse Convertible on ASM International, Bayer, Siemens Energy

Title

CH1548128250 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128250

Fälligkeitstag

26.04.2027

Basiswert

Siemens Energy AG, ASM International NV, Bayer AG - CH1548128250

25.98% p.a. Callable Barrier Reverse Convertible on PUMA, Stellantis, Zalando

Title

CH1532237620 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237620

Fälligkeitstag

25.05.2027

Basiswert

Stellantis N.V., PUMA SE, Zalando SE - CH1532237620

26.21% p.a. Reverse Convertible on AMD, Micron Technology

Title

CH1548137509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137509

Fälligkeitstag

14.12.2026

Basiswert

Advanced Micro Devices Inc., Micron Technology Inc. - CH1548137509

26.40% (13.18% p.a.) Barrier Reverse Convertible on Bayer, Deutsche Bank, Lufthansa, Rheinmetall

Title

CH1548128227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128227

Fälligkeitstag

25.04.2028

Basiswert

Rheinmetall AG, Bayer AG, Deutsche Bank AG, Deutsche Lufthansa AG - CH1548128227

26.41% p.a. Callable Barrier Reverse Convertible on BMW, Dassault, Novo Nordisk, Wolters Kluwer (Quanto EUR)

Title

CH1532239899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239899

Fälligkeitstag

01.06.2027

Basiswert

Novo Nordisk A/S, Wolters Kluwer NV, Dassault Systèmes S.A., Bayerische Motoren Werke AG - CH1532239899

26.52% p.a. Autocallable Barrier Reverse Convertible on Oracle, Robinhood Markets, Super Micro Computer Inc

Title

CH1492022137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022137

Fälligkeitstag

27.11.2026

Basiswert

Oracle Corp., Super Micro Computer Inc, Robinhood Markets Inc. - CH1492022137

26.64% p.a. Autocallable Reverse Convertible on Infineon Technologies AG

Title

CH1548145783 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145783

Fälligkeitstag

29.01.2027

Basiswert

Infineon Technologies AG

26.87% p.a. Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548140438 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140438

Fälligkeitstag

29.06.2027

Basiswert

Marvell Technology Group Ltd.

26.93% p.a. Barrier Reverse Convertible on Boston Scientific, Micron Technology, Nike, ServiceNow

Title

CH1548148886 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148886

Fälligkeitstag

18.02.2027

Basiswert

ServiceNow Inc, Micron Technology Inc., Nike Inc., Boston Scientific Corporation - CH1548148886

27.30% p.a. Autocallable Reverse Convertible on GE Vernova, Marvell Technology , Nextera Energy

Title

CH1548144109 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144109

Fälligkeitstag

20.07.2027

Basiswert

Nextera Energy Inc., Marvell Technology Group Ltd., GE Vernova Inc. - CH1548144109

27.64% p.a. Barrier Reverse Convertible on Intel, Micron Technology, Oracle

Title

CH1548149561 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149561

Fälligkeitstag

19.08.2027

Basiswert

Intel Corp., Micron Technology Inc., Oracle Corp. - CH1548149561

27.73% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Deere, Moderna, Salesforce

Title

CH1548141162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141162

Fälligkeitstag

02.07.2027

Basiswert

Salesforce, Inc., Deere & Co., Moderna Inc., Alphabet, Inc. - CH1548141162

28.04% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Moderna, NVIDIA, PepsiCo

Title

CH1548145452 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145452

Fälligkeitstag

28.07.2027

Basiswert

PepsiCo Inc., Amazon.com Inc., NVIDIA Corp., Moderna Inc. - CH1548145452

28.04% p.a. Barrier Reverse Convertible on Intel Corp.

Title

CH1548133292 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133292

Fälligkeitstag

19.05.2027

Basiswert

Intel Corp.

28.16% p.a. Autocallable Barrier Reverse Convertible on Adyen , DocuSign, Intuit, Qualcomm (Quanto CHF)

Title

CH1548147722 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147722

Fälligkeitstag

10.08.2027

Basiswert

Qualcomm Inc., Adyen N.V., Intuit Inc., DocuSign Inc. - CH1548147722

28.40% p.a. Barrier Reverse Convertible on Heineken NV, Infineon, L´Oréal, Munich Re

Title

CH1548126809 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126809

Fälligkeitstag

19.10.2026

Basiswert

Münchener Rückversicherungs AG, Infineon Technologies AG, Heineken NV, L´Oréal International - CH1548126809

28.45% p.a. Autocallable Barrier Reverse Convertible on DocuSign, Micron Technology, ON Semiconductor

Title

CH1548135610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135610

Fälligkeitstag

06.12.2027

Basiswert

ON Semiconductor Corp., DocuSign Inc., Micron Technology Inc. - CH1548135610

28.88% p.a. Autocallable Reverse Convertible on Micron Technology, SanDisk Corp Registered

Title

CH1548137061 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137061

Fälligkeitstag

10.06.2027

Basiswert

Micron Technology Inc., SanDisk Corp Registered - CH1548137061

29.06% (9.71% p.a.) Barrier Reverse Convertible on VF Corp.

Title

CH1492030502 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030502

Fälligkeitstag

29.01.2029

Basiswert

VF Corp.

29.16% p.a. Autocallable Reverse Convertible on Micron Technology, SanDisk Corp Registered

Title

CH1548136014 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136014

Fälligkeitstag

07.06.2027

Basiswert

Micron Technology Inc., SanDisk Corp Registered - CH1548136014

29.40% p.a. Barrier Reverse Convertible on Albemarle, AMD, Freeport-McMoRan Inc.

Title

CH1548136451 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136451

Fälligkeitstag

08.06.2027

Basiswert

Freeport-McMoRan Inc., Advanced Micro Devices Inc., Albemarle Corp - CH1548136451

29.49% p.a. Autocallable Barrier Reverse Convertible on Micron Technology, On Holding, Swissquote, Tui, Zalando (Quanto CHF)

Title

CH1548149850 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149850

Fälligkeitstag

20.08.2027

Basiswert

On Holding Ltd, Swissquote Group Holding SA, Tui AG, Zalando SE, Micron Technology Inc. - CH1548149850

29.80% p.a. Barrier Reverse Convertible on AST SpaceMobile Inc, Rocket Lab USA (Quanto CHF)

Title

CH1532241770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241770

Fälligkeitstag

12.03.2027

Basiswert

Rocket Lab USA Inc., AST SpaceMobile Inc - CH1532241770

29.86% p.a. Callable Barrier Reverse Convertible on Bayer, Commerzbank, ThyssenKrupp

Title

CH1548144810 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144810

Fälligkeitstag

26.07.2027

Basiswert

Bayer AG, Commerzbank AG, ThyssenKrupp AG - CH1548144810

2y EUR Rumanian Composite Return Index Tracker

Title

A185GT - Compartment 10

Kategorie

Instifolio - Liquid

ISIN

DE000A185GT6

Fälligkeitstag

07.09.2026

Basiswert

RSI Focus II Index

3.00% (6.03% p.a.) Reverse Convertible on VAT Group AG

Title

CH1532246209 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246209

Fälligkeitstag

07.10.2026

Basiswert

VAT Group AG

3.00% (7.20% p.a.) Reverse Convertible on Roche Holding AG

Title

CH1548142749 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142749

Fälligkeitstag

14.12.2026

Basiswert

Roche Holding AG

3.00% p.a. Autocallable Reverse Convertible on ASML, VAT (Quanto CHF)

Title

CH1548137087 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137087

Fälligkeitstag

08.12.2026

Basiswert

VAT Group AG, ASML Holding NV - CH1548137087

3.00% p.a. Autocallable Reverse Convertible on Hermes, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492031872 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031872

Fälligkeitstag

03.05.2027

Basiswert

L´Oréal International, LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1492031872

3.00% p.a. Autocallable Reverse Convertible on Kuehne + Nagel, Richemont

Title

CH1548146351 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146351

Fälligkeitstag

01.02.2027

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG - CH1548146351

3.00% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548143242 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143242

Fälligkeitstag

14.01.2027

Basiswert

Logitech International SA

3.00% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto CHF)

Title

CH1548137871 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137871

Fälligkeitstag

11.03.2027

Basiswert

NVIDIA Corp.

3.00% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto CHF)

Title

CH1548135115 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135115

Fälligkeitstag

30.11.2026

Basiswert

NVIDIA Corp.

3.02% (12.08% p.a.) Reverse Convertible on ABB, VAT

Title

CH1548135396 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135396

Fälligkeitstag

02.09.2026

Basiswert

VAT Group AG, ABB Ltd - CH1548135396

3.02% (8.98% p.a.) Reverse Convertible on Nintendo Co Ltd.

Title

CH1548142251 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142251

Fälligkeitstag

10.11.2026

Basiswert

Nintendo Co Ltd.

3.03% (12.00% p.a.) Reverse Convertible on Marvell Technology Group Ltd. (Quanto CHF)

Title

CH1548142665 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142665

Fälligkeitstag

14.10.2026

Basiswert

Marvell Technology Group Ltd.

3.03% (12.00% p.a.) Reverse Convertible on Oracle Corp. (Quanto CHF)

Title

CH1548142673 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142673

Fälligkeitstag

14.10.2026

Basiswert

Oracle Corp.

3.04% (11.91% p.a.) Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548150106 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150106

Fälligkeitstag

23.11.2026

Basiswert

Sandoz Group AG, Roche Holding AG, Novartis AG - CH1548150106

3.04% (12.19% p.a.) Reverse Convertible on Safran, Schneider Electric, St-Gobain

Title

CH1548138143 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138143

Fälligkeitstag

16.09.2026

Basiswert

Compagnie de St-Gobain, Schneider Electric SE, Safran SA - CH1548138143

3.04% (3.05% p.a.) Reverse Convertible on ABB Ltd

Title

CH1476905612 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905612

Fälligkeitstag

01.09.2026

Basiswert

ABB Ltd

3.05% (12.21% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1548137434 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137434

Fälligkeitstag

11.09.2026

Basiswert

ASML Holding NV

3.06% (12.40% p.a.) Reverse Convertible on International Business Machines Corp.

Title

CH1548135230 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135230

Fälligkeitstag

31.08.2026

Basiswert

International Business Machines Corp.

3.07% (6.26% p.a.) Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532239238 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239238

Fälligkeitstag

31.08.2026

Basiswert

Compagnie Financière Richemont SA

3.09% (3.09% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548129043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129043

Fälligkeitstag

29.04.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548129043

3.09% p.a. Autocallable Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Sika

Title

CH1476912352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912352

Fälligkeitstag

16.10.2026

Basiswert

Geberit AG, Sika AG, Kuehne + Nagel International AG - CH1476912352

3.10% (12.42% p.a.) Reverse Convertible on Siemens Energy AG

Title

CH1548139380 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139380

Fälligkeitstag

23.09.2026

Basiswert

Siemens Energy AG

3.10% (6.27% p.a.) Reverse Convertible on Siemens AG

Title

CH1532246480 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246480

Fälligkeitstag

08.10.2026

Basiswert

Siemens AG

3.11% (12.44% p.a.) Barrier Reverse Convertible on Pernod-Ricard, SAP

Title

CH1548142319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142319

Fälligkeitstag

09.10.2026

Basiswert

SAP SE, Pernod-Ricard SA - CH1548142319

3.11% (12.44% p.a.) Reverse Convertible on Siemens Energy AG

Title

CH1548139364 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139364

Fälligkeitstag

23.09.2026

Basiswert

Siemens Energy AG

3.11% (6.13% p.a.) Reverse Convertible on Salesforce, Tesla (Quanto CHF)

Title

CH1548148589 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148589

Fälligkeitstag

16.02.2027

Basiswert

Salesforce, Inc., Tesla Inc. - CH1548148589

3.13% (6.27% p.a.) Barrier Reverse Convertible on Kardex, SIG Group, Swiss Re

Title

CH1548127302 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127302

Fälligkeitstag

21.10.2026

Basiswert

Kardex AG, SIG Group AG, Swiss Re AG - CH1548127302

3.14% (12.71% p.a.) Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1548139372 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139372

Fälligkeitstag

23.09.2026

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd

3.15% (6.26% p.a.) Barrier Reverse Convertible on Givaudan, Richemont

Title

CH1548133839 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133839

Fälligkeitstag

23.11.2026

Basiswert

Givaudan SA, Compagnie Financière Richemont SA - CH1548133839

3.16% (18.96% p.a.) Reverse Convertible on Eli Lilly, Intuitive Surgical

Title

CH1548144679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144679

Fälligkeitstag

23.09.2026

Basiswert

Intuitive Surgical Inc., Eli Lilly & Co. - CH1548144679

3.17% (6.23% p.a.) Reverse Convertible on Hensoldt , RENK Group AG

Title

CH1548140057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140057

Fälligkeitstag

28.12.2026

Basiswert

RENK Group AG, Hensoldt AG - CH1548140057

3.19% (12.79% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1492020248 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020248

Fälligkeitstag

12.02.2026

Basiswert

Sunrise Communications AG

3.20% (12.83% p.a.) Reverse Convertible on HCA Healthcare Inc.

Title

CH1548143994 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143994

Fälligkeitstag

20.10.2026

Basiswert

HCA Healthcare Inc.

3.20% p.a. Autocallable Barrier Reverse Convertible on Roche, Swiss Life, Swiss Re

Title

CH1492016808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016808

Fälligkeitstag

22.10.2026

Basiswert

Swiss Life Holding AG, Roche Holding AG, Swiss Re AG - CH1492016808

3.22% (12.62% p.a.) Reverse Convertible on ABB, Geberit, Georg Fischer

Title

CH1548150098 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150098

Fälligkeitstag

23.11.2026

Basiswert

ABB Ltd, Geberit AG, Georg Fischer AG - CH1548150098

3.23% (3.23% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1476912857 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912857

Fälligkeitstag

20.10.2026

Basiswert

Partners Group Holding AG

3.26% (6.52% p.a.) Barrier Reverse Convertible on ABB, BELIMO Holding, Partners Group Holding

Title

CH1548127310 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127310

Fälligkeitstag

21.10.2026

Basiswert

ABB Ltd, BELIMO Holding AG, Partners Group Holding AG - CH1548127310

3.29% (13.03% p.a.) Reverse Convertible on Sino Biopharmaceutical Limited

Title

CH1548144000 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144000

Fälligkeitstag

21.10.2026

Basiswert

Sino Biopharmaceutical Limited

3.30% (6.52% p.a.) Barrier Reverse Convertible on ENGIE, ENI, Shell, TotalEnergies

Title

CH1548133284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133284

Fälligkeitstag

16.11.2026

Basiswert

ENGIE SA, Shell PLC, TotalEnergies SE, ENI SpA - CH1548133284

3.30% (6.61% p.a.) Barrier Reverse Convertible on Barry Callebaut, Givaudan, Lindt & Sprüngli

Title

CH1548127336 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127336

Fälligkeitstag

21.10.2026

Basiswert

Barry Callebaut AG, Givaudan SA, Lindt & Sprüngli AG - CH1548127336

3.31% (13.26% p.a.) Reverse Convertible on Dr. Ing. H.c. F. Porsche AG

Title

CH1548147755 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147755

Fälligkeitstag

11.11.2026

Basiswert

Dr. Ing. H.c. F. Porsche AG

3.32% (3.30% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492020701 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020701

Fälligkeitstag

16.11.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492020701

3.32% (3.32% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1446048717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446048717

Fälligkeitstag

12.05.2026

Basiswert

Roche Holding AG, Novartis AG, Nestlé SA - CH1446048717

3.33% (6.66% p.a.) Reverse Convertible on Deutsche Post AG

Title

CH1532240616 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240616

Fälligkeitstag

09.09.2026

Basiswert

Deutsche Post AG

3.34% p.a. Barrier Reverse Convertible on Julius Bär, Swiss Re

Title

CH1548139893 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139893

Fälligkeitstag

25.06.2027

Basiswert

Swiss Re AG, Julius Bär Gruppe AG - CH1548139893

3.37% (13.50% p.a.) Reverse Convertible on Comet, VAT

Title

CH1548139661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139661

Fälligkeitstag

24.09.2026

Basiswert

VAT Group AG, Comet Holding AG - CH1548139661

3.37% (6.70% p.a.) Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1548133847 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133847

Fälligkeitstag

23.11.2026

Basiswert

Partners Group Holding AG, UBS Group AG - CH1548133847

3.38% (13.26% p.a.) Reverse Convertible on Alibaba Group, Baidu, Tencent (Quanto USD)

Title

CH1548147508 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147508

Fälligkeitstag

09.11.2026

Basiswert

Alibaba Group Holding Limited, Baidu, Inc., Tencent Holdings Limited - CH1548147508

3.39% (18.82% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1548142244 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142244

Fälligkeitstag

14.09.2026

Basiswert

Sunrise Communications AG

3.41% (13.37% p.a.) Reverse Convertible on Alcon, Straumann

Title

CH1548150080 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150080

Fälligkeitstag

23.11.2026

Basiswert

Straumann Holding AG, Alcon Inc. - CH1548150080

3.41% (13.66% p.a.) Reverse Convertible on Intuitive Surgical Inc.

Title

CH1548144018 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144018

Fälligkeitstag

20.10.2026

Basiswert

Intuitive Surgical Inc.

3.41% (13.66% p.a.) Reverse Convertible on Schneider Electric, Siemens

Title

CH1548143812 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143812

Fälligkeitstag

20.10.2026

Basiswert

Schneider Electric SE, Siemens AG - CH1548143812

3.41% (3.39% p.a.) Barrier Reverse Convertible on Enel, Unilever PLC (Quanto CHF)

Title

CH1492021733 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021733

Fälligkeitstag

23.11.2026

Basiswert

Unilever PLC, Enel SpA - CH1492021733

3.41% (3.42% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492017509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017509

Fälligkeitstag

28.10.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492017509

3.42% (13.10% p.a.) Barrier Reverse Convertible on Intel, Micron Technology (Quanto GBP)

Title

CH1548135909 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135909

Fälligkeitstag

08.09.2026

Basiswert

Micron Technology Inc., Intel Corp. - CH1548135909

3.42% (4.76% p.a.) Reverse Convertible on ConocoPhillips, Exxon Mobil (Quanto CHF)

Title

CH1492035212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035212

Fälligkeitstag

06.11.2026

Basiswert

ConocoPhillips, Exxon Mobil Corp. - CH1492035212

3.43% (10.39% p.a.) Reverse Convertible on ABB, VAT

Title

CH1548141618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141618

Fälligkeitstag

05.11.2026

Basiswert

VAT Group AG, ABB Ltd - CH1548141618

3.43% (13.72% p.a.) Reverse Convertible on Nestlé SA

Title

CH1548143952 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143952

Fälligkeitstag

20.10.2026

Basiswert

Nestlé SA

3.44% (13.76% p.a.) Reverse Convertible on IBM, NVIDIA

Title

CH1548149405 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149405

Fälligkeitstag

19.11.2026

Basiswert

NVIDIA Corp., International Business Machines Corp. - CH1548149405

3.44% (13.77% p.a.) Reverse Convertible on Alcon Inc.

Title

CH1548148514 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148514

Fälligkeitstag

13.11.2026

Basiswert

Alcon Inc.

3.47% (6.95% p.a.) Barrier Reverse Convertible on ENGIE, ENI, Shell, TotalEnergies

Title

CH1548133300 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133300

Fälligkeitstag

19.11.2026

Basiswert

ENI SpA, Shell PLC, TotalEnergies SE, ENGIE SA - CH1548133300

3.48% (6.93% p.a.) Reverse Convertible on Teleperformance SA (Quanto CHF)

Title

CH1446049467 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1446049467

Fälligkeitstag

17.11.2025

Basiswert

Teleperformance SA

3.48% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1492033761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033761

Fälligkeitstag

10.02.2027

Basiswert

Sika AG, Geberit AG, Holcim Ltd - CH1492033761

3.52% (14.09% p.a.) Reverse Convertible on BNP Paribas, Safran, St-Gobain

Title

CH1548147045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147045

Fälligkeitstag

06.11.2026

Basiswert

Safran SA, Compagnie de St-Gobain, BNP Paribas - CH1548147045

3.54% (6.98% p.a.) Reverse Convertible on ASM International NV

Title

CH1548140040 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140040

Fälligkeitstag

28.12.2026

Basiswert

ASM International NV

3.54% (8.45% p.a.) Reverse Convertible on MercadoLibre, Zillow Group (Quanto CHF)

Title

CH1548141568 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141568

Fälligkeitstag

07.12.2026

Basiswert

Zillow Group Inc., MercadoLibre Inc. - CH1548141568

3.55% (10.67% p.a.) Reverse Convertible on Moderna, Zillow Group (Quanto CHF)

Title

CH1548150122 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150122

Fälligkeitstag

21.12.2026

Basiswert

Moderna Inc., Zillow Group Inc. - CH1548150122

3.55% (7.06% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1446049418 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1446049418

Fälligkeitstag

17.11.2025

Basiswert

Sandoz Group AG

3.56% (7.09% p.a.) Reverse Convertible on Banco Santander SA

Title

CH1532243461 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243461

Fälligkeitstag

21.09.2026

Basiswert

Banco Santander SA

3.59% p.a. Autocallable Reverse Convertible on Nestlé, Swiss Re, Zurich Insurance

Title

CH1532245326 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245326

Fälligkeitstag

05.04.2027

Basiswert

Nestlé SA, Swiss Re AG, Zurich Insurance Group Ltd - CH1532245326

3.60% (21.62% p.a.) Reverse Convertible on ABB, Siemens Energy (Quanto EUR)

Title

CH1548144695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144695

Fälligkeitstag

23.09.2026

Basiswert

Siemens Energy AG, ABB Ltd - CH1548144695

3.61% p.a. Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Zurich Insurance

Title

CH1492034777 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034777

Fälligkeitstag

16.02.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Helvetia Baloise Holding AG - CH1492034777

3.64% (7.25% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1532244535 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244535

Fälligkeitstag

28.09.2026

Basiswert

Partners Group Holding AG

3.65% (10.97% p.a.) Reverse Convertible on Infineon Technologies AG

Title

CH1548138135 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138135

Fälligkeitstag

16.10.2026

Basiswert

Infineon Technologies AG

3.67% (7.44% p.a.) Reverse Convertible on Rheinmetall AG

Title

CH1532239006 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239006

Fälligkeitstag

31.08.2026

Basiswert

Rheinmetall AG

3.67% p.a. Autocallable Barrier Reverse Convertible on Givaudan, Holcim, Swiss Life

Title

CH1548143085 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143085

Fälligkeitstag

18.05.2027

Basiswert

Givaudan SA, Holcim Ltd, Swiss Life Holding AG - CH1548143085

3.68% (5.55% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche (Quanto EUR)

Title

CH1548129373 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129373

Fälligkeitstag

29.12.2026

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1548129373

3.69% p.a. Autocallable Reverse Convertible on ABB, Novartis, UBS Group

Title

CH1548139877 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139877

Fälligkeitstag

25.06.2027

Basiswert

Novartis AG, UBS Group AG, ABB Ltd - CH1548139877

3.70% (14.82% p.a.) Reverse Convertible on Sandoz Group AG

Title

CH1548146526 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146526

Fälligkeitstag

04.11.2026

Basiswert

Sandoz Group AG

3.72% (14.40% p.a.) Reverse Convertible on Coherent Corp.

Title

CH1596851928 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851928

Fälligkeitstag

01.12.2026

Basiswert

Coherent Corp.

3.72% (7.36% p.a.) Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1548147235 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147235

Fälligkeitstag

08.02.2027

Basiswert

Partners Group Holding AG

3.73% (7.34% p.a.) Reverse Convertible on Mercedes-Benz Group AG

Title

CH1532245508 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245508

Fälligkeitstag

05.10.2026

Basiswert

Mercedes-Benz Group AG

3.78% (3.78% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492019406 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492019406

Fälligkeitstag

06.11.2026

Basiswert

Huber + Suhner AG

3.78% p.a. Autocallable Reverse Convertible on Novartis, Roche, Swiss Re

Title

CH1548142608 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142608

Fälligkeitstag

13.07.2027

Basiswert

Novartis AG, Roche Holding AG, Swiss Re AG - CH1548142608

3.80% (3.78% p.a.) Barrier Reverse Convertible on Enel, Unilever PLC

Title

CH1492021618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021618

Fälligkeitstag

23.11.2026

Basiswert

Unilever PLC, Enel SpA - CH1492021618

3.80% (7.70% p.a.) Barrier Reverse Convertible on Hannover Rück, Munich Re

Title

CH1548140958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140958

Fälligkeitstag

29.12.2026

Basiswert

Hannover Rück SE, Münchener Rückversicherungs AG - CH1548140958

3.82% (3.82% p.a.) Reverse Convertible on Straumann Holding AG

Title

CH1476905646 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905646

Fälligkeitstag

01.09.2026

Basiswert

Straumann Holding AG

3.85% (3.85% p.a.) Barrier Reverse Convertible on Holcim, Sika, Swiss Re

Title

CH1476905513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905513

Fälligkeitstag

01.09.2026

Basiswert

Swiss Re AG, Sika AG, Holcim Ltd - CH1476905513

3.88% (3.84% p.a.) Barrier Reverse Convertible on Carrefour, Sanofi (Quanto CHF)

Title

CH1532238743 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238743

Fälligkeitstag

01.03.2027

Basiswert

Carrefour SA, Sanofi SA - CH1532238743

3.88% (7.77% p.a.) Barrier Reverse Convertible on Galderma Group Ltd

Title

CH1548136824 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136824

Fälligkeitstag

09.12.2026

Basiswert

Galderma Group Ltd

3.88% (7.90% p.a.) Reverse Convertible on ALSO Holding, Tecan

Title

CH1532239923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239923

Fälligkeitstag

02.09.2026

Basiswert

ALSO Holding AG, Tecan Group Ltd. - CH1532239923

3.90% (7.90% p.a.) Reverse Convertible on Intel Corp. (Quanto EUR)

Title

CH1532239022 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239022

Fälligkeitstag

31.08.2026

Basiswert

Intel Corp.

3.91% (7.79% p.a.) Reverse Convertible on Sandoz Group AG

Title

CH1532244543 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244543

Fälligkeitstag

28.09.2026

Basiswert

Sandoz Group AG

3.91% (7.90% p.a.) Reverse Convertible on Sartorius AG

Title

CH1532246498 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246498

Fälligkeitstag

08.10.2026

Basiswert

Sartorius AG

3.92% (3.92% p.a.) Barrier Reverse Convertible on Givaudan, Helvetia Baloise, Lonza

Title

CH1532240863 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240863

Fälligkeitstag

09.03.2027

Basiswert

Lonza Group AG, Givaudan SA, Helvetia Baloise Holding AG - CH1532240863

3.94% (7.76% p.a.) Reverse Convertible on Barry Callebaut AG

Title

CH1532245573 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245573

Fälligkeitstag

05.10.2026

Basiswert

Barry Callebaut AG

3.95% (3.93% p.a.) Barrier Reverse Convertible on Roche, Sandoz Group

Title

CH1532243685 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243685

Fälligkeitstag

22.03.2027

Basiswert

Roche Holding AG, Sandoz Group AG - CH1532243685

3.95% (7.91% p.a.) Reverse Convertible on Bachem Holding AG

Title

CH1548129472 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129472

Fälligkeitstag

30.10.2026

Basiswert

Bachem Holding AG

3.96% p.a. Callable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Straumann

Title

CH1548146484 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146484

Fälligkeitstag

05.01.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Kuehne + Nagel International AG - CH1548146484

3.97% (3.97% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492020271 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020271

Fälligkeitstag

12.11.2026

Basiswert

Logitech International SA

3.97% (7.95% p.a.) Barrier Reverse Convertible on AXA, Danone, Siemens

Title

CH1532242364 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242364

Fälligkeitstag

16.09.2026

Basiswert

Danone SA, Siemens AG, AXA SA - CH1532242364

30.05% p.a. Callable Barrier Reverse Convertible on AMD, Micron Technology, NVIDIA

Title

CH1548149298 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149298

Fälligkeitstag

19.02.2027

Basiswert

Advanced Micro Devices Inc., Micron Technology Inc., NVIDIA Corp. - CH1548149298

30.31% p.a. Reverse Convertible on D-Wave Quantum, IonQ, Rigetti Computing (Quanto EUR)

Title

CH1492019034 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019034

Fälligkeitstag

04.11.2026

Basiswert

IonQ Inc., Rigetti Computing Inc. , D-Wave Quantum Inc. - CH1492019034

30.32% (20.21% p.a.) Reverse Convertible on Alphabet, AMD, Infineon (Quanto GBP)

Title

CH1548145528 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145528

Fälligkeitstag

28.01.2028

Basiswert

Alphabet, Inc., Infineon Technologies AG, Advanced Micro Devices Inc. - CH1548145528

30.68% p.a. Autocallable Reverse Convertible on Atlassian, Shopify Inc

Title

CH1548145205 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145205

Fälligkeitstag

28.01.2027

Basiswert

Atlassian Corp., Shopify Inc - CH1548145205

30.82% p.a. Callable Barrier Reverse Convertible on Intel, Micron Technology, NVIDIA (Quanto CHF)

Title

CH1548136170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136170

Fälligkeitstag

08.06.2027

Basiswert

NVIDIA Corp., Intel Corp., Micron Technology Inc. - CH1548136170

30.90% p.a. Autocallable Barrier Reverse Convertible on Abercrombie & Fitch, Expedia Group, Lyft, Toast Inc (Quanto CHF)

Title

CH1548133086 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133086

Fälligkeitstag

18.05.2027

Basiswert

Lyft, Inc., Abercrombie & Fitch Co., Expedia Group Inc., Toast Inc - CH1548133086

31.07% p.a. Autocallable Barrier Reverse Convertible on Bloom Energy Corp (Quanto CHF)

Title

CH1548136717 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136717

Fälligkeitstag

09.03.2027

Basiswert

Bloom Energy Corp

31.25% p.a. Callable Barrier Reverse Convertible on Gerresheimer, PUMA, Stellantis, Zalando

Title

CH1532237653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237653

Fälligkeitstag

25.05.2027

Basiswert

Stellantis N.V., PUMA SE, Zalando SE, Gerresheimer AG - CH1532237653

31.84% p.a. Callable Barrier Reverse Convertible on Adobe, AMD, ASML (Quanto CHF)

Title

CH1548148159 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148159

Fälligkeitstag

12.02.2027

Basiswert

Advanced Micro Devices Inc., ASML Holding NV, Adobe Systems Inc. - CH1548148159

31.86% p.a. Autocallable Barrier Reverse Convertible on Carnival, GE Aerospace, Super Micro Computer Inc

Title

CH1532246589 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246589

Fälligkeitstag

08.04.2027

Basiswert

GE Aerospace, Carnival Corp., Super Micro Computer Inc - CH1532246589

31.98% p.a. Autocallable Reverse Convertible on Micron Technology, SanDisk Corp Registered

Title

CH1548138903 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138903

Fälligkeitstag

22.06.2027

Basiswert

Micron Technology Inc., SanDisk Corp Registered - CH1548138903

32.70% p.a. Autocallable Barrier Reverse Convertible on Teleperformance SA (Quanto USD)

Title

CH1548141980 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141980

Fälligkeitstag

07.01.2027

Basiswert

Teleperformance SA

33.39% p.a. Barrier Reverse Convertible on Albemarle, AMD, Freeport-McMoRan Inc.

Title

CH1548128284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128284

Fälligkeitstag

26.10.2026

Basiswert

Advanced Micro Devices Inc., Albemarle Corp, Freeport-McMoRan Inc. - CH1548128284

33.54% p.a. Autocallable Barrier Reverse Convertible on Intel, Oracle, Tesla (Quanto CHF)

Title

CH1548144455 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144455

Fälligkeitstag

22.07.2027

Basiswert

Intel Corp., Oracle Corp., Tesla Inc. - CH1548144455

33.56% p.a. Barrier Reverse Convertible on Albemarle, AMD, Freeport-McMoRan Inc.

Title

CH1548128292 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128292

Fälligkeitstag

26.10.2026

Basiswert

Advanced Micro Devices Inc., Albemarle Corp, Freeport-McMoRan Inc. - CH1548128292

34.12% p.a. Autocallable Barrier Reverse Convertible on Abercrombie & Fitch, Accenture, Lyft, Uipath (Quanto CHF)

Title

CH1548140511 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140511

Fälligkeitstag

29.06.2027

Basiswert

Accenture PLC, Uipath Inc., Lyft, Inc., Abercrombie & Fitch Co. - CH1548140511

34.36% p.a. Callable Barrier Reverse Convertible on Alphabet, Marvell Technology , Meta Platforms

Title

CH1548149033 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149033

Fälligkeitstag

18.08.2027

Basiswert

Meta Platforms Inc., Alphabet, Inc., Marvell Technology Group Ltd. - CH1548149033

36.33% p.a. Callable Barrier Reverse Convertible on Infineon, Nokia, Siemens Energy

Title

CH1548142905 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142905

Fälligkeitstag

14.01.2027

Basiswert

Nokia OYJ, Infineon Technologies AG, Siemens Energy AG - CH1548142905

36.69% p.a. Autocallable Barrier Reverse Convertible on SanDisk Corp Registered, SK Hynix

Title

CH1548145429 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145429

Fälligkeitstag

28.07.2027

Basiswert

SK Hynix Inc., SanDisk Corp Registered - CH1548145429

39.11% p.a. Autocallable Reverse Convertible on Alphabet, Apple, Intel

Title

CH1548143895 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143895

Fälligkeitstag

21.01.2027

Basiswert

Apple Inc., Alphabet, Inc., Intel Corp. - CH1548143895

3S

Title

A3GVUC - Compartment 360

Kategorie

Instifolio - Liquid

ISIN

DE000A3GVUC9

Basiswert

3S Index

4,00% p.a. (CHF) Cashare Anleihe

Title

A22F2G - Compartment 63

Kategorie

Loan linked - Corporate

ISIN

DE000A22F2G1

Fälligkeitstag

22.11.2022

Basiswert

Loan to Cashare

4,1% Immobilienanleihe 204

Title

A3KMRH - Compartment 279

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KMRH5

Fälligkeitstag

30.06.2025

Basiswert

Loan to CapRate Breslauer Straße GmbH

4.00% (3.97% p.a.) Barrier Reverse Convertible on UBS Group AG

Title

CH1476906529 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906529

Fälligkeitstag

07.09.2026

Basiswert

UBS Group AG

4.00% (8.00% p.a.) Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton

Title

CH1532244147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244147

Fälligkeitstag

25.09.2026

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1532244147

4.00% p.a. Autocallable Barrier Reverse Convertible on Alcon, ALSO Holding, Sonova, Swisscom

Title

CH1492025288 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025288

Fälligkeitstag

21.12.2026

Basiswert

Sonova Holding AG, Swisscom AG, Alcon Inc., ALSO Holding AG - CH1492025288

4.00% p.a. Autocallable Reverse Convertible on Allianz, AXA (Quanto CHF)

Title

CH1548141576 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141576

Fälligkeitstag

04.01.2027

Basiswert

Allianz SE, AXA SA - CH1548141576

4.00% p.a. Autocallable Reverse Convertible on Booking Holdings, NVIDIA, Uber Technologies (Quanto CHF)

Title

CH1492030882 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030882

Fälligkeitstag

28.01.2027

Basiswert

NVIDIA Corp., Uber Technologies Inc., Booking Holdings Inc. - CH1492030882

4.00% p.a. Autocallable Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532242810 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242810

Fälligkeitstag

18.03.2027

Basiswert

Compagnie Financière Richemont SA

4.00% p.a. Autocallable Reverse Convertible on Givaudan, SGS

Title

CH1476909473 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909473

Fälligkeitstag

25.09.2026

Basiswert

Givaudan SA, SGS SA - CH1476909473

4.00% p.a. Autocallable Reverse Convertible on Holcim, Partners Group Holding

Title

CH1492024091 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024091

Fälligkeitstag

11.09.2026

Basiswert

Partners Group Holding AG, Holcim Ltd - CH1492024091

4.00% p.a. Autocallable Reverse Convertible on Nestlé SA

Title

CH1548139802 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139802

Fälligkeitstag

24.06.2027

Basiswert

Nestlé SA

4.00% p.a. Autocallable Reverse Convertible on Swiss Life, Swiss Re

Title

CH1548147748 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147748

Fälligkeitstag

09.08.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG - CH1548147748

4.00% p.a. Reverse Convertible on RTX Corporation, Schneider Electric, Siemens (Quanto CHF)

Title

CH1548130900 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130900

Fälligkeitstag

07.12.2026

Basiswert

Siemens AG, RTX Corporation, Schneider Electric SE - CH1548130900

4.01% (12.03% p.a.) Reverse Convertible on Galderma Group, Sandoz Group, Ypsomed

Title

CH1548147441 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147441

Fälligkeitstag

07.12.2026

Basiswert

Sandoz Group AG, Galderma Group Ltd, Ypsomed Holding AG - CH1548147441

4.02% (4.02% p.a.) Barrier Reverse Convertible on Berkshire Hathaway, Colgate-Palmolive, Eli Lilly, PepsiCo, Walmart (Quanto CHF)

Title

CH1492024406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024406

Fälligkeitstag

15.12.2026

Basiswert

Eli Lilly & Co., PepsiCo Inc., Berkshire Hathaway Inc., Walmart Inc., Colgate-Palmolive Company - CH1492024406

4.02% (7.96% p.a.) Reverse Convertible on Home Depot Inc.

Title

CH1548133011 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133011

Fälligkeitstag

17.11.2026

Basiswert

Home Depot Inc.

4.02% (8.00% p.a.) Reverse Convertible on BMW, Mercedes-Benz Group, Volkswagen

Title

CH1548135560 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135560

Fälligkeitstag

04.12.2026

Basiswert

Bayerische Motoren Werke AG, Volkswagen AG, Mercedes-Benz Group AG - CH1548135560

4.02% (8.00% p.a.) Reverse Convertible on Georg Fischer AG

Title

CH1532244527 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244527

Fälligkeitstag

28.09.2026

Basiswert

Georg Fischer AG

4.02% (8.73% p.a.) Barrier Reverse Convertible on Deutsche Telekom, KPN

Title

CH1548141121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141121

Fälligkeitstag

18.12.2026

Basiswert

Deutsche Telekom AG, Royal KPN N.V. - CH1548141121

4.02% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548136261 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136261

Fälligkeitstag

07.06.2027

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA - CH1548136261

4.02% p.a. Reverse Convertible on Alphabet, Amazon.com, Microsoft (Quanto EUR)

Title

CH1492022285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022285

Fälligkeitstag

30.11.2026

Basiswert

Microsoft Corp., Amazon.com Inc., Alphabet, Inc. - CH1492022285

4.03% (4.03% p.a.) Barrier Reverse Convertible on Swiss Re AG

Title

CH1548148860 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148860

Fälligkeitstag

17.08.2027

Basiswert

Swiss Re AG

4.03% p.a. Callable Reverse Convertible on ARYZTA, Bucher, Siegfried

Title

CH1476906040 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906040

Fälligkeitstag

08.03.2027

Basiswert

Bucher Industries AG, Siegfried Holding AG, ARYZTA AG - CH1476906040

4.05% (4.03% p.a.) Reverse Convertible on L´Oréal, Unilever PLC

Title

CH1492036392 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036392

Fälligkeitstag

22.02.2027

Basiswert

L´Oréal International, Unilever PLC - CH1492036392

4.06% (8.00% p.a.) Reverse Convertible on ArcelorMittal, Heidelberg Materials

Title

CH1548139968 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139968

Fälligkeitstag

28.12.2026

Basiswert

Heidelberg Materials AG, ArcelorMittal S.A. - CH1548139968

4.06% (8.13% p.a.) Reverse Convertible on Logitech International SA

Title

CH1548145593 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145593

Fälligkeitstag

29.01.2027

Basiswert

Logitech International SA

4.07% p.a. Callable Barrier Reverse Convertible on Lonza, Roche, Swiss Re

Title

CH1548145775 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145775

Fälligkeitstag

29.07.2027

Basiswert

Roche Holding AG, Swiss Re AG, Lonza Group AG - CH1548145775

4.07% p.a. Callable Reverse Convertible on Sika AG (Quanto EUR)

Title

CH1492023358 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023358

Fälligkeitstag

07.12.2026

Basiswert

Sika AG

4.08% p.a. Autocallable Reverse Convertible on Alcon, BKW

Title

CH1548132625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132625

Fälligkeitstag

14.05.2027

Basiswert

BKW AG, Alcon Inc. - CH1548132625

4.08% p.a. Autocallable Reverse Convertible on Julius Bär, Richemont, Sika, UBS Group

Title

CH1492025437 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025437

Fälligkeitstag

21.12.2026

Basiswert

Sika AG, Compagnie Financière Richemont SA, UBS Group AG, Julius Bär Gruppe AG - CH1492025437

4.10% (4.10% p.a.) Barrier Reverse Convertible on Colgate-Palmolive, Johnson & Johnson, Lindt & Sprüngli, Mondelez Intl., Nestlé (Quanto CHF)

Title

CH1492034116 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034116

Fälligkeitstag

11.02.2027

Basiswert

Colgate-Palmolive Company, Johnson & Johnson, Nestlé SA, Lindt & Sprüngli AG, Mondelez International - CH1492034116

4.10% (4.10% p.a.) Barrier Reverse Convertible on Lonza, Novartis

Title

CH1548129571 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129571

Fälligkeitstag

30.04.2027

Basiswert

Novartis AG, Lonza Group AG - CH1548129571

4.11% (24.71% p.a.) Reverse Convertible on ASML, Prysmian

Title

CH1548144711 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144711

Fälligkeitstag

23.09.2026

Basiswert

ASML Holding NV, Prysmian SpA - CH1548144711

4.12% (16.67% p.a.) Reverse Convertible on Amphenol, Oklo Inc Registered, Vistra Energy (Quanto CHF)

Title

CH1548135271 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135271

Fälligkeitstag

31.08.2026

Basiswert

Amphenol Corp, Oklo Inc Registered, Vistra Energy Corp. - CH1548135271

4.12% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Zurich Insurance

Title

CH1548142947 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142947

Fälligkeitstag

15.07.2027

Basiswert

Nestlé SA, Novartis AG, Zurich Insurance Group Ltd - CH1548142947

4.12% p.a. Reverse Convertible on Givaudan, LVMH Moët Hennessy Louis Vuitton, Sika (Quanto CHF)

Title

CH1492016733 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016733

Fälligkeitstag

22.10.2026

Basiswert

Sika AG, Givaudan SA, LVMH Moët Hennessy Louis Vuitton SE - CH1492016733

4.13% (12.41% p.a.) Reverse Convertible on AMD, Broadcom

Title

CH1548149173 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149173

Fälligkeitstag

18.12.2026

Basiswert

Advanced Micro Devices Inc., Broadcom Inc. - CH1548149173

4.14% (16.75% p.a.) Reverse Convertible on Crowdstrike Holdings Inc.

Title

CH1548135248 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135248

Fälligkeitstag

31.08.2026

Basiswert

Crowdstrike Holdings Inc.

4.15% p.a. Autocallable Reverse Convertible on Nestlé, Roche

Title

CH1492026229 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026229

Fälligkeitstag

28.12.2026

Basiswert

Roche Holding AG, Nestlé SA - CH1492026229

4.17% (25.02% p.a.) Reverse Convertible on Alibaba Group, Taiwan Semiconductor Manufacturing

Title

CH1548144703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144703

Fälligkeitstag

23.09.2026

Basiswert

Alibaba Group Holding Limited, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144703

4.18% (4.16% p.a.) Barrier Reverse Convertible on Helvetia, Swiss Life, Swiss Re

Title

CH1476906396 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906396

Fälligkeitstag

07.09.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Helvetia Holding AG - CH1476906396

4.18% (4.19% p.a.) Barrier Reverse Convertible on Sika, Swiss Re

Title

CH1548140818 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140818

Fälligkeitstag

01.07.2027

Basiswert

Sika AG, Swiss Re AG - CH1548140818

4.18% p.a. Autocallable Reverse Convertible on Sika, UBS Group

Title

CH1492025957 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025957

Fälligkeitstag

24.12.2026

Basiswert

Sika AG, UBS Group AG - CH1492025957

4.19% (5.59% p.a.) Reverse Convertible on Lonza, Partners Group Holding, Swissquote

Title

CH1548145197 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145197

Fälligkeitstag

28.04.2027

Basiswert

Partners Group Holding AG, Lonza Group AG, Swissquote Group Holding SA - CH1548145197

4.19% (8.48% p.a.) Reverse Convertible on Deutsche Post AG

Title

CH1532246530 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246530

Fälligkeitstag

08.10.2026

Basiswert

Deutsche Post AG

4.19% p.a. Autocallable Reverse Convertible on Nestlé, Roche

Title

CH1548150387 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150387

Fälligkeitstag

24.08.2027

Basiswert

Nestlé SA, Roche Holding AG - CH1548150387

4.21% (16.29% p.a.) Reverse Convertible on Teradyne Inc.

Title

CH1596851910 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851910

Fälligkeitstag

01.12.2026

Basiswert

Teradyne Inc.

4.21% (4.21% p.a.) Barrier Reverse Convertible on Novartis, Partners Group Holding, Swiss Life

Title

CH1532240871 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240871

Fälligkeitstag

09.03.2027

Basiswert

Partners Group Holding AG, Novartis AG, Swiss Life Holding AG - CH1532240871

4.21% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1476906933 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906933

Fälligkeitstag

09.09.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1476906933

4.22% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Zurich Insurance

Title

CH1548140008 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140008

Fälligkeitstag

24.06.2027

Basiswert

Nestlé SA, Novartis AG, Zurich Insurance Group Ltd - CH1548140008

4.23% (8.41% p.a.) Reverse Convertible on Microsoft Corp.

Title

CH1548149249 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149249

Fälligkeitstag

19.02.2027

Basiswert

Microsoft Corp.

4.24% (8.35% p.a.) Reverse Convertible on Rio Tinto, Vale (Quanto EUR)

Title

CH1548139976 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139976

Fälligkeitstag

28.12.2026

Basiswert

Vale SA, Rio Tinto PLC - CH1548139976

4.24% (8.49% p.a.) Reverse Convertible on Galderma Group, Siegfried, Ypsomed

Title

CH1548146542 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146542

Fälligkeitstag

04.02.2027

Basiswert

Ypsomed Holding AG, Galderma Group Ltd, Siegfried Holding AG - CH1548146542

4.24% p.a. Reverse Convertible on Holcim, Sika

Title

CH1446057262 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057262

Fälligkeitstag

11.01.2027

Basiswert

Sika AG, Holcim Ltd - CH1446057262

4.25% (10.21% p.a.) Reverse Convertible on ABB Ltd

Title

CH1548144414 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144414

Fälligkeitstag

22.12.2026

Basiswert

ABB Ltd

4.25% (8.31% p.a.) Reverse Convertible on Adyen , Lenovo (Quanto CHF)

Title

CH1548148571 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148571

Fälligkeitstag

17.02.2027

Basiswert

Adyen N.V., Lenovo Group Limited - CH1548148571

4.25% p.a. Callable Reverse Convertible on Givaudan, Nestlé, Straumann (Quanto EUR)

Title

CH1492025585 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025585

Fälligkeitstag

22.12.2026

Basiswert

Givaudan SA, Nestlé SA, Straumann Holding AG - CH1492025585

4.26% p.a. Callable Barrier Reverse Convertible on Alcon, Helvetia Baloise, Novartis

Title

CH1548127963 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127963

Fälligkeitstag

22.04.2027

Basiswert

Helvetia Baloise Holding AG, Alcon Inc., Novartis AG - CH1548127963

4.27% (8.65% p.a.) Reverse Convertible on Accelleron Industries AG

Title

CH1532245979 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245979

Fälligkeitstag

05.10.2026

Basiswert

Accelleron Industries AG

4.27% p.a. Autocallable Reverse Convertible on Alcon, Geberit

Title

CH1548138481 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138481

Fälligkeitstag

18.06.2027

Basiswert

Alcon Inc., Geberit AG - CH1548138481

4.28% (10.29% p.a.) Reverse Convertible on Glencore, Rolls-Royce, Thales (Quanto EUR)

Title

CH1548143077 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143077

Fälligkeitstag

15.12.2026

Basiswert

Rolls-Royce Holdings PLC, Thales SA, Glencore PLC - CH1548143077

4.28% (8.46% p.a.) Reverse Convertible on Amazon.com Inc.

Title

CH1446049533 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1446049533

Fälligkeitstag

18.11.2025

Basiswert

Amazon.com Inc.

4.28% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1532240806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240806

Fälligkeitstag

11.09.2028

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA - CH1532240806

4.29% (8.55% p.a.) Reverse Convertible on ING Groep N.V.

Title

CH1532244568 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244568

Fälligkeitstag

28.09.2026

Basiswert

ING Groep N.V.

4.30% (12.60% p.a.) Barrier Reverse Convertible on Huber + Suhner AG

Title

CH1548150627 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150627

Fälligkeitstag

28.12.2026

Basiswert

Huber + Suhner AG

4.30% p.a. Reverse Convertible on Allianz, AXA, Swiss Life (Quanto CHF)

Title

CH1548149595 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149595

Fälligkeitstag

21.02.2028

Basiswert

AXA SA, Allianz SE, Swiss Life Holding AG - CH1548149595

4.32% (8.73% p.a.) Reverse Convertible on Rheinmetall AG

Title

CH1532239055 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239055

Fälligkeitstag

31.08.2026

Basiswert

Rheinmetall AG

4.32% p.a. Autocallable Reverse Convertible on Generali, Meta Platforms (Quanto CHF)

Title

CH1548128615 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128615

Fälligkeitstag

28.04.2027

Basiswert

Meta Platforms Inc., Assicurazioni Generali SpA - CH1548128615

4.32% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Sandoz Group

Title

CH1492032144 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032144

Fälligkeitstag

05.01.2027

Basiswert

Sandoz Group AG, Nestlé SA, Lonza Group AG - CH1492032144

4.33% p.a. Barrier Reverse Convertible on Julius Bär, Lindt & Sprüngli, Schindler

Title

CH1492033803 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033803

Fälligkeitstag

10.02.2027

Basiswert

Julius Bär Gruppe AG, Lindt & Sprüngli AG, Schindler Holding AG - CH1492033803

4.34% p.a. Reverse Convertible on Geberit, Logitech, Sonova

Title

CH1476910745 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910745

Fälligkeitstag

06.10.2026

Basiswert

Geberit AG, Logitech International SA, Sonova Holding AG - CH1476910745

4.35% p.a. Autocallable Reverse Convertible on Geberit, Novo Nordisk, Sanofi (Quanto CHF)

Title

CH1476908244 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908244

Fälligkeitstag

18.09.2026

Basiswert

Sanofi SA, Novo Nordisk A/S, Geberit AG - CH1476908244

4.36% (4.35% p.a.) Barrier Reverse Convertible on General Motors Co. (Quanto CHF)

Title

CH1492022681 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022681

Fälligkeitstag

02.12.2026

Basiswert

General Motors Co.

4.36% (4.36% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re

Title

CH1548144539 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144539

Fälligkeitstag

22.07.2027

Basiswert

Swiss Re AG, Helvetia Baloise Holding AG - CH1548144539

4.36% (8.73% p.a.) Barrier Reverse Convertible on Generali, Intesa Sanpaolo, Vinci

Title

CH1548129647 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129647

Fälligkeitstag

30.10.2026

Basiswert

Assicurazioni Generali SpA, Vinci SA, Intesa Sanpaolo SpA - CH1548129647

4.39% (4.38% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1492031476 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031476

Fälligkeitstag

01.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Helvetia Baloise Holding AG - CH1492031476

4.39% p.a. Callable Barrier Reverse Convertible on Amrize Ltd, Geberit

Title

CH1492023028 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023028

Fälligkeitstag

03.12.2026

Basiswert

Geberit AG, Amrize Ltd - CH1492023028

4.40% (4.40% p.a.) Barrier Reverse Convertible on Kraft Heinz, SLB Ltd (Quanto CHF)

Title

CH1532238446 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238446

Fälligkeitstag

26.02.2027

Basiswert

The Kraft Heinz Company, SLB Ltd - CH1532238446

4.40% (8.86% p.a.) Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton

Title

CH1548126544 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126544

Fälligkeitstag

16.10.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1548126544

4.40% p.a. Barrier Reverse Convertible on PSP Swiss Property, Swiss Prime Site, Swiss Re

Title

CH1548130744 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130744

Fälligkeitstag

07.05.2027

Basiswert

Swiss Prime Site AG, PSP Swiss Property AG, Swiss Re AG - CH1548130744

4.40% p.a. Reverse Convertible on Coca-Cola, McDonalds, SAP (Quanto CHF)

Title

CH1418950452 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950452

Fälligkeitstag

03.05.2027

Basiswert

SAP SE, Coca-Cola Company, McDonalds Corp. - CH1418950452

4.41% (41.81% p.a.) Reverse Convertible on Roundhill Memory ETF

Title

CH1548150486 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150486

Fälligkeitstag

29.09.2026

Basiswert

Roundhill Memory ETF

4.41% (8.67% p.a.) Reverse Convertible on S&P Global Inc.

Title

CH1548132716 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132716

Fälligkeitstag

17.11.2026

Basiswert

S&P Global Inc.

4.41% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134746 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134746

Fälligkeitstag

30.11.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548134746

4.42% (4.42% p.a.) Barrier Reverse Convertible on ABB, Galderma Group, Sandoz Group

Title

CH1548143960 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143960

Fälligkeitstag

20.07.2027

Basiswert

ABB Ltd, Galderma Group Ltd, Sandoz Group AG - CH1548143960

4.42% p.a. Reverse Convertible on ABB, Straumann

Title

CH1476907428 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907428

Fälligkeitstag

11.09.2026

Basiswert

Straumann Holding AG, ABB Ltd - CH1476907428

4.43% p.a. Reverse Convertible on Accelleron Industries AG

Title

CH1532240749 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240749

Fälligkeitstag

09.03.2027

Basiswert

Accelleron Industries AG

4.44% (17.96% p.a.) Reverse Convertible on Amazon.com, Microsoft, NVIDIA

Title

CH1548139596 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139596

Fälligkeitstag

24.09.2026

Basiswert

NVIDIA Corp., Microsoft Corp., Amazon.com Inc. - CH1548139596

4.44% (4.41% p.a.) Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1492036400 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036400

Fälligkeitstag

22.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1492036400

4.45% (8.95% p.a.) Reverse Convertible on Bayer AG

Title

CH1532246217 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246217

Fälligkeitstag

07.10.2026

Basiswert

Bayer AG

4.45% (8.97% p.a.) Reverse Convertible on Bayer AG

Title

CH1532246126 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246126

Fälligkeitstag

07.10.2026

Basiswert

Bayer AG

4.45% p.a. Reverse Convertible on L´Oréal, Lanxess, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1418945130 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418945130

Fälligkeitstag

18.03.2027

Basiswert

Lanxess AG, LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1418945130

4.47% (4.47% p.a.) Reverse Convertible on Bucher Industries AG

Title

CH1492023671 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023671

Fälligkeitstag

09.12.2026

Basiswert

Bucher Industries AG

4.48% (4.48% p.a.) Reverse Convertible on Inficon Holding AG

Title

CH1476905620 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905620

Fälligkeitstag

01.09.2026

Basiswert

Inficon Holding AG

4.48% (6.05% p.a.) Reverse Convertible on Safran, Thales

Title

CH1548129977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129977

Fälligkeitstag

01.02.2027

Basiswert

Thales SA, Safran SA - CH1548129977

4.48% (8.97% p.a.) Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1548149413 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149413

Fälligkeitstag

19.02.2027

Basiswert

Partners Group Holding AG

4.48% (9.12% p.a.) Reverse Convertible on Givaudan, Sika

Title

CH1532239212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239212

Fälligkeitstag

31.08.2026

Basiswert

Sika AG, Givaudan SA - CH1532239212

4.49% (15.25% p.a.) Barrier Reverse Convertible on PDD Holdings, Tencent, Trip.com (Quanto USD)

Title

CH1548146062 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146062

Fälligkeitstag

16.11.2026

Basiswert

Tencent Holdings Limited, PDD Holdings Inc., Trip.com Group Limited - CH1548146062

4.49% (4.49% p.a.) Barrier Reverse Convertible on Berkshire Hathaway, Coca-Cola, Kimberly-Clark, Republic Services (Quanto CHF)

Title

CH1548142640 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142640

Fälligkeitstag

13.07.2027

Basiswert

Republic Services Inc., Coca-Cola Company, Berkshire Hathaway Inc., Kimberly-Clark Corporation - CH1548142640

4.50% (4.50% p.a.) Barrier Reverse Convertible on Holcim, Roche, Swiss Re

Title

CH1548127419 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127419

Fälligkeitstag

22.04.2027

Basiswert

Roche Holding AG, Swiss Re AG, Holcim Ltd - CH1548127419

4.50% (4.50% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re

Title

CH1548132757 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132757

Fälligkeitstag

18.05.2027

Basiswert

Nestlé SA, Novartis AG, Swiss Re AG - CH1548132757

4.50% p.a. Autocallable Reverse Convertible on Air Liquide, Airbus, EssilorLuxottica (Quanto CHF)

Title

CH1548126510 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126510

Fälligkeitstag

19.07.2027

Basiswert

EssilorLuxottica SA, Air Liquide SA, Airbus SE - CH1548126510

4.50% p.a. Autocallable Reverse Convertible on Ferrari N.V. (Quanto CHF)

Title

CH1476912550 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912550

Fälligkeitstag

19.10.2026

Basiswert

Ferrari N.V.

4.50% p.a. Reverse Convertible on ABB, Accelleron Industries, BELIMO Holding

Title

CH1314935284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314935284

Fälligkeitstag

24.01.2028

Basiswert

BELIMO Holding AG, Accelleron Industries AG, ABB Ltd - CH1314935284

4.51% (4.52% p.a.) Barrier Reverse Convertible on Givaudan, Sika

Title

CH1492035048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035048

Fälligkeitstag

17.02.2027

Basiswert

Sika AG, Givaudan SA - CH1492035048

4.51% (5.00% p.a.) Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548136055 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136055

Fälligkeitstag

30.04.2027

Basiswert

Alcon Inc., Sonova Holding AG, Straumann Holding AG - CH1548136055

4.51% (5.00% p.a.) Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sunrise Communications AG

Title

CH1548136063 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136063

Fälligkeitstag

30.04.2027

Basiswert

Partners Group Holding AG, Sunrise Communications AG, Kuehne + Nagel International AG - CH1548136063

4.51% p.a. Autocallable Reverse Convertible on Amrize Ltd, Givaudan

Title

CH1492022806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022806

Fälligkeitstag

02.12.2026

Basiswert

Amrize Ltd, Givaudan SA - CH1492022806

4.51% p.a. Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1418950411 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950411

Fälligkeitstag

03.05.2028

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Swiss Re AG - CH1418950411

4.53% p.a. Autocallable Reverse Convertible on Roche, Zurich Insurance

Title

CH1532242018 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242018

Fälligkeitstag

15.03.2027

Basiswert

Roche Holding AG, Zurich Insurance Group Ltd - CH1532242018

4.53% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Straumann

Title

CH1532244055 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244055

Fälligkeitstag

24.03.2027

Basiswert

Compagnie Financière Richemont SA, Straumann Holding AG, Kuehne + Nagel International AG - CH1532244055

4.53% p.a. Reverse Convertible on Alcon, Georg Fischer, Swiss Re

Title

CH1492034918 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034918

Fälligkeitstag

16.02.2027

Basiswert

Alcon Inc., Georg Fischer AG, Swiss Re AG - CH1492034918

4.53% p.a. Reverse Convertible on Partners Group Holding, Siegfried

Title

CH1476907360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907360

Fälligkeitstag

11.03.2027

Basiswert

Partners Group Holding AG, Siegfried Holding AG - CH1476907360

4.54% (18.16% p.a.) Reverse Convertible on Burckhardt Compression Holding Ltd.

Title

CH1548146534 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146534

Fälligkeitstag

04.11.2026

Basiswert

Burckhardt Compression Holding Ltd.

4.54% (9.14% p.a.) Barrier Reverse Convertible on Deutsche Post, Kuehne + Nagel (Quanto EUR)

Title

CH1548128409 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128409

Fälligkeitstag

23.10.2026

Basiswert

Deutsche Post AG, Kuehne + Nagel International AG - CH1548128409

4.54% p.a. Autocallable Reverse Convertible on Burckhardt Compression Holding Ltd.

Title

CH1476910463 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910463

Fälligkeitstag

02.10.2026

Basiswert

Burckhardt Compression Holding Ltd.

4.54% p.a. Reverse Convertible on ABB, Accelleron Industries, Lonza

Title

CH1468580951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468580951

Fälligkeitstag

11.08.2028

Basiswert

Lonza Group AG, ABB Ltd, Accelleron Industries AG - CH1468580951

4.55% (9.26% p.a.) Reverse Convertible on Enel SpA

Title

CH1532239535 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239535

Fälligkeitstag

01.09.2026

Basiswert

Enel SpA

4.55% p.a. Autocallable Reverse Convertible on Meta Platforms Inc. (Quanto CHF)

Title

CH1548133623 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133623

Fälligkeitstag

21.05.2027

Basiswert

Meta Platforms Inc.

4.55% p.a. Reverse Convertible on BELIMO Holding, Logitech, Lonza

Title

CH1418945148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418945148

Fälligkeitstag

20.03.2028

Basiswert

Logitech International SA, Lonza Group AG, BELIMO Holding AG - CH1418945148

4.56% (17.67% p.a.) Reverse Convertible on Coinbase Global Inc.

Title

CH1596851944 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851944

Fälligkeitstag

01.12.2026

Basiswert

Coinbase Global Inc.

4.57% (7.79% p.a.) Barrier Reverse Convertible on Alcon, Amrize Ltd, Straumann

Title

CH1492031146 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031146

Fälligkeitstag

31.08.2026

Basiswert

Alcon Inc., Straumann Holding AG, Amrize Ltd - CH1492031146

4.57% (9.15% p.a.) Reverse Convertible on Kimberly-Clark, Procter & Gamble, Unilever PLC (Quanto EUR)

Title

CH1548136568 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136568

Fälligkeitstag

08.12.2026

Basiswert

The Procter & Gamble Company, Kimberly-Clark Corporation, Unilever PLC - CH1548136568

4.57% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492017897 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017897

Fälligkeitstag

02.11.2026

Basiswert

Roche Holding AG, Novartis AG, Nestlé SA - CH1492017897

4.58% (4.58% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548133714 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133714

Fälligkeitstag

21.05.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1548133714

4.58% (4.58% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swisscom

Title

CH1548140628 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140628

Fälligkeitstag

30.06.2027

Basiswert

Roche Holding AG, Novartis AG, Swisscom AG, Nestlé SA - CH1548140628

4.58% (6.09% p.a.) Barrier Reverse Convertible on Holcim, Sika

Title

CH1532246654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246654

Fälligkeitstag

11.01.2027

Basiswert

Holcim Ltd, Sika AG - CH1532246654

4.58% p.a. Autocallable Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548138499 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138499

Fälligkeitstag

18.06.2027

Basiswert

Compagnie Financière Richemont SA

4.58% p.a. Barrier Reverse Convertible on Interroll, Mobilezone, Richemont

Title

CH1548141089 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141089

Fälligkeitstag

05.01.2027

Basiswert

Interroll Holding AG, Mobilezone Holding AG, Compagnie Financière Richemont SA - CH1548141089

4.59% (4.56% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG (Quanto CHF)

Title

CH1476906537 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906537

Fälligkeitstag

07.09.2026

Basiswert

Heidelberg Materials AG

4.59% (9.08% p.a.) Barrier Reverse Convertible on Swissquote Group Holding SA

Title

CH1548149835 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149835

Fälligkeitstag

22.02.2027

Basiswert

Swissquote Group Holding SA

4.59% p.a. Autocallable Reverse Convertible on Goldman Sachs, Meta Platforms, Netflix (Quanto CHF)

Title

CH1476908459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908459

Fälligkeitstag

18.09.2026

Basiswert

The Goldman Sachs Group, Inc., Netflix Inc., Meta Platforms Inc. - CH1476908459

4.59% p.a. Callable Reverse Convertible on BELIMO Holding, dormakaba, Geberit

Title

CH1532239865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239865

Fälligkeitstag

04.03.2027

Basiswert

Geberit AG, dormakaba Holding AG, BELIMO Holding AG - CH1532239865

4.60% (42.49% p.a.) Reverse Convertible on Roundhill Memory ETF

Title

CH1548150254 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150254

Fälligkeitstag

29.09.2026

Basiswert

Roundhill Memory ETF

4.60% (7.85% p.a.) Barrier Reverse Convertible on Lonza, Sika, Swatch

Title

CH1492031120 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031120

Fälligkeitstag

31.08.2026

Basiswert

Lonza Group AG, Sika AG, The Swatch Group AG - CH1492031120

4.60% p.a. Autocallable Barrier Reverse Convertible on AstraZeneca, Novartis, Roche (Quanto EUR)

Title

CH1532238164 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238164

Fälligkeitstag

26.02.2027

Basiswert

Roche Holding AG, Novartis AG, AstraZeneca Group PLC - CH1532238164

4.60% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1492027748 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027748

Fälligkeitstag

13.01.2027

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1492027748

4.60% p.a. Reverse Convertible on Accelleron Industries, Partners Group Holding, Siemens Energy (Quanto CHF)

Title

CH1492032128 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032128

Fälligkeitstag

03.02.2027

Basiswert

Siemens Energy AG, Partners Group Holding AG, Accelleron Industries AG - CH1492032128

4.60% p.a. Reverse Convertible on Lonza, Swisscom, VAT

Title

CH1492034900 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034900

Fälligkeitstag

16.02.2027

Basiswert

Lonza Group AG, Swisscom AG, VAT Group AG - CH1492034900

4.61% (13.73% p.a.) Reverse Convertible on Lenovo , ServiceNow (Quanto GBP)

Title

CH1548149710 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149710

Fälligkeitstag

21.12.2026

Basiswert

Lenovo Group Limited, ServiceNow Inc - CH1548149710

4.61% p.a. Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1476905240 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905240

Fälligkeitstag

28.10.2026

Basiswert

Alcon Inc., Straumann Holding AG, Sonova Holding AG - CH1476905240

4.62% (4.61% p.a.) Reverse Convertible on Whitbread PLC

Title

CH1476905927 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905927

Fälligkeitstag

04.09.2026

Basiswert

Whitbread PLC

4.62% (9.09% p.a.) Reverse Convertible on Comet Holding AG

Title

CH1548140107 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140107

Fälligkeitstag

29.12.2026

Basiswert

Comet Holding AG

4.62% (9.24% p.a.) Barrier Reverse Convertible on MasterCard, Visa

Title

CH1548134910 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134910

Fälligkeitstag

27.11.2026

Basiswert

Visa Inc., MasterCard Inc - CH1548134910

4.62% (9.45% p.a.) Barrier Reverse Convertible on EssilorLuxottica, QIAGEN

Title

CH1476910299 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910299

Fälligkeitstag

27.03.2026

Basiswert

EssilorLuxottica SA, QIAGEN NV - CH1476910299

4.62% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134308 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134308

Fälligkeitstag

26.05.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548134308

4.63% (4.63% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swisscom, Waste Management (Quanto CHF)

Title

CH1492024430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024430

Fälligkeitstag

15.12.2026

Basiswert

Swisscom AG, Novartis AG, Roche Holding AG, Waste Management, Inc., Nestlé SA - CH1492024430

4.63% (9.31% p.a.) Reverse Convertible on Broadcom Inc. (Quanto EUR)

Title

CH1532246134 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246134

Fälligkeitstag

07.10.2026

Basiswert

Broadcom Inc.

4.63% p.a. Barrier Reverse Convertible on Amazon.com, ING, Lindt & Sprüngli, Microsoft, Sika, Swisscom (Quanto CHF)

Title

CH1492035360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035360

Fälligkeitstag

19.02.2027

Basiswert

Lindt & Sprüngli AG, Swisscom AG, Sika AG, ING Groep N.V., Microsoft Corp., Amazon.com Inc. - CH1492035360

4.64% p.a. Autocallable Reverse Convertible on Alcon, Lindt & Sprüngli, Richemont

Title

CH1476909994 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909994

Fälligkeitstag

29.09.2026

Basiswert

Alcon Inc., Compagnie Financière Richemont SA, Lindt & Sprüngli AG - CH1476909994

4.67% (4.67% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492030171 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030171

Fälligkeitstag

26.01.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1492030171

4.67% (9.45% p.a.) Reverse Convertible on Mercedes-Benz Group AG

Title

CH1532246514 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246514

Fälligkeitstag

08.10.2026

Basiswert

Mercedes-Benz Group AG

4.68% (4.65% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re

Title

CH1548126601 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126601

Fälligkeitstag

19.04.2027

Basiswert

Swiss Re AG, Helvetia Baloise Holding AG - CH1548126601

4.68% (9.21% p.a.) Reverse Convertible on Microsoft Corp.

Title

CH1532241424 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241424

Fälligkeitstag

14.09.2026

Basiswert

Microsoft Corp.

4.68% (9.46% p.a.) Barrier Reverse Convertible on ASML, Infineon

Title

CH1548131098 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131098

Fälligkeitstag

06.11.2026

Basiswert

ASML Holding NV, Infineon Technologies AG - CH1548131098

4.68% p.a. Reverse Convertible on Allianz, AXA, Munich Re

Title

CH1492020123 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020123

Fälligkeitstag

11.11.2026

Basiswert

Allianz SE, AXA SA, Münchener Rückversicherungs AG - CH1492020123

4.69% (9.33% p.a.) Reverse Convertible on Airbus, Siemens

Title

CH1548144877 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144877

Fälligkeitstag

25.01.2027

Basiswert

Airbus SE, Siemens AG - CH1548144877

4.70% p.a. Callable Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1532239881 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239881

Fälligkeitstag

04.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1532239881

4.71% (6.28% p.a.) Reverse Convertible on Lonza Group AG

Title

CH1548142350 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142350

Fälligkeitstag

09.04.2027

Basiswert

Lonza Group AG

4.71% p.a. Barrier Reverse Convertible on Holcim, Swiss Re, UBS Group

Title

CH1548128755 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128755

Fälligkeitstag

28.04.2027

Basiswert

Holcim Ltd, Swiss Re AG, UBS Group AG - CH1548128755

4.71% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548131478 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131478

Fälligkeitstag

12.05.2027

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1548131478

4.71% p.a. Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1548143333 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143333

Fälligkeitstag

16.07.2027

Basiswert

Zurich Insurance Group Ltd, Helvetia Baloise Holding AG, Swiss Re AG - CH1548143333

4.72% (4.72% p.a.) Barrier Reverse Convertible on Accelleron Industries, Flughafen Zürich, SGS

Title

CH1548140990 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140990

Fälligkeitstag

01.07.2027

Basiswert

Accelleron Industries AG, Flughafen Zürich AG, SGS SA - CH1548140990

4.73% p.a. Barrier Reverse Convertible on Deutsche Telekom, E.ON, L´Oréal, Lonza, Roche, Swiss Re (Quanto CHF)

Title

CH1492036137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036137

Fälligkeitstag

22.02.2027

Basiswert

Deutsche Telekom AG, E.ON SE, L´Oréal International, Swiss Re AG, Lonza Group AG, Roche Holding AG - CH1492036137

4.74% (4.71% p.a.) Barrier Reverse Convertible on Helvetia, Swiss Life, Zurich Insurance

Title

CH1476909739 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909739

Fälligkeitstag

28.09.2026

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Helvetia Holding AG - CH1476909739

4.75% (19.02% p.a.) Reverse Convertible on Bayer, Rheinmetall, Siemens

Title

CH1548144380 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144380

Fälligkeitstag

22.10.2026

Basiswert

Bayer AG, Siemens AG, Rheinmetall AG - CH1548144380

4.75% (9.20% p.a.) Reverse Convertible on Ferrari, Hermes (Quanto EUR)

Title

CH1548128375 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128375

Fälligkeitstag

03.11.2026

Basiswert

Hermes International, Ferrari N.V. - CH1548128375

4.75% (9.52% p.a.) Reverse Convertible on Kimberly-Clark, Procter & Gamble, Unilever PLC (Quanto EUR)

Title

CH1548136980 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136980

Fälligkeitstag

10.12.2026

Basiswert

Unilever PLC, Kimberly-Clark Corporation, The Procter & Gamble Company - CH1548136980

4.75% p.a. Autocallable Barrier Reverse Convertible on Temenos AG

Title

CH1548129407 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129407

Fälligkeitstag

28.04.2027

Basiswert

Temenos AG

4.75% p.a. Callable Barrier Reverse Convertible on Schneider Electric, Siemens

Title

CH1492016782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016782

Fälligkeitstag

22.01.2027

Basiswert

Siemens AG, Schneider Electric SE - CH1492016782

4.76% (4.76% p.a.) Barrier Reverse Convertible on Lonza, Straumann, UBS Group

Title

CH1476907022 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907022

Fälligkeitstag

09.09.2026

Basiswert

Lonza Group AG, Straumann Holding AG, UBS Group AG - CH1476907022

4.76% (9.52% p.a.) Barrier Reverse Convertible on SIG Group AG

Title

CH1548144281 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144281

Fälligkeitstag

21.01.2027

Basiswert

SIG Group AG

4.76% p.a. Autocallable Reverse Convertible on Straumann Holding AG

Title

CH1548138523 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138523

Fälligkeitstag

18.06.2027

Basiswert

Straumann Holding AG

4.77% (4.75% p.a.) Barrier Reverse Convertible on Straumann Holding AG

Title

CH1596851985 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851985

Fälligkeitstag

30.08.2027

Basiswert

Straumann Holding AG

4.78% (14.34% p.a.) Reverse Convertible on medmix, Mobilezone

Title

CH1548136857 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136857

Fälligkeitstag

09.10.2026

Basiswert

medmix AG, Mobilezone Holding AG - CH1548136857

4.78% p.a. Callable Barrier Reverse Convertible on Intuitive Surgical, UnitedHealth (Quanto EUR)

Title

CH1492016840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016840

Fälligkeitstag

25.01.2027

Basiswert

UnitedHealth Group Inc., Intuitive Surgical Inc. - CH1492016840

4.78% p.a. Reverse Convertible on Air Products and Chemicals, Cisco Systems, Procter & Gamble

Title

CH1532240269 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240269

Fälligkeitstag

08.03.2027

Basiswert

Air Products and Chemicals, Inc., Cisco Systems Inc., The Procter & Gamble Company - CH1532240269

4.79% (9.59% p.a.) Reverse Convertible on Hewlett-Packard Enterprise Company (Quanto EUR)

Title

CH1548146856 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146856

Fälligkeitstag

05.02.2027

Basiswert

Hewlett-Packard Enterprise Company

4.79% p.a. Reverse Convertible on Intuitive Surgical, Novartis, Walt Disney (Quanto CHF)

Title

CH1418950437 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950437

Fälligkeitstag

03.05.2029

Basiswert

Novartis AG, Intuitive Surgical Inc., The Walt Disney Company - CH1418950437

4.80% (4.77% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1476906503 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906503

Fälligkeitstag

07.09.2026

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1476906503

4.80% (4.80% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1548128987 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128987

Fälligkeitstag

29.04.2027

Basiswert

VAT Group AG

4.80% (6.38% p.a.) Reverse Convertible on Lonza Group AG

Title

CH1548140602 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140602

Fälligkeitstag

01.04.2027

Basiswert

Lonza Group AG

4.80% p.a. Autocallable Reverse Convertible on Geberit, Givaudan, Sika

Title

CH1548150379 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150379

Fälligkeitstag

24.08.2027

Basiswert

Sika AG, Givaudan SA, Geberit AG - CH1548150379

4.81% (18.64% p.a.) Reverse Convertible on Applovin Corporation

Title

CH1596851951 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851951

Fälligkeitstag

01.12.2026

Basiswert

Applovin Corporation

4.81% (4.81% p.a.) Barrier Reverse Convertible on Amrize Ltd

Title

CH1492023085 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023085

Fälligkeitstag

03.12.2026

Basiswert

Amrize Ltd

4.81% (9.52% p.a.) Reverse Convertible on Lockheed Martin, Northrop Grumman, RTX Corporation

Title

CH1548139984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139984

Fälligkeitstag

28.12.2026

Basiswert

Lockheed Martin Corp, RTX Corporation, Northrop Grumman Corp - CH1548139984

4.81% (9.63% p.a.) Reverse Convertible on VAT Group AG

Title

CH1548146708 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146708

Fälligkeitstag

05.02.2027

Basiswert

VAT Group AG

4.81% p.a. Reverse Convertible on Anheuser-Busch InBev, Danone, Suedzucker (Quanto CHF)

Title

CH1532237265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237265

Fälligkeitstag

24.08.2027

Basiswert

Danone SA, Anheuser-Busch InBev NV, Suedzucker AG - CH1532237265

4.81% p.a. Reverse Convertible on Barry Callebaut, Givaudan, Straumann

Title

CH1476910737 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910737

Fälligkeitstag

06.10.2026

Basiswert

Straumann Holding AG, Givaudan SA, Barry Callebaut AG - CH1476910737

4.82% (14.46% p.a.) Reverse Convertible on AMD, Corning (Quanto EUR)

Title

CH1548147912 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147912

Fälligkeitstag

11.12.2026

Basiswert

Corning Inc., Advanced Micro Devices Inc. - CH1548147912

4.82% (19.29% p.a.) Reverse Convertible on Sika AG

Title

CH1548148522 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148522

Fälligkeitstag

13.11.2026

Basiswert

Sika AG

4.82% (6.43% p.a.) Barrier Reverse Convertible on Lonza, Novartis, Roche, Sandoz Group

Title

CH1548131221 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131221

Fälligkeitstag

08.02.2027

Basiswert

Lonza Group AG, Novartis AG, Roche Holding AG, Sandoz Group AG - CH1548131221

4.82% (9.53% p.a.) Reverse Convertible on Bachem, Galderma Group, Ypsomed

Title

CH1548149876 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149876

Fälligkeitstag

22.02.2027

Basiswert

Galderma Group Ltd, Ypsomed Holding AG, Bachem Holding AG - CH1548149876

4.82% (9.64% p.a.) Reverse Convertible on Alphabet, Inc.

Title

CH1532246753 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246753

Fälligkeitstag

08.10.2026

Basiswert

Alphabet, Inc.

4.82% (9.65% p.a.) Barrier Reverse Convertible on Lonza, Nestlé, Novartis (Quanto USD)

Title

CH1548135107 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135107

Fälligkeitstag

01.12.2026

Basiswert

Lonza Group AG, Novartis AG, Nestlé SA - CH1548135107

4.82% p.a. Callable Barrier Reverse Convertible on Capgemini, Michelin

Title

CH1492016774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016774

Fälligkeitstag

22.01.2027

Basiswert

Cie Générale des Etablissements Michelin, Capgemini SE - CH1492016774

4.82% p.a. Reverse Convertible on ARYZTA, Bachem, Straumann

Title

CH1476909093 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909093

Fälligkeitstag

23.09.2026

Basiswert

Bachem Holding AG, ARYZTA AG, Straumann Holding AG - CH1476909093

4.83% (4.83% p.a.) Reverse Convertible on ENI, TotalEnergies

Title

CH1492033423 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033423

Fälligkeitstag

09.02.2027

Basiswert

TotalEnergies SE, ENI SpA - CH1492033423

4.83% (6.45% p.a.) Barrier Reverse Convertible on AXA, Enel, ENGIE, Munich Re

Title

CH1548146005 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146005

Fälligkeitstag

30.04.2027

Basiswert

Münchener Rückversicherungs AG, AXA SA, Enel SpA, ENGIE SA - CH1548146005

4.83% (9.67% p.a.) Barrier Reverse Convertible on BKW, Julius Bär, Sulzer

Title

CH1548129597 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129597

Fälligkeitstag

30.10.2026

Basiswert

Julius Bär Gruppe AG, BKW AG, Sulzer AG - CH1548129597

4.83% p.a. Autocallable Reverse Convertible on Givaudan, Novartis

Title

CH1548138515 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138515

Fälligkeitstag

18.06.2027

Basiswert

Novartis AG, Givaudan SA - CH1548138515

4.84% (4.82% p.a.) Reverse Convertible on EMS-Chemie Holding AG

Title

CH1548126536 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126536

Fälligkeitstag

19.04.2027

Basiswert

EMS-Chemie Holding AG

4.84% (9.69% p.a.) Reverse Convertible on GE Vernova Inc. (Quanto CHF)

Title

CH1548136618 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136618

Fälligkeitstag

08.12.2026

Basiswert

GE Vernova Inc.

4.84% p.a. Autocallable Reverse Convertible on Givaudan, Sika

Title

CH1548133615 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133615

Fälligkeitstag

21.05.2027

Basiswert

Givaudan SA, Sika AG - CH1548133615

4.84% p.a. Autocallable Reverse Convertible on Nestlé, SGS, Zurich Insurance

Title

CH1548145684 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145684

Fälligkeitstag

29.07.2027

Basiswert

Nestlé SA, Zurich Insurance Group Ltd, SGS SA - CH1548145684

4.85% (9.70% p.a.) Reverse Convertible on Galderma Group, Lonza, Ypsomed

Title

CH1548147938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147938

Fälligkeitstag

12.02.2027

Basiswert

Lonza Group AG, Ypsomed Holding AG, Galderma Group Ltd - CH1548147938

4.86% (19.68% p.a.) Reverse Convertible on Robinhood Markets Inc.

Title

CH1548135222 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135222

Fälligkeitstag

31.08.2026

Basiswert

Robinhood Markets Inc.

4.86% (4.86% p.a.) Barrier Reverse Convertible on Lonza Group AG

Title

CH1532238362 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238362

Fälligkeitstag

26.02.2027

Basiswert

Lonza Group AG

4.86% (9.89% p.a.) Reverse Convertible on Swiss Re AG

Title

CH1532239543 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239543

Fälligkeitstag

01.09.2026

Basiswert

Swiss Re AG

4.86% p.a. Autocallable Reverse Convertible on Netflix Inc. (Quanto EUR)

Title

CH1476910307 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910307

Fälligkeitstag

01.10.2026

Basiswert

Netflix Inc.

4.86% p.a. Autocallable Reverse Convertible on Novartis, Sika

Title

CH1492024828 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024828

Fälligkeitstag

16.12.2026

Basiswert

Sika AG, Novartis AG - CH1492024828

4.87% (19.49% p.a.) Reverse Convertible on Burckhardt Compression Holding Ltd.

Title

CH1548143879 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143879

Fälligkeitstag

20.10.2026

Basiswert

Burckhardt Compression Holding Ltd.

4.87% (7.10% p.a.) Barrier Reverse Convertible on Webuild S.p.A

Title

CH1492026062 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026062

Fälligkeitstag

31.08.2026

Basiswert

Webuild S.p.A

4.87% p.a. Autocallable Reverse Convertible on Dell Technologies, Intel, Microsoft (Quanto EUR)

Title

CH1492032326 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032326

Fälligkeitstag

04.02.2027

Basiswert

Dell Technologies Inc., Intel Corp., Microsoft Corp. - CH1492032326

4.88% (4.85% p.a.) Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1476909747 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909747

Fälligkeitstag

28.09.2026

Basiswert

Partners Group Holding AG, UBS Group AG - CH1476909747

4.88% (4.86% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1492036319 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492036319

Fälligkeitstag

22.02.2027

Basiswert

Sandoz Group AG

4.88% (4.88% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492029561 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492029561

Fälligkeitstag

22.01.2027

Basiswert

Logitech International SA

4.89% (8.35% p.a.) Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Logitech

Title

CH1492031138 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031138

Fälligkeitstag

31.08.2026

Basiswert

Logitech International SA, Kuehne + Nagel International AG, Geberit AG - CH1492031138

4.89% p.a. Autocallable Reverse Convertible on Adidas, Burberry, JPMorgan Chase (Quanto CHF)

Title

CH1476908475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908475

Fälligkeitstag

18.09.2026

Basiswert

Adidas AG, Burberry Group PLC, JPMorgan Chase & Co. - CH1476908475

4.89% p.a. Autocallable Reverse Convertible on Alcon, Givaudan, Richemont

Title

CH1476910000 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910000

Fälligkeitstag

29.09.2026

Basiswert

Alcon Inc., Compagnie Financière Richemont SA, Givaudan SA - CH1476910000

4.89% p.a. Barrier Reverse Convertible on Roche, Straumann, Zurich Insurance

Title

CH1548129720 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129720

Fälligkeitstag

03.05.2027

Basiswert

Zurich Insurance Group Ltd, Straumann Holding AG, Roche Holding AG - CH1548129720

4.90% (9.81% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1548137079 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137079

Fälligkeitstag

10.12.2026

Basiswert

Partners Group Holding AG

4.90% p.a. Autocallable Reverse Convertible on Air Liquide, Bouygues, Schneider Electric

Title

CH1548142384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142384

Fälligkeitstag

11.10.2027

Basiswert

Schneider Electric SE, Bouygues SA, Air Liquide SA - CH1548142384

4.90% p.a. Barrier Reverse Convertible on EMS-Chemie, Swiss Re, UBS Group

Title

CH1492019232 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019232

Fälligkeitstag

07.05.2027

Basiswert

UBS Group AG, Swiss Re AG, EMS-Chemie Holding AG - CH1492019232

4.90% p.a. Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1476905976 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905976

Fälligkeitstag

27.11.2026

Basiswert

Infineon Technologies AG

4.90% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com (Quanto EUR)

Title

CH1492016865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016865

Fälligkeitstag

25.01.2027

Basiswert

Alphabet, Inc., Amazon.com Inc. - CH1492016865

4.91% p.a. Autocallable Reverse Convertible on Netflix Inc. (Quanto EUR)

Title

CH1476909598 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909598

Fälligkeitstag

25.09.2026

Basiswert

Netflix Inc.

4.92% p.a. Barrier Reverse Convertible on Novartis, Swiss Re, Swisscom

Title

CH1492022202 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022202

Fälligkeitstag

26.11.2026

Basiswert

Novartis AG, Swiss Re AG, Swisscom AG - CH1492022202

4.95% (19.82% p.a.) Reverse Convertible on Space Exploration Technologies Corporation

Title

CH1548146930 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146930

Fälligkeitstag

05.11.2026

Basiswert

Space Exploration Technologies Corporation

4.95% (4.95% p.a.) Barrier Reverse Convertible on ABB, Sika, VAT

Title

CH1492035113 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035113

Fälligkeitstag

17.02.2027

Basiswert

ABB Ltd, Sika AG, VAT Group AG - CH1492035113

4.95% (9.80% p.a.) Reverse Convertible on SAP SE

Title

CH1548126551 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126551

Fälligkeitstag

19.10.2026

Basiswert

SAP SE

4.95% p.a. Autocallable Reverse Convertible on Air Liquide, Allianz, Sanofi (Quanto CHF)

Title

CH1492019703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019703

Fälligkeitstag

09.11.2026

Basiswert

Sanofi SA, Air Liquide SA, Allianz SE - CH1492019703

4.95% p.a. Autocallable Reverse Convertible on Generali, Leonardo

Title

CH1532245623 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245623

Fälligkeitstag

06.04.2027

Basiswert

Assicurazioni Generali SpA, Leonardo S.p.a. - CH1532245623

4.95% p.a. Autocallable Reverse Convertible on Logitech, SAP (Quanto CHF)

Title

CH1548146047 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146047

Fälligkeitstag

01.02.2027

Basiswert

Logitech International SA, SAP SE - CH1548146047

4.96% (19.41% p.a.) Reverse Convertible on Super Micro Computer Inc (Quanto EUR)

Title

CH1548147532 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147532

Fälligkeitstag

09.11.2026

Basiswert

Super Micro Computer Inc

4.96% (9.76% p.a.) Reverse Convertible on Alphabet, Inc.

Title

CH1532245748 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245748

Fälligkeitstag

05.10.2026

Basiswert

Alphabet, Inc.

4.96% p.a. Callable Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1492017962 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017962

Fälligkeitstag

29.10.2026

Basiswert

Sonova Holding AG, Straumann Holding AG, Alcon Inc. - CH1492017962

4.98% (4.98% p.a.) Barrier Reverse Convertible on ABB Ltd

Title

CH1548127559 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127559

Fälligkeitstag

22.04.2027

Basiswert

ABB Ltd

4.98% (4.99% p.a.) Barrier Reverse Convertible on Holcim, Novartis, Swiss Re

Title

CH1476909945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909945

Fälligkeitstag

29.09.2026

Basiswert

Novartis AG, Holcim Ltd, Swiss Re AG - CH1476909945

4.98% p.a. Barrier Reverse Convertible on Geberit, Novartis, Swiss Life

Title

CH1492033712 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033712

Fälligkeitstag

10.02.2027

Basiswert

Geberit AG, Novartis AG, Swiss Life Holding AG - CH1492033712

4.99% p.a. Reverse Convertible on Amrize Ltd, Bachem, Holcim, SGS

Title

CH1476904078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904078

Fälligkeitstag

20.08.2027

Basiswert

Bachem Holding AG, SGS SA, Amrize Ltd, Holcim Ltd - CH1476904078

47.21% p.a. Callable Barrier Reverse Convertible on Intel, Qualcomm, STMicroelectronics (Quanto USD)

Title

CH1548135529 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135529

Fälligkeitstag

04.12.2026

Basiswert

STMicroelectronics NV, Qualcomm Inc., Intel Corp. - CH1548135529

5,00% p.a. (CHF) Cashare Anleihe Series II

Title

A3K9GV-Compartment 63

Kategorie

Loan linked - Corporate

ISIN

DE000A3K9GV3

Fälligkeitstag

10.11.2028

Basiswert

Loan to Cashare

5,75% Spanish Loan Basket Bond

Title

A280S0 - Compartment 233

Kategorie

Loan linked - Corporate

ISIN

DE000A280S07

Fälligkeitstag

16.10.2025

Basiswert

Loan Basket

5.00% (10.00% p.a.) Reverse Convertible on Broadcom Inc. (Quanto EUR)

Title

CH1548127658 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127658

Fälligkeitstag

22.10.2026

Basiswert

Broadcom Inc.

5.00% (10.00% p.a.) Reverse Convertible on Palantir Technologies Inc.

Title

CH1548136592 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136592

Fälligkeitstag

08.12.2026

Basiswert

Palantir Technologies Inc.

5.00% (10.00% p.a.) Reverse Convertible on ServiceNow Inc

Title

CH1548136584 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136584

Fälligkeitstag

08.12.2026

Basiswert

ServiceNow Inc

5.00% (5.00% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1476911099 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911099

Fälligkeitstag

08.10.2026

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1476911099

5.00% p.a. Autocallable Reverse Convertible on ASML, Microsoft, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548129167 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129167

Fälligkeitstag

29.04.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Microsoft Corp. - CH1548129167

5.00% p.a. Autocallable Reverse Convertible on Airbus, Safran, TotalEnergies (Quanto CHF)

Title

CH1492029330 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029330

Fälligkeitstag

21.04.2027

Basiswert

TotalEnergies SE, Safran SA, Airbus SE - CH1492029330

5.00% p.a. Autocallable Reverse Convertible on Alcon, Lonza

Title

CH1548148662 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148662

Fälligkeitstag

11.02.2027

Basiswert

Alcon Inc., Lonza Group AG - CH1548148662

5.00% p.a. Autocallable Reverse Convertible on Amgen Inc.

Title

CH1532239048 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239048

Fälligkeitstag

26.02.2027

Basiswert

Amgen Inc.

5.00% p.a. Autocallable Reverse Convertible on Avolta, Flughafen Zürich

Title

CH1548132153 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132153

Fälligkeitstag

13.08.2027

Basiswert

Flughafen Zürich AG, Avolta AG - CH1548132153

5.00% p.a. Autocallable Reverse Convertible on Coca-Cola Company

Title

CH1532240566 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240566

Fälligkeitstag

08.03.2027

Basiswert

Coca-Cola Company

5.00% p.a. Autocallable Reverse Convertible on EMS-Chemie, Geberit, Sika

Title

CH1532242919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242919

Fälligkeitstag

20.09.2027

Basiswert

Sika AG, Geberit AG, EMS-Chemie Holding AG - CH1532242919

5.00% p.a. Autocallable Reverse Convertible on EMS-Chemie, Geberit, Sika

Title

CH1476908848 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908848

Fälligkeitstag

22.09.2026

Basiswert

EMS-Chemie Holding AG, Geberit AG, Sika AG - CH1476908848

5.00% p.a. Autocallable Reverse Convertible on Givaudan SA

Title

CH1548142822 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142822

Fälligkeitstag

12.07.2027

Basiswert

Givaudan SA

5.00% p.a. Autocallable Reverse Convertible on Givaudan, UBS Group, Zurich Insurance

Title

CH1446057353 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057353

Fälligkeitstag

14.10.2026

Basiswert

UBS Group AG, Givaudan SA, Zurich Insurance Group Ltd - CH1446057353

5.00% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548151054 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548151054

Fälligkeitstag

25.05.2027

Basiswert

Logitech International SA

5.00% p.a. Autocallable Reverse Convertible on Nestlé SA

Title

CH1548148613 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148613

Fälligkeitstag

13.08.2027

Basiswert

Nestlé SA

5.00% p.a. Autocallable Reverse Convertible on Sandoz Group AG

Title

CH1548143044 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143044

Fälligkeitstag

13.01.2027

Basiswert

Sandoz Group AG

5.00% p.a. Autocallable Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1548150601 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150601

Fälligkeitstag

25.02.2028

Basiswert

Sunrise Communications AG, Swisscom AG - CH1548150601

5.00% p.a. Autocallable Reverse Convertible on Swiss Life, Swiss Re (Quanto EUR)

Title

CH1548145387 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145387

Fälligkeitstag

28.01.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG - CH1548145387

5.00% p.a. Autocallable Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548149744 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149744

Fälligkeitstag

21.08.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548149744

5.00% p.a. Autocallable Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532240152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240152

Fälligkeitstag

02.06.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1532240152

5.00% p.a. Autocallable Reverse Convertible on Wolters Kluwer NV (Quanto CHF)

Title

CH1548148076 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148076

Fälligkeitstag

12.08.2027

Basiswert

Wolters Kluwer NV

5.00% p.a. Barrier Reverse Convertible on Adecco Group AG

Title

CH1548149397 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149397

Fälligkeitstag

17.08.2027

Basiswert

Adecco Group AG

5.00% p.a. Barrier Reverse Convertible on Bachem Holding AG

Title

CH1548135412 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135412

Fälligkeitstag

28.05.2027

Basiswert

Bachem Holding AG

5.00% p.a. Barrier Reverse Convertible on Nestlé, Roche, SGS

Title

CH1476909895 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909895

Fälligkeitstag

28.09.2026

Basiswert

Roche Holding AG, Nestlé SA, SGS SA - CH1476909895

5.00% p.a. Reverse Convertible on L´Oréal, Symrise, Zalando

Title

CH1492022673 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022673

Fälligkeitstag

01.12.2026

Basiswert

L´Oréal International, Symrise AG, Zalando SE - CH1492022673

5.00% p.a. Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1532240947 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240947

Fälligkeitstag

10.03.2027

Basiswert

Zurich Insurance Group Ltd, Partners Group Holding AG, UBS Group AG - CH1532240947

5.01% (5.01% p.a.) Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1492024042 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024042

Fälligkeitstag

11.12.2026

Basiswert

UBS Group AG, Julius Bär Gruppe AG - CH1492024042

5.01% (5.01% p.a.) Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548140842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140842

Fälligkeitstag

01.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1548140842

5.01% (5.01% p.a.) Reverse Convertible on ABB, Logitech, Nestlé

Title

CH1492025908 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025908

Fälligkeitstag

24.12.2026

Basiswert

ABB Ltd, Logitech International SA, Nestlé SA - CH1492025908

5.02% (5.02% p.a.) Barrier Reverse Convertible on AXA, Helvetia, Swiss Life, Swiss Re (Quanto CHF)

Title

CH1476909580 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909580

Fälligkeitstag

25.09.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, Helvetia Holding AG, AXA SA - CH1476909580

5.02% (5.02% p.a.) Barrier Reverse Convertible on Munich Re, Swiss Re, Zurich Insurance (Quanto CHF)

Title

CH1548137384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137384

Fälligkeitstag

11.06.2027

Basiswert

Swiss Re AG, Münchener Rückversicherungs AG, Zurich Insurance Group Ltd - CH1548137384

5.02% p.a. Autocallable Reverse Convertible on Apple, Microsoft, Uber Technologies (Quanto CHF)

Title

CH1476908483 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908483

Fälligkeitstag

18.09.2026

Basiswert

Apple Inc., Microsoft Corp., Uber Technologies Inc. - CH1476908483

5.02% p.a. Barrier Reverse Convertible on Amrize Ltd, Geberit, Holcim, Sika

Title

CH1492016667 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016667

Fälligkeitstag

21.10.2026

Basiswert

Amrize Ltd, Sika AG, Holcim Ltd, Geberit AG - CH1492016667

5.02% p.a. Callable Barrier Reverse Convertible on Alcon, Holcim, Swiss Re

Title

CH1548132492 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132492

Fälligkeitstag

14.05.2027

Basiswert

Alcon Inc., Holcim Ltd, Swiss Re AG - CH1548132492

5.03% (5.00% p.a.) Barrier Reverse Convertible on BAE Systems, Dassault Aviation SA (Quanto EUR)

Title

CH1492036079 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036079

Fälligkeitstag

22.02.2027

Basiswert

Dassault Aviation SA, BAE Systems PLC - CH1492036079

5.03% (5.02% p.a.) Barrier Reverse Convertible on Lonza, Nestlé, Novartis, Roche

Title

CH1548131874 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131874

Fälligkeitstag

13.05.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG, Lonza Group AG - CH1548131874

5.03% p.a. Autocallable Barrier Reverse Convertible on ABB, Geberit, Holcim

Title

CH1548148423 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148423

Fälligkeitstag

13.08.2027

Basiswert

Geberit AG, ABB Ltd, Holcim Ltd - CH1548148423

5.03% p.a. Reverse Convertible on Givaudan, Logitech, Partners Group Holding

Title

CH1476905273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905273

Fälligkeitstag

31.08.2026

Basiswert

Partners Group Holding AG, Givaudan SA, Logitech International SA - CH1476905273

5.03% p.a. Reverse Convertible on Holcim, Sika (Quanto EUR)

Title

CH1492024455 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024455

Fälligkeitstag

15.12.2026

Basiswert

Sika AG, Holcim Ltd - CH1492024455

5.04% (10.08% p.a.) Reverse Convertible on NVIDIA, ServiceNow (Quanto CHF)

Title

CH1548141550 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141550

Fälligkeitstag

06.01.2027

Basiswert

NVIDIA Corp., ServiceNow Inc - CH1548141550

5.04% p.a. Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Nestlé, Roche (Quanto CHF)

Title

CH1418950429 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950429

Fälligkeitstag

03.05.2027

Basiswert

Nestlé SA, Roche Holding AG, LVMH Moët Hennessy Louis Vuitton SE - CH1418950429

5.05% (10.00% p.a.) Reverse Convertible on Citigroup, Goldman Sachs, JPMorgan Chase

Title

CH1548141352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141352

Fälligkeitstag

05.01.2027

Basiswert

JPMorgan Chase & Co., Citigroup Inc., The Goldman Sachs Group, Inc. - CH1548141352

5.05% (10.27% p.a.) Reverse Convertible on Allianz SE

Title

CH1532239550 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239550

Fälligkeitstag

01.09.2026

Basiswert

Allianz SE

5.05% (5.05% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548148456 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148456

Fälligkeitstag

13.08.2027

Basiswert

Compagnie Financière Richemont SA

5.05% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Sika

Title

CH1548127112 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127112

Fälligkeitstag

21.04.2027

Basiswert

Holcim Ltd, Sika AG, Givaudan SA - CH1548127112

5.05% p.a. Callable Reverse Convertible on EMS-Chemie, Givaudan, Lonza

Title

CH1492017947 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017947

Fälligkeitstag

29.10.2026

Basiswert

Lonza Group AG, EMS-Chemie Holding AG, Givaudan SA - CH1492017947

5.05% p.a. Callable Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1492017954 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017954

Fälligkeitstag

29.10.2026

Basiswert

Swisscom AG, Sunrise Communications AG - CH1492017954

5.06% (10.02% p.a.) Reverse Convertible on Galderma Group, Lonza, Ypsomed

Title

CH1548148431 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148431

Fälligkeitstag

15.02.2027

Basiswert

Galderma Group Ltd, Ypsomed Holding AG, Lonza Group AG - CH1548148431

5.06% (5.06% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548128706 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128706

Fälligkeitstag

28.04.2027

Basiswert

Logitech International SA

5.06% (5.08% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548134407 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134407

Fälligkeitstag

27.05.2027

Basiswert

Logitech International SA

5.06% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1476909911 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909911

Fälligkeitstag

29.09.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1476909911

5.07% (12.09% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548146641 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146641

Fälligkeitstag

05.01.2027

Basiswert

NVIDIA Corp.

5.09% (20.37% p.a.) Reverse Convertible on Advanced Micro Devices Inc. (Quanto EUR)

Title

CH1548144638 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144638

Fälligkeitstag

23.10.2026

Basiswert

Advanced Micro Devices Inc.

5.09% (6.78% p.a.) Barrier Reverse Convertible on Givaudan, Roche, Swiss Re

Title

CH1492031211 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031211

Fälligkeitstag

29.10.2026

Basiswert

Roche Holding AG, Swiss Re AG, Givaudan SA - CH1492031211

5.09% p.a. Autocallable Reverse Convertible on Microsoft Corp. (Quanto EUR)

Title

CH1532238925 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238925

Fälligkeitstag

02.03.2027

Basiswert

Microsoft Corp.

5.09% p.a. Barrier Reverse Convertible on ABB, Givaudan, Swiss Life

Title

CH1492027441 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027441

Fälligkeitstag

12.01.2027

Basiswert

Givaudan SA, ABB Ltd, Swiss Life Holding AG - CH1492027441

5.09% p.a. Barrier Reverse Convertible on Givaudan, Merck KGaA, Nestlé, SAP, Straumann, Unilever PLC (Quanto CHF)

Title

CH1492035378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035378

Fälligkeitstag

18.02.2027

Basiswert

Nestlé SA, Givaudan SA, Straumann Holding AG, Unilever PLC, SAP SE, Merck KGaA - CH1492035378

5.10% (5.10% p.a.) Barrier Reverse Convertible on Schneider Electric SE

Title

CH1492034967 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034967

Fälligkeitstag

16.02.2027

Basiswert

Schneider Electric SE

5.11% (5.07% p.a.) Barrier Reverse Convertible on Colgate-Palmolive, Eli Lilly, Johnson & Johnson, Procter & Gamble (Quanto CHF)

Title

CH1476906313 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906313

Fälligkeitstag

08.09.2026

Basiswert

Colgate-Palmolive Company, Johnson & Johnson, Eli Lilly & Co., The Procter & Gamble Company - CH1476906313

5.11% (5.11% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492020859 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020859

Fälligkeitstag

17.11.2026

Basiswert

Huber + Suhner AG

5.11% p.a. Autocallable Reverse Convertible on Meta Platforms Inc. (Quanto EUR)

Title

CH1476909614 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909614

Fälligkeitstag

25.09.2026

Basiswert

Meta Platforms Inc.

5.11% p.a. Reverse Convertible on Accelleron Industries, Julius Bär

Title

CH1476907386 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907386

Fälligkeitstag

11.09.2026

Basiswert

Accelleron Industries AG, Julius Bär Gruppe AG - CH1476907386

5.12% (5.12% p.a.) Reverse Convertible on Helvetia Baloise, Roche, VAT

Title

CH1548130868 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130868

Fälligkeitstag

07.05.2027

Basiswert

Helvetia Baloise Holding AG, Roche Holding AG, VAT Group AG - CH1548130868

5.12% p.a. Autocallable Reverse Convertible on Holcim, Swiss Re

Title

CH1548132633 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132633

Fälligkeitstag

14.05.2027

Basiswert

Holcim Ltd, Swiss Re AG - CH1548132633

5.12% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1492023366 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023366

Fälligkeitstag

07.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

5.13% (10.28% p.a.) Reverse Convertible on Adyen , NVIDIA (Quanto EUR)

Title

CH1548145502 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145502

Fälligkeitstag

28.01.2027

Basiswert

NVIDIA Corp., Adyen N.V. - CH1548145502

5.13% (5.09% p.a.) Barrier Reverse Convertible on Novartis, PepsiCo, Swisscom, Waste Management (Quanto CHF)

Title

CH1476911453 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911453

Fälligkeitstag

13.10.2026

Basiswert

Waste Management, Inc., PepsiCo Inc., Novartis AG, Swisscom AG - CH1476911453

5.13% (5.13% p.a.) Barrier Reverse Convertible on AXA, Munich Re, Swiss Re, Zurich Insurance (Quanto CHF)

Title

CH1548139166 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139166

Fälligkeitstag

22.06.2027

Basiswert

Swiss Re AG, AXA SA, Zurich Insurance Group Ltd, Münchener Rückversicherungs AG - CH1548139166

5.13% p.a. Autocallable Barrier Reverse Convertible on ABB, Accelleron Industries, Schneider Electric (Quanto CHF)

Title

CH1492035147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035147

Fälligkeitstag

17.08.2027

Basiswert

ABB Ltd, Accelleron Industries AG, Schneider Electric SE - CH1492035147

5.14% (5.11% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492021741 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021741

Fälligkeitstag

23.11.2026

Basiswert

Huber + Suhner AG

5.14% (5.14% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492021766 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021766

Fälligkeitstag

24.11.2026

Basiswert

Huber + Suhner AG

5.14% p.a. Callable Reverse Convertible on Flughafen Zürich, Richemont, Swiss Re

Title

CH1492016923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016923

Fälligkeitstag

22.10.2027

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, Flughafen Zürich AG - CH1492016923

5.15% (5.15% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re

Title

CH1492026070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026070

Fälligkeitstag

24.12.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG - CH1492026070

5.15% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Logitech, Sandoz Group, Sika

Title

CH1548142111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142111

Fälligkeitstag

11.01.2027

Basiswert

Julius Bär Gruppe AG, Sandoz Group AG, Sika AG, Logitech International SA - CH1548142111

5.16% (10.15% p.a.) Reverse Convertible on Palantir Technologies Inc.

Title

CH1532241291 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241291

Fälligkeitstag

14.09.2026

Basiswert

Palantir Technologies Inc.

5.16% (10.27% p.a.) Reverse Convertible on Intel Corp.

Title

CH1532246225 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246225

Fälligkeitstag

07.10.2026

Basiswert

Intel Corp.

5.16% (5.13% p.a.) Barrier Reverse Convertible on Allianz, AXA, Generali (Quanto CHF)

Title

CH1548128136 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128136

Fälligkeitstag

26.04.2027

Basiswert

AXA SA, Allianz SE, Assicurazioni Generali SpA - CH1548128136

5.16% (5.16% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1476910430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910430

Fälligkeitstag

02.10.2026

Basiswert

Sika AG, Holcim Ltd, Geberit AG - CH1476910430

5.16% p.a. Autocallable Reverse Convertible on Galderma Group, Givaudan, Helvetia Baloise

Title

CH1596852009 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852009

Fälligkeitstag

30.08.2027

Basiswert

Galderma Group Ltd, Givaudan SA, Helvetia Baloise Holding AG - CH1596852009

5.16% p.a. Autocallable Reverse Convertible on Meta Platforms Inc. (Quanto EUR)

Title

CH1476910323 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910323

Fälligkeitstag

01.10.2026

Basiswert

Meta Platforms Inc.

5.16% p.a. Barrier Reverse Convertible on Adecco, Alcon, Amrize Ltd

Title

CH1532244048 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244048

Fälligkeitstag

24.03.2027

Basiswert

Adecco Group AG, Alcon Inc., Amrize Ltd - CH1532244048

5.16% p.a. Callable Reverse Convertible on Logitech International SA

Title

CH1532243248 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243248

Fälligkeitstag

21.06.2027

Basiswert

Logitech International SA

5.16% p.a. Reverse Convertible on Logitech, Nestlé, Partners Group Holding

Title

CH1476904052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904052

Fälligkeitstag

20.08.2027

Basiswert

Logitech International SA, Nestlé SA, Partners Group Holding AG - CH1476904052

5.17% (10.34% p.a.) Reverse Convertible on Bayer, Eli Lilly (Quanto USD)

Title

CH1548145270 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145270

Fälligkeitstag

28.01.2027

Basiswert

Eli Lilly & Co., Bayer AG - CH1548145270

5.17% (5.14% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1492036285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036285

Fälligkeitstag

22.02.2027

Basiswert

Swiss Re AG, Helvetia Baloise Holding AG, Zurich Insurance Group Ltd - CH1492036285

5.17% (5.19% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1532245839 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245839

Fälligkeitstag

06.04.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1532245839

5.17% p.a. Autocallable Reverse Convertible on Nestlé, Roche

Title

CH1492021295 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021295

Fälligkeitstag

19.11.2026

Basiswert

Nestlé SA, Roche Holding AG - CH1492021295

5.17% p.a. Reverse Convertible on ARYZTA, Holcim, Richemont

Title

CH1446055472 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446055472

Fälligkeitstag

29.12.2026

Basiswert

ARYZTA AG, Holcim Ltd, Compagnie Financière Richemont SA - CH1446055472

5.18% (6.90% p.a.) Reverse Convertible on ARYZTA, Kardex, Kuehne + Nagel

Title

CH1532237984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237984

Fälligkeitstag

25.11.2026

Basiswert

Kardex AG, Kuehne + Nagel International AG, ARYZTA AG - CH1532237984

5.18% p.a. Barrier Reverse Convertible on Alcon, Holcim, Richemont

Title

CH1476911487 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911487

Fälligkeitstag

12.10.2026

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, Alcon Inc. - CH1476911487

5.19% (20.34% p.a.) Reverse Convertible on ASM International, Infineon, Super Micro Computer Inc (Quanto USD)

Title

CH1548147524 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147524

Fälligkeitstag

09.11.2026

Basiswert

Infineon Technologies AG, ASM International NV, Super Micro Computer Inc - CH1548147524

5.19% (5.16% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492024265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024265

Fälligkeitstag

14.12.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492024265

5.19% (5.19% p.a.) Reverse Convertible on Logitech International SA

Title

CH1476905638 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905638

Fälligkeitstag

01.09.2026

Basiswert

Logitech International SA

5.19% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Sika

Title

CH1548139331 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139331

Fälligkeitstag

23.03.2027

Basiswert

Holcim Ltd, Sika AG, Givaudan SA - CH1548139331

5.19% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Sika

Title

CH1548139323 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139323

Fälligkeitstag

23.03.2027

Basiswert

Holcim Ltd, Sika AG, Givaudan SA - CH1548139323

5.20% (5.20% p.a.) Barrier Reverse Convertible on Galenica, Siegfried, Straumann

Title

CH1492032235 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032235

Fälligkeitstag

03.02.2027

Basiswert

Siegfried Holding AG, Straumann Holding AG, Galenica AG - CH1492032235

5.20% p.a. Autocallable Reverse Convertible on Nextera Energy, RWE, Veolia (Quanto CHF)

Title

CH1548131809 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131809

Fälligkeitstag

12.08.2027

Basiswert

RWE AG, Veolia Environnement, Nextera Energy Inc. - CH1548131809

5.20% p.a. Autocallable Reverse Convertible on UBS Group, Zurich Insurance

Title

CH1548140354 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140354

Fälligkeitstag

29.06.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG - CH1548140354

5.21% (5.21% p.a.) Barrier Reverse Convertible on E.ON, RWE (Quanto CHF)

Title

CH1492022418 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022418

Fälligkeitstag

27.11.2026

Basiswert

RWE AG, E.ON SE - CH1492022418

5.21% (6.94% p.a.) Barrier Reverse Convertible on Enel, Shell, TotalEnergies

Title

CH1548150346 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150346

Fälligkeitstag

24.05.2027

Basiswert

Shell PLC, Enel SpA, TotalEnergies SE - CH1548150346

5.21% p.a. Barrier Reverse Convertible on DKSH, Sonova, Swisscom

Title

CH1532244832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244832

Fälligkeitstag

01.04.2027

Basiswert

Swisscom AG, Sonova Holding AG, DKSH Holding Ltd. - CH1532244832

5.21% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492031310 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031310

Fälligkeitstag

01.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1492031310

5.22% (5.19% p.a.) Barrier Reverse Convertible on Logitech, Novartis, Zurich Insurance

Title

CH1492033050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033050

Fälligkeitstag

08.02.2027

Basiswert

Zurich Insurance Group Ltd, Novartis AG, Logitech International SA - CH1492033050

5.22% (5.23% p.a.) Barrier Reverse Convertible on Apple Inc.

Title

CH1492026047 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026047

Fälligkeitstag

24.12.2026

Basiswert

Apple Inc.

5.22% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548143416 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143416

Fälligkeitstag

19.07.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1548143416

5.23% (5.23% p.a.) Barrier Reverse Convertible on Flughafen Zürich, Swisscom, Swissquote

Title

CH1492030395 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030395

Fälligkeitstag

27.01.2027

Basiswert

Swisscom AG, Flughafen Zürich AG, Swissquote Group Holding SA - CH1492030395

5.23% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548143408 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143408

Fälligkeitstag

19.07.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1548143408

5.23% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1476906685 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906685

Fälligkeitstag

08.09.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1476906685

5.24% (10.37% p.a.) Barrier Reverse Convertible on Amazon.com, Microsoft, NVIDIA

Title

CH1548128185 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128185

Fälligkeitstag

26.10.2026

Basiswert

Amazon.com Inc., NVIDIA Corp., Microsoft Corp. - CH1548128185

5.24% (10.43% p.a.) Reverse Convertible on Alphabet, Netflix

Title

CH1548140206 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140206

Fälligkeitstag

30.12.2026

Basiswert

Alphabet, Inc., Netflix Inc. - CH1548140206

5.24% (5.21% p.a.) Barrier Reverse Convertible on Accelleron Industries AG

Title

CH1548146245 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146245

Fälligkeitstag

02.08.2027

Basiswert

Accelleron Industries AG

5.25% (10.51% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548138374 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138374

Fälligkeitstag

17.12.2026

Basiswert

Logitech International SA

5.25% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Sandoz Group, Sika

Title

CH1492025874 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025874

Fälligkeitstag

23.12.2026

Basiswert

Sandoz Group AG, Sika AG, Alcon Inc., Galderma Group Ltd - CH1492025874

5.25% p.a. Autocallable Reverse Convertible on Julius Bär, Swiss Re, UBS Group

Title

CH1476910208 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910208

Fälligkeitstag

30.09.2026

Basiswert

Julius Bär Gruppe AG, Swiss Re AG, UBS Group AG - CH1476910208

5.25% p.a. Autocallable Reverse Convertible on Nextera Energy, RWE, Veolia (Quanto CHF)

Title

CH1548128383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128383

Fälligkeitstag

27.07.2027

Basiswert

Nextera Energy Inc., Veolia Environnement, RWE AG - CH1548128383

5.25% p.a. Reverse Convertible on Avolta, Microsoft, Swiss Re, UBS Group (Quanto CHF)

Title

CH1492035253 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035253

Fälligkeitstag

17.02.2027

Basiswert

Avolta AG, Swiss Re AG, UBS Group AG, Microsoft Corp. - CH1492035253

5.26% (5.26% p.a.) Reverse Convertible on Ypsomed Holding AG

Title

CH1476907469 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476907469

Fälligkeitstag

11.09.2026

Basiswert

Ypsomed Holding AG

5.26% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Re

Title

CH1548144786 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144786

Fälligkeitstag

26.04.2027

Basiswert

Novartis AG, Swiss Re AG, Nestlé SA, Roche Holding AG - CH1548144786

5.26% p.a. Reverse Convertible on Hermes, Unilever PLC

Title

CH1476911842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911842

Fälligkeitstag

13.10.2026

Basiswert

Hermes International, Unilever PLC - CH1476911842

5.27% (10.49% p.a.) Reverse Convertible on FANUC Corp

Title

CH1532245219 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245219

Fälligkeitstag

02.10.2026

Basiswert

FANUC Corp

5.27% (5.24% p.a.) Reverse Convertible on Partners Group Holding, Swiss Re (Quanto EUR)

Title

CH1492036426 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036426

Fälligkeitstag

22.02.2027

Basiswert

Partners Group Holding AG, Swiss Re AG - CH1492036426

5.27% (5.27% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1492026039 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026039

Fälligkeitstag

24.12.2026

Basiswert

Sandoz Group AG

5.27% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548147979 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147979

Fälligkeitstag

14.08.2028

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1548147979

5.27% p.a. Barrier Reverse Convertible on ABB, Swiss Re

Title

CH1492023655 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023655

Fälligkeitstag

09.12.2026

Basiswert

Swiss Re AG, ABB Ltd - CH1492023655

5.27% p.a. Barrier Reverse Convertible on Holcim, Novartis, Swisscom

Title

CH1548141683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141683

Fälligkeitstag

06.07.2027

Basiswert

Holcim Ltd, Novartis AG, Swisscom AG - CH1548141683

5.27% p.a. Callable Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492017905 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017905

Fälligkeitstag

29.10.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1492017905

5.28% (10.40% p.a.) Reverse Convertible on Rockwell Automation Inc

Title

CH1532245755 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245755

Fälligkeitstag

05.10.2026

Basiswert

Rockwell Automation Inc

5.28% (5.27% p.a.) Reverse Convertible on On Holding Ltd (Quanto CHF)

Title

CH1492020834 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020834

Fälligkeitstag

18.11.2026

Basiswert

On Holding Ltd

5.28% (5.28% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548129589 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129589

Fälligkeitstag

30.04.2027

Basiswert

Compagnie Financière Richemont SA

5.28% p.a. Autocallable Reverse Convertible on Swiss Re, UBS Group

Title

CH1548138713 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138713

Fälligkeitstag

21.06.2027

Basiswert

Swiss Re AG, UBS Group AG - CH1548138713

5.28% p.a. Callable Barrier Reverse Convertible on Novartis, Roche, Swiss Life, Zurich Insurance

Title

CH1548147797 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147797

Fälligkeitstag

11.08.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Novartis AG, Roche Holding AG - CH1548147797

5.29% (10.58% p.a.) Reverse Convertible on Biogen, Bristol-Myers Squibb, Pfizer

Title

CH1548133243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133243

Fälligkeitstag

18.11.2026

Basiswert

Pfizer Inc., Bristol-Myers Squibb Co., Biogen Inc. - CH1548133243

5.29% (10.59% p.a.) Reverse Convertible on Georg Fischer, Swatch

Title

CH1548132120 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132120

Fälligkeitstag

13.11.2026

Basiswert

The Swatch Group AG, Georg Fischer AG - CH1548132120

5.29% (5.29% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492024349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024349

Fälligkeitstag

15.12.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1492024349

5.29% p.a. Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1532237836 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237836

Fälligkeitstag

25.02.2027

Basiswert

Partners Group Holding AG, UBS Group AG - CH1532237836

5.30% p.a. Reverse Convertible on Richemont, Sandoz Group

Title

CH1476907378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907378

Fälligkeitstag

11.09.2026

Basiswert

Compagnie Financière Richemont SA, Sandoz Group AG - CH1476907378

5.31% (10.63% p.a.) Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton

Title

CH1548147821 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147821

Fälligkeitstag

11.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1548147821

5.31% p.a. Autocallable Barrier Reverse Convertible on Johnson & Johnson, Novartis, Roche (Quanto USD)

Title

CH1548146195 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146195

Fälligkeitstag

02.08.2027

Basiswert

Roche Holding AG, Johnson & Johnson, Novartis AG - CH1548146195

5.31% p.a. Autocallable Reverse Convertible on Enel, Kering, SAP (Quanto CHF)

Title

CH1476908467 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908467

Fälligkeitstag

18.09.2026

Basiswert

Kering SA, SAP SE, Enel SpA - CH1476908467

5.31% p.a. Barrier Reverse Convertible on Partners Group Holding, Zurich Insurance

Title

CH1476907964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907964

Fälligkeitstag

16.09.2026

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd - CH1476907964

5.31% p.a. Callable Reverse Convertible on ABB, Georg Fischer, Schindler

Title

CH1492017921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017921

Fälligkeitstag

29.10.2026

Basiswert

ABB Ltd, Georg Fischer AG, Schindler Holding AG - CH1492017921

5.32% (10.42% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens

Title

CH1548145353 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145353

Fälligkeitstag

28.01.2027

Basiswert

Siemens AG, Schneider Electric SE - CH1548145353

5.32% (5.32% p.a.) Barrier Reverse Convertible on Allianz, AXA, Generali (Quanto CHF)

Title

CH1548132278 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132278

Fälligkeitstag

13.05.2027

Basiswert

Allianz SE, AXA SA, Assicurazioni Generali SpA - CH1548132278

5.32% p.a. Autocallable Reverse Convertible on Apple, Givaudan, Sika (Quanto CHF)

Title

CH1492024067 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024067

Fälligkeitstag

11.12.2026

Basiswert

Givaudan SA, Sika AG, Apple Inc. - CH1492024067

5.32% p.a. Callable Barrier Reverse Convertible on Roche, Swiss Re, Swisscom

Title

CH1548148043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148043

Fälligkeitstag

12.08.2027

Basiswert

Swiss Re AG, Swisscom AG, Roche Holding AG - CH1548148043

5.33% (5.33% p.a.) Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1492030387 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030387

Fälligkeitstag

27.01.2027

Basiswert

Partners Group Holding AG, UBS Group AG - CH1492030387

5.33% p.a. Autocallable Barrier Reverse Convertible on Carrefour, Danone, L´Oréal, Siemens (Quanto CHF)

Title

CH1476912691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912691

Fälligkeitstag

20.10.2026

Basiswert

Danone SA, Carrefour SA, Siemens AG, L´Oréal International - CH1476912691

5.33% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Swiss Life

Title

CH1548135461 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135461

Fälligkeitstag

02.06.2027

Basiswert

Givaudan SA, Holcim Ltd, Swiss Life Holding AG - CH1548135461

5.33% p.a. Reverse Convertible on Accelleron Industries, Holcim, Lonza

Title

CH1476910539 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910539

Fälligkeitstag

02.10.2026

Basiswert

Accelleron Industries AG, Holcim Ltd, Lonza Group AG - CH1476910539

5.33% p.a. Reverse Convertible on Infineon, SAP, Sunrise Communications AG (Quanto CHF)

Title

CH1492028969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028969

Fälligkeitstag

19.01.2028

Basiswert

SAP SE, Infineon Technologies AG, Sunrise Communications AG - CH1492028969

5.34% (5.34% p.a.) Reverse Convertible on UBS Group AG

Title

CH1548126221 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126221

Fälligkeitstag

16.04.2027

Basiswert

UBS Group AG

5.34% p.a. Barrier Reverse Convertible on Enel SpA

Title

CH1492022962 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022962

Fälligkeitstag

03.12.2026

Basiswert

Enel SpA

5.35% (10.76% p.a.) Barrier Reverse Convertible on BMW, Mercedes-Benz Group

Title

CH1548128391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128391

Fälligkeitstag

23.10.2026

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG - CH1548128391

5.35% (10.82% p.a.) Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton

Title

CH1532246340 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246340

Fälligkeitstag

07.10.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1532246340

5.35% p.a. Autocallable Reverse Convertible on AIA, Baidu, Byd Co (Quanto EUR)

Title

CH1476911768 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911768

Fälligkeitstag

13.10.2026

Basiswert

BYD Company Limited, Baidu, Inc., AIA Group Limited - CH1476911768

5.35% p.a. Autocallable Reverse Convertible on Airbus, Uber Technologies (Quanto CHF)

Title

CH1492024273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024273

Fälligkeitstag

14.06.2027

Basiswert

Airbus SE, Uber Technologies Inc. - CH1492024273

5.35% p.a. Reverse Convertible on Geberit, Siegfried, Ypsomed

Title

CH1548142343 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142343

Fälligkeitstag

09.07.2027

Basiswert

Geberit AG, Siegfried Holding AG, Ypsomed Holding AG - CH1548142343

5.36% (5.36% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548144505 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144505

Fälligkeitstag

22.07.2027

Basiswert

Compagnie Financière Richemont SA

5.36% p.a. Reverse Convertible on Geberit, Siegfried, Ypsomed

Title

CH1548138317 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138317

Fälligkeitstag

17.06.2027

Basiswert

Geberit AG, Siegfried Holding AG, Ypsomed Holding AG - CH1548138317

5.37% (10.75% p.a.) Reverse Convertible on Meta Platforms Inc.

Title

CH1548141725 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141725

Fälligkeitstag

06.01.2027

Basiswert

Meta Platforms Inc.

5.37% (5.37% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re

Title

CH1532243271 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243271

Fälligkeitstag

19.03.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Helvetia Baloise Holding AG - CH1532243271

5.37% p.a. Autocallable Barrier Reverse Convertible on Holcim, Sika

Title

CH1492022350 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022350

Fälligkeitstag

27.11.2026

Basiswert

Holcim Ltd, Sika AG - CH1492022350

5.37% p.a. Barrier Reverse Convertible on Barry Callebaut, Lindt & Sprüngli, Nestlé

Title

CH1548137293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137293

Fälligkeitstag

11.12.2026

Basiswert

Barry Callebaut AG, Nestlé SA, Lindt & Sprüngli AG - CH1548137293

5.37% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1492018010 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018010

Fälligkeitstag

29.10.2026

Basiswert

Logitech International SA, ALSO Holding AG - CH1492018010

5.37% p.a. Reverse Convertible on Barry Callebaut, EMS-Chemie, Lonza

Title

CH1532240285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240285

Fälligkeitstag

08.03.2027

Basiswert

EMS-Chemie Holding AG, Lonza Group AG, Barry Callebaut AG - CH1532240285

5.38% (10.65% p.a.) Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548136196 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136196

Fälligkeitstag

07.12.2026

Basiswert

Marvell Technology Group Ltd.

5.38% p.a. Autocallable Reverse Convertible on Amrize Ltd, Sika

Title

CH1548145668 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145668

Fälligkeitstag

29.07.2027

Basiswert

Sika AG, Amrize Ltd - CH1548145668

5.38% p.a. Autocallable Reverse Convertible on Nike Inc. (Quanto EUR)

Title

CH1476906362 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906362

Fälligkeitstag

08.09.2026

Basiswert

Nike Inc.

5.38% p.a. Callable Barrier Reverse Convertible on Alcon, Kuehne + Nagel, Partners Group Holding

Title

CH1492034926 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034926

Fälligkeitstag

16.02.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Alcon Inc. - CH1492034926

5.39% p.a. Barrier Reverse Convertible on ABB, Kuehne + Nagel, Straumann

Title

CH1476908368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908368

Fälligkeitstag

18.09.2026

Basiswert

Straumann Holding AG, Kuehne + Nagel International AG, ABB Ltd - CH1476908368

5.39% p.a. Barrier Reverse Convertible on Nestlé, Straumann, Zurich Insurance

Title

CH1532241358 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241358

Fälligkeitstag

11.03.2027

Basiswert

Straumann Holding AG, Zurich Insurance Group Ltd, Nestlé SA - CH1532241358

5.39% p.a. Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1492035105 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035105

Fälligkeitstag

17.02.2027

Basiswert

Alcon Inc., Lonza Group AG, Straumann Holding AG - CH1492035105

5.40% (10.86% p.a.) Reverse Convertible on Intel Corp. (Quanto EUR)

Title

CH1532246142 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246142

Fälligkeitstag

07.10.2026

Basiswert

Intel Corp.

5.40% (5.37% p.a.) Barrier Reverse Convertible on ABB, Alcon, UBS Group

Title

CH1476907493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907493

Fälligkeitstag

14.09.2026

Basiswert

ABB Ltd, Alcon Inc., UBS Group AG - CH1476907493

5.40% p.a. Autocallable Reverse Convertible on Partners Group Holding, Swisscom

Title

CH1476909481 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909481

Fälligkeitstag

25.09.2026

Basiswert

Partners Group Holding AG, Swisscom AG - CH1476909481

5.40% p.a. Callable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548140180 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140180

Fälligkeitstag

25.06.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548140180

5.40% p.a. Reverse Convertible on Geberit, Siegfried, Ypsomed

Title

CH1548142301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142301

Fälligkeitstag

09.07.2027

Basiswert

Geberit AG, Siegfried Holding AG, Ypsomed Holding AG - CH1548142301

5.41% (10.94% p.a.) Reverse Convertible on Kuehne + Nagel International AG

Title

CH1548129746 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129746

Fälligkeitstag

02.11.2026

Basiswert

Kuehne + Nagel International AG

5.41% (5.38% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492036327 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492036327

Fälligkeitstag

22.02.2027

Basiswert

VAT Group AG

5.41% (5.45% p.a.) Barrier Reverse Convertible on Geberit, Roche, Swiss Re

Title

CH1492018770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018770

Fälligkeitstag

30.10.2026

Basiswert

Roche Holding AG, Geberit AG, Swiss Re AG - CH1492018770

5.41% (8.09% p.a.) Reverse Convertible on ARYZTA, Galderma Group, Kuehne + Nagel

Title

CH1532237760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237760

Fälligkeitstag

26.10.2026

Basiswert

ARYZTA AG, Galderma Group Ltd, Kuehne + Nagel International AG - CH1532237760

5.41% p.a. Autocallable Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1548144927 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144927

Fälligkeitstag

26.07.2027

Basiswert

Sunrise Communications AG, Swisscom AG - CH1548144927

5.42% (10.67% p.a.) Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1548126411 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126411

Fälligkeitstag

19.10.2026

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd

5.42% (10.79% p.a.) Barrier Reverse Convertible on Moncler, Richemont (Quanto EUR)

Title

CH1548144901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144901

Fälligkeitstag

25.01.2027

Basiswert

Moncler SpA, Compagnie Financière Richemont SA - CH1548144901

5.42% (10.85% p.a.) Reverse Convertible on EssilorLuxottica, Richemont (Quanto EUR)

Title

CH1548137996 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137996

Fälligkeitstag

15.12.2026

Basiswert

EssilorLuxottica SA, Compagnie Financière Richemont SA - CH1548137996

5.42% p.a. Autocallable Reverse Convertible on Johnson & Johnson, Merck, Novartis (Quanto USD)

Title

CH1548142988 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142988

Fälligkeitstag

15.07.2027

Basiswert

Johnson & Johnson, Novartis AG, Merck & Co. Inc. - CH1548142988

5.43% (10.62% p.a.) Barrier Reverse Convertible on Heineken NV, Pernod-Ricard

Title

CH1548145346 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145346

Fälligkeitstag

28.01.2027

Basiswert

Heineken NV, Pernod-Ricard SA - CH1548145346

5.45% (7.25% p.a.) Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1532246639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246639

Fälligkeitstag

11.01.2027

Basiswert

Partners Group Holding AG, UBS Group AG - CH1532246639

5.46% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Holcim, Straumann, Swiss Re

Title

CH1492017111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017111

Fälligkeitstag

23.10.2026

Basiswert

Straumann Holding AG, Swiss Re AG, Galderma Group Ltd, Holcim Ltd - CH1492017111

5.46% p.a. Autocallable Reverse Convertible on Geberit, Swiss Life, Swiss Re

Title

CH1548127955 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127955

Fälligkeitstag

23.04.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Geberit AG - CH1548127955

5.46% p.a. Barrier Reverse Convertible on Alphabet, Apple, Deutsche Telekom, Lonza, Roche, Sika (Quanto CHF)

Title

CH1492036236 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036236

Fälligkeitstag

23.02.2027

Basiswert

Roche Holding AG, Lonza Group AG, Sika AG, Deutsche Telekom AG, Alphabet, Inc., Apple Inc. - CH1492036236

5.46% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548136691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136691

Fälligkeitstag

12.06.2028

Basiswert

Roche Holding AG, Nestlé SA, Novartis AG - CH1548136691

5.46% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Straumann

Title

CH1476910125 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910125

Fälligkeitstag

30.09.2026

Basiswert

Straumann Holding AG, Sika AG, Partners Group Holding AG - CH1476910125

5.46% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Re

Title

CH1548146971 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146971

Fälligkeitstag

07.05.2027

Basiswert

Novartis AG, Swiss Re AG, Nestlé SA, Roche Holding AG - CH1548146971

5.48% p.a. Autocallable Barrier Reverse Convertible on Adecco, ALSO Holding, Barry Callebaut

Title

CH1492026963 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026963

Fälligkeitstag

31.12.2026

Basiswert

ALSO Holding AG, Barry Callebaut AG, Adecco Group AG - CH1492026963

5.48% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Inc. (Quanto CHF)

Title

CH1548146138 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146138

Fälligkeitstag

02.08.2027

Basiswert

Alphabet, Inc.

5.48% p.a. Autocallable Reverse Convertible on Apple, Sandoz Group (Quanto CHF)

Title

CH1548135842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135842

Fälligkeitstag

07.06.2027

Basiswert

Apple Inc., Sandoz Group AG - CH1548135842

5.48% p.a. Barrier Reverse Convertible on ABB, Geberit, Novartis

Title

CH1492019380 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019380

Fälligkeitstag

05.08.2027

Basiswert

ABB Ltd, Geberit AG, Novartis AG - CH1492019380

5.48% p.a. Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto CHF)

Title

CH1532240939 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240939

Fälligkeitstag

10.03.2027

Basiswert

ABB Ltd, Siemens AG, Schneider Electric SE - CH1532240939

5.48% p.a. Reverse Convertible on Evonik Industries, SAP, Vonovia

Title

CH1446050887 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446050887

Fälligkeitstag

26.05.2027

Basiswert

Vonovia SE, Evonik Industries AG, SAP SE - CH1446050887

5.48% p.a. Reverse Convertible on ING, JPMorgan Chase, UBS Group (Quanto CHF)

Title

CH1492028977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028977

Fälligkeitstag

20.01.2028

Basiswert

UBS Group AG, JPMorgan Chase & Co., ING Groep N.V. - CH1492028977

5.49% (5.45% p.a.) Reverse Convertible on S&P Global, Visa (Quanto EUR)

Title

CH1492036418 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036418

Fälligkeitstag

23.02.2027

Basiswert

Visa Inc., S&P Global Inc. - CH1492036418

5.49% (5.49% p.a.) Barrier Reverse Convertible on Sonova, Straumann

Title

CH1492024364 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024364

Fälligkeitstag

15.12.2026

Basiswert

Sonova Holding AG, Straumann Holding AG - CH1492024364

5.49% (5.51% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492026161 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026161

Fälligkeitstag

28.12.2026

Basiswert

Huber + Suhner AG

5.49% (8.01% p.a.) Barrier Reverse Convertible on Novo Nordisk A/S

Title

CH1492026286 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026286

Fälligkeitstag

31.08.2026

Basiswert

Novo Nordisk A/S

5.49% p.a. Autocallable Reverse Convertible on Givaudan, Zurich Insurance

Title

CH1532244204 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244204

Fälligkeitstag

25.03.2027

Basiswert

Zurich Insurance Group Ltd, Givaudan SA - CH1532244204

5.49% p.a. Barrier Reverse Convertible on Amrize Ltd, Lonza, Schindler

Title

CH1548131445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131445

Fälligkeitstag

12.05.2027

Basiswert

Schindler Holding AG, Lonza Group AG, Amrize Ltd - CH1548131445

5.49% p.a. Callable Barrier Reverse Convertible on Nestlé, Richemont, Swiss Re (Quanto EUR)

Title

CH1548149678 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149678

Fälligkeitstag

22.11.2027

Basiswert

Nestlé SA, Compagnie Financière Richemont SA, Swiss Re AG - CH1548149678

5.50% (11.52% p.a.) Barrier Reverse Convertible on Medtronic, Stryker

Title

CH1532246050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246050

Fälligkeitstag

25.09.2026

Basiswert

Medtronic, PLC, Stryker Corp. - CH1532246050

5.50% North America Water Infrastructure Projects Bonds 2017(24) (R III)

Title

A2HED4 - Compartment 80

Kategorie

Basket linked - Private Debt

ISIN

DE000A2HED48

Fälligkeitstag

31.12.2026

Basiswert

North America Water Infrastructure Basket (R) III Referenzkorb

5.50% p.a. Autocallable Reverse Convertible on ABB, Roche

Title

CH1548139828 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139828

Fälligkeitstag

25.06.2027

Basiswert

ABB Ltd, Roche Holding AG - CH1548139828

5.50% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140495 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140495

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140495

5.50% p.a. Autocallable Reverse Convertible on BNP Paribas, JPMorgan Chase, UBS Group (Quanto CHF)

Title

CH1548139703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139703

Fälligkeitstag

25.06.2027

Basiswert

BNP Paribas, JPMorgan Chase & Co., UBS Group AG - CH1548139703

5.50% p.a. Autocallable Reverse Convertible on Chipotle Mexican Grill Inc. (Quanto EUR)

Title

CH1476910042 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910042

Fälligkeitstag

29.09.2026

Basiswert

Chipotle Mexican Grill Inc.

5.50% p.a. Autocallable Reverse Convertible on Givaudan, Sika

Title

CH1548132310 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132310

Fälligkeitstag

14.05.2027

Basiswert

Givaudan SA, Sika AG - CH1548132310

5.50% p.a. Autocallable Reverse Convertible on ING, Société Générale, UBS Group (Quanto EUR)

Title

CH1548129076 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129076

Fälligkeitstag

29.04.2027

Basiswert

UBS Group AG, Société Générale, ING Groep N.V. - CH1548129076

5.50% p.a. Autocallable Reverse Convertible on MercadoLibre, Salesforce, Starbucks (Quanto CHF)

Title

CH1492030726 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030726

Fälligkeitstag

28.04.2027

Basiswert

Starbucks Corp., MercadoLibre Inc., Salesforce, Inc. - CH1492030726

5.50% p.a. Barrier Reverse Convertible on ABB, Alcon, Partners Group Holding

Title

CH1492020610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020610

Fälligkeitstag

14.05.2027

Basiswert

ABB Ltd, Alcon Inc., Partners Group Holding AG - CH1492020610

5.50% p.a. Barrier Reverse Convertible on ABB, Givaudan, Kuehne + Nagel

Title

CH1492020313 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020313

Fälligkeitstag

12.11.2026

Basiswert

Givaudan SA, ABB Ltd, Kuehne + Nagel International AG - CH1492020313

5.50% p.a. Barrier Reverse Convertible on Givaudan, Holcim, Roche

Title

CH1548140172 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140172

Fälligkeitstag

28.06.2027

Basiswert

Roche Holding AG, Holcim Ltd, Givaudan SA - CH1548140172

5.50% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Re

Title

CH1548145221 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145221

Fälligkeitstag

28.04.2027

Basiswert

Novartis AG, Swiss Re AG, Nestlé SA, Roche Holding AG - CH1548145221

5.50% p.a. Callable Reverse Convertible on Richemont, Swiss Life, Zurich Insurance

Title

CH1446052370 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052370

Fälligkeitstag

03.06.2027

Basiswert

Swiss Life Holding AG, Compagnie Financière Richemont SA, Zurich Insurance Group Ltd - CH1446052370

5.50% p.a. Reverse Convertible on ARYZTA, Julius Bär, Kuehne + Nagel

Title

CH1476909804 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909804

Fälligkeitstag

28.09.2026

Basiswert

Julius Bär Gruppe AG, Kuehne + Nagel International AG, ARYZTA AG - CH1476909804

5.50% p.a. Reverse Convertible on Georg Fischer, Holcim, Richemont

Title

CH1492019281 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019281

Fälligkeitstag

05.11.2026

Basiswert

Georg Fischer AG, Compagnie Financière Richemont SA, Holcim Ltd - CH1492019281

5.51% (5.51% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1492022087 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022087

Fälligkeitstag

26.11.2026

Basiswert

Huber + Suhner AG

5.51% (5.51% p.a.) Reverse Convertible on Sunrise Communications AG (Quanto EUR)

Title

CH1532240988 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240988

Fälligkeitstag

10.03.2027

Basiswert

Sunrise Communications AG

5.51% p.a. Autocallable Barrier Reverse Convertible on ALSO Holding, Clariant, Julius Bär, Sandoz Group

Title

CH1476908376 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908376

Fälligkeitstag

18.09.2026

Basiswert

Sandoz Group AG, Julius Bär Gruppe AG, Clariant AG, ALSO Holding AG - CH1476908376

5.51% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492032367 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032367

Fälligkeitstag

04.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1492032367

5.51% p.a. Callable Barrier Reverse Convertible on ABB, Geberit, Holcim

Title

CH1548133359 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133359

Fälligkeitstag

19.02.2027

Basiswert

Geberit AG, ABB Ltd, Holcim Ltd - CH1548133359

5.51% p.a. Callable Barrier Reverse Convertible on Holcim, Partners Group Holding, Sika (Quanto EUR)

Title

CH1492016758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016758

Fälligkeitstag

22.01.2027

Basiswert

Sika AG, Holcim Ltd, Partners Group Holding AG - CH1492016758

5.51% p.a. Reverse Convertible on Lonza, Roche, Siegfried

Title

CH1532237281 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237281

Fälligkeitstag

24.02.2027

Basiswert

Lonza Group AG, Roche Holding AG, Siegfried Holding AG - CH1532237281

5.53% p.a. Autocallable Reverse Convertible on Hermes, Kering, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1548142889 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142889

Fälligkeitstag

14.07.2027

Basiswert

Hermes International, Kering SA, L´Oréal International, LVMH Moët Hennessy Louis Vuitton SE - CH1548142889

5.54% (22.16% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1548143804 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143804

Fälligkeitstag

20.10.2026

Basiswert

ASML Holding NV

5.54% (5.51% p.a.) Barrier Reverse Convertible on Helvetia, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492021725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021725

Fälligkeitstag

23.11.2026

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG, Helvetia Holding AG - CH1492021725

5.54% p.a. Autocallable Reverse Convertible on Johnson & Johnson, Merck, PepsiCo

Title

CH1548127567 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127567

Fälligkeitstag

22.04.2027

Basiswert

Johnson & Johnson, Merck & Co. Inc., PepsiCo Inc. - CH1548127567

5.54% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1492021303 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021303

Fälligkeitstag

19.11.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

5.54% p.a. Barrier Reverse Convertible on Nestlé, Roche, Swiss Re

Title

CH1548138887 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138887

Fälligkeitstag

21.06.2027

Basiswert

Nestlé SA, Roche Holding AG, Swiss Re AG - CH1548138887

5.54% p.a. Reverse Convertible on BKW, ENGIE, RWE (Quanto CHF)

Title

CH1532237273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237273

Fälligkeitstag

24.02.2027

Basiswert

BKW AG, RWE AG, ENGIE SA - CH1532237273

5.54% p.a. Reverse Convertible on Holcim, Julius Bär, Richemont

Title

CH1492025700 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025700

Fälligkeitstag

23.12.2026

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, Julius Bär Gruppe AG - CH1492025700

5.55% p.a. Autocallable Reverse Convertible on Amazon.com, Richemont, Uber Technologies (Quanto CHF)

Title

CH1476908251 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908251

Fälligkeitstag

18.09.2026

Basiswert

Amazon.com Inc., Compagnie Financière Richemont SA, Uber Technologies Inc. - CH1476908251

5.55% p.a. Autocallable Reverse Convertible on Infineon, Intuit, Safran (Quanto CHF)

Title

CH1446053865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446053865

Fälligkeitstag

15.09.2026

Basiswert

Infineon Technologies AG, Safran SA, Intuit Inc. - CH1446053865

5.55% p.a. Barrier Reverse Convertible on ABB, BELIMO Holding, Partners Group Holding

Title

CH1548127583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127583

Fälligkeitstag

22.04.2027

Basiswert

BELIMO Holding AG, ABB Ltd, Partners Group Holding AG - CH1548127583

5.55% p.a. Callable Barrier Reverse Convertible on Galderma Group, Lonza, Partners Group Holding, Straumann

Title

CH1476906842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906842

Fälligkeitstag

09.09.2026

Basiswert

Galderma Group Ltd, Straumann Holding AG, Partners Group Holding AG, Lonza Group AG - CH1476906842

5.55% p.a. Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532240699 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240699

Fälligkeitstag

09.03.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1532240699

5.56% (5.53% p.a.) Reverse Convertible on ING Groep N.V.

Title

CH1532240541 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240541

Fälligkeitstag

08.03.2027

Basiswert

ING Groep N.V.

5.56% p.a. Barrier Reverse Convertible on ABB, Holcim

Title

CH1492029389 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029389

Fälligkeitstag

21.01.2027

Basiswert

ABB Ltd, Holcim Ltd - CH1492029389

5.56% p.a. Barrier Reverse Convertible on Galenica, Novartis, Sunrise Communications AG

Title

CH1548126189 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126189

Fälligkeitstag

16.04.2027

Basiswert

Galenica AG, Novartis AG, Sunrise Communications AG - CH1548126189

5.57% (5.54% p.a.) Reverse Convertible on Shell PLC

Title

CH1548141311 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141311

Fälligkeitstag

05.07.2027

Basiswert

Shell PLC

5.57% (5.57% p.a.) Barrier Reverse Convertible on Alcon, Geberit, Lonza

Title

CH1548135982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135982

Fälligkeitstag

04.06.2027

Basiswert

Geberit AG, Alcon Inc., Lonza Group AG - CH1548135982

5.57% p.a. Autocallable Barrier Reverse Convertible on Geberit, Givaudan, Richemont, Swatch

Title

CH1548138648 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138648

Fälligkeitstag

18.06.2027

Basiswert

Givaudan SA, The Swatch Group AG, Geberit AG, Compagnie Financière Richemont SA - CH1548138648

5.58% (5.58% p.a.) Barrier Reverse Convertible on Galderma Group, Sandoz Group

Title

CH1548144059 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144059

Fälligkeitstag

20.07.2027

Basiswert

Sandoz Group AG, Galderma Group Ltd - CH1548144059

5.58% p.a. Autocallable Barrier Reverse Convertible on Swiss Re, Swissquote, UBS Group

Title

CH1476912675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912675

Fälligkeitstag

20.10.2026

Basiswert

Swiss Re AG, UBS Group AG, Swissquote Group Holding SA - CH1476912675

5.58% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche (Quanto EUR)

Title

CH1548135081 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135081

Fälligkeitstag

31.05.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1548135081

5.58% p.a. Barrier Reverse Convertible on Coca-Cola, Visa (Quanto EUR)

Title

CH1548141113 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141113

Fälligkeitstag

02.07.2027

Basiswert

Visa Inc., Coca-Cola Company - CH1548141113

5.59% (5.59% p.a.) Reverse Convertible on Swiss Life Holding AG (Quanto EUR)

Title

CH1492031906 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492031906

Fälligkeitstag

02.02.2027

Basiswert

Swiss Life Holding AG

5.59% (5.64% p.a.) Barrier Reverse Convertible on Swiss Life, Swisscom, Zurich Insurance

Title

CH1492018754 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018754

Fälligkeitstag

30.10.2026

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Swisscom AG - CH1492018754

5.60% (11.15% p.a.) Barrier Reverse Convertible on Palantir Technologies Inc. (Quanto EUR)

Title

CH1548132088 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132088

Fälligkeitstag

13.11.2026

Basiswert

Palantir Technologies Inc.

5.60% (5.60% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548137277 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137277

Fälligkeitstag

11.06.2027

Basiswert

Compagnie Financière Richemont SA

5.60% p.a. Autocallable Reverse Convertible on Amazon.com, Netflix, Uber Technologies (Quanto CHF)

Title

CH1476908517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908517

Fälligkeitstag

21.09.2026

Basiswert

Amazon.com Inc., Uber Technologies Inc., Netflix Inc. - CH1476908517

5.60% p.a. Barrier Reverse Convertible on Lonza, Novartis, Swiss Re

Title

CH1532243875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243875

Fälligkeitstag

23.03.2028

Basiswert

Novartis AG, Swiss Re AG, Lonza Group AG - CH1532243875

5.60% p.a. Reverse Convertible on Deutsche Telekom, SAP, Unilever PLC

Title

CH1476911859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911859

Fälligkeitstag

13.10.2026

Basiswert

Unilever PLC, SAP SE, Deutsche Telekom AG - CH1476911859

5.61% (10.93% p.a.) Reverse Convertible on NEC Corp

Title

CH1548151013 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548151013

Fälligkeitstag

02.03.2027

Basiswert

NEC Corp

5.61% (5.61% p.a.) Barrier Reverse Convertible on BNP Paribas, ING, UBS Group (Quanto CHF)

Title

CH1532240715 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240715

Fälligkeitstag

09.03.2027

Basiswert

BNP Paribas, ING Groep N.V., UBS Group AG - CH1532240715

5.61% (5.61% p.a.) Barrier Reverse Convertible on Medacta Group, Ypsomed

Title

CH1492030403 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030403

Fälligkeitstag

27.01.2027

Basiswert

Medacta Group Ltd, Ypsomed Holding AG - CH1492030403

5.61% p.a. Autocallable Reverse Convertible on Nestlé, Swisscom

Title

CH1548138507 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138507

Fälligkeitstag

18.06.2027

Basiswert

Swisscom AG, Nestlé SA - CH1548138507

5.61% p.a. Callable Reverse Convertible on Amrize Ltd, Holcim, Sika

Title

CH1492017939 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017939

Fälligkeitstag

29.10.2026

Basiswert

Holcim Ltd, Amrize Ltd, Sika AG - CH1492017939

5.61% p.a. Callable Reverse Convertible on Eli Lilly, Johnson & Johnson, Pfizer (Quanto CHF)

Title

CH1548142681 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142681

Fälligkeitstag

14.07.2027

Basiswert

Pfizer Inc., Johnson & Johnson, Eli Lilly & Co. - CH1548142681

5.62% p.a. Autocallable Barrier Reverse Convertible on Air Liquide, DSM-Firmenich

Title

CH1548139570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139570

Fälligkeitstag

24.06.2027

Basiswert

DSM-Firmenich AG, Air Liquide SA - CH1548139570

5.62% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Holcim

Title

CH1492020875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020875

Fälligkeitstag

17.11.2026

Basiswert

Holcim Ltd, Givaudan SA, Geberit AG - CH1492020875

5.62% p.a. Reverse Convertible on Lonza, Partners Group Holding, Sonova

Title

CH1492025619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025619

Fälligkeitstag

22.12.2026

Basiswert

Sonova Holding AG, Partners Group Holding AG, Lonza Group AG - CH1492025619

5.63% (11.03% p.a.) Barrier Reverse Convertible on BlackRock, JPMorgan Chase

Title

CH1548142855 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142855

Fälligkeitstag

14.01.2027

Basiswert

JPMorgan Chase & Co., BlackRock, Inc. - CH1548142855

5.63% p.a. Callable Barrier Reverse Convertible on ABB, Logitech, Sika, UBS Group

Title

CH1476911834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911834

Fälligkeitstag

13.10.2026

Basiswert

UBS Group AG, Logitech International SA, ABB Ltd, Sika AG - CH1476911834

5.63% p.a. Reverse Convertible on Givaudan, Sandoz Group, Siegfried

Title

CH1492029496 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029496

Fälligkeitstag

24.01.2028

Basiswert

Sandoz Group AG, Siegfried Holding AG, Givaudan SA - CH1492029496

5.64% (5.61% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492028514 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028514

Fälligkeitstag

18.01.2027

Basiswert

VAT Group AG

5.64% (5.61% p.a.) Reverse Convertible on L´Oréal, Nestlé, Unilever PLC (Quanto GBP)

Title

CH1492036459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036459

Fälligkeitstag

22.02.2027

Basiswert

L´Oréal International, Unilever PLC, Nestlé SA - CH1492036459

5.64% (5.64% p.a.) Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1476910174 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910174

Fälligkeitstag

30.09.2026

Basiswert

Partners Group Holding AG, UBS Group AG - CH1476910174

5.64% p.a. Autocallable Barrier Reverse Convertible on ABB, Avolta, Georg Fischer, Sandoz Group

Title

CH1492016741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016741

Fälligkeitstag

22.10.2026

Basiswert

ABB Ltd, Sandoz Group AG, Avolta AG, Georg Fischer AG - CH1492016741

5.64% p.a. Autocallable Barrier Reverse Convertible on BELIMO Holding AG

Title

CH1548140370 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140370

Fälligkeitstag

29.06.2027

Basiswert

BELIMO Holding AG

5.64% p.a. Autocallable Reverse Convertible on Alphabet, Inc.

Title

CH1532244501 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244501

Fälligkeitstag

30.03.2027

Basiswert

Alphabet, Inc.

5.65% (11.18% p.a.) Barrier Reverse Convertible on Universal Music Group N.V. (Quanto USD)

Title

CH1548147268 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147268

Fälligkeitstag

08.02.2027

Basiswert

Universal Music Group N.V.

5.65% (5.62% p.a.) Barrier Reverse Convertible on E.ON, Enel

Title

CH1476906404 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906404

Fälligkeitstag

07.09.2026

Basiswert

E.ON SE, Enel SpA - CH1476906404

5.65% (5.65% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548127039 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127039

Fälligkeitstag

21.04.2027

Basiswert

Swiss Life Holding AG, Helvetia Baloise Holding AG, Zurich Insurance Group Ltd, Swiss Re AG - CH1548127039

5.65% p.a. Callable Reverse Convertible on SAP, Siemens (Quanto CHF)

Title

CH1532239873 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239873

Fälligkeitstag

04.03.2027

Basiswert

Siemens AG, SAP SE - CH1532239873

5.67% (11.15% p.a.) Reverse Convertible on Salesforce, Inc.

Title

CH1548126429 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126429

Fälligkeitstag

19.10.2026

Basiswert

Salesforce, Inc.

5.67% p.a. Autocallable Barrier Reverse Convertible on Geberit, Lindt & Sprüngli, Swiss Re

Title

CH1548127575 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127575

Fälligkeitstag

22.04.2027

Basiswert

Swiss Re AG, Geberit AG, Lindt & Sprüngli AG - CH1548127575

5.67% p.a. Autocallable Reverse Convertible on PepsiCo Inc.

Title

CH1548133425 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133425

Fälligkeitstag

19.05.2027

Basiswert

PepsiCo Inc.

5.67% p.a. Callable Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann

Title

CH1548136493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136493

Fälligkeitstag

08.06.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Sandoz Group AG - CH1548136493

5.68% (5.68% p.a.) Barrier Reverse Convertible on Kuehne + Nagel International AG

Title

CH1548144398 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144398

Fälligkeitstag

22.07.2027

Basiswert

Kuehne + Nagel International AG

5.68% (5.70% p.a.) Reverse Convertible on ALSO Holding AG

Title

CH1492026179 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026179

Fälligkeitstag

28.12.2026

Basiswert

ALSO Holding AG

5.69% (11.26% p.a.) Barrier Reverse Convertible on Novartis, VAT, Zurich Insurance

Title

CH1548138960 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138960

Fälligkeitstag

21.12.2026

Basiswert

VAT Group AG, Novartis AG, Zurich Insurance Group Ltd - CH1548138960

5.69% (5.74% p.a.) Barrier Reverse Convertible on ABB, Kuehne + Nagel, Novartis

Title

CH1492018762 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018762

Fälligkeitstag

30.10.2026

Basiswert

Kuehne + Nagel International AG, ABB Ltd, Novartis AG - CH1492018762

5.70% (11.52% p.a.) Barrier Reverse Convertible on Richemont, Straumann

Title

CH1548129936 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129936

Fälligkeitstag

02.11.2026

Basiswert

Compagnie Financière Richemont SA, Straumann Holding AG - CH1548129936

5.70% p.a. Autocallable Reverse Convertible on Kardex AG

Title

CH1476910489 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910489

Fälligkeitstag

02.10.2026

Basiswert

Kardex AG

5.70% p.a. Autocallable Reverse Convertible on Partners Group Holding, Roche, Straumann

Title

CH1548131858 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131858

Fälligkeitstag

13.05.2027

Basiswert

Straumann Holding AG, Partners Group Holding AG, Roche Holding AG - CH1548131858

5.70% p.a. Autocallable Reverse Convertible on Partners Group Holding, Roche, Straumann

Title

CH1548132302 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132302

Fälligkeitstag

14.05.2027

Basiswert

Straumann Holding AG, Partners Group Holding AG, Roche Holding AG - CH1548132302

5.70% p.a. Barrier Reverse Convertible on Givaudan, Microsoft, Nestlé, Partners Group Holding, RWE, Straumann (Quanto CHF)

Title

CH1476910976 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910976

Fälligkeitstag

08.10.2026

Basiswert

Straumann Holding AG, Microsoft Corp., Givaudan SA, RWE AG, Nestlé SA, Partners Group Holding AG - CH1476910976

5.70% p.a. Reverse Convertible on Microsoft Corp. (Quanto EUR)

Title

CH1532245698 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245698

Fälligkeitstag

05.04.2027

Basiswert

Microsoft Corp.

5.71% (5.71% p.a.) Barrier Reverse Convertible on Geberit, Swiss Life, Swisscom

Title

CH1492025676 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025676

Fälligkeitstag

22.12.2026

Basiswert

Swisscom AG, Geberit AG, Swiss Life Holding AG - CH1492025676

5.71% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Nestlé, Novartis, Roche, Sandoz Group

Title

CH1548150304 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150304

Fälligkeitstag

24.08.2027

Basiswert

Nestlé SA, Roche Holding AG, Novartis AG, Sandoz Group AG, Galderma Group Ltd - CH1548150304

5.71% p.a. Autocallable Barrier Reverse Convertible on Richemont, Swiss Re, UBS Group

Title

CH1532239832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239832

Fälligkeitstag

04.03.2027

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, UBS Group AG - CH1532239832

5.71% p.a. Barrier Reverse Convertible on Deutsche Post, Deutsche Telekom, Swisscom (Quanto CHF)

Title

CH1492024653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024653

Fälligkeitstag

16.12.2026

Basiswert

Deutsche Post AG, Deutsche Telekom AG, Swisscom AG - CH1492024653

5.71% p.a. Barrier Reverse Convertible on SIG Group AG

Title

CH1492026500 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026500

Fälligkeitstag

30.11.2026

Basiswert

SIG Group AG

5.71% p.a. Reverse Convertible on Lonza, Partners Group Holding, Sandoz Group

Title

CH1532240400 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240400

Fälligkeitstag

08.03.2027

Basiswert

Sandoz Group AG, Partners Group Holding AG, Lonza Group AG - CH1532240400

5.72% (11.37% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens

Title

CH1548144968 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144968

Fälligkeitstag

25.01.2027

Basiswert

Siemens AG, Schneider Electric SE - CH1548144968

5.72% (5.67% p.a.) Reverse Convertible on Chevron, Exxon Mobil, Shell (Quanto EUR)

Title

CH1548135859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135859

Fälligkeitstag

07.06.2027

Basiswert

Chevron Corp., Exxon Mobil Corp., Shell PLC - CH1548135859

5.72% (5.72% p.a.) Reverse Convertible on Telefonica SA

Title

CH1532237919 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237919

Fälligkeitstag

25.02.2027

Basiswert

Telefonica SA

5.72% p.a. Callable Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492030148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030148

Fälligkeitstag

26.01.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1492030148

5.74% (22.71% p.a.) Reverse Convertible on Moderna, Zillow Group (Quanto CHF)

Title

CH1548142657 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142657

Fälligkeitstag

14.10.2026

Basiswert

Moderna Inc., Zillow Group Inc. - CH1548142657

5.74% (5.71% p.a.) Barrier Reverse Convertible on Holcim Ltd

Title

CH1532243636 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243636

Fälligkeitstag

22.03.2027

Basiswert

Holcim Ltd

5.74% (5.74% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Julius Bär

Title

CH1548140859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140859

Fälligkeitstag

01.07.2027

Basiswert

Geberit AG, Holcim Ltd, Julius Bär Gruppe AG - CH1548140859

5.74% p.a. Autocallable Barrier Reverse Convertible on EURO STOXX 50®️ Index, Nikkei 225 Index, S&P 500®️ Index (Quanto GBP)

Title

CH1548147227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147227

Fälligkeitstag

05.08.2027

Basiswert

S&P 500®️ Index, EURO STOXX 50®️ Index, Nikkei 225 Index - CH1548147227

5.75% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, NVIDIA (Quanto EUR)

Title

CH1548129142 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129142

Fälligkeitstag

29.04.2027

Basiswert

Amazon.com Inc., Alphabet, Inc., NVIDIA Corp. - CH1548129142

5.75% p.a. Barrier Reverse Convertible on Chevron, Repsol, Shell (Quanto CHF)

Title

CH1492019612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019612

Fälligkeitstag

08.11.2027

Basiswert

Shell PLC, Repsol YPF SA, Chevron Corp. - CH1492019612

5.75% p.a. Callable Barrier Reverse Convertible on Roche, Swiss Re, Swisscom

Title

CH1548148084 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148084

Fälligkeitstag

12.08.2027

Basiswert

Swiss Re AG, Swisscom AG, Roche Holding AG - CH1548148084

5.76% p.a. Autocallable Reverse Convertible on UBS Group, Zurich Insurance

Title

CH1532243347 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243347

Fälligkeitstag

19.03.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG - CH1532243347

5.76% p.a. Barrier Reverse Convertible on Lonza, Sonova, Zurich Insurance

Title

CH1476906131 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906131

Fälligkeitstag

04.09.2026

Basiswert

Lonza Group AG, Sonova Holding AG, Zurich Insurance Group Ltd - CH1476906131

5.76% p.a. Callable Reverse Convertible on Alphabet, Apple, Microsoft (Quanto CHF)

Title

CH1492018044 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018044

Fälligkeitstag

29.10.2026

Basiswert

Microsoft Corp., Alphabet, Inc., Apple Inc. - CH1492018044

5.77% (5.77% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re

Title

CH1548126288 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126288

Fälligkeitstag

16.04.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Helvetia Baloise Holding AG - CH1548126288

5.77% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1492034439 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034439

Fälligkeitstag

15.02.2027

Basiswert

Holcim Ltd, Sika AG, Geberit AG - CH1492034439

5.77% p.a. Barrier Reverse Convertible on Logitech, Sandoz Group, Swiss Prime Site, Swisscom

Title

CH1532246183 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246183

Fälligkeitstag

06.04.2027

Basiswert

Swisscom AG, Swiss Prime Site AG, Logitech International SA, Sandoz Group AG - CH1532246183

5.78% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1446051216 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446051216

Fälligkeitstag

30.05.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1446051216

5.79% (11.40% p.a.) Reverse Convertible on Micron Technology Inc.

Title

CH1548132658 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132658

Fälligkeitstag

17.11.2026

Basiswert

Micron Technology Inc.

5.79% (11.59% p.a.) Reverse Convertible on Dell Technologies Inc. (Quanto EUR)

Title

CH1548146864 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146864

Fälligkeitstag

05.02.2027

Basiswert

Dell Technologies Inc.

5.79% (5.76% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1532243628 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243628

Fälligkeitstag

22.03.2027

Basiswert

Sandoz Group AG

5.79% p.a. Barrier Reverse Convertible on Alcon, Holcim, Sika

Title

CH1476906057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906057

Fälligkeitstag

04.09.2026

Basiswert

Holcim Ltd, Alcon Inc., Sika AG - CH1476906057

5.79% p.a. Barrier Reverse Convertible on Givaudan, Holcim, Richemont, Sika, Swiss Re

Title

CH1492028381 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028381

Fälligkeitstag

18.01.2027

Basiswert

Compagnie Financière Richemont SA, Givaudan SA, Holcim Ltd, Swiss Re AG, Sika AG - CH1492028381

5.79% p.a. Callable Reverse Convertible on Emmi, Lindt & Sprüngli, Nestlé

Title

CH1492018069 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018069

Fälligkeitstag

29.10.2026

Basiswert

Nestlé SA, Lindt & Sprüngli AG, Emmi AG - CH1492018069

5.79% p.a. Reverse Convertible on Accelleron Industries, Geberit, Lonza

Title

CH1314932240 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314932240

Fälligkeitstag

11.12.2026

Basiswert

Accelleron Industries AG, Lonza Group AG, Geberit AG - CH1314932240

5.79% p.a. Reverse Convertible on Geberit, Siegfried, Ypsomed

Title

CH1548138465 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138465

Fälligkeitstag

18.06.2027

Basiswert

Geberit AG, Siegfried Holding AG, Ypsomed Holding AG - CH1548138465

5.80% (11.42% p.a.) Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1532245557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245557

Fälligkeitstag

05.10.2026

Basiswert

Siemens Energy AG, Schneider Electric SE - CH1532245557

5.80% (5.80% p.a.) Barrier Reverse Convertible on Mobilezone, Sunrise Communications AG, Swisscom

Title

CH1492022111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022111

Fälligkeitstag

26.11.2026

Basiswert

Swisscom AG, Sunrise Communications AG, Mobilezone Holding AG - CH1492022111

5.80% (5.80% p.a.) Reverse Convertible on DKSH, Schindler, Sika

Title

CH1476912519 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912519

Fälligkeitstag

16.10.2026

Basiswert

DKSH Holding Ltd., Sika AG, Schindler Holding AG - CH1476912519

5.80% p.a. Barrier Reverse Convertible on ABB, Alcon, SGS

Title

CH1548131759 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131759

Fälligkeitstag

13.05.2027

Basiswert

SGS SA, Alcon Inc., ABB Ltd - CH1548131759

5.80% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492032680 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032680

Fälligkeitstag

05.02.2029

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492032680

5.80% p.a. Reverse Convertible on Alphabet, Inc. (Quanto CHF)

Title

CH1532242455 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242455

Fälligkeitstag

17.03.2027

Basiswert

Alphabet, Inc.

5.81% (11.64% p.a.) Reverse Convertible on Vistra Energy Corp.

Title

CH1548146815 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146815

Fälligkeitstag

05.02.2027

Basiswert

Vistra Energy Corp.

5.81% p.a. Autocallable Barrier Reverse Convertible on ABB, Galderma Group, Georg Fischer, Sandoz Group

Title

CH1476912683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912683

Fälligkeitstag

20.10.2026

Basiswert

Galderma Group Ltd, Georg Fischer AG, Sandoz Group AG, ABB Ltd - CH1476912683

5.81% p.a. Barrier Reverse Convertible on Geberit, Novartis, Swiss Life, UBS Group

Title

CH1492024919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024919

Fälligkeitstag

17.12.2027

Basiswert

UBS Group AG, Swiss Life Holding AG, Novartis AG, Geberit AG - CH1492024919

5.81% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548142459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142459

Fälligkeitstag

12.07.2027

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA - CH1548142459

5.81% p.a. Callable Reverse Convertible on Bucher, Schindler

Title

CH1418950916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950916

Fälligkeitstag

06.11.2026

Basiswert

Bucher Industries AG, Schindler Holding AG - CH1418950916

5.82% (11.51% p.a.) Barrier Reverse Convertible on BMW, Mercedes-Benz Group

Title

CH1548141444 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141444

Fälligkeitstag

05.01.2027

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG - CH1548141444

5.82% (5.82% p.a.) Barrier Reverse Convertible on E.ON, RWE, Veolia

Title

CH1548150494 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150494

Fälligkeitstag

25.08.2027

Basiswert

RWE AG, E.ON SE, Veolia Environnement - CH1548150494

5.82% p.a. Autocallable Barrier Reverse Convertible on Helvetia, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492021105 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021105

Fälligkeitstag

18.11.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd, Helvetia Holding AG - CH1492021105

5.82% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548142442 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142442

Fälligkeitstag

12.07.2027

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1548142442

5.82% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548131932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131932

Fälligkeitstag

13.05.2027

Basiswert

Roche Holding AG, Novartis AG, Nestlé SA - CH1548131932

5.82% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548145601 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145601

Fälligkeitstag

29.07.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Swiss Re AG - CH1548145601

5.83% p.a. Autocallable Reverse Convertible on Richemont, Zurich Insurance

Title

CH1532240624 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240624

Fälligkeitstag

09.03.2027

Basiswert

Compagnie Financière Richemont SA, Zurich Insurance Group Ltd - CH1532240624

5.83% p.a. Reverse Convertible on ABB, Accelleron Industries, Straumann

Title

CH1476908756 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908756

Fälligkeitstag

22.09.2026

Basiswert

Accelleron Industries AG, Straumann Holding AG, ABB Ltd - CH1476908756

5.84% (11.61% p.a.) Barrier Reverse Convertible on Waters Corp.

Title

CH1532238677 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238677

Fälligkeitstag

28.08.2026

Basiswert

Waters Corp.

5.84% (11.82% p.a.) Reverse Convertible on Siemens AG

Title

CH1548130892 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130892

Fälligkeitstag

05.11.2026

Basiswert

Siemens AG

5.84% (5.82% p.a.) Barrier Reverse Convertible on ABB, Nestlé, Novartis, Swiss Re

Title

CH1492031526 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031526

Fälligkeitstag

01.02.2027

Basiswert

ABB Ltd, Nestlé SA, Swiss Re AG, Novartis AG - CH1492031526

5.84% (5.84% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re

Title

CH1548139679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139679

Fälligkeitstag

24.06.2027

Basiswert

Swiss Re AG, Helvetia Baloise Holding AG, Swiss Life Holding AG - CH1548139679

5.84% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Sonova, Swisscom

Title

CH1476906701 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906701

Fälligkeitstag

08.09.2026

Basiswert

Swisscom AG, Kuehne + Nagel International AG, Sonova Holding AG - CH1476906701

5.84% p.a. Callable Barrier Reverse Convertible on Nestlé, Partners Group Holding, Swiss Re (Quanto EUR)

Title

CH1548140826 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140826

Fälligkeitstag

01.10.2027

Basiswert

Nestlé SA, Partners Group Holding AG, Swiss Re AG - CH1548140826

5.85% (11.71% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1532244295 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244295

Fälligkeitstag

25.09.2026

Basiswert

NVIDIA Corp.

5.85% (13.96% p.a.) Barrier Reverse Convertible on Meta Platforms Inc.

Title

CH1548132336 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132336

Fälligkeitstag

14.10.2026

Basiswert

Meta Platforms Inc.

5.85% (5.85% p.a.) Barrier Reverse Convertible on Danone, Unilever PLC

Title

CH1548134340 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134340

Fälligkeitstag

26.05.2027

Basiswert

Unilever PLC, Danone SA - CH1548134340

5.85% p.a. Autocallable Reverse Convertible on Partners Group Holding, Swiss Re

Title

CH1532245516 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245516

Fälligkeitstag

06.04.2027

Basiswert

Partners Group Holding AG, Swiss Re AG - CH1532245516

5.85% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548133383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133383

Fälligkeitstag

20.05.2027

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1548133383

5.85% p.a. Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1492017723 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017723

Fälligkeitstag

28.10.2026

Basiswert

Kuehne + Nagel International AG, Sika AG, Partners Group Holding AG - CH1492017723

5.86% (11.53% p.a.) Reverse Convertible on Sartorius AG

Title

CH1596851886 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851886

Fälligkeitstag

01.03.2027

Basiswert

Sartorius AG

5.86% (12.06% p.a.) Barrier Reverse Convertible on SAP SE

Title

CH1548135776 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135776

Fälligkeitstag

27.11.2026

Basiswert

SAP SE

5.86% (5.86% p.a.) Barrier Reverse Convertible on ING, L´Oréal

Title

CH1532240046 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240046

Fälligkeitstag

05.03.2027

Basiswert

ING Groep N.V., L´Oréal International - CH1532240046

5.86% (7.82% p.a.) Barrier Reverse Convertible on Burckhardt Compression, Straumann, Swiss Re

Title

CH1492028597 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028597

Fälligkeitstag

16.10.2026

Basiswert

Straumann Holding AG, Burckhardt Compression Holding Ltd., Swiss Re AG - CH1492028597

5.86% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Holcim, Julius Bär

Title

CH1548138622 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138622

Fälligkeitstag

18.06.2027

Basiswert

Holcim Ltd, Julius Bär Gruppe AG, Accelleron Industries AG - CH1548138622

5.86% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, UBS Group

Title

CH1492031609 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031609

Fälligkeitstag

01.02.2027

Basiswert

Partners Group Holding AG, Swiss Re AG, UBS Group AG, Swiss Life Holding AG - CH1492031609

5.86% p.a. Barrier Reverse Convertible on Helvetia, Swiss Life, Zurich Insurance

Title

CH1492022293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022293

Fälligkeitstag

27.11.2028

Basiswert

Helvetia Holding AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1492022293

5.86% p.a. Barrier Reverse Convertible on Straumann Holding AG

Title

CH1532238255 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238255

Fälligkeitstag

26.02.2027

Basiswert

Straumann Holding AG

5.86% p.a. Callable Barrier Reverse Convertible on BASF, Bayer, Sanofi (Quanto CHF)

Title

CH1548146427 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146427

Fälligkeitstag

03.11.2027

Basiswert

BASF SE, Bayer AG, Sanofi SA - CH1548146427

5.87% (5.87% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, Partners Group Holding

Title

CH1548127047 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127047

Fälligkeitstag

21.04.2027

Basiswert

Givaudan SA, Lonza Group AG, Partners Group Holding AG - CH1548127047

5.87% (5.87% p.a.) Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1492023168 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023168

Fälligkeitstag

04.12.2026

Basiswert

UBS Group AG, Julius Bär Gruppe AG - CH1492023168

5.87% p.a. Autocallable Reverse Convertible on Generali, Sanofi

Title

CH1548129365 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129365

Fälligkeitstag

30.04.2027

Basiswert

Assicurazioni Generali SpA, Sanofi SA - CH1548129365

5.87% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Holcim

Title

CH1476906693 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906693

Fälligkeitstag

08.09.2026

Basiswert

Holcim Ltd, Givaudan SA, Geberit AG - CH1476906693

5.87% p.a. Barrier Reverse Convertible on Nestlé SA

Title

CH1532238040 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238040

Fälligkeitstag

25.02.2027

Basiswert

Nestlé SA

5.87% p.a. Barrier Reverse Convertible on Straumann Holding AG

Title

CH1532238180 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238180

Fälligkeitstag

26.02.2027

Basiswert

Straumann Holding AG

5.87% p.a. Reverse Convertible on Microsoft Corp. (Quanto CHF)

Title

CH1532242448 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242448

Fälligkeitstag

17.03.2027

Basiswert

Microsoft Corp.

5.88% (23.03% p.a.) Reverse Convertible on Adobe, Salesforce, ServiceNow

Title

CH1548147516 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147516

Fälligkeitstag

09.11.2026

Basiswert

Salesforce, Inc., ServiceNow Inc, Adobe Systems Inc. - CH1548147516

5.88% p.a. Callable Reverse Convertible on Sika, Zurich Insurance

Title

CH1492017806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017806

Fälligkeitstag

29.10.2026

Basiswert

Zurich Insurance Group Ltd, Sika AG - CH1492017806

5.88% p.a. Callable Reverse Convertible on Swiss Re, Swissquote, UBS Group

Title

CH1492025734 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025734

Fälligkeitstag

23.12.2027

Basiswert

Swiss Re AG, UBS Group AG, Swissquote Group Holding SA - CH1492025734

5.90% (5.90% p.a.) Barrier Reverse Convertible on Sunrise Communications AG, Swiss Re, UBS Group

Title

CH1548133409 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133409

Fälligkeitstag

20.05.2027

Basiswert

UBS Group AG, Sunrise Communications AG, Swiss Re AG - CH1548133409

5.90% p.a. Reverse Convertible on Accelleron Industries, Alcon, Sandoz Group

Title

CH1492017699 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017699

Fälligkeitstag

28.10.2026

Basiswert

Accelleron Industries AG, Sandoz Group AG, Alcon Inc. - CH1492017699

5.91% (11.96% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding

Title

CH1548129928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129928

Fälligkeitstag

02.11.2026

Basiswert

Julius Bär Gruppe AG, Partners Group Holding AG - CH1548129928

5.91% (5.94% p.a.) Barrier Reverse Convertible on Galderma Group, Lonza, Sandoz Group

Title

CH1532246449 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246449

Fälligkeitstag

07.04.2027

Basiswert

Lonza Group AG, Galderma Group Ltd, Sandoz Group AG - CH1532246449

5.91% p.a. Autocallable Reverse Convertible on BKW, Microsoft (Quanto CHF)

Title

CH1532242489 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242489

Fälligkeitstag

17.03.2027

Basiswert

BKW AG, Microsoft Corp. - CH1532242489

5.91% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548137830 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137830

Fälligkeitstag

15.06.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

5.91% p.a. Barrier Reverse Convertible on Givaudan, Kuehne + Nagel, Lonza

Title

CH1492018424 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018424

Fälligkeitstag

02.11.2026

Basiswert

Lonza Group AG, Givaudan SA, Kuehne + Nagel International AG - CH1492018424

5.91% p.a. Reverse Convertible on ABB, Accelleron Industries, Sandoz Group

Title

CH1548138309 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138309

Fälligkeitstag

17.06.2027

Basiswert

ABB Ltd, Sandoz Group AG, Accelleron Industries AG - CH1548138309

5.92% (5.92% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Sika

Title

CH1532238867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238867

Fälligkeitstag

02.03.2027

Basiswert

Alcon Inc., Holcim Ltd, Sika AG - CH1532238867

5.92% p.a. Autocallable Barrier Reverse Convertible on ABB, Partners Group Holding, Sandoz Group

Title

CH1492030478 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030478

Fälligkeitstag

27.01.2027

Basiswert

Partners Group Holding AG, Sandoz Group AG, ABB Ltd - CH1492030478

5.92% p.a. Autocallable Barrier Reverse Convertible on Alcon, Nestlé, Roche

Title

CH1532239170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239170

Fälligkeitstag

03.03.2027

Basiswert

Alcon Inc., Roche Holding AG, Nestlé SA - CH1532239170

5.93% (10.96% p.a.) Barrier Reverse Convertible on Eli Lilly, Johnson & Johnson

Title

CH1548140487 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140487

Fälligkeitstag

14.01.2027

Basiswert

Eli Lilly & Co., Johnson & Johnson - CH1548140487

5.93% (11.79% p.a.) Reverse Convertible on E.ON, Iberdrola, Veolia

Title

CH1532244444 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244444

Fälligkeitstag

28.09.2026

Basiswert

Iberdrola SA, E.ON SE, Veolia Environnement - CH1532244444

5.93% p.a. Barrier Reverse Convertible on Holcim, SGS, Sika

Title

CH1476904045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904045

Fälligkeitstag

20.10.2026

Basiswert

SGS SA, Sika AG, Holcim Ltd - CH1476904045

5.94% (5.91% p.a.) Reverse Convertible on ABB Ltd

Title

CH1476910638 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910638

Fälligkeitstag

05.10.2026

Basiswert

ABB Ltd

5.94% p.a. Barrier Reverse Convertible on Julius Bär, Kuehne + Nagel, UBS Group

Title

CH1492023887 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023887

Fälligkeitstag

10.12.2026

Basiswert

Kuehne + Nagel International AG, UBS Group AG, Julius Bär Gruppe AG - CH1492023887

5.94% p.a. Reverse Convertible on Accelleron Industries, Geberit, VAT

Title

CH1492020255 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020255

Fälligkeitstag

12.11.2026

Basiswert

VAT Group AG, Accelleron Industries AG, Geberit AG - CH1492020255

5.94% p.a. Reverse Convertible on Novartis, Roche

Title

CH1492022624 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022624

Fälligkeitstag

30.11.2026

Basiswert

Roche Holding AG, Novartis AG - CH1492022624

5.95% (5.95% p.a.) Barrier Reverse Convertible on Geberit, Richemont, Swissquote

Title

CH1548141006 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141006

Fälligkeitstag

01.07.2027

Basiswert

Compagnie Financière Richemont SA, Swissquote Group Holding SA, Geberit AG - CH1548141006

5.95% p.a. Autocallable Barrier Reverse Convertible on Carrefour, Hermes, LVMH Moët Hennessy Louis Vuitton, Sanofi (Quanto CHF)

Title

CH1476908038 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908038

Fälligkeitstag

17.09.2026

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Carrefour SA, Sanofi SA - CH1476908038

5.95% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1476911206 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911206

Fälligkeitstag

09.10.2026

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Partners Group Holding AG - CH1476911206

5.96% (11.92% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1492035543 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035543

Fälligkeitstag

18.08.2026

Basiswert

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1492035543

5.96% (5.92% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1476909853 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909853

Fälligkeitstag

28.09.2026

Basiswert

Logitech International SA

5.96% (5.96% p.a.) Barrier Reverse Convertible on ABB, Nestlé, Novartis, Roche

Title

CH1492020867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020867

Fälligkeitstag

17.11.2026

Basiswert

ABB Ltd, Nestlé SA, Roche Holding AG, Novartis AG - CH1492020867

5.96% (5.96% p.a.) Barrier Reverse Convertible on EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton, Stadler Rail (Quanto CHF)

Title

CH1548140651 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140651

Fälligkeitstag

30.06.2027

Basiswert

EssilorLuxottica SA, LVMH Moët Hennessy Louis Vuitton SE, Stadler Rail AG - CH1548140651

5.96% p.a. Autocallable Barrier Reverse Convertible on Allreal, PSP Swiss Property, Swiss Prime Site

Title

CH1548139406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139406

Fälligkeitstag

23.06.2027

Basiswert

Swiss Prime Site AG, PSP Swiss Property AG, Allreal Holding AG - CH1548139406

5.96% p.a. Autocallable Reverse Convertible on ASML, Sika (Quanto CHF)

Title

CH1492024570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024570

Fälligkeitstag

16.12.2026

Basiswert

Sika AG, ASML Holding NV - CH1492024570

5.96% p.a. Barrier Reverse Convertible on Holcim, Lonza, Sonova

Title

CH1548137244 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137244

Fälligkeitstag

11.06.2027

Basiswert

Holcim Ltd, Sonova Holding AG, Lonza Group AG - CH1548137244

5.96% p.a. Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re

Title

CH1532242802 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242802

Fälligkeitstag

18.03.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Partners Group Holding AG - CH1532242802

5.96% p.a. Callable Reverse Convertible on Flughafen Zürich, Kuehne + Nagel

Title

CH1548140917 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140917

Fälligkeitstag

01.07.2027

Basiswert

Kuehne + Nagel International AG, Flughafen Zürich AG - CH1548140917

5.97% (5.98% p.a.) Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1532237315 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237315

Fälligkeitstag

24.02.2027

Basiswert

Partners Group Holding AG

5.97% p.a. Autocallable Barrier Reverse Convertible on S&P 500®️ Index

Title

CH1548134712 - Compartment P100

Kategorie

Structured Products - Index

ISIN

CH1548134712

Fälligkeitstag

01.12.2026

Basiswert

S&P 500®️ Index

5.97% p.a. Autocallable Reverse Convertible on Givaudan, NVIDIA (Quanto CHF)

Title

CH1492022913 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022913

Fälligkeitstag

03.12.2026

Basiswert

Givaudan SA, NVIDIA Corp. - CH1492022913

5.97% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms, Moncler (Quanto EUR)

Title

CH1548142962 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142962

Fälligkeitstag

15.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Moncler SpA, Meta Platforms Inc. - CH1548142962

5.97% p.a. Callable Reverse Convertible on Holcim, Straumann, VAT

Title

CH1314927984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314927984

Fälligkeitstag

31.08.2026

Basiswert

VAT Group AG, Holcim Ltd, Straumann Holding AG - CH1314927984

5.97% p.a. Reverse Convertible on Partners Group Holding, Sika, VAT

Title

CH1548138531 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138531

Fälligkeitstag

18.06.2027

Basiswert

Sika AG, VAT Group AG, Partners Group Holding AG - CH1548138531

5.98% (5.98% p.a.) Barrier Reverse Convertible on Sonova, Straumann

Title

CH1492017038 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017038

Fälligkeitstag

23.10.2026

Basiswert

Sonova Holding AG, Straumann Holding AG - CH1492017038

5.99% (12.04% p.a.) Barrier Reverse Convertible on Legrand, Schneider Electric, Siemens

Title

CH1548141246 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141246

Fälligkeitstag

29.12.2026

Basiswert

Legrand SA, Schneider Electric SE, Siemens AG - CH1548141246

5.99% (5.97% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1492031484 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031484

Fälligkeitstag

01.02.2027

Basiswert

Novartis AG, Roche Holding AG, Sandoz Group AG - CH1492031484

5.99% p.a. Autocallable Reverse Convertible on Lonza, Sika

Title

CH1548139810 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139810

Fälligkeitstag

25.06.2027

Basiswert

Sika AG, Lonza Group AG - CH1548139810

5.99% p.a. Barrier Reverse Convertible on Clariant, Logitech, Straumann

Title

CH1476911214 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911214

Fälligkeitstag

09.12.2026

Basiswert

Clariant AG, Straumann Holding AG, Logitech International SA - CH1476911214

5.99% p.a. Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532238198 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238198

Fälligkeitstag

26.02.2027

Basiswert

Compagnie Financière Richemont SA

5.99% p.a. Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532238263 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238263

Fälligkeitstag

26.02.2027

Basiswert

Compagnie Financière Richemont SA

50.03% p.a. Reverse Convertible on AMD, Intel, Lam Research (Quanto CHF)

Title

CH1548143143 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143143

Fälligkeitstag

16.10.2026

Basiswert

Advanced Micro Devices Inc., Intel Corp., Lam Research Corp. - CH1548143143

55.25% p.a. Callable Barrier Reverse Convertible on D-Wave Quantum, IonQ, Rigetti Computing

Title

CH1548137913 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137913

Fälligkeitstag

15.12.2026

Basiswert

Rigetti Computing Inc. , IonQ Inc., D-Wave Quantum Inc. - CH1548137913

6 Months [8,15%] Knock-In BRC Linked to Bitcoin & Ether

Title

CH1492916742 - Compartment 860

Kategorie

Structured Products - Crypto

ISIN

CH1492916742

Basiswert

BTC CME BRR,ETH CME ETHUSD_RR

6.00% (12.01% p.a.) Reverse Convertible on BELIMO Holding, Huber + Suhner, VAT

Title

CH1548127609 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127609

Fälligkeitstag

22.10.2026

Basiswert

VAT Group AG, BELIMO Holding AG, Huber + Suhner AG - CH1548127609

6.00% p.a. Autocallable Reverse Convertible on Nike Inc. (Quanto EUR)

Title

CH1476906032 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906032

Fälligkeitstag

03.09.2026

Basiswert

Nike Inc.

6.00% p.a. Autocallable Reverse Convertible on Partners Group Holding AG

Title

CH1548148621 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148621

Fälligkeitstag

13.08.2027

Basiswert

Partners Group Holding AG

6.00% p.a. Autocallable Reverse Convertible on Partners Group Holding, Roche, Straumann

Title

CH1548132104 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132104

Fälligkeitstag

14.05.2027

Basiswert

Straumann Holding AG, Partners Group Holding AG, Roche Holding AG - CH1548132104

6.00% p.a. Autocallable Reverse Convertible on Sensirion Holding AG

Title

CH1548143564 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143564

Fälligkeitstag

15.07.2027

Basiswert

Sensirion Holding AG

6.00% p.a. Autocallable Reverse Convertible on Sonova, Straumann (Quanto EUR)

Title

CH1548151062 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151062

Fälligkeitstag

25.02.2027

Basiswert

Straumann Holding AG, Sonova Holding AG - CH1548151062

6.00% p.a. Barrier Reverse Convertible on BELIMO Holding, Huber + Suhner, Kardex

Title

CH1548141097 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141097

Fälligkeitstag

05.01.2027

Basiswert

Huber + Suhner AG, BELIMO Holding AG, Kardex AG - CH1548141097

6.00% p.a. Barrier Reverse Convertible on Telefonica SA

Title

CH1532239477 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239477

Fälligkeitstag

26.02.2027

Basiswert

Telefonica SA

6.00% p.a. Reverse Convertible on ENI, Shell, TotalEnergies

Title

CH1548138853 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138853

Fälligkeitstag

21.06.2027

Basiswert

ENI SpA, Shell PLC, TotalEnergies SE - CH1548138853

6.00% p.a. Reverse Convertible on Intuitive Surgical Inc. (Quanto EUR)

Title

CH1548138994 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138994

Fälligkeitstag

22.06.2027

Basiswert

Intuitive Surgical Inc.

6.01% (5.98% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swisscom

Title

CH1548137749 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137749

Fälligkeitstag

14.06.2027

Basiswert

Nestlé SA, Novartis AG, Swisscom AG, Roche Holding AG - CH1548137749

6.01% p.a. Autocallable Reverse Convertible on Holcim, Nestlé

Title

CH1532240293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240293

Fälligkeitstag

08.03.2027

Basiswert

Holcim Ltd, Nestlé SA - CH1532240293

6.01% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1476906941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906941

Fälligkeitstag

09.09.2026

Basiswert

Sonova Holding AG, Straumann Holding AG, Alcon Inc. - CH1476906941

6.01% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134290 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134290

Fälligkeitstag

26.05.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548134290

6.02% (11.85% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Heidelberg Materials, Munich Re

Title

CH1548139844 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139844

Fälligkeitstag

28.12.2026

Basiswert

Münchener Rückversicherungs AG, Deutsche Telekom AG, Heidelberg Materials AG - CH1548139844

6.02% (11.97% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1548144802 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144802

Fälligkeitstag

25.01.2027

Basiswert

Sandoz Group AG

6.02% (13.30% p.a.) Barrier Reverse Convertible on Amrize Ltd, Georg Fischer

Title

CH1548143358 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143358

Fälligkeitstag

29.12.2026

Basiswert

Amrize Ltd, Georg Fischer AG - CH1548143358

6.02% (5.99% p.a.) Barrier Reverse Convertible on BASF SE

Title

CH1476906412 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906412

Fälligkeitstag

07.09.2026

Basiswert

BASF SE

6.02% p.a. Autocallable Reverse Convertible on Mercedes-Benz Group, Sanofi (Quanto CHF)

Title

CH1492029991 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029991

Fälligkeitstag

25.01.2027

Basiswert

Sanofi SA, Mercedes-Benz Group AG - CH1492029991

6.02% p.a. Autocallable Reverse Convertible on Sanofi, Zurich Insurance (Quanto EUR)

Title

CH1476912121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912121

Fälligkeitstag

14.10.2026

Basiswert

Sanofi SA, Zurich Insurance Group Ltd - CH1476912121

6.02% p.a. Callable Barrier Reverse Convertible on Accelleron Industries, Siegfried, Sika

Title

CH1492028464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028464

Fälligkeitstag

16.04.2027

Basiswert

Sika AG, Accelleron Industries AG, Siegfried Holding AG - CH1492028464

6.03% (13.25% p.a.) Barrier Reverse Convertible on Adecco, Sunrise Communications AG

Title

CH1548136188 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136188

Fälligkeitstag

19.11.2026

Basiswert

Adecco Group AG, Sunrise Communications AG - CH1548136188

6.03% (6.00% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swisscom

Title

CH1548137657 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137657

Fälligkeitstag

14.06.2027

Basiswert

Nestlé SA, Novartis AG, Swisscom AG, Roche Holding AG - CH1548137657

6.03% (6.05% p.a.) Barrier Reverse Convertible on Holcim, Lonza, Swiss Re

Title

CH1548134084 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134084

Fälligkeitstag

25.05.2027

Basiswert

Holcim Ltd, Swiss Re AG, Lonza Group AG - CH1548134084

6.03% p.a. Autocallable Barrier Reverse Convertible on Holcim, Lonza, Straumann

Title

CH1548133961 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133961

Fälligkeitstag

25.05.2027

Basiswert

Holcim Ltd, Straumann Holding AG, Lonza Group AG - CH1548133961

6.03% p.a. Barrier Reverse Convertible on Alcon, Sika, Swisscom

Title

CH1492020792 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020792

Fälligkeitstag

17.11.2026

Basiswert

Alcon Inc., Sika AG, Swisscom AG - CH1492020792

6.03% p.a. Barrier Reverse Convertible on Deutsche Telekom, Givaudan, Hermes, Logitech, Novartis (Quanto CHF)

Title

CH1492020420 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020420

Fälligkeitstag

13.11.2026

Basiswert

Novartis AG, Logitech International SA, Givaudan SA, Hermes International, Deutsche Telekom AG - CH1492020420

6.03% p.a. Reverse Convertible on AXA, Givaudan, Lanxess (Quanto CHF)

Title

CH1418950460 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950460

Fälligkeitstag

08.05.2028

Basiswert

Lanxess AG, Givaudan SA, AXA SA - CH1418950460

6.04% (12.09% p.a.) Reverse Convertible on Dollar General Corp.

Title

CH1532246746 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246746

Fälligkeitstag

08.10.2026

Basiswert

Dollar General Corp.

6.04% (12.94% p.a.) Barrier Reverse Convertible on Merck KGaA, Sanofi

Title

CH1532246043 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246043

Fälligkeitstag

25.09.2026

Basiswert

Sanofi SA, Merck KGaA - CH1532246043

6.04% (6.01% p.a.) Barrier Reverse Convertible on ABB, Alcon, Lonza

Title

CH1548126585 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126585

Fälligkeitstag

19.04.2027

Basiswert

ABB Ltd, Lonza Group AG, Alcon Inc. - CH1548126585

6.04% (6.04% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1492028134 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028134

Fälligkeitstag

15.01.2027

Basiswert

Novartis AG, Sandoz Group AG, Roche Holding AG - CH1492028134

6.04% (6.04% p.a.) Reverse Convertible on VAT Group AG

Title

CH1476905604 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905604

Fälligkeitstag

01.09.2026

Basiswert

VAT Group AG

6.04% p.a. Autocallable Reverse Convertible on Chevron, ENI, Exxon Mobil (Quanto CHF)

Title

CH1532244493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244493

Fälligkeitstag

31.03.2027

Basiswert

Exxon Mobil Corp., Chevron Corp., ENI SpA - CH1532244493

6.04% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, Straumann

Title

CH1492023895 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023895

Fälligkeitstag

10.12.2026

Basiswert

Straumann Holding AG, ABB Ltd, Partners Group Holding AG - CH1492023895

6.04% p.a. Reverse Convertible on Alcon, Galenica, VAT

Title

CH1492016766 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016766

Fälligkeitstag

22.10.2026

Basiswert

VAT Group AG, Galenica AG, Alcon Inc. - CH1492016766

6.05% (12.24% p.a.) Barrier Reverse Convertible on BMW, Mercedes-Benz Group

Title

CH1548135073 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135073

Fälligkeitstag

27.11.2026

Basiswert

Bayerische Motoren Werke AG, Mercedes-Benz Group AG - CH1548135073

6.05% (6.05% p.a.) Reverse Convertible on Veolia Environnement

Title

CH1476912790 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912790

Fälligkeitstag

20.10.2026

Basiswert

Veolia Environnement

6.05% p.a. Barrier Reverse Convertible on Alcon, Holcim, Lonza

Title

CH1476911545 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911545

Fälligkeitstag

12.10.2026

Basiswert

Holcim Ltd, Alcon Inc., Lonza Group AG - CH1476911545

6.05% p.a. Barrier Reverse Convertible on Medacta Group, Sonova, Straumann

Title

CH1548146302 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146302

Fälligkeitstag

01.02.2027

Basiswert

Medacta Group Ltd, Sonova Holding AG, Straumann Holding AG - CH1548146302

6.05% p.a. Barrier Reverse Convertible on Sandoz Group, Swiss Re, UBS Group

Title

CH1548129738 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129738

Fälligkeitstag

03.05.2027

Basiswert

Sandoz Group AG, Swiss Re AG, UBS Group AG - CH1548129738

6.05% p.a. Callable Barrier Reverse Convertible on Geberit, Givaudan, Sunrise Communications AG, Swiss Life

Title

CH1548126932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126932

Fälligkeitstag

20.04.2027

Basiswert

Givaudan SA, Geberit AG, Swiss Life Holding AG, Sunrise Communications AG - CH1548126932

6.05% p.a. Callable Reverse Convertible on ABB Ltd

Title

CH1532240335 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240335

Fälligkeitstag

06.03.2028

Basiswert

ABB Ltd

6.05% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1468579243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579243

Fälligkeitstag

26.07.2027

Basiswert

ALSO Holding AG, Logitech International SA - CH1468579243

6.05% p.a. Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto CHF)

Title

CH1476905836 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905836

Fälligkeitstag

02.09.2026

Basiswert

ASML Holding NV, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1476905836

6.06% (6.06% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Partners Group Holding

Title

CH1492019901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019901

Fälligkeitstag

10.11.2026

Basiswert

Alcon Inc., Holcim Ltd, Partners Group Holding AG - CH1492019901

6.06% (6.06% p.a.) Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1492017541 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017541

Fälligkeitstag

28.10.2026

Basiswert

Alcon Inc., Straumann Holding AG, Sonova Holding AG - CH1492017541

6.06% p.a. Autocallable Barrier Reverse Convertible on Carrefour, Danone, Siemens (Quanto CHF)

Title

CH1492016998 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016998

Fälligkeitstag

23.10.2026

Basiswert

Danone SA, Carrefour SA, Siemens AG - CH1492016998

6.06% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1532238917 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238917

Fälligkeitstag

02.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.06% p.a. Callable Barrier Reverse Convertible on ABB, Holcim, Novartis

Title

CH1548136964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136964

Fälligkeitstag

10.02.2027

Basiswert

Holcim Ltd, ABB Ltd, Novartis AG - CH1548136964

6.07% p.a. Barrier Reverse Convertible on ABB, Geberit, Holcim

Title

CH1492021709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021709

Fälligkeitstag

23.11.2026

Basiswert

Geberit AG, Holcim Ltd, ABB Ltd - CH1492021709

6.07% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1468580639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468580639

Fälligkeitstag

06.08.2027

Basiswert

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1468580639

6.07% p.a. Callable Reverse Convertible on Alcon, Lonza, Sika

Title

CH1492017475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017475

Fälligkeitstag

27.04.2027

Basiswert

Alcon Inc., Lonza Group AG, Sika AG - CH1492017475

6.08% (15.76% p.a.) Reverse Convertible on Holcim Ltd

Title

CH1548146419 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146419

Fälligkeitstag

22.12.2026

Basiswert

Holcim Ltd

6.08% p.a. Autocallable Reverse Convertible on Adidas, Nike (Quanto CHF)

Title

CH1476904458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904458

Fälligkeitstag

26.10.2026

Basiswert

Nike Inc., Adidas AG - CH1476904458

6.08% p.a. Barrier Reverse Convertible on Danone, Flughafen Zürich, Logitech, SGS, UniCredit, Unilever PLC (Quanto CHF)

Title

CH1492036244 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036244

Fälligkeitstag

22.02.2027

Basiswert

Logitech International SA, SGS SA, Flughafen Zürich AG, Unilever PLC, Danone SA, UniCredit SpA - CH1492036244

6.08% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Logitech

Title

CH1476911578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911578

Fälligkeitstag

12.10.2026

Basiswert

Geberit AG, Givaudan SA, Logitech International SA - CH1476911578

6.09% (6.09% p.a.) Barrier Reverse Convertible on Geberit, Georg Fischer, Roche, Ypsomed

Title

CH1476906958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906958

Fälligkeitstag

09.09.2026

Basiswert

Geberit AG, Georg Fischer AG, Roche Holding AG, Ypsomed Holding AG - CH1476906958

6.09% p.a. Autocallable Barrier Reverse Convertible on Geberit, Lonza, Swiss Re

Title

CH1492030106 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030106

Fälligkeitstag

26.01.2027

Basiswert

Swiss Re AG, Geberit AG, Lonza Group AG - CH1492030106

6.09% p.a. Callable Barrier Reverse Convertible on ENI, Shell, TotalEnergies (Quanto CHF)

Title

CH1532242877 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242877

Fälligkeitstag

18.03.2027

Basiswert

ENI SpA, Shell PLC, TotalEnergies SE - CH1532242877

6.09% p.a. Callable Reverse Convertible on Helvetia, Swiss Re, Zurich Insurance

Title

CH1468579235 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579235

Fälligkeitstag

26.07.2027

Basiswert

Zurich Insurance Group Ltd, Helvetia Holding AG, Swiss Re AG - CH1468579235

6.09% p.a. Reverse Convertible on ABB, BKW, ENGIE (Quanto CHF)

Title

CH1532237505 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237505

Fälligkeitstag

25.02.2028

Basiswert

ABB Ltd, ENGIE SA, BKW AG - CH1532237505

6.10% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Holcim, Julius Bär

Title

CH1548138010 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138010

Fälligkeitstag

15.06.2027

Basiswert

Accelleron Industries AG, Julius Bär Gruppe AG, Holcim Ltd - CH1548138010

6.10% p.a. Barrier Reverse Convertible on Georg Fischer, Sika, Zurich Insurance

Title

CH1548132344 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132344

Fälligkeitstag

14.05.2027

Basiswert

Zurich Insurance Group Ltd, Sika AG, Georg Fischer AG - CH1548132344

6.10% p.a. Callable Reverse Convertible on Alcon, Galderma Group

Title

CH1532242638 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242638

Fälligkeitstag

17.03.2028

Basiswert

Alcon Inc., Galderma Group Ltd - CH1532242638

6.10% p.a. Callable Reverse Convertible on BKW, Swisscom

Title

CH1418950908 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950908

Fälligkeitstag

06.11.2026

Basiswert

Swisscom AG, BKW AG - CH1418950908

6.11% p.a. Barrier Reverse Convertible on Alcon, Holcim, Sika

Title

CH1476906636 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906636

Fälligkeitstag

08.09.2026

Basiswert

Holcim Ltd, Alcon Inc., Sika AG - CH1476906636

6.11% p.a. Callable Barrier Reverse Convertible on Geberit, Givaudan, Sika, Sonova

Title

CH1476910364 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910364

Fälligkeitstag

01.10.2026

Basiswert

Givaudan SA, Sika AG, Sonova Holding AG, Geberit AG - CH1476910364

6.12% (6.12% p.a.) Reverse Convertible on Helvetia Baloise, Zurich Insurance

Title

CH1548140610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140610

Fälligkeitstag

30.06.2027

Basiswert

Helvetia Baloise Holding AG, Zurich Insurance Group Ltd - CH1548140610

6.12% p.a. Autocallable Reverse Convertible on Apple, Microsoft

Title

CH1476911552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911552

Fälligkeitstag

13.10.2026

Basiswert

Apple Inc., Microsoft Corp. - CH1476911552

6.12% p.a. Barrier Reverse Convertible on ABB, Lonza, Novartis

Title

CH1548137723 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137723

Fälligkeitstag

14.06.2027

Basiswert

ABB Ltd, Lonza Group AG, Novartis AG - CH1548137723

6.12% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1532237810 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237810

Fälligkeitstag

25.02.2027

Basiswert

Holcim Ltd, Sika AG, Geberit AG - CH1532237810

6.12% p.a. Callable Barrier Reverse Convertible on ABB, Holcim, Sika

Title

CH1418946989 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418946989

Fälligkeitstag

02.10.2026

Basiswert

ABB Ltd, Holcim Ltd, Sika AG - CH1418946989

6.12% p.a. Reverse Convertible on Geberit, Julius Bär, Sonova

Title

CH1418947284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418947284

Fälligkeitstag

06.04.2027

Basiswert

Sonova Holding AG, Geberit AG, Julius Bär Gruppe AG - CH1418947284

6.13% (12.13% p.a.) Reverse Convertible on Intel, Tesla

Title

CH1548147110 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147110

Fälligkeitstag

08.02.2027

Basiswert

Intel Corp., Tesla Inc. - CH1548147110

6.13% p.a. Autocallable Reverse Convertible on Novartis, Richemont

Title

CH1532243339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243339

Fälligkeitstag

19.03.2027

Basiswert

Compagnie Financière Richemont SA, Novartis AG - CH1532243339

6.13% p.a. Barrier Reverse Convertible on ABB, Holcim, Sika (Quanto EUR)

Title

CH1476912410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912410

Fälligkeitstag

16.10.2026

Basiswert

ABB Ltd, Holcim Ltd, Sika AG - CH1476912410

6.13% p.a. Barrier Reverse Convertible on Barry Callebaut, Swissquote, Temenos

Title

CH1532244022 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244022

Fälligkeitstag

24.03.2027

Basiswert

Barry Callebaut AG, Swissquote Group Holding SA, Temenos AG - CH1532244022

6.13% p.a. Barrier Reverse Convertible on Novartis, Roche, Swiss Life, Swisscom

Title

CH1548150957 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150957

Fälligkeitstag

26.08.2027

Basiswert

Swiss Life Holding AG, Novartis AG, Roche Holding AG, Swisscom AG - CH1548150957

6.13% p.a. Callable Reverse Convertible on Geberit, Holcim, Sika

Title

CH1492032557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032557

Fälligkeitstag

05.05.2027

Basiswert

Sika AG, Geberit AG, Holcim Ltd - CH1492032557

6.14% (6.14% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group

Title

CH1492033225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033225

Fälligkeitstag

09.02.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, UBS Group AG - CH1492033225

6.14% (8.16% p.a.) Barrier Reverse Convertible on Galderma Group, Lonza

Title

CH1532246621 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246621

Fälligkeitstag

11.01.2027

Basiswert

Lonza Group AG, Galderma Group Ltd - CH1532246621

6.14% p.a. Autocallable Barrier Reverse Convertible on Holcim, Partners Group Holding, Straumann

Title

CH1548142129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142129

Fälligkeitstag

11.01.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Holcim Ltd - CH1548142129

6.14% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548137574 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137574

Fälligkeitstag

14.06.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.14% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Re

Title

CH1492017368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017368

Fälligkeitstag

27.10.2026

Basiswert

Nestlé SA, Swiss Re AG, Roche Holding AG, Novartis AG - CH1492017368

6.14% p.a. Barrier Reverse Convertible on Richemont, Roche, Swiss Life

Title

CH1596852157 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852157

Fälligkeitstag

30.08.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Life Holding AG, Roche Holding AG - CH1596852157

6.14% p.a. Callable Reverse Convertible on Helvetia Baloise, Swiss Life, Zurich Insurance

Title

CH1548142590 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142590

Fälligkeitstag

13.07.2028

Basiswert

Zurich Insurance Group Ltd, Helvetia Baloise Holding AG, Swiss Life Holding AG - CH1548142590

6.15% (12.45% p.a.) Barrier Reverse Convertible on Adidas, EssilorLuxottica, SAP

Title

CH1548130546 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130546

Fälligkeitstag

04.11.2026

Basiswert

Adidas AG, SAP SE, EssilorLuxottica SA - CH1548130546

6.15% (12.52% p.a.) Reverse Convertible on AXA SA

Title

CH1532239568 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239568

Fälligkeitstag

01.09.2026

Basiswert

AXA SA

6.15% p.a. Autocallable Reverse Convertible on Heidelberg Materials, St-Gobain, Vinci

Title

CH1548147037 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147037

Fälligkeitstag

08.11.2027

Basiswert

Vinci SA, Heidelberg Materials AG, Compagnie de St-Gobain - CH1548147037

6.15% p.a. Autocallable Reverse Convertible on Novartis, Richemont, Siegfried

Title

CH1596851878 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851878

Fälligkeitstag

28.02.2027

Basiswert

Novartis AG, Siegfried Holding AG, Compagnie Financière Richemont SA - CH1596851878

6.15% p.a. Autocallable Reverse Convertible on Partners Group Holding, Sandoz Group

Title

CH1492022814 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022814

Fälligkeitstag

02.12.2026

Basiswert

Partners Group Holding AG, Sandoz Group AG - CH1492022814

6.15% p.a. Barrier Reverse Convertible on Richemont, Swatch

Title

CH1492032375 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032375

Fälligkeitstag

04.02.2027

Basiswert

The Swatch Group AG, Compagnie Financière Richemont SA - CH1492032375

6.15% p.a. Callable Reverse Convertible on ABB, Accelleron Industries

Title

CH1492030163 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030163

Fälligkeitstag

26.01.2028

Basiswert

ABB Ltd, Accelleron Industries AG - CH1492030163

6.15% p.a. Callable Reverse Convertible on MasterCard, PayPal, Visa

Title

CH1532240384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240384

Fälligkeitstag

06.03.2028

Basiswert

Visa Inc., MasterCard Inc, PayPal Holdings Inc. - CH1532240384

6.16% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Swissquote, UBS Group

Title

CH1476908285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908285

Fälligkeitstag

18.09.2026

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Swissquote Group Holding SA - CH1476908285

6.16% p.a. Autocallable Barrier Reverse Convertible on Lonza, Swiss Re, Zurich Insurance

Title

CH1548141204 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141204

Fälligkeitstag

02.07.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Lonza Group AG - CH1548141204

6.17% (12.35% p.a.) Barrier Reverse Convertible on Barclays, Deutsche Bank (Quanto GBP)

Title

CH1548133417 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133417

Fälligkeitstag

19.11.2026

Basiswert

Barclays Plc, Deutsche Bank AG - CH1548133417

6.17% (6.17% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1492031914 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492031914

Fälligkeitstag

02.02.2027

Basiswert

Münchener Rückversicherungs AG

6.17% (6.17% p.a.) Reverse Convertible on Novartis, Roche

Title

CH1548146369 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146369

Fälligkeitstag

03.08.2027

Basiswert

Roche Holding AG, Novartis AG - CH1548146369

6.17% p.a. Autocallable Reverse Convertible on Ferrari N.V. (Quanto EUR)

Title

CH1532245268 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245268

Fälligkeitstag

05.04.2027

Basiswert

Ferrari N.V.

6.18% (6.13% p.a.) Reverse Convertible on Salesforce, SAP (Quanto GBP)

Title

CH1492036467 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036467

Fälligkeitstag

23.02.2027

Basiswert

SAP SE, Salesforce, Inc. - CH1492036467

6.18% (6.14% p.a.) Reverse Convertible on ENI SpA (Quanto USD)

Title

CH1532240475 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240475

Fälligkeitstag

08.03.2027

Basiswert

ENI SpA

6.18% p.a. Autocallable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, UBS Group

Title

CH1492025569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025569

Fälligkeitstag

22.12.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, UBS Group AG, Sandoz Group AG - CH1492025569

6.18% p.a. Autocallable Barrier Reverse Convertible on Swissquote, VAT

Title

CH1532237604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237604

Fälligkeitstag

25.02.2027

Basiswert

VAT Group AG, Swissquote Group Holding SA - CH1532237604

6.18% p.a. Autocallable Reverse Convertible on Nextera Energy, RWE, Veolia (Quanto EUR)

Title

CH1548132252 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132252

Fälligkeitstag

13.08.2027

Basiswert

RWE AG, Veolia Environnement, Nextera Energy Inc. - CH1548132252

6.18% p.a. Callable Barrier Reverse Convertible on Roche, Swiss Re, UBS Group, Zurich Insurance

Title

CH1548136923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136923

Fälligkeitstag

10.09.2027

Basiswert

Roche Holding AG, Swiss Re AG, UBS Group AG, Zurich Insurance Group Ltd - CH1548136923

6.19% (6.16% p.a.) Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1492021568 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021568

Fälligkeitstag

23.11.2026

Basiswert

Compagnie Financière Richemont SA

6.19% (6.19% p.a.) Barrier Reverse Convertible on AXA SA

Title

CH1532238107 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238107

Fälligkeitstag

26.02.2027

Basiswert

AXA SA

6.19% p.a. Autocallable Barrier Reverse Convertible on Amazon.com Inc.

Title

CH1548137533 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137533

Fälligkeitstag

14.06.2027

Basiswert

Amazon.com Inc.

6.19% p.a. Autocallable Barrier Reverse Convertible on Lonza, Novartis, Roche, Sandoz Group

Title

CH1492023978 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023978

Fälligkeitstag

10.12.2026

Basiswert

Lonza Group AG, Novartis AG, Roche Holding AG, Sandoz Group AG - CH1492023978

6.19% p.a. Autocallable Reverse Convertible on DKSH, Galenica, Swiss Re

Title

CH1476908186 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908186

Fälligkeitstag

17.09.2026

Basiswert

DKSH Holding Ltd., Galenica AG, Swiss Re AG - CH1476908186

6.19% p.a. Reverse Convertible on Julius Bär, Straumann, VAT

Title

CH1314934717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314934717

Fälligkeitstag

18.01.2027

Basiswert

VAT Group AG, Straumann Holding AG, Julius Bär Gruppe AG - CH1314934717

6.19% p.a. Reverse Convertible on Logitech, Sika, Swiss Life

Title

CH1492036210 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036210

Fälligkeitstag

21.02.2028

Basiswert

Sika AG, Logitech International SA, Swiss Life Holding AG - CH1492036210

6.20% (12.40% p.a.) Reverse Convertible on Roku Inc.

Title

CH1532242380 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242380

Fälligkeitstag

16.09.2026

Basiswert

Roku Inc.

6.20% (12.41% p.a.) Barrier Reverse Convertible on BlackRock, JPMorgan Chase

Title

CH1548147995 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147995

Fälligkeitstag

12.02.2027

Basiswert

BlackRock, Inc., JPMorgan Chase & Co. - CH1548147995

6.20% p.a. Callable Reverse Convertible on Richemont, Swatch

Title

CH1548140909 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140909

Fälligkeitstag

01.07.2027

Basiswert

The Swatch Group AG, Compagnie Financière Richemont SA - CH1548140909

6.21% (6.19% p.a.) Reverse Convertible on Straumann Holding AG

Title

CH1532244774 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244774

Fälligkeitstag

01.04.2027

Basiswert

Straumann Holding AG

6.21% (6.23% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, Sika

Title

CH1492026203 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026203

Fälligkeitstag

28.12.2026

Basiswert

Alcon Inc., Givaudan SA, Sika AG - CH1492026203

6.21% p.a. Autocallable Barrier Reverse Convertible on BELIMO Holding AG

Title

CH1548139539 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139539

Fälligkeitstag

24.06.2027

Basiswert

BELIMO Holding AG

6.21% p.a. Autocallable Barrier Reverse Convertible on Givaudan, Lindt & Sprüngli, Sika, UBS Group

Title

CH1548142087 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142087

Fälligkeitstag

11.01.2027

Basiswert

Lindt & Sprüngli AG, Givaudan SA, Sika AG, UBS Group AG - CH1548142087

6.21% p.a. Autocallable Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1548140594 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140594

Fälligkeitstag

30.06.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Helvetia Baloise Holding AG - CH1548140594

6.21% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1548133524 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133524

Fälligkeitstag

21.05.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Julius Bär Gruppe AG - CH1548133524

6.21% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532243768 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243768

Fälligkeitstag

23.03.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1532243768

6.21% p.a. Autocallable Reverse Convertible on Amazon.com Inc. (Quanto EUR)

Title

CH1548136709 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136709

Fälligkeitstag

09.06.2027

Basiswert

Amazon.com Inc.

6.21% p.a. Autocallable Reverse Convertible on Sanofi SA

Title

CH1532238297 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238297

Fälligkeitstag

26.02.2027

Basiswert

Sanofi SA

6.21% p.a. Barrier Reverse Convertible on ABB, Alcon, Swisscom

Title

CH1492020883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020883

Fälligkeitstag

17.11.2026

Basiswert

ABB Ltd, Alcon Inc., Swisscom AG - CH1492020883

6.21% p.a. Barrier Reverse Convertible on ABB, Richemont, Swiss Life

Title

CH1476911586 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911586

Fälligkeitstag

12.10.2026

Basiswert

Compagnie Financière Richemont SA, Swiss Life Holding AG, ABB Ltd - CH1476911586

6.21% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Sonova

Title

CH1492030627 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030627

Fälligkeitstag

27.01.2027

Basiswert

Partners Group Holding AG, Sonova Holding AG, Sika AG - CH1492030627

6.21% p.a. Callable Barrier Reverse Convertible on BKW, Flughafen Zürich, Galenica

Title

CH1548146658 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146658

Fälligkeitstag

04.02.2027

Basiswert

Flughafen Zürich AG, BKW AG, Galenica AG - CH1548146658

6.21% p.a. Callable Barrier Reverse Convertible on Nestlé, Roche, Swiss Re, UBS Group

Title

CH1548136931 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136931

Fälligkeitstag

10.09.2027

Basiswert

Roche Holding AG, Nestlé SA, Swiss Re AG, UBS Group AG - CH1548136931

6.22% (6.22% p.a.) Barrier Reverse Convertible on Alcon, Logitech, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1476908293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908293

Fälligkeitstag

18.09.2026

Basiswert

Logitech International SA, Alcon Inc., LVMH Moët Hennessy Louis Vuitton SE - CH1476908293

6.22% (6.22% p.a.) Reverse Convertible on Visa Inc.

Title

CH1492022947 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022947

Fälligkeitstag

03.12.2026

Basiswert

Visa Inc.

6.22% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1476909523 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909523

Fälligkeitstag

25.09.2026

Basiswert

Lonza Group AG, Alcon Inc., Givaudan SA - CH1476909523

6.22% p.a. Barrier Reverse Convertible on Alphabet, Galderma Group, Partners Group Holding, Roche (Quanto CHF)

Title

CH1532246571 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246571

Fälligkeitstag

08.04.2027

Basiswert

Roche Holding AG, Galderma Group Ltd, Partners Group Holding AG, Alphabet, Inc. - CH1532246571

6.22% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, UBS Group

Title

CH1548127674 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127674

Fälligkeitstag

22.07.2027

Basiswert

UBS Group AG, Roche Holding AG, Novartis AG, Nestlé SA - CH1548127674

6.22% p.a. Reverse Convertible on Ferrari N.V. (Quanto CHF)

Title

CH1548136600 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136600

Fälligkeitstag

08.06.2027

Basiswert

Ferrari N.V.

6.22% p.a. Reverse Convertible on Swiss Re AG

Title

CH1532242422 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242422

Fälligkeitstag

17.03.2027

Basiswert

Swiss Re AG

6.23% (12.46% p.a.) Barrier Reverse Convertible on Barclays, Deutsche Bank (Quanto GBP)

Title

CH1548133326 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133326

Fälligkeitstag

19.11.2026

Basiswert

Barclays Plc, Deutsche Bank AG - CH1548133326

6.23% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Microsoft, Swiss Re (Quanto CHF)

Title

CH1532246563 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246563

Fälligkeitstag

08.04.2027

Basiswert

Swiss Re AG, Givaudan SA, Lonza Group AG, Microsoft Corp. - CH1532246563

6.23% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, SGS

Title

CH1532241366 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241366

Fälligkeitstag

11.03.2027

Basiswert

SGS SA, Lonza Group AG, Kuehne + Nagel International AG - CH1532241366

6.24% (6.24% p.a.) Barrier Reverse Convertible on Bachem, Lonza, Straumann

Title

CH1476910448 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910448

Fälligkeitstag

02.10.2026

Basiswert

Lonza Group AG, Straumann Holding AG, Bachem Holding AG - CH1476910448

6.24% p.a. Autocallable Barrier Reverse Convertible on Alcon, Bachem, Sandoz Group, UBS Group

Title

CH1548148308 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148308

Fälligkeitstag

13.08.2027

Basiswert

Alcon Inc., UBS Group AG, Sandoz Group AG, Bachem Holding AG - CH1548148308

6.24% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532243776 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243776

Fälligkeitstag

23.03.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532243776

6.24% p.a. Autocallable Reverse Convertible on Alcon, Holcim

Title

CH1532241051 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241051

Fälligkeitstag

10.03.2027

Basiswert

Alcon Inc., Holcim Ltd - CH1532241051

6.24% p.a. Barrier Reverse Convertible on Amrize Ltd, L´Oréal, Siemens, Sika, Straumann (Quanto CHF)

Title

CH1548150130 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150130

Fälligkeitstag

23.08.2027

Basiswert

Straumann Holding AG, Sika AG, Amrize Ltd, L´Oréal International, Siemens AG - CH1548150130

6.24% p.a. Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1532242257 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242257

Fälligkeitstag

16.04.2027

Basiswert

Roche Holding AG, Sandoz Group AG, Novartis AG - CH1532242257

6.25% (6.25% p.a.) Reverse Convertible on Merck KGaA

Title

CH1532241002 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241002

Fälligkeitstag

10.03.2027

Basiswert

Merck KGaA

6.25% p.a. Autocallable Reverse Convertible on Nextera Energy Inc.

Title

CH1532244691 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244691

Fälligkeitstag

30.03.2027

Basiswert

Nextera Energy Inc.

6.25% p.a. Barrier Reverse Convertible on ABB, Novartis, Roche, Sandoz Group

Title

CH1596851894 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851894

Fälligkeitstag

30.08.2027

Basiswert

Sandoz Group AG, ABB Ltd, Roche Holding AG, Novartis AG - CH1596851894

6.25% p.a. Barrier Reverse Convertible on Nestlé, Roche, Swiss Re

Title

CH1492026021 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026021

Fälligkeitstag

24.12.2026

Basiswert

Swiss Re AG, Nestlé SA, Roche Holding AG - CH1492026021

6.26% (12.52% p.a.) Reverse Convertible on SAP SE

Title

CH1548149272 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149272

Fälligkeitstag

18.02.2027

Basiswert

SAP SE

6.26% (6.26% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Sika

Title

CH1492035808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035808

Fälligkeitstag

18.02.2027

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, Sika AG - CH1492035808

6.26% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft (Quanto CHF)

Title

CH1532245540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245540

Fälligkeitstag

05.04.2027

Basiswert

Microsoft Corp., Meta Platforms Inc. - CH1532245540

6.27% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1492023176 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023176

Fälligkeitstag

03.09.2026

Basiswert

Zurich Insurance Group Ltd, UBS Group AG, Partners Group Holding AG - CH1492023176

6.27% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1492024810 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492024810

Fälligkeitstag

16.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.27% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche (Quanto EUR)

Title

CH1548129654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129654

Fälligkeitstag

30.04.2027

Basiswert

Roche Holding AG, Nestlé SA, Novartis AG - CH1548129654

6.27% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492034082 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034082

Fälligkeitstag

11.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1492034082

6.27% p.a. Reverse Convertible on Accelleron Industries, Adecco, Geberit

Title

CH1492019323 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019323

Fälligkeitstag

05.11.2026

Basiswert

Adecco Group AG, Accelleron Industries AG, Geberit AG - CH1492019323

6.28% p.a. Autocallable Barrier Reverse Convertible on BASF, Bayer, L´Oréal (Quanto CHF)

Title

CH1548148266 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148266

Fälligkeitstag

13.08.2027

Basiswert

L´Oréal International, Bayer AG, BASF SE - CH1548148266

6.28% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Roche, Sandoz Group, Swiss Life

Title

CH1476911701 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911701

Fälligkeitstag

13.10.2026

Basiswert

Swiss Life Holding AG, Sandoz Group AG, Roche Holding AG, Partners Group Holding AG - CH1476911701

6.29% (12.38% p.a.) Reverse Convertible on Arista Networks, Inc.

Title

CH1548126437 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126437

Fälligkeitstag

19.10.2026

Basiswert

Arista Networks, Inc.

6.29% (12.59% p.a.) Reverse Convertible on Huber + Suhner AG

Title

CH1548138242 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138242

Fälligkeitstag

16.12.2026

Basiswert

Huber + Suhner AG

6.29% p.a. Autocallable Reverse Convertible on Safran SA

Title

CH1532245276 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245276

Fälligkeitstag

05.04.2027

Basiswert

Safran SA

6.29% p.a. Barrier Reverse Convertible on ABB, Kuehne + Nagel, Richemont

Title

CH1476909705 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909705

Fälligkeitstag

28.09.2026

Basiswert

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, ABB Ltd - CH1476909705

6.29% p.a. Barrier Reverse Convertible on argenx SE

Title

CH1548138085 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138085

Fälligkeitstag

16.06.2027

Basiswert

argenx SE

6.30% (6.30% p.a.) Barrier Reverse Convertible on Philip Morris International (Quanto CHF)

Title

CH1548130660 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130660

Fälligkeitstag

07.05.2027

Basiswert

Philip Morris International

6.30% p.a. Autocallable Barrier Reverse Convertible on BP PLC

Title

CH1548129498 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129498

Fälligkeitstag

28.04.2027

Basiswert

BP PLC

6.30% p.a. Autocallable Reverse Convertible on Richemont, Sandoz Group, Swiss Re

Title

CH1548150544 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150544

Fälligkeitstag

25.05.2027

Basiswert

Sandoz Group AG, Compagnie Financière Richemont SA, Swiss Re AG - CH1548150544

6.30% p.a. Barrier Reverse Convertible on Allianz, Coca-Cola, Deutsche Telekom, Logitech, Unilever PLC, Ypsomed (Quanto CHF)

Title

CH1476910984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910984

Fälligkeitstag

08.10.2026

Basiswert

Ypsomed Holding AG, Deutsche Telekom AG, Allianz SE, Unilever PLC, Logitech International SA, Coca-Cola Company - CH1476910984

6.30% p.a. Barrier Reverse Convertible on Geberit, Straumann, Swiss Life

Title

CH1476912113 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912113

Fälligkeitstag

14.10.2026

Basiswert

Straumann Holding AG, Swiss Life Holding AG, Geberit AG - CH1476912113

6.30% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Sika

Title

CH1492025999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025999

Fälligkeitstag

24.12.2026

Basiswert

Sika AG, Givaudan SA, Lonza Group AG - CH1492025999

6.30% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492036202 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036202

Fälligkeitstag

22.02.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1492036202

6.30% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Swiss Life

Title

CH1548148050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148050

Fälligkeitstag

13.05.2027

Basiswert

Givaudan SA, Holcim Ltd, Swiss Life Holding AG - CH1548148050

6.31% (6.31% p.a.) Barrier Reverse Convertible on Cie Générale des Etablissements Michelin

Title

CH1532238115 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238115

Fälligkeitstag

26.02.2027

Basiswert

Cie Générale des Etablissements Michelin

6.31% (6.31% p.a.) Barrier Reverse Convertible on Hermes, Partners Group Holding, SGS (Quanto CHF)

Title

CH1532240194 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240194

Fälligkeitstag

05.03.2027

Basiswert

SGS SA, Partners Group Holding AG, Hermes International - CH1532240194

6.31% p.a. Autocallable Barrier Reverse Convertible on BASF, RWE, Swiss Life, Zurich Insurance (Quanto CHF)

Title

CH1492023580 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023580

Fälligkeitstag

08.12.2026

Basiswert

RWE AG, BASF SE, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1492023580

6.31% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Siemens Energy, Veolia (Quanto CHF)

Title

CH1548142400 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142400

Fälligkeitstag

12.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Siemens Energy AG, Veolia Environnement - CH1548142400

6.31% p.a. Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, UBS Group

Title

CH1532242109 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242109

Fälligkeitstag

15.03.2027

Basiswert

Swiss Re AG, UBS Group AG, Helvetia Baloise Holding AG - CH1532242109

6.31% p.a. Barrier Reverse Convertible on Holcim, Richemont, UBS Group

Title

CH1476908152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908152

Fälligkeitstag

17.09.2026

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, UBS Group AG - CH1476908152

6.31% p.a. Callable Reverse Convertible on Kuehne + Nagel, Straumann, UBS Group

Title

CH1476908947 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908947

Fälligkeitstag

23.09.2026

Basiswert

Straumann Holding AG, UBS Group AG, Kuehne + Nagel International AG - CH1476908947

6.31% p.a. Reverse Convertible on Accelleron Industries, Holcim, VAT

Title

CH1446050945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446050945

Fälligkeitstag

26.11.2026

Basiswert

Accelleron Industries AG, Holcim Ltd, VAT Group AG - CH1446050945

6.32% (6.32% p.a.) Barrier Reverse Convertible on Bayer AG (Quanto CHF)

Title

CH1548130686 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130686

Fälligkeitstag

07.05.2027

Basiswert

Bayer AG

6.32% p.a. Autocallable Reverse Convertible on Avolta, Flughafen Zürich

Title

CH1548144430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144430

Fälligkeitstag

22.07.2027

Basiswert

Avolta AG, Flughafen Zürich AG - CH1548144430

6.32% p.a. Autocallable Reverse Convertible on Microsoft, NVIDIA, Salesforce

Title

CH1548142970 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142970

Fälligkeitstag

15.07.2027

Basiswert

Microsoft Corp., NVIDIA Corp., Salesforce, Inc. - CH1548142970

6.32% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1492032706 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032706

Fälligkeitstag

05.02.2027

Basiswert

Straumann Holding AG, Alcon Inc., Sonova Holding AG - CH1492032706

6.32% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548132542 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132542

Fälligkeitstag

14.05.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548132542

6.32% p.a. Reverse Convertible on Accelleron Industries, Siegfried, VAT

Title

CH1492019414 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019414

Fälligkeitstag

08.11.2027

Basiswert

Accelleron Industries AG, VAT Group AG, Siegfried Holding AG - CH1492019414

6.32% p.a. Reverse Convertible on L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492018820 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018820

Fälligkeitstag

03.11.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492018820

6.33% (6.33% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Sika

Title

CH1476911396 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911396

Fälligkeitstag

09.10.2026

Basiswert

Lonza Group AG, Compagnie Financière Richemont SA, Sika AG - CH1476911396

6.33% p.a. Autocallable Barrier Reverse Convertible on ING, L´Oréal, Novo Nordisk, RWE (Quanto CHF)

Title

CH1492032870 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032870

Fälligkeitstag

08.02.2027

Basiswert

ING Groep N.V., L´Oréal International, RWE AG, Novo Nordisk A/S - CH1492032870

6.33% p.a. Autocallable Barrier Reverse Convertible on Kering, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492017491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017491

Fälligkeitstag

28.10.2026

Basiswert

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492017491

6.33% p.a. Barrier Reverse Convertible on ABB, Amazon.com, SAP, Sunrise Communications AG (Quanto CHF)

Title

CH1532247249 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247249

Fälligkeitstag

16.04.2027

Basiswert

ABB Ltd, Sunrise Communications AG, SAP SE, Amazon.com Inc. - CH1532247249

6.33% p.a. Barrier Reverse Convertible on Accelleron Industries, Alcon, Sandoz Group

Title

CH1476912360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912360

Fälligkeitstag

16.10.2026

Basiswert

Accelleron Industries AG, Sandoz Group AG, Alcon Inc. - CH1476912360

6.33% p.a. Barrier Reverse Convertible on Alcon, Lonza, Sika

Title

CH1476906677 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906677

Fälligkeitstag

08.09.2026

Basiswert

Alcon Inc., Sika AG, Lonza Group AG - CH1476906677

6.33% p.a. Barrier Reverse Convertible on Beiersdorf, Diageo, Pernod-Ricard (Quanto CHF)

Title

CH1492021824 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021824

Fälligkeitstag

24.11.2027

Basiswert

Diageo PLC, Pernod-Ricard SA, Beiersdorf AG - CH1492021824

6.33% p.a. Reverse Convertible on Alcon, Partners Group Holding, Sonova

Title

CH1548131429 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131429

Fälligkeitstag

12.05.2027

Basiswert

Alcon Inc., Sonova Holding AG, Partners Group Holding AG - CH1548131429

6.33% p.a. Reverse Convertible on Givaudan, Lonza, Straumann

Title

CH1548137202 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137202

Fälligkeitstag

11.06.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Givaudan SA - CH1548137202

6.34% (6.34% p.a.) Barrier Reverse Convertible on Generali, ING, Munich Re (Quanto CHF)

Title

CH1476905869 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905869

Fälligkeitstag

02.09.2026

Basiswert

ING Groep N.V., Münchener Rückversicherungs AG, Assicurazioni Generali SpA - CH1476905869

6.34% (6.34% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548128995 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128995

Fälligkeitstag

29.04.2027

Basiswert

Logitech International SA

6.34% p.a. Autocallable Barrier Reverse Convertible on ING, Sanofi, TotalEnergies, Veolia

Title

CH1548147086 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147086

Fälligkeitstag

06.08.2027

Basiswert

Sanofi SA, Veolia Environnement, TotalEnergies SE, ING Groep N.V. - CH1548147086

6.34% p.a. Barrier Reverse Convertible on Holcim, Richemont, Straumann

Title

CH1492021626 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021626

Fälligkeitstag

23.11.2026

Basiswert

Holcim Ltd, Compagnie Financière Richemont SA, Straumann Holding AG - CH1492021626

6.34% p.a. Callable Reverse Convertible on Amrize Ltd, Holcim

Title

CH1492024703 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024703

Fälligkeitstag

16.12.2026

Basiswert

Amrize Ltd, Holcim Ltd - CH1492024703

6.35% (12.50% p.a.) Barrier Reverse Convertible on Boston Scientific, Waters Corp.

Title

CH1548129258 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129258

Fälligkeitstag

30.10.2026

Basiswert

Boston Scientific Corporation, Waters Corp. - CH1548129258

6.35% (6.31% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1476906487 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906487

Fälligkeitstag

07.09.2026

Basiswert

Logitech International SA

6.35% (6.31% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1476906511 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906511

Fälligkeitstag

07.09.2026

Basiswert

Logitech International SA

6.35% p.a. Autocallable Barrier Reverse Convertible on Holcim, Straumann, Swiss Life

Title

CH1548135024 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135024

Fälligkeitstag

31.05.2027

Basiswert

Straumann Holding AG, Holcim Ltd, Swiss Life Holding AG - CH1548135024

6.35% p.a. Barrier Reverse Convertible on Deutsche Telekom, Georg Fischer, Holcim, Novartis, Straumann (Quanto CHF)

Title

CH1532247231 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247231

Fälligkeitstag

16.04.2027

Basiswert

Holcim Ltd, Novartis AG, Straumann Holding AG, Georg Fischer AG, Deutsche Telekom AG - CH1532247231

6.35% p.a. Barrier Reverse Convertible on Deutsche Telekom, Munich Re, SAP

Title

CH1492018366 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018366

Fälligkeitstag

02.11.2026

Basiswert

SAP SE, Münchener Rückversicherungs AG, Deutsche Telekom AG - CH1492018366

6.35% p.a. Callable Barrier Reverse Convertible on Logitech, Straumann, VAT

Title

CH1492026872 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026872

Fälligkeitstag

29.12.2027

Basiswert

VAT Group AG, Logitech International SA, Straumann Holding AG - CH1492026872

6.35% p.a. Reverse Convertible on Amrize Ltd, BELIMO Holding, Holcim

Title

CH1532245151 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245151

Fälligkeitstag

05.04.2027

Basiswert

Holcim Ltd, Amrize Ltd, BELIMO Holding AG - CH1532245151

6.36% (6.36% p.a.) Barrier Reverse Convertible on Avolta, Kuehne + Nagel, Richemont

Title

CH1492031997 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031997

Fälligkeitstag

02.02.2027

Basiswert

Avolta AG, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1492031997

6.36% (6.36% p.a.) Barrier Reverse Convertible on EMS-Chemie, Helvetia Baloise, Logitech

Title

CH1548129068 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129068

Fälligkeitstag

29.04.2027

Basiswert

Logitech International SA, Helvetia Baloise Holding AG, EMS-Chemie Holding AG - CH1548129068

6.36% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Nestlé, Roche

Title

CH1476907618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907618

Fälligkeitstag

14.09.2026

Basiswert

Nestlé SA, Roche Holding AG, Alcon Inc., Givaudan SA - CH1476907618

6.36% p.a. Barrier Reverse Convertible on Lonza, Swiss Life, Swiss Re

Title

CH1492017137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017137

Fälligkeitstag

23.10.2026

Basiswert

Swiss Life Holding AG, Lonza Group AG, Swiss Re AG - CH1492017137

6.36% p.a. Barrier Reverse Convertible on Richemont, Swisscom, Zurich Insurance

Title

CH1548149942 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149942

Fälligkeitstag

21.02.2028

Basiswert

Swisscom AG, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548149942

6.36% p.a. Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1476907295 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907295

Fälligkeitstag

11.09.2026

Basiswert

Lonza Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476907295

6.37% (6.34% p.a.) Barrier Reverse Convertible on Alcon, Galderma Group, Lonza

Title

CH1548138762 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138762

Fälligkeitstag

21.06.2027

Basiswert

Lonza Group AG, Alcon Inc., Galderma Group Ltd - CH1548138762

6.37% p.a. Barrier Reverse Convertible on ABB, Nestlé, Sandoz Group

Title

CH1314932505 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314932505

Fälligkeitstag

16.12.2026

Basiswert

ABB Ltd, Nestlé SA, Sandoz Group AG - CH1314932505

6.37% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Swisscom

Title

CH1548131767 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131767

Fälligkeitstag

13.05.2027

Basiswert

Swisscom AG, Lonza Group AG, Kuehne + Nagel International AG - CH1548131767

6.37% p.a. Reverse Convertible on Logitech, Straumann, VAT

Title

CH1476907857 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907857

Fälligkeitstag

16.09.2026

Basiswert

Logitech International SA, Straumann Holding AG, VAT Group AG - CH1476907857

6.38% p.a. Barrier Reverse Convertible on Alcon, Lonza, Nestlé

Title

CH1532242265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242265

Fälligkeitstag

16.08.2027

Basiswert

Nestlé SA, Alcon Inc., Lonza Group AG - CH1532242265

6.38% p.a. Barrier Reverse Convertible on Amrize Ltd, Chubb, Sonova (Quanto CHF)

Title

CH1492031625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031625

Fälligkeitstag

01.02.2027

Basiswert

Sonova Holding AG, Chubb Ltd, Amrize Ltd - CH1492031625

6.38% p.a. Barrier Reverse Convertible on Lindt & Sprüngli, Nestlé, Schneider Electric, Sika, Veolia (Quanto CHF)

Title

CH1532247256 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247256

Fälligkeitstag

16.04.2027

Basiswert

Sika AG, Nestlé SA, Lindt & Sprüngli AG, Schneider Electric SE, Veolia Environnement - CH1532247256

6.39% (12.64% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens

Title

CH1532241838 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241838

Fälligkeitstag

14.09.2026

Basiswert

Siemens AG, Schneider Electric SE - CH1532241838

6.39% (7.00% p.a.) Reverse Convertible on SAP SE

Title

CH1492031294 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492031294

Fälligkeitstag

28.12.2026

Basiswert

SAP SE

6.39% p.a. Autocallable Barrier Reverse Convertible on AXA, Generali, Swiss Life, Swiss Re (Quanto CHF)

Title

CH1492018184 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018184

Fälligkeitstag

30.10.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, AXA SA, Assicurazioni Generali SpA - CH1492018184

6.39% p.a. Callable Barrier Reverse Convertible on E.ON, Enel, Iberdrola

Title

CH1548146674 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146674

Fälligkeitstag

04.02.2027

Basiswert

Iberdrola SA, Enel SpA, E.ON SE - CH1548146674

6.39% p.a. Reverse Convertible on Adidas, Anheuser-Busch InBev, RWE

Title

CH1476909077 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909077

Fälligkeitstag

23.09.2026

Basiswert

Adidas AG, RWE AG, Anheuser-Busch InBev NV - CH1476909077

6.39% p.a. Reverse Convertible on Lonza, Partners Group Holding, Swiss Re

Title

CH1532240095 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240095

Fälligkeitstag

05.03.2027

Basiswert

Lonza Group AG, Partners Group Holding AG, Swiss Re AG - CH1532240095

6.40% (6.40% p.a.) Barrier Reverse Convertible on Fresenius, Merck KGaA, Sanofi

Title

CH1548145999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145999

Fälligkeitstag

30.07.2027

Basiswert

Sanofi SA, Merck KGaA, Fresenius SE & Co. KGaA - CH1548145999

6.40% p.a. Autocallable Barrier Reverse Convertible on Enel, Microsoft, RWE (Quanto EUR)

Title

CH1476912071 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912071

Fälligkeitstag

14.04.2027

Basiswert

Enel SpA, Microsoft Corp., RWE AG - CH1476912071

6.40% p.a. Barrier Reverse Convertible on ABB, Alcon, Swiss Re

Title

CH1532241374 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241374

Fälligkeitstag

11.03.2027

Basiswert

Alcon Inc., ABB Ltd, Swiss Re AG - CH1532241374

6.40% p.a. Barrier Reverse Convertible on Amrize Ltd, Kuehne + Nagel, UBS Group

Title

CH1532244675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244675

Fälligkeitstag

31.03.2027

Basiswert

Amrize Ltd, Kuehne + Nagel International AG, UBS Group AG - CH1532244675

6.41% (6.41% p.a.) Reverse Convertible on Deutsche Telekom AG

Title

CH1548133177 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133177

Fälligkeitstag

18.05.2027

Basiswert

Deutsche Telekom AG

6.41% p.a. Autocallable Barrier Reverse Convertible on Amrize Ltd, Partners Group Holding, Richemont

Title

CH1492025973 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025973

Fälligkeitstag

24.12.2026

Basiswert

Amrize Ltd, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1492025973

6.41% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548148829 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148829

Fälligkeitstag

15.02.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1548148829

6.41% p.a. Barrier Reverse Convertible on Sika, Swiss Life, Swiss Re

Title

CH1476906784 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906784

Fälligkeitstag

09.03.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Sika AG - CH1476906784

6.42% p.a. Autocallable Reverse Convertible on Alphabet, Meta Platforms, Robinhood Markets (Quanto EUR)

Title

CH1492032318 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032318

Fälligkeitstag

04.02.2027

Basiswert

Robinhood Markets Inc., Meta Platforms Inc., Alphabet, Inc. - CH1492032318

6.42% p.a. Autocallable Reverse Convertible on Avolta, Sonova, UBS Group

Title

CH1314937694 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314937694

Fälligkeitstag

15.02.2027

Basiswert

Avolta AG, Sonova Holding AG, UBS Group AG - CH1314937694

6.42% p.a. Autocallable Reverse Convertible on Dassault, Rheinmetall

Title

CH1548145635 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145635

Fälligkeitstag

29.07.2027

Basiswert

Rheinmetall AG, Dassault Systèmes S.A. - CH1548145635

6.42% p.a. Barrier Reverse Convertible on ABB, Geberit, Swisscom

Title

CH1446054756 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446054756

Fälligkeitstag

23.06.2027

Basiswert

Geberit AG, Swisscom AG, ABB Ltd - CH1446054756

6.42% p.a. Barrier Reverse Convertible on Givaudan, Holcim, Lonza

Title

CH1532240756 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240756

Fälligkeitstag

09.03.2027

Basiswert

Holcim Ltd, Lonza Group AG, Givaudan SA - CH1532240756

6.42% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika

Title

CH1492033167 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033167

Fälligkeitstag

09.02.2027

Basiswert

Kuehne + Nagel International AG, Lonza Group AG, Sika AG - CH1492033167

6.43% (12.66% p.a.) Reverse Convertible on Agnico-Eagle Mines, Barrick Mining, Newmont (Quanto EUR)

Title

CH1532241929 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241929

Fälligkeitstag

15.09.2026

Basiswert

Newmont Corp., Agnico-Eagle Mines Ltd., Barrick Mining Corporation - CH1532241929

6.43% p.a. Barrier Reverse Convertible on Bâloise, Lonza, Roche

Title

CH1492017376 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017376

Fälligkeitstag

27.10.2026

Basiswert

Lonza Group AG, Roche Holding AG, Bâloise Holding AG - CH1492017376

6.43% p.a. Barrier Reverse Convertible on Givaudan, Partners Group Holding, SGS

Title

CH1476912097 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912097

Fälligkeitstag

14.10.2026

Basiswert

SGS SA, Partners Group Holding AG, Givaudan SA - CH1476912097

6.43% p.a. Reverse Convertible on Partners Group Holding, Swissquote, UBS Group

Title

CH1548140347 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140347

Fälligkeitstag

29.06.2027

Basiswert

Swissquote Group Holding SA, Partners Group Holding AG, UBS Group AG - CH1548140347

6.44% (6.44% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492033365 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492033365

Fälligkeitstag

09.02.2027

Basiswert

VAT Group AG

6.44% (6.44% p.a.) Reverse Convertible on Enel, RWE, Veolia

Title

CH1548134613 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134613

Fälligkeitstag

27.05.2027

Basiswert

RWE AG, Enel SpA, Veolia Environnement - CH1548134613

6.44% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, Société Générale, UniCredit (Quanto CHF)

Title

CH1476907808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907808

Fälligkeitstag

15.09.2026

Basiswert

AXA SA, Allianz SE, UniCredit SpA, Société Générale - CH1476907808

6.44% p.a. Autocallable Barrier Reverse Convertible on Givaudan, Kuehne + Nagel, Sandoz Group, UBS Group

Title

CH1548135040 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135040

Fälligkeitstag

31.05.2027

Basiswert

Kuehne + Nagel International AG, UBS Group AG, Sandoz Group AG, Givaudan SA - CH1548135040

6.44% p.a. Barrier Reverse Convertible on Georg Fischer, Givaudan, Kardex, Nestlé, UBS Group, VAT

Title

CH1492036269 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036269

Fälligkeitstag

22.02.2027

Basiswert

Nestlé SA, Givaudan SA, UBS Group AG, Georg Fischer AG, VAT Group AG, Kardex AG - CH1492036269

6.44% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance (Quanto NZD)

Title

CH1476905984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905984

Fälligkeitstag

03.09.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1476905984

6.45% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Geberit, Swiss Re, Zurich Insurance

Title

CH1548129340 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129340

Fälligkeitstag

30.04.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Geberit AG, Galderma Group Ltd - CH1548129340

6.45% p.a. Autocallable Barrier Reverse Convertible on Lonza, Nestlé, Zurich Insurance

Title

CH1548143309 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143309

Fälligkeitstag

16.07.2027

Basiswert

Zurich Insurance Group Ltd, Lonza Group AG, Nestlé SA - CH1548143309

6.45% p.a. Autocallable Reverse Convertible on Intesa Sanpaolo, UniCredit

Title

CH1532245615 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245615

Fälligkeitstag

06.04.2027

Basiswert

UniCredit SpA, Intesa Sanpaolo SpA - CH1532245615

6.45% p.a. Barrier Reverse Convertible on Geberit, Richemont, Swiss Re

Title

CH1476908533 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908533

Fälligkeitstag

21.09.2026

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, Geberit AG - CH1476908533

6.45% p.a. Callable Barrier Reverse Convertible on BNP Paribas, Swatch, Walt Disney (Quanto CHF)

Title

CH1476910893 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910893

Fälligkeitstag

07.01.2027

Basiswert

The Swatch Group AG, The Walt Disney Company, BNP Paribas - CH1476910893

6.46% p.a. Autocallable Barrier Reverse Convertible on ABB, Lonza, SGS

Title

CH1532241184 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241184

Fälligkeitstag

10.03.2027

Basiswert

Lonza Group AG, SGS SA, ABB Ltd - CH1532241184

6.46% p.a. Autocallable Reverse Convertible on Flughafen Zürich, Kuehne + Nagel

Title

CH1548148639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148639

Fälligkeitstag

16.08.2027

Basiswert

Flughafen Zürich AG, Kuehne + Nagel International AG - CH1548148639

6.46% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Roche (Quanto CHF)

Title

CH1492024554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024554

Fälligkeitstag

16.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Roche Holding AG - CH1492024554

6.46% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Swiss Life

Title

CH1548146740 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146740

Fälligkeitstag

07.05.2027

Basiswert

Givaudan SA, Holcim Ltd, Swiss Life Holding AG - CH1548146740

6.47% (13.02% p.a.) Reverse Convertible on Alphabet, Broadcom, NVIDIA

Title

CH1548139117 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139117

Fälligkeitstag

22.12.2026

Basiswert

Broadcom Inc., NVIDIA Corp., Alphabet, Inc. - CH1548139117

6.47% (6.43% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1548137541 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137541

Fälligkeitstag

14.06.2027

Basiswert

Netflix Inc.

6.47% (6.43% p.a.) Reverse Convertible on Galderma Group Ltd

Title

CH1492028555 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028555

Fälligkeitstag

18.01.2027

Basiswert

Galderma Group Ltd

6.47% p.a. Barrier Reverse Convertible on Amrize Ltd, Lonza, Richemont

Title

CH1548142913 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142913

Fälligkeitstag

15.07.2027

Basiswert

Compagnie Financière Richemont SA, Amrize Ltd, Lonza Group AG - CH1548142913

6.48% (13.12% p.a.) Reverse Convertible on Deutsche Post AG

Title

CH1548129944 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129944

Fälligkeitstag

02.11.2026

Basiswert

Deutsche Post AG

6.48% (6.47% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Swiss Life, Swiss Re (Quanto EUR)

Title

CH1492031534 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031534

Fälligkeitstag

01.02.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Holcim Ltd, Geberit AG - CH1492031534

6.48% (6.48% p.a.) Barrier Reverse Convertible on Sandoz Group AG

Title

CH1548145403 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145403

Fälligkeitstag

28.07.2027

Basiswert

Sandoz Group AG

6.48% p.a. Autocallable Barrier Reverse Convertible on Alcon, Georg Fischer, Partners Group Holding, Richemont

Title

CH1492023572 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023572

Fälligkeitstag

08.12.2026

Basiswert

Partners Group Holding AG, Georg Fischer AG, Alcon Inc., Compagnie Financière Richemont SA - CH1492023572

6.48% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Swissquote

Title

CH1532237992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237992

Fälligkeitstag

25.02.2027

Basiswert

Julius Bär Gruppe AG, Swissquote Group Holding SA - CH1532237992

6.48% p.a. Barrier Reverse Convertible on Barry Callebaut, Givaudan, Lindt & Sprüngli

Title

CH1548127591 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127591

Fälligkeitstag

22.04.2027

Basiswert

Barry Callebaut AG, Givaudan SA, Lindt & Sprüngli AG - CH1548127591

6.48% p.a. Reverse Convertible on Georg Fischer, Kuehne + Nagel, Partners Group Holding

Title

CH1492023804 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023804

Fälligkeitstag

10.12.2026

Basiswert

Partners Group Holding AG, Georg Fischer AG, Kuehne + Nagel International AG - CH1492023804

6.49% (6.48% p.a.) Barrier Reverse Convertible on Sandoz Group, Teva (Quanto CHF)

Title

CH1548142202 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142202

Fälligkeitstag

09.07.2027

Basiswert

Sandoz Group AG, Teva Pharmaceutical Industries Ltd. - CH1548142202

6.49% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532241663 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241663

Fälligkeitstag

12.03.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532241663

6.49% p.a. Autocallable Reverse Convertible on DKSH, Forbo, UBS Group

Title

CH1476908137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908137

Fälligkeitstag

17.09.2026

Basiswert

DKSH Holding Ltd., Forbo Holding AG, UBS Group AG - CH1476908137

6.49% p.a. Autocallable Reverse Convertible on Generali, LVMH Moët Hennessy Louis Vuitton

Title

CH1492035402 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035402

Fälligkeitstag

18.02.2027

Basiswert

Assicurazioni Generali SpA, LVMH Moët Hennessy Louis Vuitton SE - CH1492035402

6.49% p.a. Barrier Reverse Convertible on ABB, Givaudan, Kuehne + Nagel

Title

CH1476909929 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909929

Fälligkeitstag

31.03.2027

Basiswert

Givaudan SA, ABB Ltd, Kuehne + Nagel International AG - CH1476909929

6.49% p.a. Callable Barrier Reverse Convertible on EMS-Chemie, Givaudan, Sika

Title

CH1492029066 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029066

Fälligkeitstag

20.01.2028

Basiswert

EMS-Chemie Holding AG, Givaudan SA, Sika AG - CH1492029066

6.50% (12.86% p.a.) Barrier Reverse Convertible on Temenos AG

Title

CH1548144752 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144752

Fälligkeitstag

25.01.2027

Basiswert

Temenos AG

6.50% p.a. Autocallable Reverse Convertible on ASML, AstraZeneca, Ferrari (Quanto CHF)

Title

CH1532238370 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238370

Fälligkeitstag

26.02.2027

Basiswert

AstraZeneca Group PLC, Ferrari N.V., ASML Holding NV - CH1532238370

6.50% p.a. Autocallable Reverse Convertible on Boston Scientific, MasterCard

Title

CH1548128813 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128813

Fälligkeitstag

28.08.2026

Basiswert

MasterCard Inc, Boston Scientific Corporation - CH1548128813

6.50% p.a. Autocallable Reverse Convertible on GE Vernova, Nextera Energy (Quanto CHF)

Title

CH1532238388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238388

Fälligkeitstag

26.02.2027

Basiswert

Nextera Energy Inc., GE Vernova Inc. - CH1532238388

6.50% p.a. Autocallable Reverse Convertible on Julius Bär Gruppe AG

Title

CH1548136683 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136683

Fälligkeitstag

09.12.2026

Basiswert

Julius Bär Gruppe AG

6.50% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, VAT

Title

CH1532244030 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244030

Fälligkeitstag

24.03.2027

Basiswert

Julius Bär Gruppe AG, Logitech International SA, VAT Group AG - CH1532244030

6.50% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492033159 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033159

Fälligkeitstag

09.02.2027

Basiswert

Partners Group Holding AG, Julius Bär Gruppe AG, UBS Group AG - CH1492033159

6.50% p.a. Callable Barrier Reverse Convertible on Novartis, Roche, Zurich Insurance

Title

CH1548127799 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127799

Fälligkeitstag

23.04.2027

Basiswert

Novartis AG, Zurich Insurance Group Ltd, Roche Holding AG - CH1548127799

6.50% p.a. Reverse Convertible on Ferrari, Hermes (Quanto GBP)

Title

CH1476911867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911867

Fälligkeitstag

13.10.2026

Basiswert

Ferrari N.V., Hermes International - CH1476911867

6.51% (6.49% p.a.) Barrier Reverse Convertible on Georg Fischer, Lonza, Sunrise Communications AG

Title

CH1548131973 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131973

Fälligkeitstag

13.05.2027

Basiswert

Georg Fischer AG, Sunrise Communications AG, Lonza Group AG - CH1548131973

6.51% (8.68% p.a.) Reverse Convertible on Galderma Group, Georg Fischer, Kardex

Title

CH1548131171 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131171

Fälligkeitstag

08.02.2027

Basiswert

Galderma Group Ltd, Kardex AG, Georg Fischer AG - CH1548131171

6.51% p.a. Autocallable Barrier Reverse Convertible on ABB, Lonza, SGS

Title

CH1532241150 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241150

Fälligkeitstag

10.03.2027

Basiswert

Lonza Group AG, SGS SA, ABB Ltd - CH1532241150

6.51% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Swiss Re, UBS Group

Title

CH1476906578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906578

Fälligkeitstag

08.09.2026

Basiswert

Galderma Group Ltd, UBS Group AG, Swiss Re AG - CH1476906578

6.51% p.a. Autocallable Barrier Reverse Convertible on Iberdrola, RWE, Schneider Electric

Title

CH1548130694 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130694

Fälligkeitstag

06.05.2027

Basiswert

Iberdrola SA, RWE AG, Schneider Electric SE - CH1548130694

6.51% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1492032714 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032714

Fälligkeitstag

05.02.2027

Basiswert

Sika AG, Holcim Ltd, Geberit AG - CH1492032714

6.51% p.a. Callable Barrier Reverse Convertible on Holcim, Sika, Zurich Insurance

Title

CH1548149694 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149694

Fälligkeitstag

21.05.2027

Basiswert

Holcim Ltd, Sika AG, Zurich Insurance Group Ltd - CH1548149694

6.51% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1548132179 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132179

Fälligkeitstag

15.11.2027

Basiswert

ALSO Holding AG, Logitech International SA - CH1548132179

6.51% p.a. Reverse Convertible on Accelleron Industries, Lonza, Partners Group Holding

Title

CH1492029546 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029546

Fälligkeitstag

22.01.2027

Basiswert

Lonza Group AG, Partners Group Holding AG, Accelleron Industries AG - CH1492029546

6.52% p.a. Barrier Reverse Convertible on Alcon, Logitech, Richemont

Title

CH1476906065 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906065

Fälligkeitstag

04.09.2026

Basiswert

Logitech International SA, Alcon Inc., Compagnie Financière Richemont SA - CH1476906065

6.52% p.a. Barrier Reverse Convertible on Alcon, Roche, Swiss Re

Title

CH1492021154 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021154

Fälligkeitstag

18.11.2026

Basiswert

Swiss Re AG, Roche Holding AG, Alcon Inc. - CH1492021154

6.52% p.a. Callable Barrier Reverse Convertible on Amazon.com, Apple, Microsoft (Quanto CHF)

Title

CH1548146625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146625

Fälligkeitstag

04.02.2028

Basiswert

Microsoft Corp., Apple Inc., Amazon.com Inc. - CH1548146625

6.52% p.a. Reverse Convertible on Accelleron Industries, Bachem, Sandoz Group, Siegfried

Title

CH1492021485 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021485

Fälligkeitstag

20.11.2026

Basiswert

Bachem Holding AG, Siegfried Holding AG, Accelleron Industries AG, Sandoz Group AG - CH1492021485

6.52% p.a. Reverse Convertible on Logitech, Lonza, Swiss Re

Title

CH1532237737 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237737

Fälligkeitstag

25.02.2027

Basiswert

Logitech International SA, Lonza Group AG, Swiss Re AG - CH1532237737

6.53% p.a. Autocallable Barrier Reverse Convertible on Alcon, Geberit, Julius Bär

Title

CH1548140560 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140560

Fälligkeitstag

30.06.2027

Basiswert

Geberit AG, Alcon Inc., Julius Bär Gruppe AG - CH1548140560

6.53% p.a. Autocallable Barrier Reverse Convertible on Holcim, Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1492028498 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028498

Fälligkeitstag

18.01.2027

Basiswert

Holcim Ltd, UBS Group AG, Partners Group Holding AG, Zurich Insurance Group Ltd - CH1492028498

6.53% p.a. Autocallable Reverse Convertible on Enel, ENI

Title

CH1548133516 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133516

Fälligkeitstag

20.05.2027

Basiswert

ENI SpA, Enel SpA - CH1548133516

6.53% p.a. Barrier Reverse Convertible on Lonza, Novartis, Zurich Insurance

Title

CH1548133185 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133185

Fälligkeitstag

19.05.2027

Basiswert

Lonza Group AG, Zurich Insurance Group Ltd, Novartis AG - CH1548133185

6.53% p.a. Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto CHF)

Title

CH1532241960 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241960

Fälligkeitstag

15.03.2027

Basiswert

ABB Ltd, Siemens AG, Schneider Electric SE - CH1532241960

6.53% p.a. Reverse Convertible on Givaudan, Sika, VAT

Title

CH1492025601 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025601

Fälligkeitstag

22.12.2026

Basiswert

Sika AG, VAT Group AG, Givaudan SA - CH1492025601

6.54% (12.80% p.a.) Barrier Reverse Convertible on BlackRock, JPMorgan Chase

Title

CH1548141717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141717

Fälligkeitstag

06.01.2027

Basiswert

JPMorgan Chase & Co., BlackRock, Inc. - CH1548141717

6.54% (12.87% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548132690 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132690

Fälligkeitstag

17.11.2026

Basiswert

NVIDIA Corp.

6.54% (6.46% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche (Quanto EUR)

Title

CH1532245565 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245565

Fälligkeitstag

06.04.2027

Basiswert

Nestlé SA, Roche Holding AG, Novartis AG - CH1532245565

6.54% (6.50% p.a.) Barrier Reverse Convertible on ABB, Holcim, Nestlé, Novartis, Swisscom

Title

CH1476910646 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910646

Fälligkeitstag

05.10.2026

Basiswert

Nestlé SA, Novartis AG, Holcim Ltd, Swisscom AG, ABB Ltd - CH1476910646

6.54% (6.52% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Roche

Title

CH1492031542 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031542

Fälligkeitstag

01.02.2027

Basiswert

Kuehne + Nagel International AG, Roche Holding AG, Lonza Group AG - CH1492031542

6.54% p.a. Autocallable Reverse Convertible on ENI, Generali

Title

CH1532242208 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242208

Fälligkeitstag

16.03.2027

Basiswert

ENI SpA, Assicurazioni Generali SpA - CH1532242208

6.54% p.a. Autocallable Reverse Convertible on Nestlé, UBS Group

Title

CH1532240673 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240673

Fälligkeitstag

09.03.2027

Basiswert

UBS Group AG, Nestlé SA - CH1532240673

6.54% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Novartis

Title

CH1492025478 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025478

Fälligkeitstag

21.12.2026

Basiswert

Novartis AG, Nestlé SA, Lonza Group AG - CH1492025478

6.54% p.a. Reverse Convertible on ING, L´Oréal

Title

CH1532240392 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240392

Fälligkeitstag

08.03.2027

Basiswert

ING Groep N.V., L´Oréal International - CH1532240392

6.55% (12.96% p.a.) Reverse Convertible on Micron Technology Inc.

Title

CH1548136204 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136204

Fälligkeitstag

07.12.2026

Basiswert

Micron Technology Inc.

6.55% (13.11% p.a.) Reverse Convertible on Comet Holding AG

Title

CH1548138168 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138168

Fälligkeitstag

16.12.2026

Basiswert

Comet Holding AG

6.55% p.a. Autocallable Reverse Convertible on Alphabet, Inc. (Quanto EUR)

Title

CH1532238933 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238933

Fälligkeitstag

02.03.2027

Basiswert

Alphabet, Inc.

6.55% p.a. Barrier Reverse Convertible on ABB, Givaudan, Straumann

Title

CH1476908608 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908608

Fälligkeitstag

21.09.2026

Basiswert

Straumann Holding AG, Givaudan SA, ABB Ltd - CH1476908608

6.55% p.a. Barrier Reverse Convertible on ABB, Swiss Life, Zurich Insurance

Title

CH1476909515 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909515

Fälligkeitstag

25.09.2026

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, ABB Ltd - CH1476909515

6.55% p.a. Barrier Reverse Convertible on Emmi, Lindt & Sprüngli, Nestlé (Quanto USD)

Title

CH1548133953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133953

Fälligkeitstag

26.05.2027

Basiswert

Lindt & Sprüngli AG, Emmi AG, Nestlé SA - CH1548133953

6.56% (11.87% p.a.) Barrier Reverse Convertible on Deutsche Post, Kuehne + Nagel (Quanto EUR)

Title

CH1548141808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141808

Fälligkeitstag

22.01.2027

Basiswert

Deutsche Post AG, Kuehne + Nagel International AG - CH1548141808

6.56% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, SAP, Siemens (Quanto CHF)

Title

CH1548131593 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131593

Fälligkeitstag

12.05.2027

Basiswert

Siemens AG, SAP SE, Deutsche Telekom AG - CH1548131593

6.56% p.a. Autocallable Barrier Reverse Convertible on Holcim Ltd

Title

CH1532239188 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239188

Fälligkeitstag

03.03.2027

Basiswert

Holcim Ltd

6.56% p.a. Autocallable Reverse Convertible on Alcon, Richemont

Title

CH1548134738 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134738

Fälligkeitstag

28.05.2027

Basiswert

Alcon Inc., Compagnie Financière Richemont SA - CH1548134738

6.57% p.a. Autocallable Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1492023119 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023119

Fälligkeitstag

04.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Kering SA, Compagnie Financière Richemont SA - CH1492023119

6.57% p.a. Barrier Reverse Convertible on Adidas, Amrize Ltd, Fresenius, Lonza, Sandoz Group (Quanto CHF)

Title

CH1548150858 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150858

Fälligkeitstag

26.08.2027

Basiswert

Amrize Ltd, Lonza Group AG, Sandoz Group AG, Adidas AG, Fresenius SE & Co. KGaA - CH1548150858

6.57% p.a. Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont

Title

CH1492018200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018200

Fälligkeitstag

30.10.2026

Basiswert

Holcim Ltd, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1492018200

6.57% p.a. Barrier Reverse Convertible on Lindt & Sprüngli, Nestlé, Schneider Electric, Sika, Veolia (Quanto CHF)

Title

CH1532246597 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246597

Fälligkeitstag

08.04.2027

Basiswert

Nestlé SA, Sika AG, Lindt & Sprüngli AG, Schneider Electric SE, Veolia Environnement - CH1532246597

6.57% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1532241481 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241481

Fälligkeitstag

11.03.2027

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA - CH1532241481

6.58% p.a. Barrier Reverse Convertible on ABB, Galderma Group, SGS

Title

CH1532246878 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246878

Fälligkeitstag

09.04.2027

Basiswert

SGS SA, Galderma Group Ltd, ABB Ltd - CH1532246878

6.58% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1492020602 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020602

Fälligkeitstag

14.05.2027

Basiswert

Logitech International SA, Lonza Group AG, Compagnie Financière Richemont SA - CH1492020602

6.58% p.a. Reverse Convertible on ABB, Accelleron Industries, Sika

Title

CH1532243495 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243495

Fälligkeitstag

20.09.2027

Basiswert

ABB Ltd, Sika AG, Accelleron Industries AG - CH1532243495

6.59% (19.62% p.a.) Reverse Convertible on Huber + Suhner, Lonza, Sandoz Group, Swissquote

Title

CH1548149652 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149652

Fälligkeitstag

21.12.2026

Basiswert

Sandoz Group AG, Huber + Suhner AG, Lonza Group AG, Swissquote Group Holding SA - CH1548149652

6.59% (6.60% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries

Title

CH1548139281 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139281

Fälligkeitstag

23.06.2027

Basiswert

ABB Ltd, Accelleron Industries AG - CH1548139281

6.59% (8.79% p.a.) Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1492023713 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023713

Fälligkeitstag

09.09.2026

Basiswert

Partners Group Holding AG, Kuehne + Nagel International AG, Sika AG - CH1492023713

6.59% p.a. Autocallable Reverse Convertible on Amazon.com, Roche, Sika (Quanto CHF)

Title

CH1492029140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029140

Fälligkeitstag

21.01.2027

Basiswert

Roche Holding AG, Sika AG, Amazon.com Inc. - CH1492029140

6.59% p.a. Autocallable Reverse Convertible on Apple, Berkshire Hathaway

Title

CH1476906263 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906263

Fälligkeitstag

08.09.2026

Basiswert

Apple Inc., Berkshire Hathaway Inc. - CH1476906263

6.59% p.a. Barrier Reverse Convertible on Geberit, Holcim, Schindler

Title

CH1418944950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418944950

Fälligkeitstag

17.03.2027

Basiswert

Holcim Ltd, Geberit AG, Schindler Holding AG - CH1418944950

6.60% (13.20% p.a.) Barrier Reverse Convertible on EssilorLuxottica, QIAGEN

Title

CH1532242281 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242281

Fälligkeitstag

16.09.2026

Basiswert

QIAGEN NV, EssilorLuxottica SA - CH1532242281

6.60% p.a. Autocallable Barrier Reverse Convertible on ABB, Sandoz Group, Swatch, Swiss Re

Title

CH1492024190 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024190

Fälligkeitstag

14.12.2026

Basiswert

ABB Ltd, The Swatch Group AG, Swiss Re AG, Sandoz Group AG - CH1492024190

6.60% p.a. Autocallable Reverse Convertible on Deere, SAP, Schneider Electric, Vinci (Quanto EUR)

Title

CH1548129829 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129829

Fälligkeitstag

03.05.2027

Basiswert

Vinci SA, SAP SE, Schneider Electric SE, Deere & Co. - CH1548129829

6.60% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Sanofi

Title

CH1476911560 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911560

Fälligkeitstag

12.10.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Sanofi SA - CH1476911560

6.60% p.a. Autocallable Reverse Convertible on McKesson, Uber Technologies

Title

CH1548145874 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145874

Fälligkeitstag

01.12.2026

Basiswert

McKesson Corp., Uber Technologies Inc. - CH1548145874

6.60% p.a. Barrier Reverse Convertible on ABB, Julius Bär, Lonza

Title

CH1548143861 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143861

Fälligkeitstag

20.07.2027

Basiswert

Julius Bär Gruppe AG, Lonza Group AG, ABB Ltd - CH1548143861

6.60% p.a. Barrier Reverse Convertible on ABB, Richemont, Sandoz Group

Title

CH1492025783 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025783

Fälligkeitstag

23.12.2026

Basiswert

Compagnie Financière Richemont SA, ABB Ltd, Sandoz Group AG - CH1492025783

6.60% p.a. Barrier Reverse Convertible on Alcon, Georg Fischer, Partners Group Holding, Straumann, Zurich Insurance

Title

CH1476911438 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911438

Fälligkeitstag

12.10.2026

Basiswert

Straumann Holding AG, Georg Fischer AG, Zurich Insurance Group Ltd, Alcon Inc., Partners Group Holding AG - CH1476911438

6.60% p.a. Callable Barrier Reverse Convertible on Givaudan, Partners Group Holding, Sika

Title

CH1548146757 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146757

Fälligkeitstag

07.05.2027

Basiswert

Partners Group Holding AG, Sika AG, Givaudan SA - CH1548146757

6.60% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134811

Fälligkeitstag

28.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548134811

6.60% p.a. Reverse Convertible on Adecco, Geberit, VAT

Title

CH1476905265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905265

Fälligkeitstag

31.08.2026

Basiswert

Adecco Group AG, Geberit AG, VAT Group AG - CH1476905265

6.60% p.a. Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1532241531 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241531

Fälligkeitstag

11.03.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG, Partners Group Holding AG - CH1532241531

6.61% (11.50% p.a.) Barrier Reverse Convertible on Logitech, Straumann

Title

CH1548149777 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149777

Fälligkeitstag

17.03.2027

Basiswert

Logitech International SA, Straumann Holding AG - CH1548149777

6.62% (13.03% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548142020 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142020

Fälligkeitstag

11.01.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.62% (6.60% p.a.) Barrier Reverse Convertible on Sonova, Straumann

Title

CH1548132229 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132229

Fälligkeitstag

14.05.2027

Basiswert

Sonova Holding AG, Straumann Holding AG - CH1548132229

6.62% (6.62% p.a.) Reverse Convertible on Sika, Straumann

Title

CH1548126213 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126213

Fälligkeitstag

16.04.2027

Basiswert

Sika AG, Straumann Holding AG - CH1548126213

6.62% p.a. Barrier Reverse Convertible on Allianz, ASML, Georg Fischer, Heineken NV, Novartis, Partners Group Holding (Quanto CHF)

Title

CH1492035394 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035394

Fälligkeitstag

18.02.2027

Basiswert

Novartis AG, Georg Fischer AG, Partners Group Holding AG, Heineken NV, ASML Holding NV, Allianz SE - CH1492035394

6.62% p.a. Callable Barrier Reverse Convertible on ABB, Partners Group Holding, Straumann, Zurich Insurance

Title

CH1492033399 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033399

Fälligkeitstag

09.09.2026

Basiswert

ABB Ltd, Zurich Insurance Group Ltd, Straumann Holding AG, Partners Group Holding AG - CH1492033399

6.63% (6.59% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1596851993 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1596851993

Fälligkeitstag

30.08.2027

Basiswert

Compagnie Financière Richemont SA

6.63% p.a. Autocallable Barrier Reverse Convertible on Anheuser-Busch InBev, Danone, Kering (Quanto CHF)

Title

CH1548136477 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136477

Fälligkeitstag

09.06.2028

Basiswert

Kering SA, Danone SA, Anheuser-Busch InBev NV - CH1548136477

6.63% p.a. Autocallable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton

Title

CH1492032615 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032615

Fälligkeitstag

05.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Kering SA - CH1492032615

6.63% p.a. Autocallable Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1548130413 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130413

Fälligkeitstag

05.05.2027

Basiswert

Swisscom AG, Sunrise Communications AG - CH1548130413

6.63% p.a. Barrier Reverse Convertible on ABB, Geberit, Holcim

Title

CH1476907444 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907444

Fälligkeitstag

11.09.2026

Basiswert

Geberit AG, Holcim Ltd, ABB Ltd - CH1476907444

6.63% p.a. Barrier Reverse Convertible on Sika, Straumann, VAT

Title

CH1476911610 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911610

Fälligkeitstag

12.10.2026

Basiswert

VAT Group AG, Sika AG, Straumann Holding AG - CH1476911610

6.63% p.a. Callable Barrier Reverse Convertible on Kardex, Kuehne + Nagel, Sika

Title

CH1548133391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133391

Fälligkeitstag

20.05.2027

Basiswert

Sika AG, Kuehne + Nagel International AG, Kardex AG - CH1548133391

6.63% p.a. Reverse Convertible on Alcon, Richemont, Sika

Title

CH1548150726 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150726

Fälligkeitstag

25.08.2027

Basiswert

Compagnie Financière Richemont SA, Sika AG, Alcon Inc. - CH1548150726

6.64% (13.50% p.a.) Barrier Reverse Convertible on Banco Bilbao Vizcaya Argentaria SA

Title

CH1532239220 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239220

Fälligkeitstag

31.08.2026

Basiswert

Banco Bilbao Vizcaya Argentaria SA

6.64% (19.77% p.a.) Reverse Convertible on ALSO Holding AG

Title

CH1548149785 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149785

Fälligkeitstag

21.12.2026

Basiswert

ALSO Holding AG

6.64% (6.60% p.a.) Barrier Reverse Convertible on Kuehne + Nagel International AG

Title

CH1532243644 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243644

Fälligkeitstag

22.03.2027

Basiswert

Kuehne + Nagel International AG

6.64% p.a. Autocallable Reverse Convertible on Alcon, Givaudan, Sika

Title

CH1532241242 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241242

Fälligkeitstag

11.03.2027

Basiswert

Sika AG, Alcon Inc., Givaudan SA - CH1532241242

6.64% p.a. Reverse Convertible on ABB, Lonza, Sandoz Group

Title

CH1548141626 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141626

Fälligkeitstag

06.07.2027

Basiswert

ABB Ltd, Lonza Group AG, Sandoz Group AG - CH1548141626

6.65% (6.63% p.a.) Barrier Reverse Convertible on Sonova, Straumann

Title

CH1548132260 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132260

Fälligkeitstag

14.05.2027

Basiswert

Sonova Holding AG, Straumann Holding AG - CH1548132260

6.65% (6.67% p.a.) Reverse Convertible on Kardex AG

Title

CH1492026187 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026187

Fälligkeitstag

28.12.2026

Basiswert

Kardex AG

6.65% p.a. Callable Reverse Convertible on Givaudan, Lonza, Siegfried

Title

CH1532239139 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239139

Fälligkeitstag

31.08.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Givaudan SA - CH1532239139

6.65% p.a. Reverse Convertible on Alcon, Nestlé, Richemont

Title

CH1532237497 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237497

Fälligkeitstag

25.02.2028

Basiswert

Nestlé SA, Compagnie Financière Richemont SA, Alcon Inc. - CH1532237497

6.66% (6.66% p.a.) Reverse Convertible on SAP SE

Title

CH1532240996 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240996

Fälligkeitstag

10.03.2027

Basiswert

SAP SE

6.66% (8.82% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1548127724 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127724

Fälligkeitstag

25.01.2027

Basiswert

Sunrise Communications AG

6.66% p.a. Barrier Reverse Convertible on Lonza, Nestlé, RWE, SAP, Swiss Re (Quanto CHF)

Title

CH1492020438 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020438

Fälligkeitstag

13.11.2026

Basiswert

Nestlé SA, Swiss Re AG, Lonza Group AG, SAP SE, RWE AG - CH1492020438

6.66% p.a. Reverse Convertible on Sandoz Group, Siegfried, Straumann

Title

CH1532240681 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240681

Fälligkeitstag

09.03.2027

Basiswert

Siegfried Holding AG, Sandoz Group AG, Straumann Holding AG - CH1532240681

6.67% (6.63% p.a.) Barrier Reverse Convertible on Givaudan, Holcim, Sika

Title

CH1548126684 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126684

Fälligkeitstag

19.04.2027

Basiswert

Holcim Ltd, Sika AG, Givaudan SA - CH1548126684

6.67% (6.67% p.a.) Barrier Reverse Convertible on Banco Santander SA

Title

CH1532238123 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238123

Fälligkeitstag

26.02.2027

Basiswert

Banco Santander SA

6.67% p.a. Autocallable Barrier Reverse Convertible on Roche, Swiss Life, Swiss Re, UBS Group

Title

CH1476912741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912741

Fälligkeitstag

20.10.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Roche Holding AG, UBS Group AG - CH1476912741

6.67% p.a. Autocallable Reverse Convertible on Alcon, Nestlé

Title

CH1548141279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141279

Fälligkeitstag

05.07.2027

Basiswert

Alcon Inc., Nestlé SA - CH1548141279

6.67% p.a. Barrier Reverse Convertible on Geberit, Holcim, Partners Group Holding

Title

CH1548139687 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139687

Fälligkeitstag

24.06.2027

Basiswert

Partners Group Holding AG, Geberit AG, Holcim Ltd - CH1548139687

6.67% p.a. Barrier Reverse Convertible on Sika, Straumann, Swiss Re

Title

CH1492030759 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030759

Fälligkeitstag

28.01.2027

Basiswert

Straumann Holding AG, Sika AG, Swiss Re AG - CH1492030759

6.67% p.a. Reverse Convertible on Lonza, Novartis, Siegfried

Title

CH1532245169 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245169

Fälligkeitstag

05.04.2027

Basiswert

Siegfried Holding AG, Lonza Group AG, Novartis AG - CH1532245169

6.68% p.a. Autocallable Reverse Convertible on Alcon, Givaudan

Title

CH1476907600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907600

Fälligkeitstag

14.09.2026

Basiswert

Givaudan SA, Alcon Inc. - CH1476907600

6.68% p.a. Autocallable Reverse Convertible on ETF Invesco QQQ Trust Series I, SPDR DJ Industrial Average ETF Trust, SPDR S&P 500 ETF

Title

CH1548138606 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138606

Fälligkeitstag

20.06.2028

Basiswert

ETF Invesco QQQ Trust Series I, SPDR Dow Jones Industrial Average ETF Trust, SPDR S&P 500 ETF - CH1548138606

6.68% p.a. Autocallable Reverse Convertible on Lonza, Sandoz Group

Title

CH1548150841 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150841

Fälligkeitstag

26.02.2027

Basiswert

Lonza Group AG, Sandoz Group AG - CH1548150841

6.68% p.a. Barrier Reverse Convertible on Georg Fischer, Logitech, Sika

Title

CH1492032391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032391

Fälligkeitstag

04.02.2027

Basiswert

Georg Fischer AG, Logitech International SA, Sika AG - CH1492032391

6.69% (13.24% p.a.) Barrier Reverse Convertible on SAP, Schneider Electric

Title

CH1548149868 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149868

Fälligkeitstag

22.02.2027

Basiswert

Schneider Electric SE, SAP SE - CH1548149868

6.69% p.a. Autocallable Reverse Convertible on Kardex, Lonza, Swiss Re

Title

CH1492027524 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027524

Fälligkeitstag

12.01.2027

Basiswert

Lonza Group AG, Kardex AG, Swiss Re AG - CH1492027524

6.69% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Sika

Title

CH1492021717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021717

Fälligkeitstag

23.11.2026

Basiswert

Givaudan SA, Lonza Group AG, Sika AG - CH1492021717

6.69% p.a. Callable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, UBS Group

Title

CH1548146732 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146732

Fälligkeitstag

05.08.2027

Basiswert

Kuehne + Nagel International AG, Lonza Group AG, UBS Group AG - CH1548146732

6.70% (13.25% p.a.) Barrier Reverse Convertible on Temenos AG (Quanto EUR)

Title

CH1548149884 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149884

Fälligkeitstag

22.02.2027

Basiswert

Temenos AG

6.70% (6.70% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Sunrise Communications AG

Title

CH1548146492 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146492

Fälligkeitstag

04.08.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Sunrise Communications AG - CH1548146492

6.70% p.a. Barrier Reverse Convertible on Alcon, Lonza, Roche

Title

CH1492019539 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019539

Fälligkeitstag

09.11.2026

Basiswert

Alcon Inc., Roche Holding AG, Lonza Group AG - CH1492019539

6.70% p.a. Barrier Reverse Convertible on Galenica, Lonza, Swiss Prime Site

Title

CH1548134274 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134274

Fälligkeitstag

26.05.2027

Basiswert

Galenica AG, Lonza Group AG, Swiss Prime Site AG - CH1548134274

6.70% p.a. Reverse Convertible on Georg Fischer, SIG Group, Sika (Quanto GBP)

Title

CH1476911875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911875

Fälligkeitstag

13.10.2026

Basiswert

Sika AG, SIG Group AG, Georg Fischer AG - CH1476911875

6.71% (13.42% p.a.) Reverse Convertible on Pinterest Inc.

Title

CH1548146807 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146807

Fälligkeitstag

05.02.2027

Basiswert

Pinterest Inc.

6.71% p.a. Barrier Reverse Convertible on Adecco, Givaudan, Holcim

Title

CH1492025767 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025767

Fälligkeitstag

23.12.2026

Basiswert

Adecco Group AG, Givaudan SA, Holcim Ltd - CH1492025767

6.71% p.a. Barrier Reverse Convertible on Adyen , Rolls-Royce, Schneider Electric (Quanto EUR)

Title

CH1492023689 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023689

Fälligkeitstag

09.12.2026

Basiswert

Rolls-Royce Holdings PLC, Adyen N.V., Schneider Electric SE - CH1492023689

6.72% (6.68% p.a.) Reverse Convertible on Alcon, Richemont

Title

CH1548137608 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137608

Fälligkeitstag

14.06.2027

Basiswert

Alcon Inc., Compagnie Financière Richemont SA - CH1548137608

6.72% (6.72% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1548134589 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134589

Fälligkeitstag

27.05.2027

Basiswert

Heidelberg Materials AG

6.72% (6.72% p.a.) Barrier Reverse Convertible on dormakaba, Kardex, Logitech

Title

CH1492032250 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032250

Fälligkeitstag

03.02.2027

Basiswert

Logitech International SA, dormakaba Holding AG, Kardex AG - CH1492032250

6.72% p.a. Autocallable Reverse Convertible on Berkshire Hathaway Inc.

Title

CH1548145320 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145320

Fälligkeitstag

28.01.2027

Basiswert

Berkshire Hathaway Inc.

6.72% p.a. Barrier Reverse Convertible on ABB, Holcim, Sika

Title

CH1492022210 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022210

Fälligkeitstag

26.11.2026

Basiswert

Sika AG, ABB Ltd, Holcim Ltd - CH1492022210

6.72% p.a. Barrier Reverse Convertible on Alcon, Logitech, Richemont

Title

CH1476906149 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906149

Fälligkeitstag

04.09.2026

Basiswert

Compagnie Financière Richemont SA, Alcon Inc., Logitech International SA - CH1476906149

6.72% p.a. Barrier Reverse Convertible on Geberit, Holcim, Logitech, VAT

Title

CH1548151112 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151112

Fälligkeitstag

27.08.2027

Basiswert

Geberit AG, Logitech International SA, Holcim Ltd, VAT Group AG - CH1548151112

6.72% p.a. Callable Barrier Reverse Convertible on Air Liquide, Shell, TotalEnergies (Quanto CHF)

Title

CH1548131338 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131338

Fälligkeitstag

10.05.2027

Basiswert

Shell PLC, TotalEnergies SE, Air Liquide SA - CH1548131338

6.72% p.a. Callable Barrier Reverse Convertible on BELIMO Holding, Holcim, Swiss Life

Title

CH1548133722 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133722

Fälligkeitstag

21.05.2027

Basiswert

BELIMO Holding AG, Swiss Life Holding AG, Holcim Ltd - CH1548133722

6.73% (13.32% p.a.) Reverse Convertible on Amazon.com, Apple

Title

CH1548144919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144919

Fälligkeitstag

26.01.2027

Basiswert

Amazon.com Inc., Apple Inc. - CH1548144919

6.73% (6.73% p.a.) Barrier Reverse Convertible on Logitech, Roche, UBS Group

Title

CH1492029470 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029470

Fälligkeitstag

21.01.2027

Basiswert

Roche Holding AG, UBS Group AG, Logitech International SA - CH1492029470

6.73% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1476908111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908111

Fälligkeitstag

17.09.2026

Basiswert

Partners Group Holding AG, Sika AG, Kuehne + Nagel International AG - CH1476908111

6.73% p.a. Barrier Reverse Convertible on Lonza, Straumann, Sunrise Communications AG

Title

CH1492027649 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027649

Fälligkeitstag

12.01.2027

Basiswert

Straumann Holding AG, Sunrise Communications AG, Lonza Group AG - CH1492027649

6.73% p.a. Barrier Reverse Convertible on Richemont, Sika, Straumann

Title

CH1532239592 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239592

Fälligkeitstag

04.03.2027

Basiswert

Compagnie Financière Richemont SA, Sika AG, Straumann Holding AG - CH1532239592

6.74% (26.37% p.a.) Reverse Convertible on Arista Networks, ServiceNow

Title

CH1548143671 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143671

Fälligkeitstag

19.10.2026

Basiswert

Arista Networks, Inc., ServiceNow Inc - CH1548143671

6.74% (6.74% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Partners Group Holding

Title

CH1548140800 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140800

Fälligkeitstag

01.07.2027

Basiswert

Alcon Inc., Logitech International SA, Partners Group Holding AG - CH1548140800

6.74% (6.74% p.a.) Barrier Reverse Convertible on Partners Group Holding, SGS, Swiss Life

Title

CH1476910901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910901

Fälligkeitstag

07.10.2026

Basiswert

Partners Group Holding AG, Swiss Life Holding AG, SGS SA - CH1476910901

6.74% p.a. Autocallable Reverse Convertible on Meta Platforms, Nestlé (Quanto CHF)

Title

CH1532244287 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244287

Fälligkeitstag

25.03.2027

Basiswert

Nestlé SA, Meta Platforms Inc. - CH1532244287

6.74% p.a. Barrier Reverse Convertible on Logitech, Schindler, Sonova

Title

CH1596852124 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852124

Fälligkeitstag

30.08.2027

Basiswert

Logitech International SA, Sonova Holding AG, Schindler Holding AG - CH1596852124

6.74% p.a. Callable Reverse Convertible on ABB, Accelleron Industries, Bucher

Title

CH1476910422 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910422

Fälligkeitstag

04.10.2027

Basiswert

Accelleron Industries AG, ABB Ltd, Bucher Industries AG - CH1476910422

6.74% p.a. Callable Reverse Convertible on Netflix Inc.

Title

CH1492018457 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492018457

Fälligkeitstag

02.11.2026

Basiswert

Netflix Inc.

6.75% (13.00% p.a.) Barrier Reverse Convertible on Logitech, Straumann

Title

CH1548148100 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148100

Fälligkeitstag

19.02.2027

Basiswert

Logitech International SA, Straumann Holding AG - CH1548148100

6.75% (6.72% p.a.) Barrier Reverse Convertible on Adecco, Geberit, Givaudan

Title

CH1492025320 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025320

Fälligkeitstag

21.12.2026

Basiswert

Geberit AG, Givaudan SA, Adecco Group AG - CH1492025320

6.75% (6.72% p.a.) Barrier Reverse Convertible on Sonova, Straumann, Ypsomed

Title

CH1492021675 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021675

Fälligkeitstag

23.11.2026

Basiswert

Sonova Holding AG, Straumann Holding AG, Ypsomed Holding AG - CH1492021675

6.75% (6.75% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492019240 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019240

Fälligkeitstag

05.11.2026

Basiswert

Novartis AG, Roche Holding AG, Nestlé SA - CH1492019240

6.75% (6.75% p.a.) Reverse Convertible on General Dynamics, RTX Corporation

Title

CH1548137442 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137442

Fälligkeitstag

11.06.2027

Basiswert

General Dynamics Corp., RTX Corporation - CH1548137442

6.75% (6.79% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Sandoz Group (Quanto AUD)

Title

CH1476909366 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909366

Fälligkeitstag

24.09.2026

Basiswert

Sandoz Group AG, Nestlé SA, Roche Holding AG, Novartis AG - CH1476909366

6.75% p.a. Autocallable Barrier Reverse Convertible on ABB, Lonza, VAT

Title

CH1492022855 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022855

Fälligkeitstag

02.12.2026

Basiswert

VAT Group AG, Lonza Group AG, ABB Ltd - CH1492022855

6.75% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel

Title

CH1548144570 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144570

Fälligkeitstag

23.07.2027

Basiswert

Kuehne + Nagel International AG, Alcon Inc. - CH1548144570

6.75% p.a. Barrier Reverse Convertible on Amrize Ltd, Lonza, Straumann

Title

CH1548136113 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136113

Fälligkeitstag

07.06.2027

Basiswert

Amrize Ltd, Lonza Group AG, Straumann Holding AG - CH1548136113

6.76% (6.72% p.a.) Reverse Convertible on Sandoz Group AG

Title

CH1548126494 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548126494

Fälligkeitstag

19.04.2027

Basiswert

Sandoz Group AG

6.76% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Nestlé, Novartis, Roche, Sandoz Group

Title

CH1492021378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021378

Fälligkeitstag

19.11.2026

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG, Galderma Group Ltd, Sandoz Group AG - CH1492021378

6.76% p.a. Autocallable Barrier Reverse Convertible on Geberit, Givaudan, Sulzer, Swatch

Title

CH1548147193 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147193

Fälligkeitstag

06.08.2027

Basiswert

Givaudan SA, The Swatch Group AG, Sulzer AG, Geberit AG - CH1548147193

6.76% p.a. Autocallable Reverse Convertible on Avolta, Sonova, UBS Group

Title

CH1314937660 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314937660

Fälligkeitstag

15.02.2027

Basiswert

Sonova Holding AG, Avolta AG, UBS Group AG - CH1314937660

6.76% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1492030619 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030619

Fälligkeitstag

27.01.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.76% p.a. Barrier Reverse Convertible on ABB, Lonza, VAT

Title

CH1476906156 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906156

Fälligkeitstag

04.09.2026

Basiswert

Lonza Group AG, ABB Ltd, VAT Group AG - CH1476906156

6.76% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group, Zurich Insurance (Quanto EUR)

Title

CH1476912402 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912402

Fälligkeitstag

16.10.2026

Basiswert

UBS Group AG, Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1476912402

6.77% (6.77% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Swisscom

Title

CH1548129092 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129092

Fälligkeitstag

29.04.2027

Basiswert

Swisscom AG, Compagnie Financière Richemont SA, Lonza Group AG - CH1548129092

6.77% (6.85% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Swiss Re

Title

CH1492018739 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018739

Fälligkeitstag

29.10.2026

Basiswert

Partners Group Holding AG, Kuehne + Nagel International AG, Swiss Re AG - CH1492018739

6.77% p.a. Autocallable Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont, Sonova (Quanto CHF)

Title

CH1548135883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135883

Fälligkeitstag

04.06.2027

Basiswert

Compagnie Financière Richemont SA, LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Sonova Holding AG - CH1548135883

6.77% p.a. Barrier Reverse Convertible on ABB, Kuehne + Nagel, Lonza

Title

CH1532241036 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241036

Fälligkeitstag

10.03.2027

Basiswert

Lonza Group AG, Kuehne + Nagel International AG, ABB Ltd - CH1532241036

6.77% p.a. Barrier Reverse Convertible on Alcon, Holcim, Sika

Title

CH1492017129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017129

Fälligkeitstag

23.10.2026

Basiswert

Holcim Ltd, Alcon Inc., Sika AG - CH1492017129

6.77% p.a. Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1492033142 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033142

Fälligkeitstag

09.02.2027

Basiswert

Straumann Holding AG, Alcon Inc., Sandoz Group AG - CH1492033142

6.77% p.a. Barrier Reverse Convertible on Givaudan, Julius Bär, Swiss Re (Quanto EUR)

Title

CH1476909333 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909333

Fälligkeitstag

24.09.2026

Basiswert

Swiss Re AG, Julius Bär Gruppe AG, Givaudan SA - CH1476909333

6.78% (4.52% p.a.) Reverse Convertible on ABB, Partners Group Holding, Swiss Re

Title

CH1476912063 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912063

Fälligkeitstag

14.04.2027

Basiswert

ABB Ltd, Swiss Re AG, Partners Group Holding AG - CH1476912063

6.78% (6.78% p.a.) Barrier Reverse Convertible on Lindt & Sprüngli, Straumann, Swiss Re

Title

CH1476910877 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910877

Fälligkeitstag

07.10.2026

Basiswert

Swiss Re AG, Lindt & Sprüngli AG, Straumann Holding AG - CH1476910877

6.78% p.a. Autocallable Reverse Convertible on Givaudan, Nestlé, Sika

Title

CH1532242976 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242976

Fälligkeitstag

18.03.2027

Basiswert

Sika AG, Givaudan SA, Nestlé SA - CH1532242976

6.78% p.a. Barrier Reverse Convertible on AXA, Swiss Life, Zurich Insurance (Quanto CHF)

Title

CH1418942921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418942921

Fälligkeitstag

31.08.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, AXA SA - CH1418942921

6.79% (9.06% p.a.) Barrier Reverse Convertible on Richemont, VAT, Zurich Insurance

Title

CH1492025817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025817

Fälligkeitstag

23.09.2026

Basiswert

Compagnie Financière Richemont SA, VAT Group AG, Zurich Insurance Group Ltd - CH1492025817

6.80% (6.80% p.a.) Barrier Reverse Convertible on Adidas, BNP Paribas

Title

CH1532239956 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239956

Fälligkeitstag

05.03.2027

Basiswert

Adidas AG, BNP Paribas - CH1532239956

6.80% (6.80% p.a.) Barrier Reverse Convertible on dormakaba, Kardex, Logitech

Title

CH1492031955 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031955

Fälligkeitstag

02.02.2027

Basiswert

Kardex AG, dormakaba Holding AG, Logitech International SA - CH1492031955

6.80% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, UBS Group, Zurich Insurance

Title

CH1548143838 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143838

Fälligkeitstag

20.07.2027

Basiswert

Nestlé SA, Novartis AG, Zurich Insurance Group Ltd, UBS Group AG - CH1548143838

6.80% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Richemont

Title

CH1492018507 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018507

Fälligkeitstag

02.11.2026

Basiswert

Partners Group Holding AG, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1492018507

6.80% p.a. Callable Barrier Reverse Convertible on Logitech, UBS Group, Ypsomed

Title

CH1548148712 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148712

Fälligkeitstag

16.08.2027

Basiswert

Logitech International SA, Ypsomed Holding AG, UBS Group AG - CH1548148712

6.80% p.a. Callable Barrier Reverse Convertible on Nestlé, Richemont, Swisscom

Title

CH1548146690 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146690

Fälligkeitstag

04.02.2027

Basiswert

Nestlé SA, Swisscom AG, Compagnie Financière Richemont SA - CH1548146690

6.81% (6.81% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1548143341 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143341

Fälligkeitstag

16.07.2027

Basiswert

Partners Group Holding AG

6.81% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, SAP, Siemens Energy (Quanto CHF)

Title

CH1476908269 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908269

Fälligkeitstag

18.09.2026

Basiswert

SAP SE, Amazon.com Inc., Siemens Energy AG - CH1476908269

6.81% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, Zurich Insurance

Title

CH1492021808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021808

Fälligkeitstag

24.11.2026

Basiswert

Kuehne + Nagel International AG, Alcon Inc., Zurich Insurance Group Ltd - CH1492021808

6.81% p.a. Reverse Convertible on ALSO Holding, Galderma Group, Richemont

Title

CH1548147185 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147185

Fälligkeitstag

06.08.2027

Basiswert

Galderma Group Ltd, Compagnie Financière Richemont SA, ALSO Holding AG - CH1548147185

6.82% (13.64% p.a.) Barrier Reverse Convertible on PayPal Holdings Inc.

Title

CH1548146948 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146948

Fälligkeitstag

05.02.2027

Basiswert

PayPal Holdings Inc.

6.82% (6.82% p.a.) Barrier Reverse Convertible on Bachem, Lonza, Siegfried

Title

CH1596851720 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851720

Fälligkeitstag

27.08.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Bachem Holding AG - CH1596851720

6.82% (6.82% p.a.) Reverse Convertible on ABB, Amrize Ltd, Zurich Insurance

Title

CH1476912493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912493

Fälligkeitstag

16.10.2026

Basiswert

ABB Ltd, Zurich Insurance Group Ltd, Amrize Ltd - CH1476912493

6.82% (6.83% p.a.) Barrier Reverse Convertible on ABB, Logitech, Partners Group Holding

Title

CH1476911404 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911404

Fälligkeitstag

09.10.2026

Basiswert

ABB Ltd, Logitech International SA, Partners Group Holding AG - CH1476911404

6.82% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Sika, UBS Group

Title

CH1548147789 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147789

Fälligkeitstag

11.08.2027

Basiswert

Nestlé SA, Sika AG, UBS Group AG - CH1548147789

6.82% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group

Title

CH1532238875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238875

Fälligkeitstag

02.03.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, UBS Group AG - CH1532238875

6.82% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1476907709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907709

Fälligkeitstag

15.09.2026

Basiswert

Sika AG, Partners Group Holding AG, Kuehne + Nagel International AG - CH1476907709

6.82% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532241564 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241564

Fälligkeitstag

11.03.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532241564

6.82% p.a. Reverse Convertible on Accelleron Industries, Richemont, Roche

Title

CH1548131411 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131411

Fälligkeitstag

11.11.2027

Basiswert

Accelleron Industries AG, Compagnie Financière Richemont SA, Roche Holding AG - CH1548131411

6.83% (6.83% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548127211 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127211

Fälligkeitstag

21.04.2027

Basiswert

Huber + Suhner AG, Accelleron Industries AG, ABB Ltd, Lonza Group AG - CH1548127211

6.83% (6.83% p.a.) Barrier Reverse Convertible on Accelleron Industries, Lonza, Richemont

Title

CH1492019893 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019893

Fälligkeitstag

10.11.2026

Basiswert

Lonza Group AG, Compagnie Financière Richemont SA, Accelleron Industries AG - CH1492019893

6.83% (6.83% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, VAT

Title

CH1492019273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019273

Fälligkeitstag

05.11.2026

Basiswert

Lonza Group AG, Givaudan SA, VAT Group AG - CH1492019273

6.83% p.a. Barrier Reverse Convertible on Sandoz Group, Swiss Life, Zurich Insurance

Title

CH1548138564 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138564

Fälligkeitstag

18.06.2027

Basiswert

Sandoz Group AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548138564

6.83% p.a. Callable Barrier Reverse Convertible on General Mills, Kraft Heinz (Quanto CHF)

Title

CH1548148332 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148332

Fälligkeitstag

13.08.2027

Basiswert

General Mills Inc., The Kraft Heinz Company - CH1548148332

6.84% (14.65% p.a.) Barrier Reverse Convertible on Hannover Rück, Munich Re

Title

CH1532245870 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245870

Fälligkeitstag

25.09.2026

Basiswert

Hannover Rück SE, Münchener Rückversicherungs AG - CH1532245870

6.84% (6.84% p.a.) Barrier Reverse Convertible on Accelleron Industries, Alcon, Kardex

Title

CH1492017533 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017533

Fälligkeitstag

28.10.2026

Basiswert

Kardex AG, Alcon Inc., Accelleron Industries AG - CH1492017533

6.84% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sunrise Communications AG, Zurich Insurance

Title

CH1532241895 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241895

Fälligkeitstag

12.03.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Zurich Insurance Group Ltd, Sunrise Communications AG - CH1532241895

6.84% p.a. Barrier Reverse Convertible on Logitech, Swiss Life, Swiss Re

Title

CH1492021980 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021980

Fälligkeitstag

25.11.2026

Basiswert

Logitech International SA, Swiss Life Holding AG, Swiss Re AG - CH1492021980

6.84% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548135065 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135065

Fälligkeitstag

31.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548135065

6.85% (6.85% p.a.) Reverse Convertible on Compagnie Financière Richemont SA (Quanto EUR)

Title

CH1532241010 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241010

Fälligkeitstag

10.03.2027

Basiswert

Compagnie Financière Richemont SA

6.85% p.a. Autocallable Barrier Reverse Convertible on Novartis, Roche, Sandoz Group, Swiss Life

Title

CH1492030080 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030080

Fälligkeitstag

26.01.2027

Basiswert

Novartis AG, Swiss Life Holding AG, Sandoz Group AG, Roche Holding AG - CH1492030080

6.85% p.a. Autocallable Reverse Convertible on EssilorLuxottica, ING (Quanto GBP)

Title

CH1548135651 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135651

Fälligkeitstag

05.10.2026

Basiswert

EssilorLuxottica SA, ING Groep N.V. - CH1548135651

6.85% p.a. Barrier Reverse Convertible on Helvetia Baloise, Schindler, Straumann

Title

CH1548141865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141865

Fälligkeitstag

07.07.2027

Basiswert

Straumann Holding AG, Schindler Holding AG, Helvetia Baloise Holding AG - CH1548141865

6.85% p.a. Barrier Reverse Convertible on Lonza, Richemont, VAT

Title

CH1492018275 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018275

Fälligkeitstag

30.10.2026

Basiswert

Compagnie Financière Richemont SA, Lonza Group AG, VAT Group AG - CH1492018275

6.85% p.a. Barrier Reverse Convertible on Richemont, Swatch

Title

CH1492020321 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020321

Fälligkeitstag

12.11.2026

Basiswert

Compagnie Financière Richemont SA, The Swatch Group AG - CH1492020321

6.86% (6.86% p.a.) Barrier Reverse Convertible on Swissquote, UBS Group

Title

CH1548144042 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144042

Fälligkeitstag

20.07.2027

Basiswert

Swissquote Group Holding SA, UBS Group AG - CH1548144042

6.86% p.a. Barrier Reverse Convertible on Alcon, Geberit, Richemont

Title

CH1532241135 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241135

Fälligkeitstag

10.03.2027

Basiswert

Alcon Inc., Geberit AG, Compagnie Financière Richemont SA - CH1532241135

6.86% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548135032 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135032

Fälligkeitstag

31.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548135032

6.86% p.a. Reverse Convertible on Evonik Industries, Lanxess, Vonovia (Quanto CHF)

Title

CH1476912758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912758

Fälligkeitstag

20.10.2026

Basiswert

Vonovia SE, Lanxess AG, Evonik Industries AG - CH1476912758

6.87% p.a. Callable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Partners Group Holding

Title

CH1476908962 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908962

Fälligkeitstag

23.09.2026

Basiswert

Kuehne + Nagel International AG, Lonza Group AG, Partners Group Holding AG - CH1476908962

6.87% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134704 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134704

Fälligkeitstag

28.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548134704

6.87% p.a. Reverse Convertible on L´Oréal, Partners Group Holding, Richemont (Quanto CHF)

Title

CH1418950445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950445

Fälligkeitstag

03.05.2028

Basiswert

L´Oréal International, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1418950445

6.88% (6.85% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner

Title

CH1548126783 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126783

Fälligkeitstag

19.04.2027

Basiswert

Huber + Suhner AG, Accelleron Industries AG, ABB Ltd - CH1548126783

6.88% p.a. Autocallable Barrier Reverse Convertible on Alcon, Novartis, Roche

Title

CH1532240913 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240913

Fälligkeitstag

09.03.2027

Basiswert

Roche Holding AG, Alcon Inc., Novartis AG - CH1532240913

6.88% p.a. Barrier Reverse Convertible on Richemont, Sandoz Group, Straumann

Title

CH1532238834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238834

Fälligkeitstag

02.03.2027

Basiswert

Compagnie Financière Richemont SA, Sandoz Group AG, Straumann Holding AG - CH1532238834

6.88% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548135057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135057

Fälligkeitstag

31.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548135057

6.88% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548134993 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134993

Fälligkeitstag

31.05.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548134993

6.88% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548135016 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135016

Fälligkeitstag

31.05.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd, Partners Group Holding AG - CH1548135016

6.89% (13.79% p.a.) Reverse Convertible on Comet, Inficon, VAT

Title

CH1548127740 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127740

Fälligkeitstag

23.10.2026

Basiswert

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548127740

6.89% (6.91% p.a.) Reverse Convertible on Keurig Dr Pepper , PepsiCo

Title

CH1476905901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905901

Fälligkeitstag

03.09.2026

Basiswert

Keurig Dr Pepper Inc., PepsiCo Inc. - CH1476905901

6.89% p.a. Autocallable Barrier Reverse Convertible on Holcim, Lonza, Richemont, UBS Group

Title

CH1492024752 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024752

Fälligkeitstag

16.12.2026

Basiswert

Holcim Ltd, Lonza Group AG, UBS Group AG, Compagnie Financière Richemont SA - CH1492024752

6.89% p.a. Reverse Convertible on Allianz, Swiss Re, Zurich Insurance (Quanto CHF)

Title

CH1532245136 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245136

Fälligkeitstag

05.04.2027

Basiswert

Swiss Re AG, Allianz SE, Zurich Insurance Group Ltd - CH1532245136

6.90% (13.72% p.a.) Barrier Reverse Convertible on Accelleron Industries, Amrize Ltd, Lonza, Swiss Life, Swiss Re

Title

CH1532244477 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244477

Fälligkeitstag

28.09.2026

Basiswert

Swiss Re AG, Swiss Life Holding AG, Accelleron Industries AG, Amrize Ltd, Lonza Group AG - CH1532244477

6.90% (6.87% p.a.) Reverse Convertible on Heineken NV, L´Oréal

Title

CH1548126759 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126759

Fälligkeitstag

19.04.2027

Basiswert

L´Oréal International, Heineken NV - CH1548126759

6.90% (6.90% p.a.) Barrier Reverse Convertible on ABB, Alcon, Richemont

Title

CH1492019265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019265

Fälligkeitstag

05.11.2026

Basiswert

ABB Ltd, Alcon Inc., Compagnie Financière Richemont SA - CH1492019265

6.90% (6.90% p.a.) Barrier Reverse Convertible on Accelleron Industries, Galderma Group, Lonza

Title

CH1492035790 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035790

Fälligkeitstag

18.02.2027

Basiswert

Lonza Group AG, Accelleron Industries AG, Galderma Group Ltd - CH1492035790

6.90% p.a. Callable Barrier Reverse Convertible on BAE Systems, Lockheed Martin, Rheinmetall (Quanto CHF)

Title

CH1476910919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910919

Fälligkeitstag

07.10.2026

Basiswert

Rheinmetall AG, BAE Systems PLC, Lockheed Martin Corp - CH1476910919

6.91% (13.60% p.a.) Reverse Convertible on Amphenol Corp

Title

CH1532245714 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245714

Fälligkeitstag

05.10.2026

Basiswert

Amphenol Corp

6.91% (13.83% p.a.) Barrier Reverse Convertible on Capgemini SE (Quanto CHF)

Title

CH1548136741 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136741

Fälligkeitstag

09.12.2026

Basiswert

Capgemini SE

6.91% p.a. Autocallable Reverse Convertible on ABB, Lonza, Zurich Insurance

Title

CH1476906420 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906420

Fälligkeitstag

07.06.2027

Basiswert

ABB Ltd, Lonza Group AG, Zurich Insurance Group Ltd - CH1476906420

6.91% p.a. Barrier Reverse Convertible on Geberit, Logitech, Lonza

Title

CH1476908145 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908145

Fälligkeitstag

17.09.2026

Basiswert

Geberit AG, Lonza Group AG, Logitech International SA - CH1476908145

6.91% p.a. Callable Barrier Reverse Convertible on Lindt & Sprüngli, SIG Group, Swiss Re

Title

CH1476906339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906339

Fälligkeitstag

08.03.2027

Basiswert

Swiss Re AG, Lindt & Sprüngli AG, SIG Group AG - CH1476906339

6.92% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, Société Générale, UniCredit (Quanto CHF)

Title

CH1548141139 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141139

Fälligkeitstag

02.07.2027

Basiswert

Société Générale, UniCredit SpA, Allianz SE, AXA SA - CH1548141139

6.92% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Swiss Life, Swiss Re, UBS Group

Title

CH1492023770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023770

Fälligkeitstag

09.12.2026

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Swiss Life Holding AG, Swiss Re AG - CH1492023770

6.92% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Nestlé (Quanto EUR)

Title

CH1492017608 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017608

Fälligkeitstag

28.10.2026

Basiswert

Givaudan SA, Alcon Inc., Nestlé SA - CH1492017608

6.92% p.a. Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto CHF)

Title

CH1532241523 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241523

Fälligkeitstag

11.03.2027

Basiswert

ABB Ltd, Siemens AG, Schneider Electric SE - CH1532241523

6.93% (14.02% p.a.) Reverse Convertible on ABB, Logitech

Title

CH1532245987 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245987

Fälligkeitstag

05.10.2026

Basiswert

ABB Ltd, Logitech International SA - CH1532245987

6.93% p.a. Barrier Reverse Convertible on Alcon, Novartis, Sandoz Group

Title

CH1418942939 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418942939

Fälligkeitstag

31.08.2026

Basiswert

Alcon Inc., Novartis AG, Sandoz Group AG - CH1418942939

6.93% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Sonova

Title

CH1492034090 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034090

Fälligkeitstag

11.02.2027

Basiswert

Lonza Group AG, Sonova Holding AG, Givaudan SA - CH1492034090

6.93% p.a. Barrier Reverse Convertible on Richemont, Sandoz Group, Sunrise Communications AG

Title

CH1548132351 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132351

Fälligkeitstag

14.05.2027

Basiswert

Compagnie Financière Richemont SA, Sandoz Group AG, Sunrise Communications AG - CH1548132351

6.94% (6.91% p.a.) Barrier Reverse Convertible on Geberit, Holcim, PSP Swiss Property, Roche

Title

CH1492023333 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023333

Fälligkeitstag

07.12.2026

Basiswert

Geberit AG, PSP Swiss Property AG, Holcim Ltd, Roche Holding AG - CH1492023333

6.94% (6.94% p.a.) Barrier Reverse Convertible on Geberit, Holcim, PSP Swiss Property, Roche

Title

CH1492023200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023200

Fälligkeitstag

04.12.2026

Basiswert

Geberit AG, PSP Swiss Property AG, Holcim Ltd, Roche Holding AG - CH1492023200

6.94% p.a. Autocallable Reverse Convertible on BKW, Holcim

Title

CH1532242216 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242216

Fälligkeitstag

16.03.2027

Basiswert

Holcim Ltd, BKW AG - CH1532242216

6.94% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1532245300 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245300

Fälligkeitstag

05.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

6.94% p.a. Barrier Reverse Convertible on Alcon, Partners Group Holding, Sika

Title

CH1532240764 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240764

Fälligkeitstag

09.03.2027

Basiswert

Partners Group Holding AG, Sika AG, Alcon Inc. - CH1532240764

6.94% p.a. Barrier Reverse Convertible on Galderma Group, Lindt & Sprüngli, Sonova

Title

CH1532243297 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243297

Fälligkeitstag

19.03.2027

Basiswert

Sonova Holding AG, Galderma Group Ltd, Lindt & Sprüngli AG - CH1532243297

6.94% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Sandoz Group

Title

CH1492032953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032953

Fälligkeitstag

08.02.2027

Basiswert

Sandoz Group AG, Nestlé SA, Lonza Group AG - CH1492032953

6.94% p.a. Callable Barrier Reverse Convertible on Galderma Group, Lonza, Sandoz Group

Title

CH1548148357 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148357

Fälligkeitstag

13.08.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Lonza Group AG - CH1548148357

6.94% p.a. Reverse Convertible on ABB, Holcim, Richemont

Title

CH1532241846 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241846

Fälligkeitstag

12.03.2027

Basiswert

Compagnie Financière Richemont SA, ABB Ltd, Holcim Ltd - CH1532241846

6.95% (6.95% p.a.) Barrier Reverse Convertible on Geberit, Lonza, Partners Group Holding

Title

CH1548140636 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140636

Fälligkeitstag

30.06.2027

Basiswert

Lonza Group AG, Geberit AG, Partners Group Holding AG - CH1548140636

6.95% p.a. Autocallable Reverse Convertible on Richemont, Sika

Title

CH1548139430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139430

Fälligkeitstag

23.06.2027

Basiswert

Sika AG, Compagnie Financière Richemont SA - CH1548139430

6.95% p.a. Barrier Reverse Convertible on ABB, Alcon, Givaudan

Title

CH1492025460 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025460

Fälligkeitstag

21.12.2026

Basiswert

Alcon Inc., Givaudan SA, ABB Ltd - CH1492025460

6.95% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1492020644 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020644

Fälligkeitstag

16.11.2026

Basiswert

Givaudan SA, Alcon Inc., Lonza Group AG - CH1492020644

6.95% p.a. Barrier Reverse Convertible on Julius Bär, Roche, Zurich Insurance

Title

CH1492020800 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020800

Fälligkeitstag

17.11.2026

Basiswert

Roche Holding AG, Zurich Insurance Group Ltd, Julius Bär Gruppe AG - CH1492020800

6.95% p.a. Callable Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1446057783 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057783

Fälligkeitstag

19.10.2026

Basiswert

Sandoz Group AG, Straumann Holding AG, Alcon Inc. - CH1446057783

6.96% (6.92% p.a.) Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1548148670 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148670

Fälligkeitstag

16.08.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG - CH1548148670

6.96% (6.96% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, Lonza

Title

CH1532239964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239964

Fälligkeitstag

05.03.2027

Basiswert

Givaudan SA, Julius Bär Gruppe AG, Lonza Group AG - CH1532239964

6.96% (6.96% p.a.) Barrier Reverse Convertible on Microsoft Corp.

Title

CH1532238131 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238131

Fälligkeitstag

26.02.2027

Basiswert

Microsoft Corp.

6.96% p.a. Autocallable Barrier Reverse Convertible on Helvetia Baloise, Zurich Insurance

Title

CH1532243966 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243966

Fälligkeitstag

24.03.2027

Basiswert

Zurich Insurance Group Ltd, Helvetia Baloise Holding AG - CH1532243966

6.96% p.a. Barrier Reverse Convertible on Alcon, Logitech, Swiss Re

Title

CH1548128003 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128003

Fälligkeitstag

23.04.2027

Basiswert

Logitech International SA, Alcon Inc., Swiss Re AG - CH1548128003

6.97% (6.93% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1548138697 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138697

Fälligkeitstag

21.06.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548138697

6.97% (6.97% p.a.) Reverse Convertible on Airbus, Safran, Thales

Title

CH1548144299 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144299

Fälligkeitstag

21.07.2027

Basiswert

Thales SA, Safran SA, Airbus SE - CH1548144299

6.97% p.a. Barrier Reverse Convertible on Alcon, Amrize Ltd, Julius Bär

Title

CH1532244816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244816

Fälligkeitstag

01.04.2027

Basiswert

Alcon Inc., Amrize Ltd, Julius Bär Gruppe AG - CH1532244816

6.97% p.a. Barrier Reverse Convertible on Alcon, Holcim, Sika

Title

CH1492021642 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021642

Fälligkeitstag

23.11.2026

Basiswert

Alcon Inc., Sika AG, Holcim Ltd - CH1492021642

6.97% p.a. Barrier Reverse Convertible on Logitech, Sandoz Group, Swiss Prime Site, Swisscom

Title

CH1532246159 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246159

Fälligkeitstag

06.04.2027

Basiswert

Swisscom AG, Swiss Prime Site AG, Logitech International SA, Sandoz Group AG - CH1532246159

6.98% (9.31% p.a.) Barrier Reverse Convertible on Bank of America, Goldman Sachs

Title

CH1548150551 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150551

Fälligkeitstag

25.05.2027

Basiswert

Bank of America Corporation, The Goldman Sachs Group, Inc. - CH1548150551

6.98% (9.31% p.a.) Reverse Convertible on Burckhardt Compression, Galderma Group, Partners Group Holding

Title

CH1548131502 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131502

Fälligkeitstag

11.02.2027

Basiswert

Galderma Group Ltd, Partners Group Holding AG, Burckhardt Compression Holding Ltd. - CH1548131502

6.98% p.a. Autocallable Reverse Convertible on Partners Group Holding AG

Title

CH1492030585 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030585

Fälligkeitstag

27.01.2027

Basiswert

Partners Group Holding AG

6.98% p.a. Barrier Reverse Convertible on Logitech, Nestlé, Sandoz Group (Quanto EUR)

Title

CH1476909309 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909309

Fälligkeitstag

24.09.2026

Basiswert

Logitech International SA, Nestlé SA, Sandoz Group AG - CH1476909309

6.99% (6.95% p.a.) Barrier Reverse Convertible on ASML, VAT (Quanto CHF)

Title

CH1548128128 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128128

Fälligkeitstag

26.04.2027

Basiswert

VAT Group AG, ASML Holding NV - CH1548128128

6.99% (6.95% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1492025338 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025338

Fälligkeitstag

21.12.2026

Basiswert

Alcon Inc., Lonza Group AG, Straumann Holding AG - CH1492025338

6.99% (6.99% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492030858 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030858

Fälligkeitstag

28.01.2027

Basiswert

VAT Group AG

6.99% (7.01% p.a.) Reverse Convertible on Forbo, Straumann

Title

CH1548130322 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130322

Fälligkeitstag

04.05.2027

Basiswert

Forbo Holding AG, Straumann Holding AG - CH1548130322

6.99% p.a. Autocallable Reverse Convertible on Meta Platforms, Nestlé, Roche (Quanto EUR)

Title

CH1476905380 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905380

Fälligkeitstag

31.08.2026

Basiswert

Meta Platforms Inc., Nestlé SA, Roche Holding AG - CH1476905380

6.99% p.a. Barrier Reverse Convertible on Beiersdorf, Diageo, Pernod-Ricard (Quanto CHF)

Title

CH1492022517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022517

Fälligkeitstag

30.11.2026

Basiswert

Diageo PLC, Pernod-Ricard SA, Beiersdorf AG - CH1492022517

60.32% p.a. Callable Barrier Reverse Convertible on Intel, Qualcomm, SanDisk Corp Registered, STMicroelectronics (Quanto USD)

Title

CH1548135537 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135537

Fälligkeitstag

04.12.2026

Basiswert

SanDisk Corp Registered, STMicroelectronics NV, Qualcomm Inc., Intel Corp. - CH1548135537

6T Liquid Absolute Return Certificate

Title

A3GRUP - Compartment 297

Kategorie

Instifolio - Liquid

ISIN

DE000A3GRUP9

Basiswert

6T Liquid Absolute Return Index

7.0% p.a. Park Capital Bond 2025

Title

A2860A - Compartment 246

Kategorie

Loan linked - Corporate

ISIN

DE000A2860A2

Fälligkeitstag

15.01.2028

Basiswert

Park Capital SCSp Loan

7.00% (11.46% p.a.) Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1532243180 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243180

Fälligkeitstag

29.10.2026

Basiswert

Partners Group Holding AG

7.00% (14.07% p.a.) Barrier Reverse Convertible on Contemporary Amperex Technology Co., Rheinmetall, Siemens (Quanto EUR)

Title

CH1548148779 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148779

Fälligkeitstag

17.02.2027

Basiswert

Rheinmetall AG, Siemens AG, Contemporary Amperex Technology Co., Limited - CH1548148779

7.00% (14.25% p.a.) Reverse Convertible on BASF SE

Title

CH1532239576 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239576

Fälligkeitstag

01.09.2026

Basiswert

BASF SE

7.00% (6.96% p.a.) Barrier Reverse Convertible on Alcon, Richemont, Swiss Re

Title

CH1476906230 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906230

Fälligkeitstag

07.09.2026

Basiswert

Alcon Inc., Swiss Re AG, Compagnie Financière Richemont SA - CH1476906230

7.00% (6.97% p.a.) Barrier Reverse Convertible on Geberit, Siegfried, Sunrise Communications AG

Title

CH1548126692 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126692

Fälligkeitstag

19.04.2027

Basiswert

Sunrise Communications AG, Siegfried Holding AG, Geberit AG - CH1548126692

7.00% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Novo Nordisk, Pfizer (Quanto CHF)

Title

CH1314929352 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314929352

Fälligkeitstag

19.10.2026

Basiswert

Eli Lilly & Co., Novo Nordisk A/S, Pfizer Inc. - CH1314929352

7.00% p.a. Autocallable Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548130595 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130595

Fälligkeitstag

05.05.2027

Basiswert

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548130595

7.00% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, Meta Platforms (Quanto CHF)

Title

CH1532244865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244865

Fälligkeitstag

01.04.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Meta Platforms Inc. - CH1532244865

7.00% p.a. Autocallable Reverse Convertible on Alphabet, Netflix (Quanto CHF)

Title

CH1532245524 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245524

Fälligkeitstag

05.04.2027

Basiswert

Netflix Inc., Alphabet, Inc. - CH1532245524

7.00% p.a. Autocallable Reverse Convertible on BNP Paribas, JPMorgan Chase, UBS Group (Quanto EUR)

Title

CH1548137707 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137707

Fälligkeitstag

14.09.2027

Basiswert

JPMorgan Chase & Co., BNP Paribas, UBS Group AG - CH1548137707

7.00% p.a. Autocallable Reverse Convertible on Infineon, Microsoft, Thales (Quanto EUR)

Title

CH1548126247 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126247

Fälligkeitstag

16.04.2027

Basiswert

Microsoft Corp., Infineon Technologies AG, Thales SA - CH1548126247

7.00% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft (Quanto CHF)

Title

CH1548142525 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142525

Fälligkeitstag

13.07.2027

Basiswert

Meta Platforms Inc., Microsoft Corp. - CH1548142525

7.00% p.a. Autocallable Reverse Convertible on Microsoft, Netflix, NVIDIA (Quanto CHF)

Title

CH1532244873 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244873

Fälligkeitstag

01.04.2027

Basiswert

Microsoft Corp., NVIDIA Corp., Netflix Inc. - CH1532244873

7.00% p.a. Barrier Reverse Convertible on Airbus, Boeing, Rheinmetall, Rolls-Royce (Quanto CHF)

Title

CH1492016709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016709

Fälligkeitstag

22.10.2026

Basiswert

Rheinmetall AG, Airbus SE, Rolls-Royce Holdings PLC, Boeing Company - CH1492016709

7.00% p.a. Barrier Reverse Convertible on Coca-Cola, McDonalds, Procter & Gamble

Title

CH1492027045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027045

Fälligkeitstag

31.12.2026

Basiswert

The Procter & Gamble Company, McDonalds Corp., Coca-Cola Company - CH1492027045

7.00% p.a. Barrier Reverse Convertible on Holcim, Partners Group Holding, UBS Group (Quanto EUR)

Title

CH1476909325 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909325

Fälligkeitstag

24.09.2026

Basiswert

Partners Group Holding AG, UBS Group AG, Holcim Ltd - CH1476909325

7.00% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Swiss Life

Title

CH1548147060 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147060

Fälligkeitstag

10.05.2027

Basiswert

Swiss Life Holding AG, Holcim Ltd, Givaudan SA - CH1548147060

7.00% p.a. Callable Barrier Reverse Convertible on Nestlé, Richemont, UBS Group

Title

CH1532238818 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238818

Fälligkeitstag

02.03.2027

Basiswert

Compagnie Financière Richemont SA, UBS Group AG, Nestlé SA - CH1532238818

7.00% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1492030155 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030155

Fälligkeitstag

26.01.2028

Basiswert

Logitech International SA, ALSO Holding AG - CH1492030155

7.00% p.a. Reverse Convertible on Apple, Microsoft (Quanto EUR)

Title

CH1548139000 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139000

Fälligkeitstag

22.06.2027

Basiswert

Microsoft Corp., Apple Inc. - CH1548139000

7.00% p.a. Reverse Convertible on Novartis, Roche, Zurich Insurance

Title

CH1492034074 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034074

Fälligkeitstag

11.02.2027

Basiswert

Roche Holding AG, Novartis AG, Zurich Insurance Group Ltd - CH1492034074

7.01% (7.01% p.a.) Barrier Reverse Convertible on Barry Callebaut, Richemont, Straumann

Title

CH1476907014 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907014

Fälligkeitstag

09.09.2026

Basiswert

Barry Callebaut AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1476907014

7.01% (7.01% p.a.) Reverse Convertible on Moody's, S&P Global

Title

CH1548129282 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129282

Fälligkeitstag

29.04.2027

Basiswert

Moody's Corp., S&P Global Inc. - CH1548129282

7.01% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Straumann, UBS Group

Title

CH1548135891 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135891

Fälligkeitstag

04.06.2027

Basiswert

UBS Group AG, Partners Group Holding AG, Straumann Holding AG - CH1548135891

7.01% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548128417 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128417

Fälligkeitstag

27.04.2027

Basiswert

Meta Platforms Inc., Microsoft Corp., NVIDIA Corp. - CH1548128417

7.01% p.a. Barrier Reverse Convertible on Alcon, Logitech, VAT

Title

CH1492019059 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019059

Fälligkeitstag

04.11.2026

Basiswert

Logitech International SA, VAT Group AG, Alcon Inc. - CH1492019059

7.01% p.a. Barrier Reverse Convertible on Lonza, Sandoz Group, Sika

Title

CH1548149454 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149454

Fälligkeitstag

19.08.2027

Basiswert

Lonza Group AG, Sika AG, Sandoz Group AG - CH1548149454

7.01% p.a. Barrier Reverse Convertible on Richemont, Roche, Zurich Insurance

Title

CH1532244659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244659

Fälligkeitstag

31.03.2027

Basiswert

Roche Holding AG, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1532244659

7.01% p.a. Reverse Convertible on ABB, Accelleron Industries, Siemens Energy (Quanto CHF)

Title

CH1492020081 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020081

Fälligkeitstag

11.11.2026

Basiswert

Siemens Energy AG, ABB Ltd, Accelleron Industries AG - CH1492020081

7.02% (7.02% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548144232 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144232

Fälligkeitstag

21.07.2027

Basiswert

Novartis AG, Roche Holding AG, Sandoz Group AG - CH1548144232

7.02% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Givaudan, L´Oréal (Quanto EUR)

Title

CH1548141170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141170

Fälligkeitstag

02.07.2027

Basiswert

Deutsche Telekom AG, Givaudan SA, L´Oréal International - CH1548141170

7.02% p.a. Autocallable Barrier Reverse Convertible on Givaudan, Sika, VAT

Title

CH1548134936 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134936

Fälligkeitstag

28.05.2027

Basiswert

Givaudan SA, VAT Group AG, Sika AG - CH1548134936

7.02% p.a. Barrier Reverse Convertible on ABB, Alcon, VAT

Title

CH1492017731 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017731

Fälligkeitstag

28.10.2026

Basiswert

ABB Ltd, Alcon Inc., VAT Group AG - CH1492017731

7.02% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492031450 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031450

Fälligkeitstag

01.02.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1492031450

7.02% p.a. Callable Barrier Reverse Convertible on Lonza, Novartis, Roche, Sandoz Group

Title

CH1548142186 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142186

Fälligkeitstag

08.04.2027

Basiswert

Novartis AG, Lonza Group AG, Sandoz Group AG, Roche Holding AG - CH1548142186

7.03% (11.25% p.a.) Barrier Reverse Convertible on Bayerische Motoren Werke AG

Title

CH1548137665 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137665

Fälligkeitstag

27.01.2027

Basiswert

Bayerische Motoren Werke AG

7.03% (14.07% p.a.) Barrier Reverse Convertible on Barry Callebaut AG

Title

CH1548141543 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141543

Fälligkeitstag

06.01.2027

Basiswert

Barry Callebaut AG

7.03% (6.91% p.a.) Reverse Convertible on Swisscom, Zurich Insurance

Title

CH1492034868 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034868

Fälligkeitstag

22.02.2027

Basiswert

Zurich Insurance Group Ltd, Swisscom AG - CH1492034868

7.03% p.a. Autocallable Barrier Reverse Convertible on Geberit, Georg Fischer, Sulzer, Swatch

Title

CH1548147243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147243

Fälligkeitstag

06.08.2027

Basiswert

Geberit AG, Sulzer AG, The Swatch Group AG, Georg Fischer AG - CH1548147243

7.03% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140222

Fälligkeitstag

29.06.2027

Basiswert

Unilever PLC, Nike Inc., Airbnb Inc. - CH1548140222

7.03% p.a. Autocallable Reverse Convertible on Givaudan, Nestlé, Partners Group Holding

Title

CH1532239402 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239402

Fälligkeitstag

03.03.2027

Basiswert

Nestlé SA, Givaudan SA, Partners Group Holding AG - CH1532239402

7.03% p.a. Autocallable Reverse Convertible on Partners Group Holding AG

Title

CH1532240319 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240319

Fälligkeitstag

08.03.2027

Basiswert

Partners Group Holding AG

7.03% p.a. Barrier Reverse Convertible on Amrize Ltd, Lonza, Partners Group Holding, Sandoz Group, Straumann

Title

CH1492028431 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028431

Fälligkeitstag

18.01.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Lonza Group AG, Amrize Ltd, Sandoz Group AG - CH1492028431

7.03% p.a. Barrier Reverse Convertible on Givaudan, Nestlé, Swiss Re

Title

CH1548126197 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126197

Fälligkeitstag

16.04.2027

Basiswert

Nestlé SA, Givaudan SA, Swiss Re AG - CH1548126197

7.03% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1548138069 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138069

Fälligkeitstag

16.03.2027

Basiswert

Julius Bär Gruppe AG, UBS Group AG - CH1548138069

7.04% (7.04% p.a.) Barrier Reverse Convertible on Galderma Group, Schindler, Sika

Title

CH1492031989 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031989

Fälligkeitstag

02.02.2027

Basiswert

Sika AG, Schindler Holding AG, Galderma Group Ltd - CH1492031989

7.04% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Richemont

Title

CH1532238057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238057

Fälligkeitstag

25.02.2027

Basiswert

Julius Bär Gruppe AG, Compagnie Financière Richemont SA, Partners Group Holding AG - CH1532238057

7.04% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sunrise Communications AG, Zurich Insurance

Title

CH1532241879 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241879

Fälligkeitstag

12.03.2027

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Zurich Insurance Group Ltd, Sunrise Communications AG - CH1532241879

7.04% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swatch, VAT

Title

CH1548132666 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132666

Fälligkeitstag

14.05.2027

Basiswert

VAT Group AG, The Swatch Group AG, Partners Group Holding AG - CH1548132666

7.04% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140321 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140321

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140321

7.04% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140305 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140305

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140305

7.04% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140297 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140297

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140297

7.04% p.a. Reverse Convertible on Barry Callebaut, Mondelez Intl., Unilever PLC (Quanto CHF)

Title

CH1532243487 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243487

Fälligkeitstag

20.09.2027

Basiswert

Unilever PLC, Barry Callebaut AG, Mondelez International - CH1532243487

7.05% (6.50% p.a.) Reverse Convertible on Galderma Group, Lonza, SGS

Title

CH1548142160 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142160

Fälligkeitstag

09.08.2027

Basiswert

Lonza Group AG, Galderma Group Ltd, SGS SA - CH1548142160

7.05% (7.05% p.a.) Barrier Reverse Convertible on ABB, Georg Fischer, Kuehne + Nagel

Title

CH1548129084 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129084

Fälligkeitstag

29.04.2027

Basiswert

ABB Ltd, Kuehne + Nagel International AG, Georg Fischer AG - CH1548129084

7.05% (7.05% p.a.) Barrier Reverse Convertible on Partners Group Holding, Richemont, Sika

Title

CH1492029488 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029488

Fälligkeitstag

21.01.2027

Basiswert

Partners Group Holding AG, Compagnie Financière Richemont SA, Sika AG - CH1492029488

7.05% (7.07% p.a.) Reverse Convertible on ABB, Holcim

Title

CH1492020750 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020750

Fälligkeitstag

13.11.2026

Basiswert

ABB Ltd, Holcim Ltd - CH1492020750

7.05% p.a. Autocallable Barrier Reverse Convertible on Adecco, Georg Fischer, Julius Bär, Sulzer

Title

CH1492033514 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033514

Fälligkeitstag

09.02.2027

Basiswert

Sulzer AG, Adecco Group AG, Julius Bär Gruppe AG, Georg Fischer AG - CH1492033514

7.05% p.a. Autocallable Barrier Reverse Convertible on EURO STOXX 50®️ Index, Nikkei 225 Index, S&P 500®️ Index (Quanto CHF)

Title

CH1548144992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144992

Fälligkeitstag

27.07.2027

Basiswert

EURO STOXX 50®️ Index, S&P 500®️ Index, Nikkei 225 Index - CH1548144992

7.05% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto EUR)

Title

CH1548140339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140339

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140339

7.05% p.a. Autocallable Reverse Convertible on Lonza, Sandoz Group, Swatch

Title

CH1476906222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906222

Fälligkeitstag

07.09.2026

Basiswert

Sandoz Group AG, Lonza Group AG, The Swatch Group AG - CH1476906222

7.05% p.a. Autocallable Reverse Convertible on Roche, UBS Group, Zurich Insurance

Title

CH1532243859 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243859

Fälligkeitstag

23.03.2027

Basiswert

Roche Holding AG, Zurich Insurance Group Ltd, UBS Group AG - CH1532243859

7.05% p.a. Barrier Reverse Convertible on Alcon, Sandoz Group

Title

CH1492025577 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025577

Fälligkeitstag

22.02.2027

Basiswert

Alcon Inc., Sandoz Group AG - CH1492025577

7.05% p.a. Reverse Convertible on Basilea, Bucher, Flughafen Zürich

Title

CH1492030700 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030700

Fälligkeitstag

28.01.2027

Basiswert

Bucher Industries AG, Basilea Pharmaceutica Ltd., Flughafen Zürich AG - CH1492030700

7.05% p.a. Reverse Convertible on Georg Fischer, Givaudan, LVMH Moët Hennessy Louis Vuitton (Quanto AUD)

Title

CH1476912832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912832

Fälligkeitstag

20.10.2026

Basiswert

Georg Fischer AG, Givaudan SA, LVMH Moët Hennessy Louis Vuitton SE - CH1476912832

7.06% (14.12% p.a.) Barrier Reverse Convertible on Zoetis Inc

Title

CH1548127351 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127351

Fälligkeitstag

21.10.2026

Basiswert

Zoetis Inc

7.06% (7.02% p.a.) Barrier Reverse Convertible on Allianz, AXA

Title

CH1532243651 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243651

Fälligkeitstag

22.03.2027

Basiswert

Allianz SE, AXA SA - CH1532243651

7.06% (7.02% p.a.) Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re

Title

CH1548138820 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138820

Fälligkeitstag

21.06.2027

Basiswert

Swiss Life Holding AG, Helvetia Baloise Holding AG, Swiss Re AG - CH1548138820

7.06% p.a. Barrier Reverse Convertible on Holcim, Lonza, Novo Nordisk, Roche, UBS Group (Quanto CHF)

Title

CH1492033431 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033431

Fälligkeitstag

09.09.2026

Basiswert

Novo Nordisk A/S, Lonza Group AG, Holcim Ltd, UBS Group AG, Roche Holding AG - CH1492033431

7.06% p.a. Callable Barrier Reverse Convertible on Adecco, SGS, Sunrise Communications AG

Title

CH1492017319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017319

Fälligkeitstag

25.01.2027

Basiswert

Sunrise Communications AG, Adecco Group AG, SGS SA - CH1492017319

7.07% (7.00% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532245334 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245334

Fälligkeitstag

05.04.2027

Basiswert

Compagnie Financière Richemont SA

7.07% (7.07% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens (Quanto CHF)

Title

CH1548136873 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136873

Fälligkeitstag

09.06.2027

Basiswert

Siemens AG, Schneider Electric SE - CH1548136873

7.07% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto USD)

Title

CH1548143390 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143390

Fälligkeitstag

16.07.2027

Basiswert

Airbnb Inc., Unilever PLC, Nike Inc. - CH1548143390

7.07% p.a. Autocallable Reverse Convertible on Banca Popolare dell'Emilia Romagna

Title

CH1548147870 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147870

Fälligkeitstag

11.08.2027

Basiswert

Banca Popolare dell'Emilia Romagna

7.07% p.a. Barrier Reverse Convertible on Georg Fischer, Straumann, Ypsomed

Title

CH1532243289 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243289

Fälligkeitstag

19.03.2027

Basiswert

Straumann Holding AG, Georg Fischer AG, Ypsomed Holding AG - CH1532243289

7.08% (7.08% p.a.) Barrier Reverse Convertible on Geberit, Nestlé, Richemont

Title

CH1492019760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019760

Fälligkeitstag

10.11.2026

Basiswert

Compagnie Financière Richemont SA, Geberit AG, Nestlé SA - CH1492019760

7.08% p.a. Autocallable Barrier Reverse Convertible on Helvetia Baloise, Partners Group Holding, Swiss Re, UBS Group

Title

CH1492030247 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030247

Fälligkeitstag

26.01.2027

Basiswert

Swiss Re AG, UBS Group AG, Helvetia Baloise Holding AG, Partners Group Holding AG - CH1492030247

7.08% p.a. Autocallable Reverse Convertible on Netflix Inc.

Title

CH1476909630 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909630

Fälligkeitstag

25.09.2026

Basiswert

Netflix Inc.

7.08% p.a. Barrier Reverse Convertible on Flughafen Zürich, Helvetia Baloise, Swissquote

Title

CH1548145650 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145650

Fälligkeitstag

31.01.2028

Basiswert

Swissquote Group Holding SA, Helvetia Baloise Holding AG, Flughafen Zürich AG - CH1548145650

7.08% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1492017749 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017749

Fälligkeitstag

28.10.2026

Basiswert

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1492017749

7.08% p.a. Callable Barrier Reverse Convertible on E.ON, RWE, Siemens

Title

CH1548134092 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134092

Fälligkeitstag

25.11.2027

Basiswert

RWE AG, E.ON SE, Siemens AG - CH1548134092

7.09% (7.03% p.a.) Barrier Reverse Convertible on Boeing, DSV Panalpina, Rolls-Royce, Safran (Quanto CHF)

Title

CH1548132526 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132526

Fälligkeitstag

18.05.2027

Basiswert

Rolls-Royce Holdings PLC, Boeing Company, Safran SA, DSV Panalpina A/S - CH1548132526

7.09% (7.05% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Sika

Title

CH1492036186 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036186

Fälligkeitstag

22.02.2027

Basiswert

Alcon Inc., Sika AG, Partners Group Holding AG - CH1492036186

7.09% (7.05% p.a.) Reverse Convertible on Fielmann AG

Title

CH1532240277 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240277

Fälligkeitstag

08.03.2027

Basiswert

Fielmann AG

7.09% (7.09% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Richemont

Title

CH1492021063 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021063

Fälligkeitstag

18.11.2026

Basiswert

Compagnie Financière Richemont SA, Lonza Group AG, Alcon Inc. - CH1492021063

7.09% p.a. Autocallable Reverse Convertible on ENI, Generali, Intesa Sanpaolo

Title

CH1532243784 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243784

Fälligkeitstag

23.03.2027

Basiswert

Assicurazioni Generali SpA, ENI SpA, Intesa Sanpaolo SpA - CH1532243784

7.09% p.a. Barrier Reverse Convertible on Nestlé, Roche, Swisscom

Title

CH1548143820 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143820

Fälligkeitstag

20.01.2028

Basiswert

Swisscom AG, Roche Holding AG, Nestlé SA - CH1548143820

7.09% p.a. Callable Reverse Convertible on Givaudan, Lonza, Siegfried

Title

CH1548133136 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133136

Fälligkeitstag

18.11.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Givaudan SA - CH1548133136

7.10% (7.12% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, UBS Group

Title

CH1548130157 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130157

Fälligkeitstag

04.05.2027

Basiswert

Lonza Group AG, Givaudan SA, UBS Group AG - CH1548130157

7.10% p.a. Autocallable Reverse Convertible on Chevron, ENI, Exxon Mobil (Quanto CHF)

Title

CH1532245391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245391

Fälligkeitstag

05.04.2027

Basiswert

Chevron Corp., Exxon Mobil Corp., ENI SpA - CH1532245391

7.10% p.a. Barrier Reverse Convertible on ABB, Accelleron Industries

Title

CH1492032755 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032755

Fälligkeitstag

05.02.2029

Basiswert

Accelleron Industries AG, ABB Ltd - CH1492032755

7.10% p.a. Barrier Reverse Convertible on Alcon, Lonza, Straumann (Quanto EUR)

Title

CH1476909317 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909317

Fälligkeitstag

24.09.2026

Basiswert

Straumann Holding AG, Lonza Group AG, Alcon Inc. - CH1476909317

7.11% p.a. Autocallable Reverse Convertible on ENI, Generali, Zurich Insurance (Quanto EUR)

Title

CH1548149983 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149983

Fälligkeitstag

23.08.2027

Basiswert

ENI SpA, Zurich Insurance Group Ltd, Assicurazioni Generali SpA - CH1548149983

7.11% p.a. Barrier Reverse Convertible on Novartis, Novo Nordisk, Sandoz Group (Quanto CHF)

Title

CH1476911222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911222

Fälligkeitstag

09.02.2027

Basiswert

Sandoz Group AG, Novartis AG, Novo Nordisk A/S - CH1476911222

7.12% (14.25% p.a.) Reverse Convertible on ASML, SAP

Title

CH1548128037 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128037

Fälligkeitstag

23.10.2026

Basiswert

ASML Holding NV, SAP SE - CH1548128037

7.12% (7.12% p.a.) Barrier Reverse Convertible on Holcim, Partners Group Holding, Sika

Title

CH1492035576 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035576

Fälligkeitstag

18.02.2027

Basiswert

Holcim Ltd, Sika AG, Partners Group Holding AG - CH1492035576

7.12% (7.12% p.a.) Barrier Reverse Convertible on Holcim, Roche

Title

CH1548126262 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126262

Fälligkeitstag

16.04.2027

Basiswert

Holcim Ltd, Roche Holding AG - CH1548126262

7.12% p.a. Barrier Reverse Convertible on Ferrari, Lonza, Roche, Sika, Straumann (Quanto CHF)

Title

CH1492019638 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019638

Fälligkeitstag

09.11.2026

Basiswert

Straumann Holding AG, Ferrari N.V., Lonza Group AG, Sika AG, Roche Holding AG - CH1492019638

7.12% p.a. Callable Reverse Convertible on Givaudan, Lonza, Siegfried

Title

CH1548134050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134050

Fälligkeitstag

25.11.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Givaudan SA - CH1548134050

7.13% (7.13% p.a.) Barrier Reverse Convertible on Barry Callebaut, DSM-Firmenich, Emmi (Quanto CHF)

Title

CH1548148241 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148241

Fälligkeitstag

13.08.2027

Basiswert

Barry Callebaut AG, Emmi AG, DSM-Firmenich AG - CH1548148241

7.13% (7.14% p.a.) Reverse Convertible on On Holding Ltd (Quanto CHF)

Title

CH1548151005 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548151005

Fälligkeitstag

26.08.2027

Basiswert

On Holding Ltd

7.13% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548139836 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139836

Fälligkeitstag

25.06.2027

Basiswert

Logitech International SA

7.13% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Logitech

Title

CH1532245383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245383

Fälligkeitstag

05.04.2027

Basiswert

Logitech International SA, Givaudan SA, Geberit AG - CH1532245383

7.13% p.a. Reverse Convertible on Amazon.com, Apple, Microsoft (Quanto CHF)

Title

CH1548126965 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126965

Fälligkeitstag

20.04.2027

Basiswert

Microsoft Corp., Apple Inc., Amazon.com Inc. - CH1548126965

7.14% (14.20% p.a.) Barrier Reverse Convertible on Tractor Supply Co (Quanto CHF)

Title

CH1548146252 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146252

Fälligkeitstag

01.02.2027

Basiswert

Tractor Supply Co

7.14% (7.14% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Holcim

Title

CH1548140404 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140404

Fälligkeitstag

29.06.2027

Basiswert

ABB Ltd, Accelleron Industries AG, Holcim Ltd - CH1548140404

7.14% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Apple, ASML, Microsoft (Quanto CHF)

Title

CH1492019950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019950

Fälligkeitstag

10.11.2026

Basiswert

ASML Holding NV, Microsoft Corp., Apple Inc., Alphabet, Inc. - CH1492019950

7.14% p.a. Autocallable Reverse Convertible on Broadcom, McDonalds (Quanto CHF)

Title

CH1492026104 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026104

Fälligkeitstag

28.06.2027

Basiswert

Broadcom Inc., McDonalds Corp. - CH1492026104

7.14% p.a. Barrier Reverse Convertible on Accelleron Industries, Straumann, Zurich Insurance

Title

CH1596852132 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852132

Fälligkeitstag

30.08.2027

Basiswert

Accelleron Industries AG, Zurich Insurance Group Ltd, Straumann Holding AG - CH1596852132

7.14% p.a. Barrier Reverse Convertible on Galderma Group, Sandoz Group, Ypsomed

Title

CH1548134415 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134415

Fälligkeitstag

27.05.2027

Basiswert

Ypsomed Holding AG, Galderma Group Ltd, Sandoz Group AG - CH1548134415

7.14% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1492020412 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020412

Fälligkeitstag

13.11.2026

Basiswert

Lonza Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1492020412

7.14% p.a. Reverse Convertible on Alcon, Geberit, Partners Group Holding

Title

CH1548137194 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137194

Fälligkeitstag

11.06.2027

Basiswert

Partners Group Holding AG, Alcon Inc., Geberit AG - CH1548137194

7.14% p.a. Reverse Convertible on Geberit, Siegfried, Ypsomed

Title

CH1548138093 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138093

Fälligkeitstag

16.06.2027

Basiswert

Geberit AG, Siegfried Holding AG, Ypsomed Holding AG - CH1548138093

7.15% (7.11% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Temenos

Title

CH1492025312 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025312

Fälligkeitstag

21.12.2026

Basiswert

Partners Group Holding AG, Temenos AG, Julius Bär Gruppe AG - CH1492025312

7.15% (7.11% p.a.) Barrier Reverse Convertible on Swiss Re AG

Title

CH1492023234 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023234

Fälligkeitstag

07.12.2026

Basiswert

Swiss Re AG

7.15% p.a. Autocallable Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548142764 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142764

Fälligkeitstag

14.07.2027

Basiswert

Compagnie Financière Richemont SA

7.15% p.a. Barrier Reverse Convertible on Holcim, Partners Group Holding, Richemont

Title

CH1548128011 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128011

Fälligkeitstag

23.04.2027

Basiswert

Holcim Ltd, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1548128011

7.15% p.a. Callable Barrier Reverse Convertible on Galderma Group, Kardex, Ypsomed

Title

CH1492018176 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018176

Fälligkeitstag

30.10.2026

Basiswert

Ypsomed Holding AG, Galderma Group Ltd, Kardex AG - CH1492018176

7.16% (7.15% p.a.) Barrier Reverse Convertible on Georg Fischer, Partners Group Holding, Swiss Re

Title

CH1492031559 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031559

Fälligkeitstag

01.02.2027

Basiswert

Partners Group Holding AG, Swiss Re AG, Georg Fischer AG - CH1492031559

7.16% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Bachem, Logitech

Title

CH1548147219 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147219

Fälligkeitstag

06.08.2027

Basiswert

Bachem Holding AG, Logitech International SA, Accelleron Industries AG - CH1548147219

7.16% p.a. Autocallable Barrier Reverse Convertible on Allianz, L´Oréal, Munich Re

Title

CH1492028142 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028142

Fälligkeitstag

15.01.2027

Basiswert

L´Oréal International, Allianz SE, Münchener Rückversicherungs AG - CH1492028142

7.16% p.a. Reverse Convertible on ABB, Straumann

Title

CH1532244998 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244998

Fälligkeitstag

02.04.2027

Basiswert

Straumann Holding AG, ABB Ltd - CH1532244998

7.17% (7.17% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1476906461 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906461

Fälligkeitstag

08.09.2026

Basiswert

Netflix Inc.

7.17% (9.50% p.a.) Barrier Reverse Convertible on Galderma Group, Sandoz Group, Ypsomed

Title

CH1548144935 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144935

Fälligkeitstag

26.04.2027

Basiswert

Galderma Group Ltd, Ypsomed Holding AG, Sandoz Group AG - CH1548144935

7.17% p.a. Autocallable Barrier Reverse Convertible on ABB, Givaudan, Logitech, Partners Group Holding

Title

CH1548138598 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138598

Fälligkeitstag

18.06.2027

Basiswert

Logitech International SA, Givaudan SA, Partners Group Holding AG, ABB Ltd - CH1548138598

7.17% p.a. Autocallable Barrier Reverse Convertible on ING, RWE, Siemens, Veolia (Quanto CHF)

Title

CH1548134845 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134845

Fälligkeitstag

28.05.2027

Basiswert

Siemens AG, RWE AG, ING Groep N.V., Veolia Environnement - CH1548134845

7.17% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann, Ypsomed

Title

CH1476907659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907659

Fälligkeitstag

15.09.2026

Basiswert

Sonova Holding AG, Straumann Holding AG, Alcon Inc., Ypsomed Holding AG - CH1476907659

7.17% p.a. Barrier Reverse Convertible on BNP Paribas, Coca-Cola, Julius Bär (Quanto CHF)

Title

CH1476908616 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908616

Fälligkeitstag

19.10.2026

Basiswert

BNP Paribas, Coca-Cola Company, Julius Bär Gruppe AG - CH1476908616

7.17% p.a. Barrier Reverse Convertible on Holcim, Partners Group Holding, Richemont

Title

CH1476908236 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908236

Fälligkeitstag

18.09.2026

Basiswert

Partners Group Holding AG, Compagnie Financière Richemont SA, Holcim Ltd - CH1476908236

7.17% p.a. Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Moncler

Title

CH1532245409 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245409

Fälligkeitstag

05.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Moncler SpA - CH1532245409

7.17% p.a. Barrier Reverse Convertible on Richemont, Swiss Re, Swisscom

Title

CH1476907717 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907717

Fälligkeitstag

15.09.2026

Basiswert

Swisscom AG, Compagnie Financière Richemont SA, Swiss Re AG - CH1476907717

7.17% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re

Title

CH1492035899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035899

Fälligkeitstag

19.02.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Partners Group Holding AG - CH1492035899

7.17% p.a. Reverse Convertible on Logitech, Sika, Straumann

Title

CH1532240103 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240103

Fälligkeitstag

05.03.2027

Basiswert

Straumann Holding AG, Sika AG, Logitech International SA - CH1532240103

7.18% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Richemont

Title

CH1532241796 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241796

Fälligkeitstag

12.03.2027

Basiswert

Kuehne + Nagel International AG, Compagnie Financière Richemont SA, Lonza Group AG - CH1532241796

7.19% p.a. Autocallable Barrier Reverse Convertible on AstraZeneca, Johnson & Johnson, Sandoz Group (Quanto EUR)

Title

CH1548150817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150817

Fälligkeitstag

26.08.2027

Basiswert

Johnson & Johnson, AstraZeneca Group PLC, Sandoz Group AG - CH1548150817

7.19% p.a. Autocallable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, UBS Group

Title

CH1476912626 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912626

Fälligkeitstag

19.10.2026

Basiswert

Swiss Re AG, UBS Group AG, Swiss Life Holding AG, Sandoz Group AG - CH1476912626

7.19% p.a. Barrier Reverse Convertible on Alcon, Straumann, UBS Group

Title

CH1476905349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905349

Fälligkeitstag

31.08.2026

Basiswert

Alcon Inc., Straumann Holding AG, UBS Group AG - CH1476905349

7.19% p.a. Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1548142541 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142541

Fälligkeitstag

15.07.2030

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Compagnie Financière Richemont SA - CH1548142541

7.19% p.a. Barrier Reverse Convertible on Technip Energies N.V.

Title

CH1548138432 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138432

Fälligkeitstag

18.06.2027

Basiswert

Technip Energies N.V.

7.20% (14.40% p.a.) Barrier Reverse Convertible on ASML, Infineon, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548137152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137152

Fälligkeitstag

10.12.2026

Basiswert

Infineon Technologies AG, ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548137152

7.20% p.a. Autocallable Reverse Convertible on Generali, ING

Title

CH1548137491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137491

Fälligkeitstag

14.06.2027

Basiswert

Assicurazioni Generali SpA, ING Groep N.V. - CH1548137491

7.20% p.a. Barrier Reverse Convertible on Alphabet, Amazon.com, Apple (Quanto CHF)

Title

CH1532241390 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241390

Fälligkeitstag

13.03.2028

Basiswert

Apple Inc., Alphabet, Inc., Amazon.com Inc. - CH1532241390

7.20% p.a. Barrier Reverse Convertible on Amrize Ltd, Galderma Group, Lonza, Schneider Electric, Veolia (Quanto CHF)

Title

CH1548128839 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128839

Fälligkeitstag

28.04.2027

Basiswert

Lonza Group AG, Galderma Group Ltd, Amrize Ltd, Schneider Electric SE, Veolia Environnement - CH1548128839

7.20% p.a. Barrier Reverse Convertible on Rheinmetall AG

Title

CH1532245763 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245763

Fälligkeitstag

31.03.2027

Basiswert

Rheinmetall AG

7.20% p.a. Reverse Convertible on Deutsche Telekom, SAP, Unilever PLC (Quanto GBP)

Title

CH1476911883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911883

Fälligkeitstag

13.10.2026

Basiswert

Deutsche Telekom AG, SAP SE, Unilever PLC - CH1476911883

7.20% p.a. Reverse Convertible on Partners Group Holding, Sika

Title

CH1492022186 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022186

Fälligkeitstag

26.11.2026

Basiswert

Partners Group Holding AG, Sika AG - CH1492022186

7.21% (4.80% p.a.) Reverse Convertible on Richemont, Roche, Sandoz Group

Title

CH1492024869 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024869

Fälligkeitstag

17.06.2027

Basiswert

Compagnie Financière Richemont SA, Roche Holding AG, Sandoz Group AG - CH1492024869

7.21% (8.68% p.a.) Barrier Reverse Convertible on Geberit, Heidelberg Materials, Sika (Quanto EUR)

Title

CH1492029413 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029413

Fälligkeitstag

20.11.2026

Basiswert

Geberit AG, Heidelberg Materials AG, Sika AG - CH1492029413

7.21% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Givaudan, Kardex

Title

CH1492020107 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020107

Fälligkeitstag

11.11.2026

Basiswert

Galderma Group Ltd, Alcon Inc., Kardex AG, Givaudan SA - CH1492020107

7.21% p.a. Barrier Reverse Convertible on Alcon, Geberit, Roche

Title

CH1548147409 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147409

Fälligkeitstag

09.08.2027

Basiswert

Roche Holding AG, Geberit AG, Alcon Inc. - CH1548147409

7.22% (7.22% p.a.) Barrier Reverse Convertible on ABB, Lonza, Swiss Life

Title

CH1492017848 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017848

Fälligkeitstag

29.10.2026

Basiswert

ABB Ltd, Lonza Group AG, Swiss Life Holding AG - CH1492017848

7.22% (7.22% p.a.) Barrier Reverse Convertible on SGS, Swatch

Title

CH1548145296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145296

Fälligkeitstag

28.07.2027

Basiswert

SGS SA, The Swatch Group AG - CH1548145296

7.22% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, BNP Paribas, Société Générale (Quanto CHF)

Title

CH1548147813 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147813

Fälligkeitstag

11.08.2027

Basiswert

BNP Paribas, Allianz SE, AXA SA, Société Générale - CH1548147813

7.22% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Schneider Electric, Veolia

Title

CH1548139521 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139521

Fälligkeitstag

24.06.2027

Basiswert

Schneider Electric SE, Veolia Environnement, LVMH Moët Hennessy Louis Vuitton SE - CH1548139521

7.22% p.a. Autocallable Reverse Convertible on Richemont, Swatch

Title

CH1548144083 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144083

Fälligkeitstag

20.07.2027

Basiswert

The Swatch Group AG, Compagnie Financière Richemont SA - CH1548144083

7.22% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1532245235 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245235

Fälligkeitstag

07.04.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1532245235

7.22% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, Swiss Re (Quanto SEK)

Title

CH1446048840 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446048840

Fälligkeitstag

13.10.2026

Basiswert

Swiss Re AG, Straumann Holding AG, Partners Group Holding AG - CH1446048840

7.22% p.a. Callable Barrier Reverse Convertible on Adobe, ARYZTA, Siemens Healthineers, SIG Group (Quanto EUR)

Title

CH1492021253 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021253

Fälligkeitstag

20.05.2027

Basiswert

ARYZTA AG, Siemens Healthineers AG, SIG Group AG, Adobe Systems Inc. - CH1492021253

7.23% (7.23% p.a.) Barrier Reverse Convertible on Accelleron Industries, Georg Fischer, Sulzer

Title

CH1492031948 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031948

Fälligkeitstag

02.02.2027

Basiswert

Accelleron Industries AG, Georg Fischer AG, Sulzer AG - CH1492031948

7.23% (9.57% p.a.) Barrier Reverse Convertible on Julius Bär, Swissquote, UBS Group

Title

CH1548143630 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143630

Fälligkeitstag

19.04.2027

Basiswert

Julius Bär Gruppe AG, Swissquote Group Holding SA, UBS Group AG - CH1548143630

7.23% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548135297 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135297

Fälligkeitstag

31.05.2027

Basiswert

Sonova Holding AG, Alcon Inc., Straumann Holding AG - CH1548135297

7.23% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Sika

Title

CH1492036053 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036053

Fälligkeitstag

22.02.2027

Basiswert

Sika AG, Partners Group Holding AG, Logitech International SA - CH1492036053

7.23% p.a. Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492020768 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020768

Fälligkeitstag

13.11.2026

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1492020768

7.24% (7.24% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Sika

Title

CH1548138200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138200

Fälligkeitstag

16.06.2027

Basiswert

Sika AG, Compagnie Financière Richemont SA, Kuehne + Nagel International AG - CH1548138200

7.24% (7.24% p.a.) Barrier Reverse Convertible on Partners Group Holding, UBS Group

Title

CH1532240582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240582

Fälligkeitstag

09.03.2027

Basiswert

UBS Group AG, Partners Group Holding AG - CH1532240582

7.24% (7.24% p.a.) Barrier Reverse Convertible on Swissquote, UBS Group

Title

CH1548126122 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126122

Fälligkeitstag

16.04.2027

Basiswert

Swissquote Group Holding SA, UBS Group AG - CH1548126122

7.24% p.a. Autocallable Barrier Reverse Convertible on Swiss Re, UBS Group, Zurich Insurance

Title

CH1418950221 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950221

Fälligkeitstag

03.05.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG, Swiss Re AG - CH1418950221

7.24% p.a. Autocallable Reverse Convertible on Meta Platforms Inc.

Title

CH1476909622 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909622

Fälligkeitstag

25.09.2026

Basiswert

Meta Platforms Inc.

7.24% p.a. Barrier Reverse Convertible on ABB, Richemont, Sika

Title

CH1532245375 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245375

Fälligkeitstag

05.04.2027

Basiswert

Compagnie Financière Richemont SA, Sika AG, ABB Ltd - CH1532245375

7.24% p.a. Barrier Reverse Convertible on Adecco, Richemont, Straumann

Title

CH1476903286 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903286

Fälligkeitstag

15.02.2027

Basiswert

Straumann Holding AG, Compagnie Financière Richemont SA, Adecco Group AG - CH1476903286

7.24% p.a. Barrier Reverse Convertible on CaixaBank SA

Title

CH1532237745 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237745

Fälligkeitstag

25.02.2028

Basiswert

CaixaBank SA

7.24% p.a. Barrier Reverse Convertible on Deutsche Telekom, Galderma Group, Georg Fischer, Straumann (Quanto CHF)

Title

CH1548131544 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131544

Fälligkeitstag

12.05.2027

Basiswert

Galderma Group Ltd, Straumann Holding AG, Georg Fischer AG, Deutsche Telekom AG - CH1548131544

7.24% p.a. Barrier Reverse Convertible on Holcim, Nestlé, Richemont

Title

CH1492029223 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029223

Fälligkeitstag

20.01.2027

Basiswert

Holcim Ltd, Nestlé SA, Compagnie Financière Richemont SA - CH1492029223

7.24% p.a. Barrier Reverse Convertible on Julius Bär, Richemont, UBS Group

Title

CH1548128052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128052

Fälligkeitstag

23.04.2027

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Compagnie Financière Richemont SA - CH1548128052

7.24% p.a. Reverse Convertible on Apple, Microsoft (Quanto GBP)

Title

CH1548134860 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134860

Fälligkeitstag

28.05.2027

Basiswert

Microsoft Corp., Apple Inc. - CH1548134860

7.25% (7.25% p.a.) Barrier Reverse Convertible on ABB, Alcon, Lonza

Title

CH1548126130 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126130

Fälligkeitstag

16.04.2027

Basiswert

ABB Ltd, Lonza Group AG, Alcon Inc. - CH1548126130

7.25% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1476909069 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909069

Fälligkeitstag

23.12.2026

Basiswert

SAP SE, Oracle Corp., Microsoft Corp. - CH1476909069

7.25% p.a. Autocallable Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1492034173 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034173

Fälligkeitstag

12.08.2027

Basiswert

Novo Nordisk A/S

7.25% p.a. Barrier Reverse Convertible on ABB, Geberit, Richemont

Title

CH1532244808 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244808

Fälligkeitstag

01.04.2027

Basiswert

Compagnie Financière Richemont SA, ABB Ltd, Geberit AG - CH1532244808

7.25% p.a. Barrier Reverse Convertible on Amrize Ltd, Lonza, Sika

Title

CH1492029371 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029371

Fälligkeitstag

21.01.2027

Basiswert

Lonza Group AG, Amrize Ltd, Sika AG - CH1492029371

7.25% p.a. Barrier Reverse Convertible on Barry Callebaut, Logitech, Swiss Life

Title

CH1492021584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021584

Fälligkeitstag

23.11.2026

Basiswert

Barry Callebaut AG, Logitech International SA, Swiss Life Holding AG - CH1492021584

7.25% p.a. Reverse Convertible on Straumann, Temenos, VAT

Title

CH1492017210 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017210

Fälligkeitstag

26.10.2026

Basiswert

VAT Group AG, Straumann Holding AG, Temenos AG - CH1492017210

7.26% p.a. Autocallable Barrier Reverse Convertible on Adecco, ALSO Holding, Barry Callebaut, Julius Bär

Title

CH1492024620 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024620

Fälligkeitstag

16.12.2026

Basiswert

Julius Bär Gruppe AG, ALSO Holding AG, Barry Callebaut AG, Adecco Group AG - CH1492024620

7.26% p.a. Barrier Reverse Convertible on Adecco, Lonza, Richemont

Title

CH1492019042 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019042

Fälligkeitstag

04.11.2026

Basiswert

Lonza Group AG, Adecco Group AG, Compagnie Financière Richemont SA - CH1492019042

7.26% p.a. Barrier Reverse Convertible on Galderma Group, Richemont, UBS Group

Title

CH1548143853 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143853

Fälligkeitstag

20.07.2027

Basiswert

Compagnie Financière Richemont SA, Galderma Group Ltd, UBS Group AG - CH1548143853

7.26% p.a. Callable Reverse Convertible on Geberit, Holcim, Sika

Title

CH1548148878 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148878

Fälligkeitstag

17.02.2028

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1548148878

7.27% (7.27% p.a.) Barrier Reverse Convertible on Amrize Ltd, Logitech, VAT

Title

CH1492019968 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019968

Fälligkeitstag

10.11.2026

Basiswert

Logitech International SA, VAT Group AG, Amrize Ltd - CH1492019968

7.27% (7.27% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492035584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035584

Fälligkeitstag

18.02.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Julius Bär Gruppe AG - CH1492035584

7.27% p.a. Autocallable Barrier Reverse Convertible on ABB, Bachem, VAT

Title

CH1446049244 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049244

Fälligkeitstag

18.05.2026

Basiswert

ABB Ltd, Bachem Holding AG, VAT Group AG - CH1446049244

7.27% p.a. Barrier Reverse Convertible on Alcon, Richemont, Sonova

Title

CH1532246860 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246860

Fälligkeitstag

09.04.2027

Basiswert

Compagnie Financière Richemont SA, Alcon Inc., Sonova Holding AG - CH1532246860

7.27% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492034561 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034561

Fälligkeitstag

15.02.2027

Basiswert

Novartis AG, Nestlé SA, Roche Holding AG - CH1492034561

7.27% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group

Title

CH1492022145 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022145

Fälligkeitstag

26.11.2026

Basiswert

UBS Group AG, Swiss Re AG, Swiss Life Holding AG - CH1492022145

7.27% p.a. Callable Barrier Reverse Convertible on Ferrari, Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1596851811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851811

Fälligkeitstag

30.08.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Ferrari N.V. - CH1596851811

7.27% p.a. Callable Reverse Convertible on Meta Platforms Inc.

Title

CH1492018465 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492018465

Fälligkeitstag

02.11.2026

Basiswert

Meta Platforms Inc.

7.28% p.a. Barrier Reverse Convertible on ABB, Alcon, Lonza

Title

CH1532246258 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246258

Fälligkeitstag

06.04.2027

Basiswert

Lonza Group AG, Alcon Inc., ABB Ltd - CH1532246258

7.28% p.a. Barrier Reverse Convertible on Alcon, Holcim, Kuehne + Nagel

Title

CH1476912105 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912105

Fälligkeitstag

14.10.2026

Basiswert

Holcim Ltd, Alcon Inc., Kuehne + Nagel International AG - CH1476912105

7.28% p.a. Barrier Reverse Convertible on Ferrari, Georg Fischer, Nestlé, SAP, Ypsomed (Quanto CHF)

Title

CH1476908558 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908558

Fälligkeitstag

21.09.2026

Basiswert

Ypsomed Holding AG, Ferrari N.V., Georg Fischer AG, SAP SE, Nestlé SA - CH1476908558

7.28% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1476910349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910349

Fälligkeitstag

01.10.2026

Basiswert

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476910349

7.28% p.a. Callable Reverse Convertible on Sonova, Straumann

Title

CH1418950940 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950940

Fälligkeitstag

06.11.2026

Basiswert

Straumann Holding AG, Sonova Holding AG - CH1418950940

7.28% p.a. Reverse Convertible on ABB, Accelleron Industries, Sandoz Group

Title

CH1548138473 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138473

Fälligkeitstag

18.06.2027

Basiswert

Accelleron Industries AG, Sandoz Group AG, ABB Ltd - CH1548138473

7.29% p.a. Callable Reverse Convertible on Hermes, Richemont (Quanto CHF)

Title

CH1446052958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052958

Fälligkeitstag

09.12.2026

Basiswert

Hermes International, Compagnie Financière Richemont SA - CH1446052958

7.29% p.a. Reverse Convertible on ABB, Richemont

Title

CH1548130355 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130355

Fälligkeitstag

04.05.2027

Basiswert

ABB Ltd, Compagnie Financière Richemont SA - CH1548130355

7.29% p.a. Reverse Convertible on Georg Fischer, Roche, SGS

Title

CH1532245029 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245029

Fälligkeitstag

01.10.2027

Basiswert

Georg Fischer AG, Roche Holding AG, SGS SA - CH1532245029

7.29% p.a. Reverse Convertible on Givaudan, Richemont

Title

CH1548141741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141741

Fälligkeitstag

07.07.2027

Basiswert

Compagnie Financière Richemont SA, Givaudan SA - CH1548141741

7.30% (7.30% p.a.) Reverse Convertible on Amrize Ltd, Geberit, Sika

Title

CH1492030114 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030114

Fälligkeitstag

26.01.2027

Basiswert

Amrize Ltd, Geberit AG, Sika AG - CH1492030114

7.30% (7.30% p.a.) Reverse Convertible on Swiss Re, UBS Group, Zurich Insurance

Title

CH1532243057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243057

Fälligkeitstag

19.03.2027

Basiswert

Swiss Re AG, UBS Group AG, Zurich Insurance Group Ltd - CH1532243057

7.30% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, BNP Paribas, Société Générale (Quanto CHF)

Title

CH1548147805 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147805

Fälligkeitstag

11.08.2027

Basiswert

BNP Paribas, Allianz SE, AXA SA, Société Générale - CH1548147805

7.30% p.a. Barrier Reverse Convertible on Alcon, Logitech, Straumann

Title

CH1492025775 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025775

Fälligkeitstag

23.12.2026

Basiswert

Alcon Inc., Straumann Holding AG, Logitech International SA - CH1492025775

7.30% p.a. Barrier Reverse Convertible on Nestlé, Roche, Swiss Re (Quanto USD)

Title

CH1492034199 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034199

Fälligkeitstag

12.02.2027

Basiswert

Nestlé SA, Swiss Re AG, Roche Holding AG - CH1492034199

7.30% p.a. Barrier Reverse Convertible on Straumann, Swatch, VAT

Title

CH1476905364 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905364

Fälligkeitstag

31.08.2026

Basiswert

The Swatch Group AG, Straumann Holding AG, VAT Group AG - CH1476905364

7.30% p.a. Callable Barrier Reverse Convertible on Givaudan, Holcim, Sika

Title

CH1548127815 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127815

Fälligkeitstag

23.04.2027

Basiswert

Givaudan SA, Holcim Ltd, Sika AG - CH1548127815

7.30% p.a. Reverse Convertible on Amrize Ltd, Georg Fischer

Title

CH1492022178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022178

Fälligkeitstag

26.11.2026

Basiswert

Amrize Ltd, Georg Fischer AG - CH1492022178

7.31% (7.33% p.a.) Barrier Reverse Convertible on Partners Group Holding, Swissquote, UBS Group

Title

CH1492027227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027227

Fälligkeitstag

06.01.2027

Basiswert

UBS Group AG, Swissquote Group Holding SA, Partners Group Holding AG - CH1492027227

7.31% p.a. Autocallable Reverse Convertible on Deutsche Post, Deutsche Telekom

Title

CH1548140016 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140016

Fälligkeitstag

25.06.2027

Basiswert

Deutsche Post AG, Deutsche Telekom AG - CH1548140016

7.31% p.a. Barrier Reverse Convertible on Accelleron Industries, Richemont, Sonova

Title

CH1548134423 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134423

Fälligkeitstag

27.05.2027

Basiswert

Compagnie Financière Richemont SA, Sonova Holding AG, Accelleron Industries AG - CH1548134423

7.31% p.a. Barrier Reverse Convertible on Alcon, Richemont, Sandoz Group

Title

CH1548139604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139604

Fälligkeitstag

24.06.2027

Basiswert

Alcon Inc., Sandoz Group AG, Compagnie Financière Richemont SA - CH1548139604

7.31% p.a. Barrier Reverse Convertible on Hermes, Holcim, Sandoz Group, SGS, Unilever PLC (Quanto CHF)

Title

CH1476908566 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908566

Fälligkeitstag

21.09.2026

Basiswert

Holcim Ltd, SGS SA, Sandoz Group AG, Unilever PLC, Hermes International - CH1476908566

7.31% p.a. Callable Reverse Convertible on Amrize Ltd, Geberit, Holcim

Title

CH1548149702 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149702

Fälligkeitstag

21.02.2028

Basiswert

Holcim Ltd, Amrize Ltd, Geberit AG - CH1548149702

7.31% p.a. Reverse Convertible on Johnson & Johnson, Procter & Gamble, Tesla (Quanto CHF)

Title

CH1548128896 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128896

Fälligkeitstag

30.04.2029

Basiswert

Johnson & Johnson, The Procter & Gamble Company, Tesla Inc. - CH1548128896

7.32% (33.79% p.a.) Reverse Convertible on Arista Networks, ServiceNow

Title

CH1548136915 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136915

Fälligkeitstag

28.08.2026

Basiswert

ServiceNow Inc, Arista Networks, Inc. - CH1548136915

7.32% (7.32% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re

Title

CH1532237323 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237323

Fälligkeitstag

24.02.2027

Basiswert

Helvetia Baloise Holding AG, Swiss Life Holding AG, Swiss Re AG - CH1532237323

7.32% p.a. Autocallable Barrier Reverse Convertible on ABB, Bachem, VAT

Title

CH1446049293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049293

Fälligkeitstag

18.05.2026

Basiswert

ABB Ltd, Bachem Holding AG, VAT Group AG - CH1446049293

7.32% p.a. Autocallable Barrier Reverse Convertible on Geberit, Givaudan, Straumann, Zurich Insurance

Title

CH1548149645 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149645

Fälligkeitstag

20.08.2027

Basiswert

Givaudan SA, Straumann Holding AG, Zurich Insurance Group Ltd, Geberit AG - CH1548149645

7.32% p.a. Barrier Reverse Convertible on ABB, Lonza, Novartis (Quanto EUR)

Title

CH1476907980 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907980

Fälligkeitstag

16.09.2026

Basiswert

ABB Ltd, Lonza Group AG, Novartis AG - CH1476907980

7.32% p.a. Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1548143846 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143846

Fälligkeitstag

20.07.2027

Basiswert

Alcon Inc., Sandoz Group AG, Straumann Holding AG - CH1548143846

7.32% p.a. Barrier Reverse Convertible on Barry Callebaut, Richemont, Straumann

Title

CH1492020297 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020297

Fälligkeitstag

12.11.2026

Basiswert

Straumann Holding AG, Barry Callebaut AG, Compagnie Financière Richemont SA - CH1492020297

7.32% p.a. Barrier Reverse Convertible on Geberit, Holcim, VAT

Title

CH1476908632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908632

Fälligkeitstag

21.09.2026

Basiswert

VAT Group AG, Geberit AG, Holcim Ltd - CH1476908632

7.33% (7.33% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1548138325 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138325

Fälligkeitstag

17.06.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548138325

7.33% p.a. Autocallable Reverse Convertible on Amazon.com, Meta Platforms (Quanto EUR)

Title

CH1492035303 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035303

Fälligkeitstag

18.02.2027

Basiswert

Meta Platforms Inc., Amazon.com Inc. - CH1492035303

7.33% p.a. Autocallable Reverse Convertible on ENI, Veolia

Title

CH1548144240 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144240

Fälligkeitstag

21.07.2027

Basiswert

Veolia Environnement, ENI SpA - CH1548144240

7.33% p.a. Barrier Reverse Convertible on Alcon, Sika, Swisscom

Title

CH1476912501 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912501

Fälligkeitstag

16.10.2026

Basiswert

Swisscom AG, Sika AG, Alcon Inc. - CH1476912501

7.33% p.a. Barrier Reverse Convertible on Helvetia Baloise, Holcim, Sika

Title

CH1492032763 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032763

Fälligkeitstag

05.02.2029

Basiswert

Helvetia Baloise Holding AG, Sika AG, Holcim Ltd - CH1492032763

7.33% p.a. Barrier Reverse Convertible on VAT Group AG (Quanto EUR)

Title

CH1548130082 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130082

Fälligkeitstag

03.05.2027

Basiswert

VAT Group AG

7.34% (7.26% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, VAT, Zurich Insurance

Title

CH1476910653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910653

Fälligkeitstag

05.10.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, VAT Group AG, Swiss Re AG - CH1476910653

7.34% (7.34% p.a.) Barrier Reverse Convertible on Galderma Group, Sandoz Group

Title

CH1548144265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144265

Fälligkeitstag

21.07.2027

Basiswert

Sandoz Group AG, Galderma Group Ltd - CH1548144265

7.34% p.a. Autocallable Barrier Reverse Convertible on Bachem, Galderma Group, Sandoz Group

Title

CH1548137863 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137863

Fälligkeitstag

15.06.2027

Basiswert

Bachem Holding AG, Galderma Group Ltd, Sandoz Group AG - CH1548137863

7.34% p.a. Autocallable Barrier Reverse Convertible on Munich Re, Swiss Life, Swiss Re, UBS Group (Quanto CHF)

Title

CH1548130876 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130876

Fälligkeitstag

07.05.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, UBS Group AG, Münchener Rückversicherungs AG - CH1548130876

7.34% p.a. Autocallable Reverse Convertible on Novartis, Zurich Insurance

Title

CH1532242067 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242067

Fälligkeitstag

15.03.2027

Basiswert

Novartis AG, Zurich Insurance Group Ltd - CH1532242067

7.34% p.a. Barrier Reverse Convertible on ABB, Geberit, Holcim, Sika

Title

CH1492031336 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031336

Fälligkeitstag

30.10.2026

Basiswert

Geberit AG, Holcim Ltd, ABB Ltd, Sika AG - CH1492031336

7.34% p.a. Barrier Reverse Convertible on Alphabet, Holcim, Nestlé, Richemont, Sandoz Group (Quanto CHF)

Title

CH1492020354 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020354

Fälligkeitstag

13.11.2026

Basiswert

Nestlé SA, Compagnie Financière Richemont SA, Holcim Ltd, Sandoz Group AG, Alphabet, Inc. - CH1492020354

7.34% p.a. Barrier Reverse Convertible on Givaudan, Partners Group Holding, Swisscom (Quanto EUR)

Title

CH1476907956 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907956

Fälligkeitstag

16.09.2026

Basiswert

Swisscom AG, Partners Group Holding AG, Givaudan SA - CH1476907956

7.35% (7.35% p.a.) Reverse Convertible on Commerzbank AG

Title

CH1492019372 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492019372

Fälligkeitstag

05.11.2026

Basiswert

Commerzbank AG

7.35% p.a. Autocallable Reverse Convertible on Apple, Coca-Cola, NVIDIA (Quanto CHF)

Title

CH1548145676 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145676

Fälligkeitstag

29.07.2027

Basiswert

Apple Inc., Coca-Cola Company, NVIDIA Corp. - CH1548145676

7.35% p.a. Barrier Reverse Convertible on Julius Bär, Zurich Insurance

Title

CH1548130603 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130603

Fälligkeitstag

04.11.2027

Basiswert

Zurich Insurance Group Ltd, Julius Bär Gruppe AG - CH1548130603

7.36% (13.00% p.a.) Barrier Reverse Convertible on Partners Group Holding, Straumann

Title

CH1548146021 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146021

Fälligkeitstag

24.02.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG - CH1548146021

7.36% p.a. Reverse Convertible on Accelleron Industries, Givaudan

Title

CH1492025163 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025163

Fälligkeitstag

18.12.2026

Basiswert

Givaudan SA, Accelleron Industries AG - CH1492025163

7.37% (7.37% p.a.) Barrier Reverse Convertible on Hannover Rück, Munich Re

Title

CH1548134035 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134035

Fälligkeitstag

25.05.2027

Basiswert

Münchener Rückversicherungs AG, Hannover Rück SE - CH1548134035

7.37% (7.37% p.a.) Reverse Convertible on Lonza, Swiss Life, Swiss Re

Title

CH1548149579 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149579

Fälligkeitstag

19.08.2027

Basiswert

Lonza Group AG, Swiss Re AG, Swiss Life Holding AG - CH1548149579

7.37% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, UBS Group, VAT

Title

CH1548131213 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131213

Fälligkeitstag

10.05.2027

Basiswert

VAT Group AG, Galderma Group Ltd, UBS Group AG - CH1548131213

7.37% p.a. Autocallable Barrier Reverse Convertible on Siemens Energy AG (Quanto CHF)

Title

CH1548140362 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140362

Fälligkeitstag

29.06.2027

Basiswert

Siemens Energy AG

7.37% p.a. Callable Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1492031468 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031468

Fälligkeitstag

01.02.2027

Basiswert

Straumann Holding AG, Alcon Inc., Sandoz Group AG - CH1492031468

7.37% p.a. Callable Barrier Reverse Convertible on Mercedes-Benz Group, Stellantis (Quanto CHF)

Title

CH1492021634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021634

Fälligkeitstag

23.11.2026

Basiswert

Stellantis N.V., Mercedes-Benz Group AG - CH1492021634

7.37% p.a. Callable Reverse Convertible on ABB, Accelleron Industries

Title

CH1532242646 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242646

Fälligkeitstag

17.03.2028

Basiswert

Accelleron Industries AG, ABB Ltd - CH1532242646

7.38% (7.38% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492026054 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026054

Fälligkeitstag

24.12.2026

Basiswert

VAT Group AG

7.38% p.a. Barrier Reverse Convertible on Alphabet, MasterCard, PepsiCo (Quanto EUR)

Title

CH1492023697 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023697

Fälligkeitstag

09.12.2026

Basiswert

Alphabet, Inc., MasterCard Inc, PepsiCo Inc. - CH1492023697

7.38% p.a. Barrier Reverse Convertible on Givaudan, Lindt & Sprüngli

Title

CH1548149223 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149223

Fälligkeitstag

18.08.2027

Basiswert

Lindt & Sprüngli AG, Givaudan SA - CH1548149223

7.38% p.a. Barrier Reverse Convertible on Helvetia Baloise, Holcim, Sika

Title

CH1492033217 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033217

Fälligkeitstag

09.02.2029

Basiswert

Helvetia Baloise Holding AG, Holcim Ltd, Sika AG - CH1492033217

7.38% p.a. Callable Barrier Reverse Convertible on Barry Callebaut, Lindt & Sprüngli, Nestlé

Title

CH1548128276 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128276

Fälligkeitstag

26.04.2027

Basiswert

Nestlé SA, Lindt & Sprüngli AG, Barry Callebaut AG - CH1548128276

7.39% (14.62% p.a.) Reverse Convertible on Meta Platforms, Microsoft

Title

CH1548144893 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144893

Fälligkeitstag

26.01.2027

Basiswert

Meta Platforms Inc., Microsoft Corp. - CH1548144893

7.39% (7.39% p.a.) Barrier Reverse Convertible on Accor, Air Liquide, L´Oréal (Quanto CHF)

Title

CH1492027672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027672

Fälligkeitstag

13.01.2027

Basiswert

L´Oréal International, Air Liquide SA, Accor SA - CH1492027672

7.39% (7.39% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548144489 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144489

Fälligkeitstag

22.07.2027

Basiswert

Compagnie Financière Richemont SA

7.39% p.a. Autocallable Reverse Convertible on Komax Holding AG

Title

CH1476910505 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476910505

Fälligkeitstag

02.10.2026

Basiswert

Komax Holding AG

7.39% p.a. Barrier Reverse Convertible on ABB, Geberit, Sandoz Group

Title

CH1548126940 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126940

Fälligkeitstag

20.04.2027

Basiswert

Sandoz Group AG, Geberit AG, ABB Ltd - CH1548126940

7.40% (7.40% p.a.) Barrier Reverse Convertible on China Life Insurance Company Limited (Quanto USD)

Title

CH1492017426 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492017426

Fälligkeitstag

27.10.2026

Basiswert

China Life Insurance Company Limited

7.40% (7.40% p.a.) Barrier Reverse Convertible on VAT Group AG

Title

CH1492022699 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022699

Fälligkeitstag

01.12.2026

Basiswert

VAT Group AG

7.40% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group, Zurich Insurance

Title

CH1548142434 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142434

Fälligkeitstag

12.07.2027

Basiswert

UBS Group AG, Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548142434

7.40% p.a. Autocallable Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1492035618 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035618

Fälligkeitstag

19.02.2027

Basiswert

SAP SE, Microsoft Corp., Oracle Corp. - CH1492035618

7.40% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1492021139 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021139

Fälligkeitstag

18.11.2026

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG, Logitech International SA - CH1492021139

7.40% p.a. Barrier Reverse Convertible on Richemont, Sika, Swiss Re

Title

CH1548131700 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131700

Fälligkeitstag

12.05.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Re AG, Sika AG - CH1548131700

7.40% p.a. Callable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1492022509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022509

Fälligkeitstag

30.11.2026

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, UBS Group AG - CH1492022509

7.41% (15.51% p.a.) Barrier Reverse Convertible on SAP SE

Title

CH1548146211 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146211

Fälligkeitstag

22.01.2027

Basiswert

SAP SE

7.41% p.a. Autocallable Reverse Convertible on Sonova, Straumann

Title

CH1548139471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139471

Fälligkeitstag

21.12.2026

Basiswert

Sonova Holding AG, Straumann Holding AG - CH1548139471

7.42% (7.38% p.a.) Barrier Reverse Convertible on Avolta, Richemont, Swatch

Title

CH1548138812 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138812

Fälligkeitstag

21.06.2027

Basiswert

The Swatch Group AG, Avolta AG, Compagnie Financière Richemont SA - CH1548138812

7.42% (7.42% p.a.) Barrier Reverse Convertible on Allianz, BASF, E.ON

Title

CH1476909416 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909416

Fälligkeitstag

24.09.2026

Basiswert

Allianz SE, BASF SE, E.ON SE - CH1476909416

7.42% p.a. Autocallable Reverse Convertible on Anheuser-Busch InBev, Henkel, Pernod-Ricard

Title

CH1548143192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143192

Fälligkeitstag

16.07.2027

Basiswert

Pernod-Ricard SA, Anheuser-Busch InBev NV, Henkel AG & Co. KGaA - CH1548143192

7.42% p.a. Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft (Quanto CHF)

Title

CH1532238149 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238149

Fälligkeitstag

29.02.2028

Basiswert

Meta Platforms Inc., Alphabet, Inc., Microsoft Corp. - CH1532238149

7.42% p.a. Barrier Reverse Convertible on Geberit, Logitech, Swiss Life

Title

CH1532246266 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246266

Fälligkeitstag

06.04.2027

Basiswert

Swiss Life Holding AG, Geberit AG, Logitech International SA - CH1532246266

7.42% p.a. Barrier Reverse Convertible on Julius Bär, Kuehne + Nagel, Straumann

Title

CH1492020891 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020891

Fälligkeitstag

17.11.2026

Basiswert

Julius Bär Gruppe AG, Straumann Holding AG, Kuehne + Nagel International AG - CH1492020891

7.42% p.a. Callable Reverse Convertible on Helvetia, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1446056991 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446056991

Fälligkeitstag

12.07.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Helvetia Holding AG, Swiss Re AG - CH1446056991

7.43% (7.43% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, Zurich Insurance

Title

CH1548138176 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138176

Fälligkeitstag

16.06.2027

Basiswert

Zurich Insurance Group Ltd, Alcon Inc., Givaudan SA - CH1548138176

7.43% (7.43% p.a.) Reverse Convertible on Chubb, Marsh & McLennan

Title

CH1548137459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137459

Fälligkeitstag

11.06.2027

Basiswert

Marsh & McLennan Cos Inc., Chubb Ltd - CH1548137459

7.43% p.a. Barrier Reverse Convertible on EssilorLuxottica, SAP, TotalEnergies

Title

CH1492021444 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021444

Fälligkeitstag

20.11.2026

Basiswert

SAP SE, EssilorLuxottica SA, TotalEnergies SE - CH1492021444

7.44% (7.40% p.a.) Barrier Reverse Convertible on Allianz, AXA, Deutsche Telekom

Title

CH1476906388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906388

Fälligkeitstag

07.09.2026

Basiswert

Allianz SE, AXA SA, Deutsche Telekom AG - CH1476906388

7.44% (7.44% p.a.) Barrier Reverse Convertible on ABB, Geberit, Swiss Re, Swisscom

Title

CH1476905695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905695

Fälligkeitstag

02.09.2026

Basiswert

Geberit AG, Swisscom AG, ABB Ltd, Swiss Re AG - CH1476905695

7.44% (7.44% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, Nestlé

Title

CH1492025742 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025742

Fälligkeitstag

23.12.2026

Basiswert

Givaudan SA, Lonza Group AG, Nestlé SA - CH1492025742

7.44% (7.44% p.a.) Barrier Reverse Convertible on iShares MSCI South Korea Index Fund (Quanto CHF)

Title

CH1548130678 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130678

Fälligkeitstag

07.05.2027

Basiswert

iShares MSCI South Korea Index Fund

7.44% (7.44% p.a.) Reverse Convertible on Newmont Corp. (Quanto EUR)

Title

CH1492017756 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492017756

Fälligkeitstag

28.10.2026

Basiswert

Newmont Corp.

7.44% p.a. Autocallable Barrier Reverse Convertible on Geberit, Givaudan, Straumann, Zurich Insurance

Title

CH1548149256 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149256

Fälligkeitstag

18.08.2027

Basiswert

Givaudan SA, Straumann Holding AG, Zurich Insurance Group Ltd, Geberit AG - CH1548149256

7.44% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548133599 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133599

Fälligkeitstag

20.08.2027

Basiswert

Nestlé SA, Roche Holding AG, Novartis AG - CH1548133599

7.44% p.a. Callable Barrier Reverse Convertible on Apple, Broadcom, Meta Platforms, Microsoft (Quanto CHF)

Title

CH1548150437 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150437

Fälligkeitstag

24.08.2027

Basiswert

Apple Inc., Broadcom Inc., Microsoft Corp., Meta Platforms Inc. - CH1548150437

7.45% (7.47% p.a.) Reverse Convertible on Interroll Holding AG

Title

CH1492026195 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026195

Fälligkeitstag

28.12.2026

Basiswert

Interroll Holding AG

7.45% p.a. Autocallable Barrier Reverse Convertible on AXA, BNP Paribas, Société Générale, UniCredit (Quanto CHF)

Title

CH1548148316 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148316

Fälligkeitstag

13.08.2027

Basiswert

UniCredit SpA, Société Générale, AXA SA, BNP Paribas - CH1548148316

7.45% p.a. Autocallable Reverse Convertible on UniCredit SpA

Title

CH1548147862 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147862

Fälligkeitstag

11.08.2027

Basiswert

UniCredit SpA

7.45% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548149959 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149959

Fälligkeitstag

21.08.2028

Basiswert

Straumann Holding AG, Sonova Holding AG, Alcon Inc. - CH1548149959

7.45% p.a. Barrier Reverse Convertible on Galenica, Novartis, Sunrise Communications AG

Title

CH1548127443 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127443

Fälligkeitstag

22.04.2027

Basiswert

Galenica AG, Novartis AG, Sunrise Communications AG - CH1548127443

7.45% p.a. Callable Barrier Reverse Convertible on Lonza, Novartis, Roche, Sandoz Group

Title

CH1548127823 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127823

Fälligkeitstag

23.04.2027

Basiswert

Novartis AG, Roche Holding AG, Lonza Group AG, Sandoz Group AG - CH1548127823

7.46% (14.93% p.a.) Reverse Convertible on Grab Holdings Ltd.

Title

CH1548128045 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128045

Fälligkeitstag

23.10.2026

Basiswert

Grab Holdings Ltd.

7.46% p.a. Autocallable Reverse Convertible on E.ON, Naturgy Energy Group, Verbund

Title

CH1548144158 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144158

Fälligkeitstag

21.07.2027

Basiswert

E.ON SE, Naturgy Energy Group SA, Verbund AG - CH1548144158

7.46% p.a. Barrier Reverse Convertible on Julius Bär, Schindler, Swiss Life

Title

CH1548138770 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138770

Fälligkeitstag

21.06.2027

Basiswert

Julius Bär Gruppe AG, Schindler Holding AG, Swiss Life Holding AG - CH1548138770

7.48% (14.88% p.a.) Reverse Convertible on Adobe Systems Inc.

Title

CH1532243586 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243586

Fälligkeitstag

21.09.2026

Basiswert

Adobe Systems Inc.

7.48% p.a. Autocallable Barrier Reverse Convertible on Geberit, Givaudan, Straumann, Zurich Insurance

Title

CH1548149348 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149348

Fälligkeitstag

19.08.2027

Basiswert

Givaudan SA, Straumann Holding AG, Zurich Insurance Group Ltd, Geberit AG - CH1548149348

7.48% p.a. Autocallable Reverse Convertible on Alcon, SIG Group

Title

CH1532241994 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241994

Fälligkeitstag

15.03.2027

Basiswert

SIG Group AG, Alcon Inc. - CH1532241994

7.48% p.a. Autocallable Reverse Convertible on Danone, Sanofi, Vinci

Title

CH1548140024 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140024

Fälligkeitstag

25.06.2027

Basiswert

Vinci SA, Danone SA, Sanofi SA - CH1548140024

7.48% p.a. Barrier Reverse Convertible on Logitech, Schindler, Sonova

Title

CH1548131734 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131734

Fälligkeitstag

13.05.2027

Basiswert

Logitech International SA, Sonova Holding AG, Schindler Holding AG - CH1548131734

7.48% p.a. Barrier Reverse Convertible on Partners Group Holding, Richemont, Straumann

Title

CH1476908624 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908624

Fälligkeitstag

21.09.2026

Basiswert

Partners Group Holding AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1476908624

7.49% (10.00% p.a.) Reverse Convertible on VAT Group AG

Title

CH1548138366 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138366

Fälligkeitstag

17.03.2027

Basiswert

VAT Group AG

7.49% p.a. Autocallable Reverse Convertible on Partners Group Holding, Richemont

Title

CH1548131064 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131064

Fälligkeitstag

04.11.2026

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG - CH1548131064

7.49% p.a. Barrier Reverse Convertible on ABB, Amrize Ltd, Logitech

Title

CH1548138549 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138549

Fälligkeitstag

18.06.2027

Basiswert

ABB Ltd, Amrize Ltd, Logitech International SA - CH1548138549

7.49% p.a. Barrier Reverse Convertible on Geberit, Holcim, VAT

Title

CH1596852140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852140

Fälligkeitstag

30.08.2027

Basiswert

VAT Group AG, Geberit AG, Holcim Ltd - CH1596852140

7.49% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech

Title

CH1476907337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907337

Fälligkeitstag

11.09.2026

Basiswert

Kuehne + Nagel International AG, Logitech International SA - CH1476907337

7.49% p.a. Reverse Convertible on Bachem, Partners Group Holding

Title

CH1532244980 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244980

Fälligkeitstag

02.04.2027

Basiswert

Partners Group Holding AG, Bachem Holding AG - CH1532244980

7.50% (30.03% p.a.) Reverse Convertible on Marvell Technology Group Ltd. (Quanto EUR)

Title

CH1548144646 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144646

Fälligkeitstag

23.10.2026

Basiswert

Marvell Technology Group Ltd.

7.50% (7.50% p.a.) Reverse Convertible on International Business Machines Corp. (Quanto EUR)

Title

CH1532239287 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239287

Fälligkeitstag

03.03.2027

Basiswert

International Business Machines Corp.

7.50% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Swiss Life, Swiss Re, UBS Group

Title

CH1548150445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150445

Fälligkeitstag

24.08.2027

Basiswert

UBS Group AG, Swiss Re AG, Swiss Life Holding AG, Julius Bär Gruppe AG - CH1548150445

7.50% p.a. Autocallable Reverse Convertible on AMD, Apple, Meta Platforms (Quanto EUR)

Title

CH1548129159 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129159

Fälligkeitstag

29.04.2027

Basiswert

Advanced Micro Devices Inc., Apple Inc., Meta Platforms Inc. - CH1548129159

7.50% p.a. Autocallable Reverse Convertible on Adyen , ASML, Deutsche Telekom

Title

CH1548129035 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129035

Fälligkeitstag

29.04.2027

Basiswert

Deutsche Telekom AG, Adyen N.V., ASML Holding NV - CH1548129035

7.50% p.a. Autocallable Reverse Convertible on BELIMO Holding, BKW, Logitech

Title

CH1548149371 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149371

Fälligkeitstag

19.08.2027

Basiswert

Logitech International SA, BKW AG, BELIMO Holding AG - CH1548149371

7.50% p.a. Autocallable Reverse Convertible on Dassault, Hensoldt , Thales

Title

CH1548128540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128540

Fälligkeitstag

27.07.2027

Basiswert

Dassault Systèmes S.A., Hensoldt AG, Thales SA - CH1548128540

7.50% p.a. Autocallable Reverse Convertible on Linde PLC, Palo Alto Networks, Schneider Electric (Quanto EUR)

Title

CH1548127989 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127989

Fälligkeitstag

25.10.2027

Basiswert

Palo Alto Networks, Inc., Linde PLC, Schneider Electric SE - CH1548127989

7.50% p.a. Autocallable Reverse Convertible on Microsoft Corp.

Title

CH1476909986 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476909986

Fälligkeitstag

29.09.2026

Basiswert

Microsoft Corp.

7.50% p.a. Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann

Title

CH1548128060 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128060

Fälligkeitstag

23.04.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Sandoz Group AG - CH1548128060

7.50% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance (Quanto EUR)

Title

CH1548130736 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130736

Fälligkeitstag

09.05.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548130736

7.50% p.a. Barrier Reverse Convertible on Zalando SE

Title

CH1492022830 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022830

Fälligkeitstag

30.11.2026

Basiswert

Zalando SE

7.50% p.a. Reverse Convertible on ABB, Accelleron Industries, Amrize Ltd, Holcim

Title

CH1532240962 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240962

Fälligkeitstag

10.03.2027

Basiswert

Amrize Ltd, Accelleron Industries AG, Holcim Ltd, ABB Ltd - CH1532240962

7.50% p.a. Reverse Convertible on Bucher, Burckhardt Compression, Interroll

Title

CH1532246704 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246704

Fälligkeitstag

08.04.2027

Basiswert

Bucher Industries AG, Interroll Holding AG, Burckhardt Compression Holding Ltd. - CH1532246704

7.51% (7.39% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1492022327 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022327

Fälligkeitstag

03.12.2026

Basiswert

Partners Group Holding AG

7.51% (7.51% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann

Title

CH1548147052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147052

Fälligkeitstag

06.08.2027

Basiswert

Kuehne + Nagel International AG, Sika AG, Straumann Holding AG - CH1548147052

7.51% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Richemont, Sika

Title

CH1492019992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019992

Fälligkeitstag

10.11.2026

Basiswert

Sika AG, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1492019992

7.51% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Swiss Re, UBS Group

Title

CH1492029439 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029439

Fälligkeitstag

21.01.2027

Basiswert

Swiss Re AG, Partners Group Holding AG, Sandoz Group AG, UBS Group AG - CH1492029439

7.51% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, Microsoft (Quanto EUR)

Title

CH1492026336 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026336

Fälligkeitstag

28.06.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1492026336

7.51% p.a. Barrier Reverse Convertible on Accelleron Industries, Novartis, Sandoz Group

Title

CH1492018226 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018226

Fälligkeitstag

30.10.2026

Basiswert

Accelleron Industries AG, Sandoz Group AG, Novartis AG - CH1492018226

7.51% p.a. Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto CHF)

Title

CH1476908772 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908772

Fälligkeitstag

22.09.2026

Basiswert

ASML Holding NV, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1476908772

7.52% (7.44% p.a.) Barrier Reverse Convertible on Cembra Money Bank, Geberit, Kuehne + Nagel, Logitech

Title

CH1476909788 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909788

Fälligkeitstag

28.09.2026

Basiswert

Cembra Money Bank AG, Logitech International SA, Geberit AG, Kuehne + Nagel International AG - CH1476909788

7.52% p.a. Barrier Reverse Convertible on Helvetia Baloise, Julius Bär, Swiss Life

Title

CH1548150767 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150767

Fälligkeitstag

25.02.2028

Basiswert

Helvetia Baloise Holding AG, Julius Bär Gruppe AG, Swiss Life Holding AG - CH1548150767

7.52% p.a. Barrier Reverse Convertible on Holcim, Richemont, Sika

Title

CH1548135578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135578

Fälligkeitstag

03.06.2027

Basiswert

Compagnie Financière Richemont SA, Holcim Ltd, Sika AG - CH1548135578

7.52% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Sonova

Title

CH1492022749 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022749

Fälligkeitstag

01.12.2027

Basiswert

Logitech International SA, Sonova Holding AG, Kuehne + Nagel International AG - CH1492022749

7.52% p.a. Callable Reverse Convertible on Interroll, Kardex

Title

CH1548134068 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134068

Fälligkeitstag

25.11.2027

Basiswert

Kardex AG, Interroll Holding AG - CH1548134068

7.53% (7.49% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sika, Straumann

Title

CH1476910596 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910596

Fälligkeitstag

05.10.2026

Basiswert

Partners Group Holding AG, Sika AG, Straumann Holding AG - CH1476910596

7.53% p.a. Autocallable Barrier Reverse Convertible on AXA, ING, L´Oréal, SAP (Quanto CHF)

Title

CH1548148647 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148647

Fälligkeitstag

16.08.2027

Basiswert

AXA SA, L´Oréal International, ING Groep N.V., SAP SE - CH1548148647

7.53% p.a. Autocallable Barrier Reverse Convertible on Allianz, BNP Paribas, Intesa Sanpaolo, Munich Re (Quanto CHF)

Title

CH1492027458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027458

Fälligkeitstag

12.01.2027

Basiswert

Allianz SE, Intesa Sanpaolo SpA, Münchener Rückversicherungs AG, BNP Paribas - CH1492027458

7.53% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Leonardo, Rheinmetall

Title

CH1492032607 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032607

Fälligkeitstag

05.02.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a., Hensoldt AG - CH1492032607

7.53% p.a. Barrier Reverse Convertible on Alcon, Sonova, VAT

Title

CH1492021592 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021592

Fälligkeitstag

23.11.2026

Basiswert

VAT Group AG, Alcon Inc., Sonova Holding AG - CH1492021592

7.53% p.a. Barrier Reverse Convertible on Schneider Electric SE

Title

CH1532237752 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237752

Fälligkeitstag

25.02.2028

Basiswert

Schneider Electric SE

7.54% (7.45% p.a.) Barrier Reverse Convertible on Comet, Sonova, Ypsomed

Title

CH1532245458 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245458

Fälligkeitstag

06.04.2027

Basiswert

Comet Holding AG, Sonova Holding AG, Ypsomed Holding AG - CH1532245458

7.54% (9.05% p.a.) Reverse Convertible on Siemens, Vinci, Volvo (Quanto EUR)

Title

CH1548146278 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146278

Fälligkeitstag

31.05.2027

Basiswert

Vinci SA, Siemens AG, Volvo AB - CH1548146278

7.54% p.a. Autocallable Reverse Convertible on Airbus, Uber Technologies (Quanto EUR)

Title

CH1492026328 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026328

Fälligkeitstag

28.06.2027

Basiswert

Uber Technologies Inc., Airbus SE - CH1492026328

7.54% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1476907170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907170

Fälligkeitstag

10.09.2026

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1476907170

7.54% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Straumann, Swiss Re

Title

CH1548139182 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139182

Fälligkeitstag

22.06.2027

Basiswert

Straumann Holding AG, Swiss Re AG, Kuehne + Nagel International AG - CH1548139182

7.54% p.a. Reverse Convertible on Julius Bär, Kuehne + Nagel, Straumann

Title

CH1548134191 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134191

Fälligkeitstag

26.11.2027

Basiswert

Julius Bär Gruppe AG, Kuehne + Nagel International AG, Straumann Holding AG - CH1548134191

7.55% (7.55% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Hochtief

Title

CH1548150502 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150502

Fälligkeitstag

25.08.2027

Basiswert

Hochtief AG, Heidelberg Materials AG - CH1548150502

7.55% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Bachem, Logitech

Title

CH1548147276 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147276

Fälligkeitstag

06.08.2027

Basiswert

Bachem Holding AG, Logitech International SA, Accelleron Industries AG - CH1548147276

7.55% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP, Shell

Title

CH1492030254 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030254

Fälligkeitstag

26.01.2027

Basiswert

Shell PLC, SAP SE, LVMH Moët Hennessy Louis Vuitton SE - CH1492030254

7.55% p.a. Autocallable Reverse Convertible on ASML Holding NV

Title

CH1492020214 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020214

Fälligkeitstag

13.11.2028

Basiswert

ASML Holding NV

7.55% p.a. Autocallable Reverse Convertible on Airbus, Uber Technologies (Quanto EUR)

Title

CH1468580282 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468580282

Fälligkeitstag

01.02.2027

Basiswert

Uber Technologies Inc., Airbus SE - CH1468580282

7.55% p.a. Autocallable Reverse Convertible on Lockheed Martin, Rheinmetall, RTX Corporation (Quanto USD)

Title

CH1492028712 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028712

Fälligkeitstag

20.01.2027

Basiswert

Lockheed Martin Corp, Rheinmetall AG, RTX Corporation - CH1492028712

7.55% p.a. Barrier Reverse Convertible on Holcim, Logitech, Richemont

Title

CH1492033175 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033175

Fälligkeitstag

09.02.2027

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Holcim Ltd - CH1492033175

7.55% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1548131999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131999

Fälligkeitstag

13.05.2027

Basiswert

Roche Holding AG, Novartis AG, UBS Group AG - CH1548131999

7.55% p.a. Barrier Reverse Convertible on Richemont, UBS Group, Zurich Insurance

Title

CH1476912261 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912261

Fälligkeitstag

15.10.2026

Basiswert

Compagnie Financière Richemont SA, Zurich Insurance Group Ltd, UBS Group AG - CH1476912261

7.55% p.a. Callable Barrier Reverse Convertible on ABB, Geberit, Holcim

Title

CH1548133367 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133367

Fälligkeitstag

19.05.2027

Basiswert

ABB Ltd, Geberit AG, Holcim Ltd - CH1548133367

7.55% p.a. Reverse Convertible on Georg Fischer, Partners Group Holding, Sika

Title

CH1548130991 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130991

Fälligkeitstag

10.05.2027

Basiswert

Georg Fischer AG, Sika AG, Partners Group Holding AG - CH1548130991

7.56% p.a. Autocallable Barrier Reverse Convertible on Amrize Ltd, ARYZTA, Givaudan, Partners Group Holding, Sika

Title

CH1492020818 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020818

Fälligkeitstag

18.05.2027

Basiswert

Amrize Ltd, Partners Group Holding AG, ARYZTA AG, Givaudan SA, Sika AG - CH1492020818

7.56% p.a. Autocallable Barrier Reverse Convertible on Bachem, Holcim, VAT

Title

CH1548134837 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134837

Fälligkeitstag

28.05.2027

Basiswert

VAT Group AG, Holcim Ltd, Bachem Holding AG - CH1548134837

7.56% p.a. Autocallable Reverse Convertible on VAT Group AG

Title

CH1532238594 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238594

Fälligkeitstag

01.03.2027

Basiswert

VAT Group AG

7.56% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Straumann

Title

CH1492019141 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019141

Fälligkeitstag

04.11.2026

Basiswert

Kuehne + Nagel International AG, Compagnie Financière Richemont SA, Straumann Holding AG - CH1492019141

7.56% p.a. Callable Reverse Convertible on Leonardo, Rheinmetall, Thales (Quanto CHF)

Title

CH1418946625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418946625

Fälligkeitstag

31.03.2027

Basiswert

Leonardo S.p.a., Thales SA, Rheinmetall AG - CH1418946625

7.57% p.a. Autocallable Barrier Reverse Convertible on Holcim, Sandoz Group, UBS Group

Title

CH1492033977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033977

Fälligkeitstag

11.02.2027

Basiswert

Holcim Ltd, UBS Group AG, Sandoz Group AG - CH1492033977

7.57% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, VAT

Title

CH1492020404 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020404

Fälligkeitstag

13.11.2026

Basiswert

Partners Group Holding AG, ABB Ltd, VAT Group AG - CH1492020404

7.57% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group, Zurich Insurance

Title

CH1532244386 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244386

Fälligkeitstag

30.03.2027

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Zurich Insurance Group Ltd - CH1532244386

7.58% (15.00% p.a.) Reverse Convertible on Adobe, Microsoft, Oracle

Title

CH1548136162 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136162

Fälligkeitstag

07.12.2026

Basiswert

Adobe Systems Inc., Microsoft Corp., Oracle Corp. - CH1548136162

7.58% p.a. Autocallable Barrier Reverse Convertible on Adecco, ALSO Holding, Barry Callebaut, Julius Bär

Title

CH1492024646 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024646

Fälligkeitstag

16.12.2026

Basiswert

Julius Bär Gruppe AG, ALSO Holding AG, Barry Callebaut AG, Adecco Group AG - CH1492024646

7.58% p.a. Autocallable Reverse Convertible on L´Oréal, Unilever PLC

Title

CH1548144166 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144166

Fälligkeitstag

21.07.2027

Basiswert

L´Oréal International, Unilever PLC - CH1548144166

7.58% p.a. Barrier Reverse Convertible on Alcon, Lonza, Roche

Title

CH1492025106 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025106

Fälligkeitstag

18.12.2026

Basiswert

Alcon Inc., Lonza Group AG, Roche Holding AG - CH1492025106

7.58% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika

Title

CH1548141766 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141766

Fälligkeitstag

07.07.2027

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1548141766

7.58% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Swiss Re

Title

CH1492017053 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017053

Fälligkeitstag

23.10.2026

Basiswert

Julius Bär Gruppe AG, Logitech International SA, Swiss Re AG - CH1492017053

7.58% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Straumann (Quanto EUR)

Title

CH1476909283 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909283

Fälligkeitstag

24.09.2027

Basiswert

Partners Group Holding AG, Sika AG, Straumann Holding AG - CH1476909283

7.59% (7.55% p.a.) Barrier Reverse Convertible on Home Depot Inc.

Title

CH1492023242 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023242

Fälligkeitstag

07.12.2026

Basiswert

Home Depot Inc.

7.59% (7.59% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Roche

Title

CH1548138192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138192

Fälligkeitstag

16.06.2027

Basiswert

Lonza Group AG, Alcon Inc., Roche Holding AG - CH1548138192

7.59% (7.59% p.a.) Barrier Reverse Convertible on Danone, LVMH Moët Hennessy Louis Vuitton, TotalEnergies (Quanto CHF)

Title

CH1492027664 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027664

Fälligkeitstag

13.01.2027

Basiswert

Danone SA, LVMH Moët Hennessy Louis Vuitton SE, TotalEnergies SE - CH1492027664

7.59% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, Société Générale

Title

CH1548131189 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131189

Fälligkeitstag

07.05.2027

Basiswert

AXA SA, Allianz SE, Société Générale - CH1548131189

7.59% p.a. Autocallable Reverse Convertible on L´Oréal International

Title

CH1492030601 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492030601

Fälligkeitstag

27.01.2027

Basiswert

L´Oréal International

7.59% p.a. Barrier Reverse Convertible on Geberit, Logitech, Swiss Life

Title

CH1548139588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139588

Fälligkeitstag

24.06.2027

Basiswert

Logitech International SA, Geberit AG, Swiss Life Holding AG - CH1548139588

7.60% p.a. Autocallable Reverse Convertible on Amazon.com, ASML, Netflix (Quanto EUR)

Title

CH1492017285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017285

Fälligkeitstag

26.10.2026

Basiswert

ASML Holding NV, Amazon.com Inc., Netflix Inc. - CH1492017285

7.60% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548136774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136774

Fälligkeitstag

09.06.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548136774

7.60% p.a. Callable Reverse Convertible on BELIMO Holding, Burckhardt Compression, Georg Fischer

Title

CH1548128367 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128367

Fälligkeitstag

27.10.2027

Basiswert

Georg Fischer AG, BELIMO Holding AG, Burckhardt Compression Holding Ltd. - CH1548128367

7.60% p.a. Callable Reverse Convertible on Interroll, Kardex

Title

CH1548128110 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128110

Fälligkeitstag

25.10.2027

Basiswert

Kardex AG, Interroll Holding AG - CH1548128110

7.60% p.a. Reverse Convertible on Deutsche Telekom, Enel, Vinci (Quanto CHF)

Title

CH1548142269 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142269

Fälligkeitstag

09.07.2027

Basiswert

Vinci SA, Deutsche Telekom AG, Enel SpA - CH1548142269

7.61% (7.57% p.a.) Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton

Title

CH1492020727 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020727

Fälligkeitstag

16.11.2026

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1492020727

7.61% p.a. Autocallable Barrier Reverse Convertible on Leonardo, Rheinmetall, Rolls-Royce (Quanto CHF)

Title

CH1476908830 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908830

Fälligkeitstag

22.09.2026

Basiswert

Leonardo S.p.a., Rheinmetall AG, Rolls-Royce Holdings PLC - CH1476908830

7.61% p.a. Autocallable Reverse Convertible on Givaudan, Richemont

Title

CH1548150247 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150247

Fälligkeitstag

24.08.2027

Basiswert

Compagnie Financière Richemont SA, Givaudan SA - CH1548150247

7.61% p.a. Barrier Reverse Convertible on Coca-Cola, McDonalds, Procter & Gamble

Title

CH1418943382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418943382

Fälligkeitstag

05.01.2027

Basiswert

Coca-Cola Company, McDonalds Corp., The Procter & Gamble Company - CH1418943382

7.61% p.a. Barrier Reverse Convertible on Givaudan, Logitech, Zurich Insurance

Title

CH1476912634 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912634

Fälligkeitstag

19.10.2026

Basiswert

Zurich Insurance Group Ltd, Givaudan SA, Logitech International SA - CH1476912634

7.61% p.a. Callable Reverse Convertible on ABB, Accelleron Industries, Geberit

Title

CH1492023846 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023846

Fälligkeitstag

10.12.2026

Basiswert

ABB Ltd, Geberit AG, Accelleron Industries AG - CH1492023846

7.62% (10.13% p.a.) Reverse Convertible on Geberit, Logitech

Title

CH1492035329 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035329

Fälligkeitstag

17.11.2026

Basiswert

Geberit AG, Logitech International SA - CH1492035329

7.62% (30.84% p.a.) Reverse Convertible on AMD, Marvell Technology

Title

CH1548139562 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139562

Fälligkeitstag

24.09.2026

Basiswert

Advanced Micro Devices Inc., Marvell Technology Group Ltd. - CH1548139562

7.62% (7.62% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swatch

Title

CH1476908723 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908723

Fälligkeitstag

22.09.2026

Basiswert

The Swatch Group AG, Nestlé SA, Novartis AG, Roche Holding AG - CH1476908723

7.62% p.a. Autocallable Reverse Convertible on Airbus, UBS Group, Zurich Insurance (Quanto USD)

Title

CH1532238883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238883

Fälligkeitstag

02.03.2027

Basiswert

UBS Group AG, Zurich Insurance Group Ltd, Airbus SE - CH1532238883

7.62% p.a. Barrier Reverse Convertible on Bayer AG

Title

CH1548130058 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130058

Fälligkeitstag

03.05.2027

Basiswert

Bayer AG

7.63% (15.26% p.a.) Reverse Convertible on Comet, Inficon, VAT

Title

CH1548137020 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137020

Fälligkeitstag

10.12.2026

Basiswert

VAT Group AG, Comet Holding AG, Inficon Holding AG - CH1548137020

7.63% (7.72% p.a.) Reverse Convertible on Givaudan, Holcim, Zurich Insurance

Title

CH1532246811 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246811

Fälligkeitstag

09.04.2027

Basiswert

Givaudan SA, Holcim Ltd, Zurich Insurance Group Ltd - CH1532246811

7.63% p.a. Barrier Reverse Convertible on Amrize Ltd, Geberit, ING (Quanto CHF)

Title

CH1548136907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136907

Fälligkeitstag

10.06.2027

Basiswert

Geberit AG, Amrize Ltd, ING Groep N.V. - CH1548136907

7.64% (7.64% p.a.) Barrier Reverse Convertible on Richemont, Sika, VAT

Title

CH1492025189 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025189

Fälligkeitstag

18.12.2026

Basiswert

VAT Group AG, Sika AG, Compagnie Financière Richemont SA - CH1492025189

7.64% (7.64% p.a.) Reverse Convertible on Microsoft, Visa

Title

CH1492035493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035493

Fälligkeitstag

19.02.2027

Basiswert

Visa Inc., Microsoft Corp. - CH1492035493

7.64% (7.68% p.a.) Barrier Reverse Convertible on Amazon.com, Microsoft (Quanto CHF)

Title

CH1532246555 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246555

Fälligkeitstag

08.04.2027

Basiswert

Microsoft Corp., Amazon.com Inc. - CH1532246555

7.64% p.a. Autocallable Barrier Reverse Convertible on ING, L´Oréal, Novo Nordisk, RWE (Quanto CHF)

Title

CH1492031633 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031633

Fälligkeitstag

01.02.2027

Basiswert

ING Groep N.V., L´Oréal International, RWE AG, Novo Nordisk A/S - CH1492031633

7.64% p.a. Autocallable Reverse Convertible on Allianz, AXA

Title

CH1548142772 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142772

Fälligkeitstag

14.07.2027

Basiswert

AXA SA, Allianz SE - CH1548142772

7.64% p.a. Barrier Reverse Convertible on Geberit, Roche, Swiss Re (Quanto EUR)

Title

CH1492017624 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017624

Fälligkeitstag

28.10.2026

Basiswert

Roche Holding AG, Geberit AG, Swiss Re AG - CH1492017624

7.64% p.a. Barrier Reverse Convertible on Straumann, Swiss Life, Temenos

Title

CH1492032409 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032409

Fälligkeitstag

04.02.2027

Basiswert

Swiss Life Holding AG, Temenos AG, Straumann Holding AG - CH1492032409

7.65% (7.65% p.a.) Barrier Reverse Convertible on ABB, Amrize Ltd, Holcim

Title

CH1492024133 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024133

Fälligkeitstag

11.12.2026

Basiswert

ABB Ltd, Holcim Ltd, Amrize Ltd - CH1492024133

7.65% p.a. Autocallable Barrier Reverse Convertible on ABB, Bachem, VAT

Title

CH1548134944 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134944

Fälligkeitstag

28.05.2027

Basiswert

VAT Group AG, Bachem Holding AG, ABB Ltd - CH1548134944

7.65% p.a. Autocallable Reverse Convertible on Booking Holdings, McDonalds, ServiceNow (Quanto EUR)

Title

CH1492026344 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026344

Fälligkeitstag

28.06.2027

Basiswert

ServiceNow Inc, Booking Holdings Inc., McDonalds Corp. - CH1492026344

7.65% p.a. Autocallable Reverse Convertible on Shell, TotalEnergies

Title

CH1548132237 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132237

Fälligkeitstag

13.05.2027

Basiswert

Shell PLC, TotalEnergies SE - CH1548132237

7.65% p.a. Barrier Reverse Convertible on Partners Group Holding, Swiss Re, UBS Group

Title

CH1492030239 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030239

Fälligkeitstag

26.01.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Swiss Re AG - CH1492030239

7.66% (15.58% p.a.) Reverse Convertible on AMD, SAP, ServiceNow (Quanto CHF)

Title

CH1532239360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239360

Fälligkeitstag

31.08.2026

Basiswert

ServiceNow Inc, Advanced Micro Devices Inc., SAP SE - CH1532239360

7.66% p.a. Autocallable Reverse Convertible on Logitech, Richemont, Sandoz Group

Title

CH1492027474 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027474

Fälligkeitstag

12.01.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Sandoz Group AG - CH1492027474

7.66% p.a. Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548133540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133540

Fälligkeitstag

21.05.2027

Basiswert

Sonova Holding AG, Alcon Inc., Straumann Holding AG - CH1548133540

7.66% p.a. Barrier Reverse Convertible on Straumann, Swatch, VAT

Title

CH1476907188 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907188

Fälligkeitstag

10.09.2026

Basiswert

VAT Group AG, Straumann Holding AG, The Swatch Group AG - CH1476907188

7.67% (18.16% p.a.) Reverse Convertible on Alphabet, Broadcom, Meta Platforms

Title

CH1548131452 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131452

Fälligkeitstag

13.10.2026

Basiswert

Broadcom Inc., Alphabet, Inc., Meta Platforms Inc. - CH1548131452

7.67% (7.63% p.a.) Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1492022566 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022566

Fälligkeitstag

30.11.2026

Basiswert

Infineon Technologies AG

7.67% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft

Title

CH1548139448 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139448

Fälligkeitstag

24.06.2027

Basiswert

Alphabet, Inc., Microsoft Corp. - CH1548139448

7.67% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1532244519 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244519

Fälligkeitstag

30.03.2027

Basiswert

NVIDIA Corp.

7.67% p.a. Barrier Reverse Convertible on Adidas, Amazon.com, Holcim, Merck, Partners Group Holding (Quanto CHF)

Title

CH1492018572 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018572

Fälligkeitstag

02.11.2026

Basiswert

Partners Group Holding AG, Holcim Ltd, Adidas AG, Merck & Co. Inc., Amazon.com Inc. - CH1492018572

7.67% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Swiss Re

Title

CH1532241028 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241028

Fälligkeitstag

10.03.2027

Basiswert

Sika AG, Swiss Re AG, Partners Group Holding AG - CH1532241028

7.68% (10.01% p.a.) Barrier Reverse Convertible on Vonovia SE

Title

CH1492034595 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034595

Fälligkeitstag

19.11.2026

Basiswert

Vonovia SE

7.68% (15.19% p.a.) Reverse Convertible on Comet, Partners Group Holding, VAT

Title

CH1548137673 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137673

Fälligkeitstag

14.12.2026

Basiswert

Partners Group Holding AG, Comet Holding AG, VAT Group AG - CH1548137673

7.68% (7.63% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1532241978 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241978

Fälligkeitstag

15.03.2027

Basiswert

ASML Holding NV

7.68% (7.64% p.a.) Barrier Reverse Convertible on Schneider Electric, SGS, Swiss Re (Quanto CHF)

Title

CH1476906248 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906248

Fälligkeitstag

07.09.2026

Basiswert

SGS SA, Schneider Electric SE, Swiss Re AG - CH1476906248

7.68% (7.69% p.a.) Barrier Reverse Convertible on Kuehne + Nagel International AG

Title

CH1548142624 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142624

Fälligkeitstag

13.07.2027

Basiswert

Kuehne + Nagel International AG

7.68% p.a. Barrier Reverse Convertible on Philips, Shell, Unilever PLC

Title

CH1548143580 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143580

Fälligkeitstag

19.07.2027

Basiswert

Unilever PLC, Koninklijke Philips N.V., Shell PLC - CH1548143580

7.68% p.a. Barrier Reverse Convertible on Straumann, Swatch, VAT

Title

CH1476906644 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906644

Fälligkeitstag

08.09.2026

Basiswert

VAT Group AG, Straumann Holding AG, The Swatch Group AG - CH1476906644

7.69% (13.00% p.a.) Barrier Reverse Convertible on SAP SE

Title

CH1532244337 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244337

Fälligkeitstag

29.10.2026

Basiswert

SAP SE

7.69% (15.39% p.a.) Reverse Convertible on Shopify Inc (Quanto CHF)

Title

CH1492033985 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492033985

Fälligkeitstag

11.08.2026

Basiswert

Shopify Inc

7.69% (7.67% p.a.) Barrier Reverse Convertible on Logitech, Roche, Swiss Re

Title

CH1548132187 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132187

Fälligkeitstag

14.05.2027

Basiswert

Swiss Re AG, Logitech International SA, Roche Holding AG - CH1548132187

7.69% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Bachem, Logitech

Title

CH1548147128 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147128

Fälligkeitstag

06.08.2027

Basiswert

Bachem Holding AG, Logitech International SA, Accelleron Industries AG - CH1548147128

7.69% p.a. Autocallable Barrier Reverse Convertible on Lonza, Nestlé, Novartis, Sandoz Group

Title

CH1548134175 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134175

Fälligkeitstag

26.05.2027

Basiswert

Sandoz Group AG, Nestlé SA, Novartis AG, Lonza Group AG - CH1548134175

7.69% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Sika, UBS Group

Title

CH1476912899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912899

Fälligkeitstag

21.10.2026

Basiswert

Sika AG, Nestlé SA, UBS Group AG - CH1476912899

7.69% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548145379 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145379

Fälligkeitstag

28.07.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Broadcom Inc. - CH1548145379

7.69% p.a. Autocallable Reverse Convertible on NVIDIA, Zurich Insurance (Quanto CHF)

Title

CH1532244279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244279

Fälligkeitstag

25.03.2027

Basiswert

NVIDIA Corp., Zurich Insurance Group Ltd - CH1532244279

7.69% p.a. Barrier Reverse Convertible on Allianz, ASML, Givaudan, Lindt & Sprüngli, Swiss Re, UBS Group (Quanto CHF)

Title

CH1548150155 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150155

Fälligkeitstag

23.08.2027

Basiswert

Givaudan SA, Swiss Re AG, UBS Group AG, Lindt & Sprüngli AG, ASML Holding NV, Allianz SE - CH1548150155

7.69% p.a. Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re

Title

CH1492035923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035923

Fälligkeitstag

19.02.2027

Basiswert

Partners Group Holding AG, Swiss Life Holding AG, Swiss Re AG - CH1492035923

7.70% (7.70% p.a.) Barrier Reverse Convertible on ABB, Holcim, Sika

Title

CH1492022384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022384

Fälligkeitstag

27.11.2026

Basiswert

ABB Ltd, Holcim Ltd, Sika AG - CH1492022384

7.70% (7.70% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492036038 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036038

Fälligkeitstag

19.02.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1492036038

7.70% p.a. Autocallable Barrier Reverse Convertible on Bank of America, Citigroup, JPMorgan Chase

Title

CH1548137814 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137814

Fälligkeitstag

15.06.2028

Basiswert

JPMorgan Chase & Co., Bank of America Corporation, Citigroup Inc. - CH1548137814

7.70% p.a. Barrier Reverse Convertible on Givaudan, PSP Swiss Property, Swiss Prime Site

Title

CH1532241721 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241721

Fälligkeitstag

12.03.2027

Basiswert

Givaudan SA, Swiss Prime Site AG, PSP Swiss Property AG - CH1532241721

7.70% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1492025486 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025486

Fälligkeitstag

21.12.2026

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sika AG - CH1492025486

7.70% p.a. Barrier Reverse Convertible on Lindt & Sprüngli, Schindler, Straumann

Title

CH1532238909 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238909

Fälligkeitstag

30.08.2027

Basiswert

Lindt & Sprüngli AG, Straumann Holding AG, Schindler Holding AG - CH1532238909

7.70% p.a. Barrier Reverse Convertible on Lonza, Partners Group Holding, Straumann

Title

CH1492017046 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017046

Fälligkeitstag

23.10.2026

Basiswert

Partners Group Holding AG, Lonza Group AG, Straumann Holding AG - CH1492017046

7.70% p.a. Reverse Convertible on ASML, Evonik Industries, Vonovia

Title

CH1548142285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142285

Fälligkeitstag

09.07.2027

Basiswert

ASML Holding NV, Evonik Industries AG, Vonovia SE - CH1548142285

7.71% (7.71% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1492031237 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031237

Fälligkeitstag

29.01.2027

Basiswert

Novartis AG, Roche Holding AG, Sandoz Group AG - CH1492031237

7.71% (7.71% p.a.) Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1476908160 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908160

Fälligkeitstag

17.09.2026

Basiswert

Alphabet, Inc., Apple Inc., NVIDIA Corp. - CH1476908160

7.71% p.a. Barrier Reverse Convertible on Julius Bär, Lonza, Richemont

Title

CH1476911818 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911818

Fälligkeitstag

13.10.2026

Basiswert

Lonza Group AG, Julius Bär Gruppe AG, Compagnie Financière Richemont SA - CH1476911818

7.71% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, Zurich Insurance

Title

CH1548131718 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131718

Fälligkeitstag

12.05.2027

Basiswert

Partners Group Holding AG, Straumann Holding AG, Zurich Insurance Group Ltd - CH1548131718

7.72% p.a. Autocallable Reverse Convertible on Alcon, Sika

Title

CH1476912584 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912584

Fälligkeitstag

19.10.2026

Basiswert

Sika AG, Alcon Inc. - CH1476912584

7.73% (7.73% p.a.) Barrier Reverse Convertible on Geberit, Givaudan, VAT

Title

CH1492025759 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025759

Fälligkeitstag

23.12.2026

Basiswert

VAT Group AG, Givaudan SA, Geberit AG - CH1492025759

7.73% (7.75% p.a.) Barrier Reverse Convertible on Lonza, UBS Group, Zurich Insurance

Title

CH1492026211 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026211

Fälligkeitstag

28.12.2026

Basiswert

Lonza Group AG, Zurich Insurance Group Ltd, UBS Group AG - CH1492026211

7.73% p.a. Barrier Reverse Convertible on Alcon, Lindt & Sprüngli, Nestlé

Title

CH1532239113 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239113

Fälligkeitstag

30.08.2027

Basiswert

Lindt & Sprüngli AG, Nestlé SA, Alcon Inc. - CH1532239113

7.73% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Lonza

Title

CH1492021279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021279

Fälligkeitstag

19.11.2026

Basiswert

Kuehne + Nagel International AG, Lonza Group AG, Logitech International SA - CH1492021279

7.74% (15.31% p.a.) Barrier Reverse Convertible on Dassault Systèmes S.A. (Quanto CHF)

Title

CH1548137558 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137558

Fälligkeitstag

14.12.2026

Basiswert

Dassault Systèmes S.A.

7.74% p.a. Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto CHF)

Title

CH1476905281 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905281

Fälligkeitstag

31.08.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Novo Nordisk A/S, ASML Holding NV - CH1476905281

7.75% (13.16% p.a.) Barrier Reverse Convertible on Volkswagen AG

Title

CH1548138978 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138978

Fälligkeitstag

21.01.2027

Basiswert

Volkswagen AG

7.75% (15.59% p.a.) Barrier Reverse Convertible on CME , Deutsche Bank, IntercontinentalExchange (Quanto USD)

Title

CH1548134001 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134001

Fälligkeitstag

25.11.2026

Basiswert

IntercontinentalExchange Inc., Deutsche Bank AG, CME Group Inc. - CH1548134001

7.75% (7.75% p.a.) Barrier Reverse Convertible on Galderma Group, Lonza, Sandoz Group

Title

CH1548127146 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127146

Fälligkeitstag

21.04.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Lonza Group AG - CH1548127146

7.75% (7.75% p.a.) Reverse Convertible on Allianz, Munich Re

Title

CH1532241192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241192

Fälligkeitstag

10.03.2027

Basiswert

Allianz SE, Münchener Rückversicherungs AG - CH1532241192

7.75% (7.75% p.a.) Reverse Convertible on Medtronic, ResMed Inc, Stryker

Title

CH1548129118 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129118

Fälligkeitstag

29.04.2027

Basiswert

Medtronic, PLC, ResMed Inc, Stryker Corp. - CH1548129118

7.75% p.a. Autocallable Reverse Convertible on Adecco, Lonza, UBS Group

Title

CH1548149355 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149355

Fälligkeitstag

19.08.2027

Basiswert

Lonza Group AG, UBS Group AG, Adecco Group AG - CH1548149355

7.76% (15.20% p.a.) Barrier Reverse Convertible on CME , Deutsche Börse, IntercontinentalExchange (Quanto EUR)

Title

CH1548140784 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140784

Fälligkeitstag

05.01.2027

Basiswert

IntercontinentalExchange Inc., CME Group Inc., Deutsche Börse AG - CH1548140784

7.76% (15.70% p.a.) Barrier Reverse Convertible on Synopsys Inc (Quanto CHF)

Title

CH1548130025 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130025

Fälligkeitstag

02.11.2026

Basiswert

Synopsys Inc

7.76% (5.17% p.a.) Barrier Reverse Convertible on Helvetia, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1476908061 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908061

Fälligkeitstag

17.03.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG, Helvetia Holding AG - CH1476908061

7.76% (7.76% p.a.) Barrier Reverse Convertible on Nestlé, Sandoz Group, Zurich Insurance

Title

CH1532244071 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244071

Fälligkeitstag

24.03.2027

Basiswert

Zurich Insurance Group Ltd, Sandoz Group AG, Nestlé SA - CH1532244071

7.76% p.a. Autocallable Reverse Convertible on BKW, Straumann

Title

CH1492035410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035410

Fälligkeitstag

18.02.2027

Basiswert

Straumann Holding AG, BKW AG - CH1492035410

7.76% p.a. Barrier Reverse Convertible on ABB, Givaudan, Schindler

Title

CH1492034587 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034587

Fälligkeitstag

15.02.2027

Basiswert

Givaudan SA, ABB Ltd, Schindler Holding AG - CH1492034587

7.76% p.a. Barrier Reverse Convertible on Aegon, Danone, EssilorLuxottica (Quanto CHF)

Title

CH1548133573 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133573

Fälligkeitstag

21.05.2027

Basiswert

Aegon Ltd., Danone SA, EssilorLuxottica SA - CH1548133573

7.76% p.a. Barrier Reverse Convertible on Geberit, Lindt & Sprüngli, Partners Group Holding

Title

CH1446049194 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049194

Fälligkeitstag

16.11.2026

Basiswert

Geberit AG, Lindt & Sprüngli AG, Partners Group Holding AG - CH1446049194

7.76% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Straumann

Title

CH1492019257 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019257

Fälligkeitstag

05.11.2026

Basiswert

Partners Group Holding AG, Straumann Holding AG, Sika AG - CH1492019257

7.76% p.a. Reverse Convertible on ABB, Logitech, Sandoz Group

Title

CH1548142335 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142335

Fälligkeitstag

09.07.2027

Basiswert

ABB Ltd, Logitech International SA, Sandoz Group AG - CH1548142335

7.76% p.a. Reverse Convertible on Amazon.com, Johnson & Johnson, Procter & Gamble

Title

CH1492026781 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026781

Fälligkeitstag

30.12.2026

Basiswert

The Procter & Gamble Company, Johnson & Johnson, Amazon.com Inc. - CH1492026781

7.76% p.a. Reverse Convertible on BELIMO Holding, Comet, Galderma Group

Title

CH1548127377 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127377

Fälligkeitstag

21.04.2027

Basiswert

Comet Holding AG, BELIMO Holding AG, Galderma Group Ltd - CH1548127377

7.77% p.a. Autocallable Barrier Reverse Convertible on Alcon, Lonza, Siegfried

Title

CH1548143465 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143465

Fälligkeitstag

19.07.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Alcon Inc. - CH1548143465

7.77% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Lonza, Novartis, Sandoz Group

Title

CH1548149314 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149314

Fälligkeitstag

19.08.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Galderma Group Ltd, Novartis AG - CH1548149314

7.77% p.a. Autocallable Reverse Convertible on Broadcom, Microsoft, ServiceNow

Title

CH1548150569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150569

Fälligkeitstag

25.08.2027

Basiswert

Broadcom Inc., ServiceNow Inc, Microsoft Corp. - CH1548150569

7.77% p.a. Barrier Reverse Convertible on ABB, Nestlé, Richemont, Swisscom

Title

CH1446050937 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446050937

Fälligkeitstag

26.11.2026

Basiswert

Swisscom AG, Nestlé SA, Compagnie Financière Richemont SA, ABB Ltd - CH1446050937

7.77% p.a. Reverse Convertible on Kuehne + Nagel, SGS

Title

CH1548140313 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140313

Fälligkeitstag

29.06.2027

Basiswert

SGS SA, Kuehne + Nagel International AG - CH1548140313

7.78% (15.91% p.a.) Reverse Convertible on Amazon.com, Meta Platforms, Microsoft (Quanto GBP)

Title

CH1532246761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246761

Fälligkeitstag

09.10.2026

Basiswert

Amazon.com Inc., Meta Platforms Inc., Microsoft Corp. - CH1532246761

7.78% p.a. Barrier Reverse Convertible on Alcon, Roche, Sandoz Group

Title

CH1492032052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032052

Fälligkeitstag

02.02.2027

Basiswert

Roche Holding AG, Sandoz Group AG, Alcon Inc. - CH1492032052

7.78% p.a. Barrier Reverse Convertible on PSP Swiss Property, Sunrise Communications AG, Swiss Re

Title

CH1548140743 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140743

Fälligkeitstag

01.07.2027

Basiswert

Swiss Re AG, PSP Swiss Property AG, Sunrise Communications AG - CH1548140743

7.79% (7.75% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Swisscom

Title

CH1476909721 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909721

Fälligkeitstag

28.09.2026

Basiswert

Swisscom AG, Partners Group Holding AG, Alcon Inc. - CH1476909721

7.79% p.a. Autocallable Reverse Convertible on Dassault, Leonardo, Rheinmetall, Thales (Quanto USD)

Title

CH1548146997 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146997

Fälligkeitstag

05.08.2027

Basiswert

Dassault Systèmes S.A., Thales SA, Leonardo S.p.a., Rheinmetall AG - CH1548146997

7.79% p.a. Callable Reverse Convertible on Julius Bär, Partners Group Holding, Swissquote

Title

CH1492017988 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017988

Fälligkeitstag

29.10.2026

Basiswert

Julius Bär Gruppe AG, Swissquote Group Holding SA, Partners Group Holding AG - CH1492017988

7.80% (7.80% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Swiss Re

Title

CH1548140412 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140412

Fälligkeitstag

29.06.2027

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, Lonza Group AG - CH1548140412

7.80% (7.80% p.a.) Reverse Convertible on Kinder Morgan, Williams Companies

Title

CH1548137335 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137335

Fälligkeitstag

11.06.2027

Basiswert

Williams Companies Inc., Kinder Morgan Inc. - CH1548137335

7.80% p.a. Autocallable Reverse Convertible on Generali, LVMH Moët Hennessy Louis Vuitton

Title

CH1492024885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024885

Fälligkeitstag

17.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Assicurazioni Generali SpA - CH1492024885

7.80% p.a. Callable Reverse Convertible on Georg Fischer, Kardex, Sika

Title

CH1548133144 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133144

Fälligkeitstag

18.11.2027

Basiswert

Kardex AG, Sika AG, Georg Fischer AG - CH1548133144

7.80% p.a. Reverse Convertible on Adecco, Siemens Energy, Sika (Quanto CHF)

Title

CH1492020263 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020263

Fälligkeitstag

12.11.2026

Basiswert

Adecco Group AG, Sika AG, Siemens Energy AG - CH1492020263

7.81% (7.73% p.a.) Barrier Reverse Convertible on Swissquote, UBS Group

Title

CH1532245342 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245342

Fälligkeitstag

05.04.2027

Basiswert

Swissquote Group Holding SA, UBS Group AG - CH1532245342

7.81% p.a. Barrier Reverse Convertible on ABB, Givaudan, Richemont

Title

CH1532243834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243834

Fälligkeitstag

23.03.2027

Basiswert

Givaudan SA, Compagnie Financière Richemont SA, ABB Ltd - CH1532243834

7.81% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, Schindler

Title

CH1492027425 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027425

Fälligkeitstag

12.07.2027

Basiswert

ABB Ltd, Schindler Holding AG, Partners Group Holding AG - CH1492027425

7.81% p.a. Barrier Reverse Convertible on ABB, Richemont, Swiss Re

Title

CH1476909655 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909655

Fälligkeitstag

25.09.2026

Basiswert

Swiss Re AG, Compagnie Financière Richemont SA, ABB Ltd - CH1476909655

7.81% p.a. Barrier Reverse Convertible on Alcon, Straumann, Temenos

Title

CH1492029876 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029876

Fälligkeitstag

25.01.2027

Basiswert

Temenos AG, Alcon Inc., Straumann Holding AG - CH1492029876

7.81% p.a. Barrier Reverse Convertible on Coca-Cola, Merck, Mondelez Intl., Palo Alto Networks

Title

CH1492017343 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017343

Fälligkeitstag

27.10.2026

Basiswert

Coca-Cola Company, Palo Alto Networks, Inc., Mondelez International, Merck & Co. Inc. - CH1492017343

7.81% p.a. Callable Reverse Convertible on Amrize Ltd, Burckhardt Compression, Kuehne + Nagel

Title

CH1548148399 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148399

Fälligkeitstag

14.02.2028

Basiswert

Burckhardt Compression Holding Ltd., Amrize Ltd, Kuehne + Nagel International AG - CH1548148399

7.83% (15.49% p.a.) Reverse Convertible on Intl. Consolidated Airlines , Lufthansa, Ryanair (Quanto EUR)

Title

CH1532241911 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241911

Fälligkeitstag

14.09.2026

Basiswert

Deutsche Lufthansa AG, International Consolidated Airlines Group SA, Ryanair Holdings PLC - CH1532241911

7.83% (7.83% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548146823 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146823

Fälligkeitstag

05.08.2027

Basiswert

Logitech International SA

7.83% (7.83% p.a.) Reverse Convertible on Lonza, Nestlé, Swisscom

Title

CH1548147763 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147763

Fälligkeitstag

11.08.2027

Basiswert

Nestlé SA, Swisscom AG, Lonza Group AG - CH1548147763

7.83% p.a. Autocallable Barrier Reverse Convertible on Best Buy Co. Inc.

Title

CH1548141451 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141451

Fälligkeitstag

06.07.2027

Basiswert

Best Buy Co. Inc.

7.83% p.a. Barrier Reverse Convertible on Ferrari, Georg Fischer, Infineon, Lindt & Sprüngli, Partners Group Holding, Sika (Quanto CHF)

Title

CH1492020347 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020347

Fälligkeitstag

13.11.2026

Basiswert

Lindt & Sprüngli AG, Partners Group Holding AG, Sika AG, Georg Fischer AG, Ferrari N.V., Infineon Technologies AG - CH1492020347

7.83% p.a. Barrier Reverse Convertible on Logitech, Lonza, Sandoz Group

Title

CH1492022301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022301

Fälligkeitstag

27.11.2030

Basiswert

Logitech International SA, Lonza Group AG, Sandoz Group AG - CH1492022301

7.83% p.a. Callable Reverse Convertible on Charles Schwab, Salesforce, Visa

Title

CH1492024141 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024141

Fälligkeitstag

13.12.2027

Basiswert

Salesforce, Inc., Charles Schwab Corp., Visa Inc. - CH1492024141

7.83% p.a. Callable Reverse Convertible on Partners Group Holding, Swissquote, UBS Group

Title

CH1446051885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446051885

Fälligkeitstag

30.11.2026

Basiswert

Swissquote Group Holding SA, UBS Group AG, Partners Group Holding AG - CH1446051885

7.84% (7.80% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont, Swatch (Quanto CHF)

Title

CH1548148688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148688

Fälligkeitstag

16.08.2027

Basiswert

Compagnie Financière Richemont SA, The Swatch Group AG, LVMH Moët Hennessy Louis Vuitton SE - CH1548148688

7.84% (7.86% p.a.) Reverse Convertible on BAE Systems, Hensoldt , Leonardo, Rheinmetall (Quanto USD)

Title

CH1492029892 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029892

Fälligkeitstag

25.01.2027

Basiswert

BAE Systems PLC, Hensoldt AG, Rheinmetall AG, Leonardo S.p.a. - CH1492029892

7.84% p.a. Autocallable Reverse Convertible on Kingspan, Vinci

Title

CH1548143176 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143176

Fälligkeitstag

16.07.2027

Basiswert

Vinci SA, Kingspan Group PLC - CH1548143176

7.84% p.a. Reverse Convertible on Accelleron Industries, Sandoz Group, Straumann

Title

CH1548141774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141774

Fälligkeitstag

07.07.2027

Basiswert

Accelleron Industries AG, Straumann Holding AG, Sandoz Group AG - CH1548141774

7.85% p.a. Callable Barrier Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1548148365 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148365

Fälligkeitstag

13.08.2027

Basiswert

Alcon Inc., Galderma Group Ltd, Sandoz Group AG - CH1548148365

7.85% p.a. Callable Reverse Convertible on ARYZTA, SGS

Title

CH1548148407 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148407

Fälligkeitstag

14.02.2028

Basiswert

ARYZTA AG, SGS SA - CH1548148407

7.85% p.a. Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, SAP (Quanto CHF)

Title

CH1492031963 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031963

Fälligkeitstag

02.02.2027

Basiswert

ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE, SAP SE - CH1492031963

7.86% (7.86% p.a.) Reverse Convertible on Geberit, Lonza, Richemont

Title

CH1532240640 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240640

Fälligkeitstag

09.03.2027

Basiswert

Geberit AG, Lonza Group AG, Compagnie Financière Richemont SA - CH1532240640

7.86% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Sika

Title

CH1492035683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035683

Fälligkeitstag

18.02.2028

Basiswert

Sika AG, Logitech International SA, Partners Group Holding AG - CH1492035683

7.86% p.a. Callable Reverse Convertible on Bucher, Georg Fischer, SIG Group

Title

CH1446055688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446055688

Fälligkeitstag

31.12.2026

Basiswert

SIG Group AG, Georg Fischer AG, Bucher Industries AG - CH1446055688

7.87% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548140248 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140248

Fälligkeitstag

28.06.2027

Basiswert

Logitech International SA

7.88% (7.88% p.a.) Barrier Reverse Convertible on Logitech, Nestlé, Straumann

Title

CH1548135958 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135958

Fälligkeitstag

04.06.2027

Basiswert

Logitech International SA, Nestlé SA, Straumann Holding AG - CH1548135958

7.88% p.a. Barrier Reverse Convertible on Accelleron Industries, Richemont, VAT

Title

CH1492017525 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017525

Fälligkeitstag

28.10.2026

Basiswert

Accelleron Industries AG, Compagnie Financière Richemont SA, VAT Group AG - CH1492017525

7.88% p.a. Callable Barrier Reverse Convertible on Holcim, Lonza, UBS Group

Title

CH1548145544 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145544

Fälligkeitstag

29.04.2027

Basiswert

Holcim Ltd, Lonza Group AG, UBS Group AG - CH1548145544

7.88% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1532242612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242612

Fälligkeitstag

17.03.2028

Basiswert

Logitech International SA, ALSO Holding AG - CH1532242612

7.89% (7.89% p.a.) Barrier Reverse Convertible on ABB, Alcon, UBS Group

Title

CH1476905471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905471

Fälligkeitstag

01.09.2026

Basiswert

Alcon Inc., UBS Group AG, ABB Ltd - CH1476905471

7.89% (7.89% p.a.) Barrier Reverse Convertible on Heineken NV, Pernod-Ricard

Title

CH1548148118 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148118

Fälligkeitstag

12.08.2027

Basiswert

Pernod-Ricard SA, Heineken NV - CH1548148118

7.89% (7.89% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548150882 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150882

Fälligkeitstag

26.08.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1548150882

7.89% p.a. Barrier Reverse Convertible on ABB, Logitech, Richemont

Title

CH1548143374 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143374

Fälligkeitstag

16.07.2027

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, ABB Ltd - CH1548143374

7.90% p.a. Autocallable Barrier Reverse Convertible on Airbus, BAE Systems, RENK Group AG (Quanto CHF)

Title

CH1476911115 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911115

Fälligkeitstag

08.10.2026

Basiswert

Airbus SE, BAE Systems PLC, RENK Group AG - CH1476911115

7.90% p.a. Barrier Reverse Convertible on Alcon, Partners Group Holding, Zurich Insurance

Title

CH1492024992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024992

Fälligkeitstag

17.12.2026

Basiswert

Zurich Insurance Group Ltd, Alcon Inc., Partners Group Holding AG - CH1492024992

7.90% p.a. Barrier Reverse Convertible on Givaudan, Sika, Swiss Re

Title

CH1548147391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147391

Fälligkeitstag

09.08.2027

Basiswert

Swiss Re AG, Givaudan SA, Sika AG - CH1548147391

7.90% p.a. Reverse Convertible on Galderma Group, Huber + Suhner, Sandoz Group

Title

CH1548149587 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149587

Fälligkeitstag

20.05.2027

Basiswert

Sandoz Group AG, Huber + Suhner AG, Galderma Group Ltd - CH1548149587

7.91% (7.89% p.a.) Barrier Reverse Convertible on Allianz, Deutsche Telekom, L´Oréal, Shell

Title

CH1492031567 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031567

Fälligkeitstag

01.02.2027

Basiswert

L´Oréal International, Shell PLC, Allianz SE, Deutsche Telekom AG - CH1492031567

7.91% p.a. Barrier Reverse Convertible on Flughafen Zürich, Sika, UBS Group

Title

CH1548150171 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150171

Fälligkeitstag

22.11.2027

Basiswert

Flughafen Zürich AG, Sika AG, UBS Group AG - CH1548150171

7.91% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492024125 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024125

Fälligkeitstag

11.12.2026

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Partners Group Holding AG - CH1492024125

7.92% (8.61% p.a.) Barrier Reverse Convertible on Alcon, Geberit

Title

CH1492029504 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029504

Fälligkeitstag

23.12.2026

Basiswert

Geberit AG, Alcon Inc. - CH1492029504

7.93% (10.58% p.a.) Reverse Convertible on Burckhardt Compression, Kardex, Straumann

Title

CH1492035642 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035642

Fälligkeitstag

18.11.2026

Basiswert

Straumann Holding AG, Kardex AG, Burckhardt Compression Holding Ltd. - CH1492035642

7.93% (7.85% p.a.) Barrier Reverse Convertible on ABB, Straumann, VAT

Title

CH1532245441 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245441

Fälligkeitstag

06.04.2027

Basiswert

ABB Ltd, Straumann Holding AG, VAT Group AG - CH1532245441

7.93% (7.93% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sika, UBS Group

Title

CH1492027797 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027797

Fälligkeitstag

13.01.2027

Basiswert

Partners Group Holding AG, Sika AG, UBS Group AG - CH1492027797

7.93% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Schindler

Title

CH1468579201 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579201

Fälligkeitstag

25.01.2027

Basiswert

Schindler Holding AG, Julius Bär Gruppe AG, Partners Group Holding AG - CH1468579201

7.94% (7.95% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548128938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128938

Fälligkeitstag

29.04.2027

Basiswert

Huber + Suhner AG, Accelleron Industries AG, ABB Ltd, Lonza Group AG - CH1548128938

7.94% p.a. Autocallable Reverse Convertible on Nestlé, Roche, UBS Group (Quanto USD)

Title

CH1548139091 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139091

Fälligkeitstag

22.06.2027

Basiswert

Nestlé SA, UBS Group AG, Roche Holding AG - CH1548139091

7.94% p.a. Barrier Reverse Convertible on Amazon.com, Apple, Meta Platforms

Title

CH1476908335 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908335

Fälligkeitstag

20.09.2027

Basiswert

Amazon.com Inc., Meta Platforms Inc., Apple Inc. - CH1476908335

7.94% p.a. Barrier Reverse Convertible on Holcim, Nestlé, Roche

Title

CH1548131841 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131841

Fälligkeitstag

13.05.2027

Basiswert

Roche Holding AG, Nestlé SA, Holcim Ltd - CH1548131841

7.94% p.a. Barrier Reverse Convertible on Richemont, Swatch

Title

CH1548133557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133557

Fälligkeitstag

21.05.2027

Basiswert

The Swatch Group AG, Compagnie Financière Richemont SA - CH1548133557

7.94% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, UBS Group

Title

CH1548131643 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131643

Fälligkeitstag

12.05.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, UBS Group AG - CH1548131643

7.94% p.a. Reverse Convertible on Alcon, Lonza, VAT

Title

CH1548130983 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130983

Fälligkeitstag

10.05.2027

Basiswert

Alcon Inc., Lonza Group AG, VAT Group AG - CH1548130983

7.95% (15.90% p.a.) Barrier Reverse Convertible on Leonardo S.p.a. (Quanto USD)

Title

CH1548133730 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133730

Fälligkeitstag

20.11.2026

Basiswert

Leonardo S.p.a.

7.95% (15.91% p.a.) Reverse Convertible on Intel Corp.

Title

CH1548146781 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146781

Fälligkeitstag

05.02.2027

Basiswert

Intel Corp.

7.95% p.a. Autocallable Barrier Reverse Convertible on AXA, ING, L´Oréal, Munich Re (Quanto CHF)

Title

CH1548131163 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131163

Fälligkeitstag

10.05.2027

Basiswert

Münchener Rückversicherungs AG, ING Groep N.V., AXA SA, L´Oréal International - CH1548131163

7.95% p.a. Autocallable Barrier Reverse Convertible on Lonza, UBS Group, Zurich Insurance

Title

CH1548146724 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146724

Fälligkeitstag

05.08.2027

Basiswert

UBS Group AG, Zurich Insurance Group Ltd, Lonza Group AG - CH1548146724

7.95% p.a. Barrier Reverse Convertible on Swiss Life, Tecan

Title

CH1548148449 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148449

Fälligkeitstag

13.08.2027

Basiswert

Tecan Group Ltd., Swiss Life Holding AG - CH1548148449

7.96% (7.91% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1548126569 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126569

Fälligkeitstag

19.04.2027

Basiswert

Partners Group Holding AG, Julius Bär Gruppe AG, UBS Group AG - CH1548126569

7.96% (7.96% p.a.) Barrier Reverse Convertible on Holcim, Richemont, Swiss Re

Title

CH1492035659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035659

Fälligkeitstag

18.02.2027

Basiswert

Swiss Re AG, Holcim Ltd, Compagnie Financière Richemont SA - CH1492035659

7.96% (7.96% p.a.) Barrier Reverse Convertible on Holcim, Schneider Electric, Siemens (Quanto CHF)

Title

CH1476909499 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909499

Fälligkeitstag

25.09.2026

Basiswert

Holcim Ltd, Siemens AG, Schneider Electric SE - CH1476909499

7.96% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Sandoz Group

Title

CH1548143929 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143929

Fälligkeitstag

20.07.2027

Basiswert

Sandoz Group AG, Galderma Group Ltd - CH1548143929

7.96% p.a. Barrier Reverse Convertible on Clariant, Lonza, Novartis

Title

CH1418943390 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418943390

Fälligkeitstag

05.01.2027

Basiswert

Lonza Group AG, Clariant AG, Novartis AG - CH1418943390

7.96% p.a. Barrier Reverse Convertible on Geberit, Straumann, Swiss Re

Title

CH1532244824 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532244824

Fälligkeitstag

30.03.2028

Basiswert

Geberit AG, Straumann Holding AG, Swiss Re AG - CH1532244824

7.97% (15.85% p.a.) Reverse Convertible on Salesforce, Inc.

Title

CH1532241168 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241168

Fälligkeitstag

11.09.2026

Basiswert

Salesforce, Inc.

7.97% (7.97% p.a.) Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1548139927 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139927

Fälligkeitstag

25.06.2027

Basiswert

Alcon Inc., Straumann Holding AG, Sandoz Group AG - CH1548139927

7.97% p.a. Callable Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492024513 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024513

Fälligkeitstag

15.12.2026

Basiswert

Julius Bär Gruppe AG, UBS Group AG, Partners Group Holding AG - CH1492024513

7.98% (7.68% p.a.) Reverse Convertible on Amazon.com, Merck, Siemens (Quanto USD)

Title

CH1548150452 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150452

Fälligkeitstag

08.09.2027

Basiswert

Merck & Co. Inc., Amazon.com Inc., Siemens AG - CH1548150452

7.98% p.a. Autocallable Barrier Reverse Convertible on Huber + Suhner, Temenos

Title

CH1548145585 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145585

Fälligkeitstag

29.01.2027

Basiswert

Huber + Suhner AG, Temenos AG - CH1548145585

7.98% p.a. Barrier Reverse Convertible on Lonza, Straumann, VAT

Title

CH1492018499 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018499

Fälligkeitstag

02.11.2026

Basiswert

VAT Group AG, Straumann Holding AG, Lonza Group AG - CH1492018499

7.99% (15.89% p.a.) Reverse Convertible on Spotify Technology S.A.

Title

CH1532243602 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243602

Fälligkeitstag

21.09.2026

Basiswert

Spotify Technology S.A.

7.99% (7.95% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Partners Group Holding

Title

CH1476910612 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910612

Fälligkeitstag

05.10.2026

Basiswert

Lonza Group AG, Alcon Inc., Partners Group Holding AG - CH1476910612

7.99% (7.97% p.a.) Reverse Convertible on Allianz SE

Title

CH1532244782 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244782

Fälligkeitstag

01.04.2027

Basiswert

Allianz SE

7.99% (7.99% p.a.) Barrier Reverse Convertible on Amazon.com, Exxon Mobil, NVIDIA, Pfizer

Title

CH1476911032 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911032

Fälligkeitstag

08.10.2026

Basiswert

NVIDIA Corp., Exxon Mobil Corp., Pfizer Inc., Amazon.com Inc. - CH1476911032

7.99% p.a. Autocallable Reverse Convertible on Generali, LVMH Moët Hennessy Louis Vuitton

Title

CH1548134449 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134449

Fälligkeitstag

27.05.2027

Basiswert

Assicurazioni Generali SpA, LVMH Moët Hennessy Louis Vuitton SE - CH1548134449

7Y USD Enhanced High Yield Composite Fund Index Tracker

Title

A13TYW - Compartment 8

Kategorie

Basket linked - AIF

ISIN

DE000A13TYW2

Fälligkeitstag

27.09.2021

Basiswert

Enhanced High Yield Fixed Income Fund + Liquid Portfolio

7y EUR Jalopy Index Tracker

Title

A179ZR - Compartment 20

Kategorie

Equity linked - Private Equity

ISIN

DE000A179ZR3

Fälligkeitstag

13.06.2022

Basiswert

Jalopy Index

8.00% (16.00% p.a.) Reverse Convertible on Bayerische Motoren Werke AG

Title

CH1548132161 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132161

Fälligkeitstag

13.11.2026

Basiswert

Bayerische Motoren Werke AG

8.00% (7.95% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Vonovia

Title

CH1492036095 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036095

Fälligkeitstag

22.02.2027

Basiswert

Deutsche Telekom AG, Vonovia SE - CH1492036095

8.00% (8.00% p.a.) Reverse Convertible on Novartis AG

Title

CH1548150700 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150700

Fälligkeitstag

25.08.2027

Basiswert

Novartis AG

8.00% (8.00% p.a.) Reverse Convertible on SAP SE

Title

CH1548129415 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129415

Fälligkeitstag

30.04.2027

Basiswert

SAP SE

8.00% p.a. Autocallable Barrier Reverse Convertible on KraneShares CSI China Internet ETF

Title

CH1476907055 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476907055

Fälligkeitstag

10.09.2026

Basiswert

KraneShares CSI China Internet ETF

8.00% p.a. Autocallable Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548134902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134902

Fälligkeitstag

30.08.2027

Basiswert

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548134902

8.00% p.a. Autocallable Reverse Convertible on Airbus, MTU Aero Engines

Title

CH1548143259 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143259

Fälligkeitstag

14.01.2027

Basiswert

Airbus SE, MTU Aero Engines Holdings AG - CH1548143259

8.00% p.a. Autocallable Reverse Convertible on Apple, Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548142004 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142004

Fälligkeitstag

06.01.2028

Basiswert

Apple Inc., NVIDIA Corp., Meta Platforms Inc. - CH1548142004

8.00% p.a. Autocallable Reverse Convertible on Apple, Salesforce, Visa (Quanto EUR)

Title

CH1492028761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028761

Fälligkeitstag

19.07.2027

Basiswert

Salesforce, Inc., Visa Inc., Apple Inc. - CH1492028761

8.00% p.a. Autocallable Reverse Convertible on Exxon Mobil, Halliburton, SLB Ltd

Title

CH1492029645 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029645

Fälligkeitstag

25.01.2027

Basiswert

Exxon Mobil Corp., SLB Ltd, Halliburton Co. - CH1492029645

8.00% p.a. Autocallable Reverse Convertible on Givaudan, Partners Group Holding, Sika (Quanto USD)

Title

CH1492030577 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030577

Fälligkeitstag

27.01.2027

Basiswert

Sika AG, Givaudan SA, Partners Group Holding AG - CH1492030577

8.00% p.a. Autocallable Reverse Convertible on Intuitive Surgical, Meta Platforms (Quanto CHF)

Title

CH1548145148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145148

Fälligkeitstag

27.07.2027

Basiswert

Meta Platforms Inc., Intuitive Surgical Inc. - CH1548145148

8.00% p.a. Autocallable Reverse Convertible on Meta Platforms, Palo Alto Networks, ServiceNow (Quanto EUR)

Title

CH1492022426 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022426

Fälligkeitstag

01.03.2027

Basiswert

Meta Platforms Inc., ServiceNow Inc, Palo Alto Networks, Inc. - CH1492022426

8.00% p.a. Autocallable Reverse Convertible on PepsiCo Inc.

Title

CH1548148597 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148597

Fälligkeitstag

13.08.2027

Basiswert

PepsiCo Inc.

8.00% p.a. Autocallable Reverse Convertible on SAP SE

Title

CH1532245284 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245284

Fälligkeitstag

05.04.2027

Basiswert

SAP SE

8.00% p.a. Autocallable Reverse Convertible on Safran, Siemens, Vinci

Title

CH1548141915 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141915

Fälligkeitstag

07.10.2027

Basiswert

Vinci SA, Safran SA, Siemens AG - CH1548141915

8.00% p.a. Autocallable Reverse Convertible on Sony Group Corporation

Title

CH1548148605 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148605

Fälligkeitstag

13.08.2027

Basiswert

Sony Group Corporation

8.00% p.a. Barrier Reverse Convertible on Alphabet, Amazon.com, Apple, Meta Platforms

Title

CH1476910992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910992

Fälligkeitstag

08.10.2026

Basiswert

Meta Platforms Inc., Amazon.com Inc., Apple Inc., Alphabet, Inc. - CH1476910992

8.00% p.a. Barrier Reverse Convertible on Flughafen Zürich, SIG Group

Title

CH1548146385 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146385

Fälligkeitstag

03.08.2027

Basiswert

SIG Group AG, Flughafen Zürich AG - CH1548146385

8.00% p.a. Barrier Reverse Convertible on Fresenius, Helvetia Baloise, Huber + Suhner, Logitech, SAP, UBS Group (Quanto CHF)

Title

CH1548128318 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128318

Fälligkeitstag

27.04.2027

Basiswert

Logitech International SA, UBS Group AG, Fresenius SE & Co. KGaA, SAP SE, Huber + Suhner AG, Helvetia Baloise Holding AG - CH...

8.00% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Sandoz Group

Title

CH1492019067 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019067

Fälligkeitstag

07.12.2026

Basiswert

Sandoz Group AG, Lonza Group AG, Givaudan SA - CH1492019067

8.00% p.a. Barrier Reverse Convertible on Logitech, Richemont, Straumann

Title

CH1476907899 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907899

Fälligkeitstag

16.09.2026

Basiswert

Logitech International SA, Straumann Holding AG, Compagnie Financière Richemont SA - CH1476907899

8.00% p.a. Barrier Reverse Convertible on Rio Tinto, Shell, TotalEnergies (Quanto CHF)

Title

CH1548126924 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126924

Fälligkeitstag

20.04.2027

Basiswert

Rio Tinto PLC, Shell PLC, TotalEnergies SE - CH1548126924

8.00% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548146393 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146393

Fälligkeitstag

03.08.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Swiss Re AG - CH1548146393

8.00% p.a. Callable Reverse Convertible on Helvetia Baloise, Swiss Life, Zurich Insurance

Title

CH1548137772 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137772

Fälligkeitstag

15.06.2027

Basiswert

Swiss Life Holding AG, Zurich Insurance Group Ltd, Helvetia Baloise Holding AG - CH1548137772

8.00% p.a. Reverse Convertible on Meta Platforms Inc.

Title

CH1476912592 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912592

Fälligkeitstag

19.10.2026

Basiswert

Meta Platforms Inc.

8.00% p.a. Reverse Convertible on Microsoft, NVIDIA, Palantir (Quanto CHF)

Title

CH1548147342 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147342

Fälligkeitstag

06.08.2027

Basiswert

NVIDIA Corp., Palantir Technologies Inc., Microsoft Corp. - CH1548147342

8.01% (15.86% p.a.) Reverse Convertible on Freeport-McMoRan Inc., Southern Copper Corp, Teck Resources

Title

CH1548139992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139992

Fälligkeitstag

28.12.2026

Basiswert

Freeport-McMoRan Inc., Teck Resources Ltd, Southern Copper Corp - CH1548139992

8.01% (7.95% p.a.) Reverse Convertible on Heidelberg Materials AG

Title

CH1532244576 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244576

Fälligkeitstag

31.03.2027

Basiswert

Heidelberg Materials AG

8.01% (7.97% p.a.) Reverse Convertible on AXA, BNP Paribas

Title

CH1492019554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019554

Fälligkeitstag

09.11.2026

Basiswert

BNP Paribas, AXA SA - CH1492019554

8.01% (8.01% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann (Quanto EUR)

Title

CH1476909051 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909051

Fälligkeitstag

23.09.2026

Basiswert

Kuehne + Nagel International AG, Sika AG, Straumann Holding AG - CH1476909051

8.01% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto EUR)

Title

CH1532237968 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237968

Fälligkeitstag

25.02.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a., BAE Systems PLC - CH1532237968

8.01% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re

Title

CH1532242554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242554

Fälligkeitstag

17.03.2027

Basiswert

Swiss Life Holding AG, Partners Group Holding AG, Swiss Re AG - CH1532242554

8.02% (18.52% p.a.) Barrier Reverse Convertible on BioMarin, Constellation Brands

Title

CH1548144737 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144737

Fälligkeitstag

29.12.2026

Basiswert

BioMarin Pharmaceutical Inc., Constellation Brands, Inc. - CH1548144737

8.02% (8.02% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548128730 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128730

Fälligkeitstag

28.04.2027

Basiswert

Huber + Suhner AG, Accelleron Industries AG, ABB Ltd, Lonza Group AG - CH1548128730

8.02% p.a. Autocallable Barrier Reverse Convertible on Lonza, Sandoz Group, Ypsomed

Title

CH1548142426 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142426

Fälligkeitstag

12.07.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Ypsomed Holding AG - CH1548142426

8.02% p.a. Autocallable Reverse Convertible on Apple, Goldman Sachs, Procter & Gamble

Title

CH1548129183 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129183

Fälligkeitstag

29.10.2027

Basiswert

Apple Inc., The Goldman Sachs Group, Inc., The Procter & Gamble Company - CH1548129183

8.02% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Richemont

Title

CH1492035246 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035246

Fälligkeitstag

17.02.2027

Basiswert

Compagnie Financière Richemont SA, Geberit AG, Givaudan SA - CH1492035246

8.02% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Straumann

Title

CH1548130769 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130769

Fälligkeitstag

07.05.2027

Basiswert

Sika AG, Straumann Holding AG, Partners Group Holding AG - CH1548130769

8.03% (16.06% p.a.) Reverse Convertible on Moderna Inc. (Quanto EUR)

Title

CH1532242778 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242778

Fälligkeitstag

18.09.2026

Basiswert

Moderna Inc.

8.03% (7.98% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, Richemont

Title

CH1476907527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907527

Fälligkeitstag

14.09.2026

Basiswert

Givaudan SA, Alcon Inc., Compagnie Financière Richemont SA - CH1476907527

8.03% (8.03% p.a.) Barrier Reverse Convertible on Sandoz Group, Straumann, Swiss Re

Title

CH1492030924 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030924

Fälligkeitstag

29.01.2027

Basiswert

Straumann Holding AG, Sandoz Group AG, Swiss Re AG - CH1492030924

8.03% (8.05% p.a.) Barrier Reverse Convertible on Cie Générale des Etablissements Michelin

Title

CH1492026096 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026096

Fälligkeitstag

28.12.2026

Basiswert

Cie Générale des Etablissements Michelin

8.03% p.a. Autocallable Reverse Convertible on Givaudan, SAP (Quanto CHF)

Title

CH1492033654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033654

Fälligkeitstag

10.02.2027

Basiswert

SAP SE, Givaudan SA - CH1492033654

8.03% p.a. Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548127195 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127195

Fälligkeitstag

21.04.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548127195

8.04% (8.00% p.a.) Barrier Reverse Convertible on ABB, Lonza, Siemens (Quanto CHF)

Title

CH1476907535 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907535

Fälligkeitstag

14.09.2026

Basiswert

ABB Ltd, Lonza Group AG, Siemens AG - CH1476907535

8.04% p.a. Autocallable Barrier Reverse Convertible on Adecco, Georg Fischer, Julius Bär, Sulzer

Title

CH1492035386 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035386

Fälligkeitstag

18.02.2027

Basiswert

Sulzer AG, Adecco Group AG, Julius Bär Gruppe AG, Georg Fischer AG - CH1492035386

8.04% p.a. Autocallable Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1492024745 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024745

Fälligkeitstag

16.12.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Kering SA, Compagnie Financière Richemont SA - CH1492024745

8.04% p.a. Barrier Reverse Convertible on Alcon, Fresenius, Infineon, Novartis, Sunrise Communications AG (Quanto CHF)

Title

CH1548128847 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128847

Fälligkeitstag

28.04.2027

Basiswert

Novartis AG, Alcon Inc., Sunrise Communications AG, Infineon Technologies AG, Fresenius SE & Co. KGaA - CH1548128847

8.04% p.a. Barrier Reverse Convertible on Helvetia, Holcim, Infineon, L´Oréal, Roche, Ypsomed (Quanto CHF)

Title

CH1476911461 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911461

Fälligkeitstag

12.10.2026

Basiswert

Infineon Technologies AG, L´Oréal International, Helvetia Holding AG, Ypsomed Holding AG, Roche Holding AG, Holcim Ltd - CH14...

8.04% p.a. Barrier Reverse Convertible on Logitech, Sika, Straumann

Title

CH1532237844 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237844

Fälligkeitstag

25.02.2027

Basiswert

Straumann Holding AG, Sika AG, Logitech International SA - CH1532237844

8.04% p.a. Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Sika

Title

CH1492027615 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027615

Fälligkeitstag

12.01.2027

Basiswert

Sandoz Group AG, Partners Group Holding AG, Sika AG - CH1492027615

8.05% p.a. Autocallable Barrier Reverse Convertible on Bachem, Holcim, VAT

Title

CH1548135172 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135172

Fälligkeitstag

31.05.2027

Basiswert

VAT Group AG, Holcim Ltd, Bachem Holding AG - CH1548135172

8.05% p.a. Barrier Reverse Convertible on Geberit, Richemont, Sika

Title

CH1492031591 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031591

Fälligkeitstag

01.02.2027

Basiswert

Compagnie Financière Richemont SA, Geberit AG, Sika AG - CH1492031591

8.05% p.a. Barrier Reverse Convertible on Logitech, Richemont, Sika

Title

CH1492036194 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036194

Fälligkeitstag

22.02.2027

Basiswert

Sika AG, Logitech International SA, Compagnie Financière Richemont SA - CH1492036194

8.05% p.a. Barrier Reverse Convertible on Meta Platforms, Microsoft, Netflix (Quanto CHF)

Title

CH1532241408 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241408

Fälligkeitstag

13.03.2028

Basiswert

Meta Platforms Inc., Netflix Inc., Microsoft Corp. - CH1532241408

8.06% (10.75% p.a.) Reverse Convertible on Kardex, Partners Group Holding, VAT

Title

CH1492029637 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029637

Fälligkeitstag

22.10.2026

Basiswert

VAT Group AG, Partners Group Holding AG, Kardex AG - CH1492029637

8.06% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Holcim, PepsiCo (Quanto EUR)

Title

CH1548132013 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132013

Fälligkeitstag

12.08.2027

Basiswert

Holcim Ltd, PepsiCo Inc., Deutsche Telekom AG - CH1548132013

8.06% p.a. Autocallable Reverse Convertible on SAP SE

Title

CH1548136519 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136519

Fälligkeitstag

08.06.2027

Basiswert

SAP SE

8.07% (8.07% p.a.) Barrier Reverse Convertible on Alibaba Group, Tencent (Quanto CHF)

Title

CH1548139265 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139265

Fälligkeitstag

23.06.2027

Basiswert

Tencent Holdings Limited, Alibaba Group Holding Limited - CH1548139265

8.07% p.a. Autocallable Barrier Reverse Convertible on ABB, Galderma Group, VAT

Title

CH1548131528 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131528

Fälligkeitstag

12.05.2027

Basiswert

VAT Group AG, ABB Ltd, Galderma Group Ltd - CH1548131528

8.07% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Lonza, Novartis, Sandoz Group

Title

CH1548150361 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150361

Fälligkeitstag

24.08.2027

Basiswert

Lonza Group AG, Galderma Group Ltd, Sandoz Group AG, Novartis AG - CH1548150361

8.07% p.a. Reverse Convertible on ABB, Givaudan, Sandoz Group

Title

CH1532243412 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243412

Fälligkeitstag

19.03.2027

Basiswert

ABB Ltd, Givaudan SA, Sandoz Group AG - CH1532243412

8.07% p.a. Reverse Convertible on Julius Bär, Richemont, Sandoz Group

Title

CH1548130975 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130975

Fälligkeitstag

08.11.2027

Basiswert

Compagnie Financière Richemont SA, Julius Bär Gruppe AG, Sandoz Group AG - CH1548130975

8.08% (8.09% p.a.) Barrier Reverse Convertible on Julius Bär, Straumann, Swiss Re

Title

CH1476909135 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909135

Fälligkeitstag

23.09.2026

Basiswert

Julius Bär Gruppe AG, Swiss Re AG, Straumann Holding AG - CH1476909135

8.08% p.a. Autocallable Reverse Convertible on Intesa Sanpaolo, UniCredit

Title

CH1532242950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242950

Fälligkeitstag

20.09.2027

Basiswert

Intesa Sanpaolo SpA, UniCredit SpA - CH1532242950

8.08% p.a. Barrier Reverse Convertible on Lindt & Sprüngli, Lonza, Straumann, Swiss Re, Veolia (Quanto CHF)

Title

CH1548128326 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128326

Fälligkeitstag

27.04.2027

Basiswert

Lonza Group AG, Swiss Re AG, Straumann Holding AG, Lindt & Sprüngli AG, Veolia Environnement - CH1548128326

8.08% p.a. Reverse Convertible on BELIMO Holding, Kuehne + Nagel, Logitech

Title

CH1548130967 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130967

Fälligkeitstag

08.11.2027

Basiswert

Logitech International SA, Kuehne + Nagel International AG, BELIMO Holding AG - CH1548130967

8.09% (8.05% p.a.) Barrier Reverse Convertible on BNP Paribas, Julius Bär, Partners Group Holding (Quanto CHF)

Title

CH1476907550 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907550

Fälligkeitstag

14.09.2026

Basiswert

BNP Paribas, Julius Bär Gruppe AG, Partners Group Holding AG - CH1476907550

8.09% p.a. Autocallable Barrier Reverse Convertible on Leonardo, Schneider Electric, Thales

Title

CH1548127922 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127922

Fälligkeitstag

23.04.2027

Basiswert

Thales SA, Leonardo S.p.a., Schneider Electric SE - CH1548127922

8.09% p.a. Barrier Reverse Convertible on Alcon, Richemont, Swiss Life

Title

CH1548129225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129225

Fälligkeitstag

29.04.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Life Holding AG, Alcon Inc. - CH1548129225

8.09% p.a. Barrier Reverse Convertible on Logitech, Straumann, VAT

Title

CH1476907873 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907873

Fälligkeitstag

16.09.2026

Basiswert

Logitech International SA, Straumann Holding AG, VAT Group AG - CH1476907873

8.09% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life

Title

CH1548128359 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128359

Fälligkeitstag

27.04.2027

Basiswert

Roche Holding AG, Nestlé SA, Novartis AG, Swiss Life Holding AG - CH1548128359

8.10% (8.05% p.a.) Barrier Reverse Convertible on Accelleron Industries, Richemont, Sandoz Group

Title

CH1532242117 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242117

Fälligkeitstag

15.03.2027

Basiswert

Compagnie Financière Richemont SA, Accelleron Industries AG, Sandoz Group AG - CH1532242117

8.10% (8.10% p.a.) Barrier Reverse Convertible on ASML, SAP, Siemens

Title

CH1476909424 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909424

Fälligkeitstag

24.09.2026

Basiswert

ASML Holding NV, SAP SE, Siemens AG - CH1476909424

8.10% p.a. Barrier Reverse Convertible on ABB, SGS, Sika

Title

CH1446049384 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049384

Fälligkeitstag

16.11.2026

Basiswert

SGS SA, ABB Ltd, Sika AG - CH1446049384

8.10% p.a. Barrier Reverse Convertible on Deutsche Telekom, Galderma Group, Lonza, Microsoft, Partners Group Holding (Quanto CHF)

Title

CH1548138945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138945

Fälligkeitstag

22.06.2027

Basiswert

Galderma Group Ltd, Lonza Group AG, Partners Group Holding AG, Deutsche Telekom AG, Microsoft Corp. - CH1548138945

8.10% p.a. Barrier Reverse Convertible on Lonza, Roche, Swisscom

Title

CH1548134472 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134472

Fälligkeitstag

27.05.2027

Basiswert

Lonza Group AG, Roche Holding AG, Swisscom AG - CH1548134472

8.10% p.a. Barrier Reverse Convertible on Partners Group Holding, Swiss Re, Swissquote

Title

CH1532241952 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241952

Fälligkeitstag

15.03.2027

Basiswert

Swiss Re AG, Partners Group Holding AG, Swissquote Group Holding SA - CH1532241952

8.10% p.a. Callable Barrier Reverse Convertible on ASML, Capgemini, Schneider Electric

Title

CH1492026864 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026864

Fälligkeitstag

29.12.2027

Basiswert

ASML Holding NV, Schneider Electric SE, Capgemini SE - CH1492026864

8.11% (8.06% p.a.) Barrier Reverse Convertible on Alcon, Nestlé, Partners Group Holding

Title

CH1492022582 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022582

Fälligkeitstag

30.11.2026

Basiswert

Partners Group Holding AG, Alcon Inc., Nestlé SA - CH1492022582

8.11% (8.11% p.a.) Barrier Reverse Convertible on Eli Lilly, Novo Nordisk (Quanto CHF)

Title

CH1548140941 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140941

Fälligkeitstag

01.07.2027

Basiswert

Novo Nordisk A/S, Eli Lilly & Co. - CH1548140941

8.11% p.a. Barrier Reverse Convertible on Alcon, Lonza, VAT

Title

CH1476908780 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908780

Fälligkeitstag

22.09.2026

Basiswert

Alcon Inc., Lonza Group AG, VAT Group AG - CH1476908780

8.11% p.a. Barrier Reverse Convertible on Partners Group Holding, Richemont, Sika

Title

CH1548146070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146070

Fälligkeitstag

30.07.2027

Basiswert

Sika AG, Compagnie Financière Richemont SA, Partners Group Holding AG - CH1548146070

8.12% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Northrop Grumman, Rheinmetall, RTX Corporation (Quanto CHF)

Title

CH1492032649 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032649

Fälligkeitstag

05.02.2027

Basiswert

BAE Systems PLC, Rheinmetall AG, Northrop Grumman Corp, RTX Corporation - CH1492032649

8.12% p.a. Barrier Reverse Convertible on Alcon, Nestlé, Straumann

Title

CH1492035154 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035154

Fälligkeitstag

17.08.2027

Basiswert

Nestlé SA, Straumann Holding AG, Alcon Inc. - CH1492035154

8.12% p.a. Barrier Reverse Convertible on Galderma Group, Microsoft, Nestlé, Sika, Veolia (Quanto CHF)

Title

CH1548129985 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129985

Fälligkeitstag

03.05.2027

Basiswert

Galderma Group Ltd, Sika AG, Nestlé SA, Microsoft Corp., Veolia Environnement - CH1548129985

8.12% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, VAT

Title

CH1492025841 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025841

Fälligkeitstag

23.12.2026

Basiswert

Sika AG, VAT Group AG, Partners Group Holding AG - CH1492025841

8.13% (16.27% p.a.) Barrier Reverse Convertible on Aurubis, K+S

Title

CH1532240905 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240905

Fälligkeitstag

09.09.2026

Basiswert

K+S AG, Aurubis AG - CH1532240905

8.13% (8.13% p.a.) Barrier Reverse Convertible on Cie Générale des Etablissements Michelin

Title

CH1492028191 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028191

Fälligkeitstag

15.01.2027

Basiswert

Cie Générale des Etablissements Michelin

8.13% p.a. Autocallable Barrier Reverse Convertible on Swiss Re, UBS Group, Zurich Insurance

Title

CH1532240897 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240897

Fälligkeitstag

09.03.2027

Basiswert

Swiss Re AG, UBS Group AG, Zurich Insurance Group Ltd - CH1532240897

8.13% p.a. Barrier Reverse Convertible on ASML, Givaudan, Logitech, Novartis, Straumann (Quanto CHF)

Title

CH1492020362 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020362

Fälligkeitstag

12.11.2026

Basiswert

Novartis AG, Straumann Holding AG, Logitech International SA, Givaudan SA, ASML Holding NV - CH1492020362

8.13% p.a. Callable Barrier Reverse Convertible on Beiersdorf, Henkel, SAP

Title

CH1548133235 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133235

Fälligkeitstag

18.05.2027

Basiswert

SAP SE, Henkel AG & Co. KGaA, Beiersdorf AG - CH1548133235

8.13% p.a. Callable Barrier Reverse Convertible on Beiersdorf, Henkel, SAP

Title

CH1548133227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133227

Fälligkeitstag

18.05.2027

Basiswert

SAP SE, Henkel AG & Co. KGaA, Beiersdorf AG - CH1548133227

8.14% p.a. Autocallable Barrier Reverse Convertible on Alcon, Logitech, Lonza

Title

CH1548150742 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150742

Fälligkeitstag

25.08.2027

Basiswert

Lonza Group AG, Logitech International SA, Alcon Inc. - CH1548150742

8.14% p.a. Autocallable Barrier Reverse Convertible on Iberdrola, RWE, Schneider Electric

Title

CH1548126627 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126627

Fälligkeitstag

19.04.2027

Basiswert

Iberdrola SA, RWE AG, Schneider Electric SE - CH1548126627

8.14% p.a. Autocallable Barrier Reverse Convertible on Kraft Heinz, McDonalds, Visa

Title

CH1446052537 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446052537

Fälligkeitstag

07.06.2027

Basiswert

The Kraft Heinz Company, McDonalds Corp., Visa Inc. - CH1446052537

8.14% p.a. Autocallable Reverse Convertible on Richemont, Roche, Zurich Insurance

Title

CH1532242968 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242968

Fälligkeitstag

18.03.2027

Basiswert

Zurich Insurance Group Ltd, Roche Holding AG, Compagnie Financière Richemont SA - CH1532242968

8.15% (8.10% p.a.) Barrier Reverse Convertible on Sunrise Communications AG, Swissquote

Title

CH1548143481 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143481

Fälligkeitstag

19.07.2027

Basiswert

Swissquote Group Holding SA, Sunrise Communications AG - CH1548143481

8.15% (8.15% p.a.) Barrier Reverse Convertible on Amrize Ltd, Givaudan, Lonza

Title

CH1492028704 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028704

Fälligkeitstag

19.01.2027

Basiswert

Amrize Ltd, Lonza Group AG, Givaudan SA - CH1492028704

8.15% (8.15% p.a.) Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1532243750 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243750

Fälligkeitstag

23.03.2027

Basiswert

Julius Bär Gruppe AG, UBS Group AG - CH1532243750

8.15% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, Société Générale, UniCredit (Quanto CHF)

Title

CH1548141147 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141147

Fälligkeitstag

02.07.2027

Basiswert

UniCredit SpA, Société Générale, Allianz SE, AXA SA - CH1548141147

8.15% p.a. Autocallable Reverse Convertible on Coca-Cola, McDonalds, Starbucks

Title

CH1548132146 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132146

Fälligkeitstag

13.05.2027

Basiswert

Coca-Cola Company, Starbucks Corp., McDonalds Corp. - CH1548132146

8.15% p.a. Autocallable Reverse Convertible on Deutsche Bank, SAP, Wolters Kluwer (Quanto CHF)

Title

CH1548139851 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139851

Fälligkeitstag

25.06.2029

Basiswert

Wolters Kluwer NV, Deutsche Bank AG, SAP SE - CH1548139851

8.15% p.a. Autocallable Reverse Convertible on Partners Group Holding AG (Quanto USD)

Title

CH1532238305 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238305

Fälligkeitstag

26.02.2027

Basiswert

Partners Group Holding AG

8.15% p.a. Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont (Quanto EUR)

Title

CH1476909291 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909291

Fälligkeitstag

24.09.2027

Basiswert

Compagnie Financière Richemont SA, Holcim Ltd, Kuehne + Nagel International AG - CH1476909291

8.15% p.a. Barrier Reverse Convertible on Partners Group Holding, Swissquote, UBS Group

Title

CH1548143424 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143424

Fälligkeitstag

19.07.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Swissquote Group Holding SA - CH1548143424

8.15% p.a. Barrier Reverse Convertible on Partners Group Holding, Swissquote, UBS Group

Title

CH1548143432 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143432

Fälligkeitstag

19.07.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Swissquote Group Holding SA - CH1548143432

8.15% p.a. Callable Reverse Convertible on Galderma Group, Sandoz Group, Ypsomed

Title

CH1548149728 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149728

Fälligkeitstag

21.02.2028

Basiswert

Ypsomed Holding AG, Galderma Group Ltd, Sandoz Group AG - CH1548149728

8.16% (8.12% p.a.) Reverse Convertible on PUMA SE

Title

CH1532241986 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241986

Fälligkeitstag

15.03.2027

Basiswert

PUMA SE

8.16% (8.16% p.a.) Barrier Reverse Convertible on Sika, UBS Group, Zurich Insurance

Title

CH1548128854 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128854

Fälligkeitstag

28.04.2027

Basiswert

Zurich Insurance Group Ltd, UBS Group AG, Sika AG - CH1548128854

8.16% (8.16% p.a.) Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1492035071 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035071

Fälligkeitstag

17.02.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, UBS Group AG - CH1492035071

8.16% (8.17% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Novartis

Title

CH1532243032 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243032

Fälligkeitstag

19.03.2027

Basiswert

Lonza Group AG, Alcon Inc., Novartis AG - CH1532243032

8.16% (8.18% p.a.) Barrier Reverse Convertible on Julius Bär, Logitech, Sandoz Group

Title

CH1492026385 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026385

Fälligkeitstag

29.12.2026

Basiswert

Logitech International SA, Julius Bär Gruppe AG, Sandoz Group AG - CH1492026385

8.16% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548131346 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131346

Fälligkeitstag

07.05.2027

Basiswert

Walmart Inc., Costco Wholesale Corp., Corning Inc. - CH1548131346

8.16% p.a. Barrier Reverse Convertible on Galderma Group, Givaudan, Swiss Re

Title

CH1548138424 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138424

Fälligkeitstag

18.06.2027

Basiswert

Galderma Group Ltd, Givaudan SA, Swiss Re AG - CH1548138424

8.16% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1476912923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912923

Fälligkeitstag

21.10.2026

Basiswert

Kuehne + Nagel International AG, Partners Group Holding AG, Sika AG - CH1476912923

8.16% p.a. Callable Barrier Reverse Convertible on BNP Paribas, ING, Société Générale (Quanto CHF)

Title

CH1532242901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242901

Fälligkeitstag

18.03.2027

Basiswert

Société Générale, BNP Paribas, ING Groep N.V. - CH1532242901

8.16% p.a. Callable Reverse Convertible on ams-OSRAM, Avolta, Temenos

Title

CH1476908970 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908970

Fälligkeitstag

23.09.2026

Basiswert

ams-OSRAM AG, Temenos AG, Avolta AG - CH1476908970

8.17% (8.13% p.a.) Barrier Reverse Convertible on Sandoz Group, Sonova, Ypsomed

Title

CH1548138846 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138846

Fälligkeitstag

21.06.2027

Basiswert

Sonova Holding AG, Ypsomed Holding AG, Sandoz Group AG - CH1548138846

8.17% p.a. Barrier Reverse Convertible on Sika, Straumann, VAT

Title

CH1492018218 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018218

Fälligkeitstag

30.10.2026

Basiswert

Straumann Holding AG, VAT Group AG, Sika AG - CH1492018218

8.18% p.a. Autocallable Barrier Reverse Convertible on Bouygues, L´Oréal, SAP

Title

CH1548132054 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132054

Fälligkeitstag

12.08.2027

Basiswert

L´Oréal International, Bouygues SA, SAP SE - CH1548132054

8.18% p.a. Autocallable Reverse Convertible on Alcon Inc.

Title

CH1548150288 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150288

Fälligkeitstag

20.08.2027

Basiswert

Alcon Inc.

8.18% p.a. Autocallable Reverse Convertible on Alcon, SIG Group

Title

CH1532242497 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242497

Fälligkeitstag

17.03.2027

Basiswert

SIG Group AG, Alcon Inc. - CH1532242497

8.18% p.a. Barrier Reverse Convertible on Partners Group Holding, Richemont, Sika (Quanto EUR)

Title

CH1492018267 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018267

Fälligkeitstag

30.10.2026

Basiswert

Partners Group Holding AG, Compagnie Financière Richemont SA, Sika AG - CH1492018267

8.18% p.a. Barrier Reverse Convertible on Sika, Sunrise Communications AG, Swissquote

Title

CH1548148704 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148704

Fälligkeitstag

16.08.2027

Basiswert

Swissquote Group Holding SA, Sunrise Communications AG, Sika AG - CH1548148704

8.18% p.a. Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1532245037 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245037

Fälligkeitstag

31.03.2028

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1532245037

8.19% (8.15% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft (Quanto CHF)

Title

CH1596852090 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852090

Fälligkeitstag

30.08.2027

Basiswert

Microsoft Corp., Alphabet, Inc., Amazon.com Inc. - CH1596852090

8.19% (8.20% p.a.) Barrier Reverse Convertible on Burckhardt Compression, Georg Fischer, VAT

Title

CH1476905992 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905992

Fälligkeitstag

03.09.2026

Basiswert

Georg Fischer AG, VAT Group AG, Burckhardt Compression Holding Ltd. - CH1476905992

8.19% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1492033472 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033472

Fälligkeitstag

09.08.2027

Basiswert

Alphabet, Inc., Meta Platforms Inc., Microsoft Corp. - CH1492033472

8.19% p.a. Autocallable Reverse Convertible on Medacta Group Ltd

Title

CH1548129274 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129274

Fälligkeitstag

29.10.2026

Basiswert

Medacta Group Ltd

8.19% p.a. Barrier Reverse Convertible on Eli Lilly, Novo Nordisk, UnitedHealth (Quanto EUR)

Title

CH1476906016 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906016

Fälligkeitstag

03.09.2026

Basiswert

Eli Lilly & Co., Novo Nordisk A/S, UnitedHealth Group Inc. - CH1476906016

8.19% p.a. Barrier Reverse Convertible on Lonza, Sika, Zurich Insurance

Title

CH1548136287 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136287

Fälligkeitstag

07.06.2027

Basiswert

Sika AG, Zurich Insurance Group Ltd, Lonza Group AG - CH1548136287

8.19% p.a. Barrier Reverse Convertible on L´Oréal, Lonza, NVIDIA, Roche, Schindler (Quanto CHF)

Title

CH1492032623 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032623

Fälligkeitstag

05.02.2027

Basiswert

L´Oréal International, NVIDIA Corp., Lonza Group AG, Schindler Holding AG, Roche Holding AG - CH1492032623

8.19% p.a. Barrier Reverse Convertible on Swisscom, UBS Group, VAT

Title

CH1532246852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246852

Fälligkeitstag

09.04.2027

Basiswert

Swisscom AG, VAT Group AG, UBS Group AG - CH1532246852

8.20% (8.16% p.a.) Reverse Convertible on Adidas, Air Liquide

Title

CH1548126767 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126767

Fälligkeitstag

19.04.2027

Basiswert

Adidas AG, Air Liquide SA - CH1548126767

8.20% (8.20% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, Straumann

Title

CH1492021121 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021121

Fälligkeitstag

17.11.2026

Basiswert

Givaudan SA, Lonza Group AG, Straumann Holding AG - CH1492021121

8.20% (8.20% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492034876 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034876

Fälligkeitstag

16.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swiss Re AG - CH1492034876

8.20% (8.20% p.a.) Reverse Convertible on ALSO Holding, Logitech

Title

CH1492035063 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035063

Fälligkeitstag

17.02.2027

Basiswert

Logitech International SA, ALSO Holding AG - CH1492035063

8.20% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1548127849 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127849

Fälligkeitstag

23.04.2027

Basiswert

Givaudan SA, Alcon Inc., Lonza Group AG - CH1548127849

8.20% p.a. Barrier Reverse Convertible on BASF, Continental, Merck KGaA

Title

CH1548148753 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148753

Fälligkeitstag

16.08.2027

Basiswert

BASF SE, Continental AG, Merck KGaA - CH1548148753

8.20% p.a. Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1492016675 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492016675

Fälligkeitstag

22.10.2026

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd

8.21% (8.21% p.a.) Barrier Reverse Convertible on ABB, Geberit, Logitech

Title

CH1548139935 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139935

Fälligkeitstag

25.06.2027

Basiswert

ABB Ltd, Geberit AG, Logitech International SA - CH1548139935

8.21% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, L´Oréal, Microsoft (Quanto EUR)

Title

CH1532237786 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237786

Fälligkeitstag

25.05.2027

Basiswert

Banco Santander SA, L´Oréal International, Microsoft Corp. - CH1532237786

8.21% p.a. Barrier Reverse Convertible on Julius Bär, Swisscom, Zurich Insurance

Title

CH1492033464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033464

Fälligkeitstag

09.02.2027

Basiswert

Julius Bär Gruppe AG, Zurich Insurance Group Ltd, Swisscom AG - CH1492033464

8.21% p.a. Barrier Reverse Convertible on Lonza, Novartis, Sika

Title

CH1492035170 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035170

Fälligkeitstag

17.02.2027

Basiswert

Lonza Group AG, Novartis AG, Sika AG - CH1492035170

8.21% p.a. Callable Reverse Convertible on Flughafen Zürich, Kuehne + Nagel, SGS

Title

CH1532242620 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242620

Fälligkeitstag

17.03.2028

Basiswert

SGS SA, Kuehne + Nagel International AG, Flughafen Zürich AG - CH1532242620

8.21% p.a. Reverse Convertible on Logitech, Richemont, Swisscom

Title

CH1492028357 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028357

Fälligkeitstag

16.10.2026

Basiswert

Logitech International SA, Swisscom AG, Compagnie Financière Richemont SA - CH1492028357

8.22% (8.16% p.a.) Reverse Convertible on Abbott Laboratories

Title

CH1492034652 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492034652

Fälligkeitstag

16.02.2027

Basiswert

Abbott Laboratories

8.22% (8.18% p.a.) Barrier Reverse Convertible on Kering, Lindt & Sprüngli, Sika (Quanto CHF)

Title

CH1476911537 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911537

Fälligkeitstag

12.10.2026

Basiswert

Sika AG, Kering SA, Lindt & Sprüngli AG - CH1476911537

8.22% (8.22% p.a.) Barrier Reverse Convertible on Adidas, AXA, Schneider Electric (Quanto CHF)

Title

CH1476905679 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905679

Fälligkeitstag

02.09.2026

Basiswert

AXA SA, Schneider Electric SE, Adidas AG - CH1476905679

8.22% p.a. Autocallable Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re, UBS Group

Title

CH1548128862 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128862

Fälligkeitstag

28.04.2027

Basiswert

UBS Group AG, Helvetia Baloise Holding AG, Swiss Life Holding AG, Swiss Re AG - CH1548128862

8.22% p.a. Autocallable Reverse Convertible on Endesa, Iberdrola, Naturgy Energy Group, Veolia

Title

CH1548139059 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139059

Fälligkeitstag

20.12.2027

Basiswert

Iberdrola SA, Veolia Environnement, Endesa SA, Naturgy Energy Group SA - CH1548139059

8.22% p.a. Barrier Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1476905778 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905778

Fälligkeitstag

02.09.2026

Basiswert

Alphabet, Inc., NVIDIA Corp., Apple Inc. - CH1476905778

8.22% p.a. Barrier Reverse Convertible on Flughafen Zürich, Lindt & Sprüngli, Richemont

Title

CH1548149470 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149470

Fälligkeitstag

21.08.2028

Basiswert

Flughafen Zürich AG, Compagnie Financière Richemont SA, Lindt & Sprüngli AG - CH1548149470

8.23% p.a. Autocallable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, UBS Group

Title

CH1492021212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021212

Fälligkeitstag

19.11.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, UBS Group AG, Sandoz Group AG - CH1492021212

8.24% (8.24% p.a.) Barrier Reverse Convertible on Partners Group Holding, Richemont, Zurich Insurance

Title

CH1476909127 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909127

Fälligkeitstag

23.09.2026

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1476909127

8.24% p.a. Autocallable Barrier Reverse Convertible on Shell, TotalEnergies

Title

CH1532238974 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238974

Fälligkeitstag

01.03.2028

Basiswert

Shell PLC, TotalEnergies SE - CH1532238974

8.25% (16.33% p.a.) Reverse Convertible on Nike Inc.

Title

CH1548133060 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133060

Fälligkeitstag

17.11.2026

Basiswert

Nike Inc.

8.25% (8.25% p.a.) Barrier Reverse Convertible on Givaudan, Richemont, Sandoz Group

Title

CH1548137285 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137285

Fälligkeitstag

11.06.2027

Basiswert

Sandoz Group AG, Compagnie Financière Richemont SA, Givaudan SA - CH1548137285

8.25% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Deutsche Bank, Société Générale (Quanto CHF)

Title

CH1548147169 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147169

Fälligkeitstag

06.08.2027

Basiswert

BNP Paribas, Société Générale, Deutsche Bank AG - CH1548147169

8.25% p.a. Autocallable Reverse Convertible on Hensoldt , Leonardo, Thales

Title

CH1548130512 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130512

Fälligkeitstag

05.05.2027

Basiswert

Thales SA, Leonardo S.p.a., Hensoldt AG - CH1548130512

8.25% p.a. Autocallable Reverse Convertible on Julius Bär, Thermo Fisher Scientific (Quanto EUR)

Title

CH1532240921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240921

Fälligkeitstag

10.03.2027

Basiswert

Julius Bär Gruppe AG, Thermo Fisher Scientific Inc. - CH1532240921

8.25% p.a. Autocallable Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1492020164 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492020164

Fälligkeitstag

11.11.2026

Basiswert

Novo Nordisk A/S

8.25% p.a. Autocallable Reverse Convertible on Sika, UBS Group, Zurich Insurance

Title

CH1548150239 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150239

Fälligkeitstag

24.08.2027

Basiswert

UBS Group AG, Zurich Insurance Group Ltd, Sika AG - CH1548150239

8.25% p.a. Barrier Reverse Convertible on Alcon, Lonza, Roche, Schneider Electric, Veolia (Quanto CHF)

Title

CH1548132831 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132831

Fälligkeitstag

18.05.2027

Basiswert

Roche Holding AG, Lonza Group AG, Alcon Inc., Veolia Environnement, Schneider Electric SE - CH1548132831

8.25% p.a. Barrier Reverse Convertible on Bachem, Sika, Swiss Re

Title

CH1548131742 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131742

Fälligkeitstag

13.05.2027

Basiswert

Sika AG, Swiss Re AG, Bachem Holding AG - CH1548131742

8.25% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Straumann

Title

CH1548141386 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141386

Fälligkeitstag

02.07.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Kuehne + Nagel International AG - CH1548141386

8.25% p.a. Barrier Reverse Convertible on Logitech, Richemont, Straumann

Title

CH1492026013 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026013

Fälligkeitstag

24.12.2026

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Straumann Holding AG - CH1492026013

8.26% (8.26% p.a.) Barrier Reverse Convertible on ABB, Helvetia Baloise, Logitech, VAT

Title

CH1548135792 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135792

Fälligkeitstag

04.06.2027

Basiswert

ABB Ltd, Logitech International SA, VAT Group AG, Helvetia Baloise Holding AG - CH1548135792

8.26% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Nestlé, Novartis, Roche, Sandoz Group

Title

CH1548146963 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146963

Fälligkeitstag

05.08.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Nestlé SA, Novartis AG, Roche Holding AG - CH1548146963

8.26% p.a. Barrier Reverse Convertible on Galderma Group, Sandoz Group, Sonova

Title

CH1548132856 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132856

Fälligkeitstag

18.05.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Sonova Holding AG - CH1548132856

8.26% p.a. Barrier Reverse Convertible on Givaudan, Holcim, UBS Group

Title

CH1476905406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905406

Fälligkeitstag

31.08.2026

Basiswert

Givaudan SA, UBS Group AG, Holcim Ltd - CH1476905406

8.26% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1492029975 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029975

Fälligkeitstag

25.01.2027

Basiswert

Julius Bär Gruppe AG, UBS Group AG - CH1492029975

8.26% p.a. Callable Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann

Title

CH1548137566 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137566

Fälligkeitstag

11.06.2027

Basiswert

Straumann Holding AG, Sandoz Group AG, Lonza Group AG - CH1548137566

8.27% (11.03% p.a.) Reverse Convertible on Comet, Inficon, VAT

Title

CH1548131205 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131205

Fälligkeitstag

08.02.2027

Basiswert

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548131205

8.27% p.a. Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Sika

Title

CH1548148233 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148233

Fälligkeitstag

13.08.2027

Basiswert

Kuehne + Nagel International AG, Sika AG, Holcim Ltd - CH1548148233

8.27% p.a. Reverse Convertible on Kuehne + Nagel, Logitech

Title

CH1532245003 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245003

Fälligkeitstag

02.04.2027

Basiswert

Logitech International SA, Kuehne + Nagel International AG - CH1532245003

8.28% (8.28% p.a.) Reverse Convertible on Logitech International SA

Title

CH1492018952 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492018952

Fälligkeitstag

04.11.2026

Basiswert

Logitech International SA

8.28% p.a. Autocallable Barrier Reverse Convertible on Boeing, Ford, Home Depot

Title

CH1492031443 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031443

Fälligkeitstag

31.01.2028

Basiswert

Ford Motor Company, Boeing Company, Home Depot Inc. - CH1492031443

8.28% p.a. Barrier Reverse Convertible on Alphabet, Microsoft, Netflix

Title

CH1476908327 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908327

Fälligkeitstag

20.09.2027

Basiswert

Microsoft Corp., Netflix Inc., Alphabet, Inc. - CH1476908327

8.28% p.a. Barrier Reverse Convertible on Givaudan, Kuehne + Nagel, Zurich Insurance

Title

CH1532239337 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239337

Fälligkeitstag

03.03.2027

Basiswert

Givaudan SA, Kuehne + Nagel International AG, Zurich Insurance Group Ltd - CH1532239337

8.28% p.a. Barrier Reverse Convertible on Kuehne + Nagel, SIG Group

Title

CH1492021220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021220

Fälligkeitstag

19.11.2026

Basiswert

Kuehne + Nagel International AG, SIG Group AG - CH1492021220

8.28% p.a. Callable Reverse Convertible on Alphabet, Amazon.com, Microsoft

Title

CH1532238529 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238529

Fälligkeitstag

29.02.2028

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1532238529

8.29% (16.77% p.a.) Barrier Reverse Convertible on Adecco, Bachem

Title

CH1548129910 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129910

Fälligkeitstag

02.11.2026

Basiswert

Adecco Group AG, Bachem Holding AG - CH1548129910

8.29% (8.24% p.a.) Barrier Reverse Convertible on Geberit, Logitech, Roche

Title

CH1476907543 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907543

Fälligkeitstag

14.09.2026

Basiswert

Geberit AG, Logitech International SA, Roche Holding AG - CH1476907543

8.29% p.a. Callable Barrier Reverse Convertible on Logitech, Lonza, Sika, Straumann

Title

CH1532242828 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242828

Fälligkeitstag

18.03.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Logitech International SA, Sika AG - CH1532242828

8.29% p.a. Reverse Convertible on Goldman Sachs, JPMorgan Chase, UBS Group (Quanto CHF)

Title

CH1548129779 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129779

Fälligkeitstag

03.05.2027

Basiswert

JPMorgan Chase & Co., The Goldman Sachs Group, Inc., UBS Group AG - CH1548129779

8.29% p.a. Reverse Convertible on Kering, Prysmian

Title

CH1548146203 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146203

Fälligkeitstag

02.08.2027

Basiswert

Prysmian SpA, Kering SA - CH1548146203

8.30% (5.37% p.a.) Reverse Convertible on Iberdrola, Inditex, Sanofi (Quanto CHF)

Title

CH1492036590 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036590

Fälligkeitstag

10.09.2027

Basiswert

Iberdrola SA, Inditex SA, Sanofi SA - CH1492036590

8.30% p.a. Barrier Reverse Convertible on Geberit, Sonova, Swiss Re

Title

CH1596852116 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852116

Fälligkeitstag

30.08.2027

Basiswert

Swiss Re AG, Sonova Holding AG, Geberit AG - CH1596852116

8.30% p.a. Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton

Title

CH1548135479 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135479

Fälligkeitstag

02.06.2027

Basiswert

Kering SA, Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1548135479

8.30% p.a. Barrier Reverse Convertible on Nestlé, Roche, Sandoz Group

Title

CH1548135180 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135180

Fälligkeitstag

30.08.2027

Basiswert

Roche Holding AG, Nestlé SA, Sandoz Group AG - CH1548135180

8.30% p.a. Callable Barrier Reverse Convertible on ABB, Givaudan, Holcim

Title

CH1548142566 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142566

Fälligkeitstag

13.04.2027

Basiswert

ABB Ltd, Givaudan SA, Holcim Ltd - CH1548142566

8.31% (16.63% p.a.) Reverse Convertible on General Dynamics, Moderna

Title

CH1548145288 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145288

Fälligkeitstag

28.01.2027

Basiswert

Moderna Inc., General Dynamics Corp. - CH1548145288

8.31% (8.31% p.a.) Barrier Reverse Convertible on Givaudan, Partners Group Holding, Richemont

Title

CH1476909457 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909457

Fälligkeitstag

25.09.2026

Basiswert

Givaudan SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1476909457

8.31% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto AUD)

Title

CH1476910828 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910828

Fälligkeitstag

07.10.2026

Basiswert

BAE Systems PLC, Leonardo S.p.a., Rheinmetall AG - CH1476910828

8.31% p.a. Barrier Reverse Convertible on Flughafen Zürich AG

Title

CH1532247116 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532247116

Fälligkeitstag

15.04.2027

Basiswert

Flughafen Zürich AG

8.31% p.a. Barrier Reverse Convertible on Logitech, Straumann, VAT

Title

CH1468580621 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468580621

Fälligkeitstag

06.08.2027

Basiswert

Straumann Holding AG, VAT Group AG, Logitech International SA - CH1468580621

8.32% (11.09% p.a.) Reverse Convertible on ENGIE, SAP, Shell

Title

CH1492030916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030916

Fälligkeitstag

29.10.2026

Basiswert

Shell PLC, SAP SE, ENGIE SA - CH1492030916

8.32% (8.32% p.a.) Barrier Reverse Convertible on ABB, Sandoz Group, Sika, Zurich Insurance

Title

CH1548147714 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147714

Fälligkeitstag

10.08.2027

Basiswert

ABB Ltd, Sandoz Group AG, Zurich Insurance Group Ltd, Sika AG - CH1548147714

8.32% (8.36% p.a.) Barrier Reverse Convertible on Clariant, Partners Group Holding, Sika

Title

CH1532246696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246696

Fälligkeitstag

08.04.2027

Basiswert

Clariant AG, Sika AG, Partners Group Holding AG - CH1532246696

8.32% p.a. Autocallable Barrier Reverse Convertible on Adyen , Alibaba Group (Quanto CHF)

Title

CH1548150163 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150163

Fälligkeitstag

23.02.2027

Basiswert

Adyen N.V., Alibaba Group Holding Limited - CH1548150163

8.32% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Lonza, Meta Platforms (Quanto CHF)

Title

CH1532238628 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238628

Fälligkeitstag

27.05.2027

Basiswert

Julius Bär Gruppe AG, Lonza Group AG, Meta Platforms Inc. - CH1532238628

8.32% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Straumann

Title

CH1548141394 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141394

Fälligkeitstag

02.07.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Kuehne + Nagel International AG - CH1548141394

8.32% p.a. Reverse Convertible on Straumann, UBS Group, VAT

Title

CH1476906479 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906479

Fälligkeitstag

07.09.2026

Basiswert

UBS Group AG, Straumann Holding AG, VAT Group AG - CH1476906479

8.33% (8.33% p.a.) Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Swisscom

Title

CH1548135735 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135735

Fälligkeitstag

04.06.2027

Basiswert

Kuehne + Nagel International AG, Swisscom AG, Geberit AG - CH1548135735

8.33% p.a. Autocallable Barrier Reverse Convertible on AXA, Helvetia, Swiss Life, Swiss Re (Quanto CHF)

Title

CH1446051554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446051554

Fälligkeitstag

30.11.2026

Basiswert

Helvetia Holding AG, Swiss Re AG, Swiss Life Holding AG, AXA SA - CH1446051554

8.33% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Straumann

Title

CH1548141410 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141410

Fälligkeitstag

02.07.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Kuehne + Nagel International AG - CH1548141410

8.34% p.a. Autocallable Barrier Reverse Convertible on Alcon, Georg Fischer, Lonza, Sika

Title

CH1476903708 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903708

Fälligkeitstag

18.12.2026

Basiswert

Alcon Inc., Lonza Group AG, Georg Fischer AG, Sika AG - CH1476903708

8.34% p.a. Autocallable Reverse Convertible on ABB, Swiss Re, Zurich Insurance

Title

CH1476912428 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912428

Fälligkeitstag

16.10.2026

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, ABB Ltd - CH1476912428

8.34% p.a. Barrier Reverse Convertible on Alcon, Richemont, Zurich Insurance

Title

CH1492020388 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020388

Fälligkeitstag

12.11.2026

Basiswert

Zurich Insurance Group Ltd, Alcon Inc., Compagnie Financière Richemont SA - CH1492020388

8.34% p.a. Barrier Reverse Convertible on Holcim, Logitech, SGS (Quanto EUR)

Title

CH1476908004 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908004

Fälligkeitstag

16.09.2026

Basiswert

SGS SA, Holcim Ltd, Logitech International SA - CH1476908004

8.35% (16.90% p.a.) Barrier Reverse Convertible on Prosus NV

Title

CH1532245896 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245896

Fälligkeitstag

05.10.2026

Basiswert

Prosus NV

8.35% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1532239907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239907

Fälligkeitstag

04.03.2027

Basiswert

UBS Group AG, Roche Holding AG, Novartis AG - CH1532239907

8.35% p.a. Barrier Reverse Convertible on Swiss Life, UBS Group, Zurich Insurance

Title

CH1492032045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032045

Fälligkeitstag

02.02.2027

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, UBS Group AG - CH1492032045

8.35% p.a. Callable Barrier Reverse Convertible on Accor, Vonovia (Quanto CHF)

Title

CH1476906875 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906875

Fälligkeitstag

09.09.2026

Basiswert

Vonovia SE, Accor SA - CH1476906875

8.35% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Veolia (Quanto CHF)

Title

CH1548133151 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133151

Fälligkeitstag

18.11.2027

Basiswert

Deutsche Telekom AG, Veolia Environnement, Adidas AG - CH1548133151

8.35% p.a. Reverse Convertible on Alibaba Group, Baidu, Tencent (Quanto USD)

Title

CH1548142293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142293

Fälligkeitstag

11.07.2028

Basiswert

Alibaba Group Holding Limited, Baidu, Inc., Tencent Holdings Limited - CH1548142293

8.36% (16.74% p.a.) Barrier Reverse Convertible on RENK Group AG, Rheinmetall

Title

CH1548134027 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134027

Fälligkeitstag

25.11.2026

Basiswert

RENK Group AG, Rheinmetall AG - CH1548134027

8.36% (8.36% p.a.) Barrier Reverse Convertible on ABB, Sika, Sunrise Communications AG, Swiss Re

Title

CH1548141782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141782

Fälligkeitstag

07.07.2027

Basiswert

Sika AG, ABB Ltd, Swiss Re AG, Sunrise Communications AG - CH1548141782

8.36% (8.36% p.a.) Barrier Reverse Convertible on Accor, Julius Bär, Microsoft (Quanto CHF)

Title

CH1492025015 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025015

Fälligkeitstag

17.12.2026

Basiswert

Julius Bär Gruppe AG, Microsoft Corp., Accor SA - CH1492025015

8.36% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto CHF)

Title

CH1476907238 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476907238

Fälligkeitstag

10.09.2026

Basiswert

Novo Nordisk A/S

8.36% p.a. Barrier Reverse Convertible on Amazon.com, Apple, Meta Platforms, Microsoft

Title

CH1468581306 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468581306

Fälligkeitstag

12.08.2027

Basiswert

Microsoft Corp., Amazon.com Inc., Apple Inc., Meta Platforms Inc. - CH1468581306

8.36% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Richemont, Sika, VAT

Title

CH1492034454 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034454

Fälligkeitstag

15.02.2027

Basiswert

VAT Group AG, Lonza Group AG, Nestlé SA, Compagnie Financière Richemont SA, Sika AG - CH1492034454

8.37% (16.75% p.a.) Reverse Convertible on Comet, Forbo, Georg Fischer, Straumann

Title

CH1548126155 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126155

Fälligkeitstag

16.10.2026

Basiswert

Comet Holding AG, Georg Fischer AG, Forbo Holding AG, Straumann Holding AG - CH1548126155

8.37% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548131361 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131361

Fälligkeitstag

07.05.2027

Basiswert

Corning Inc., Costco Wholesale Corp., Walmart Inc. - CH1548131361

8.37% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1446051463 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446051463

Fälligkeitstag

01.12.2026

Basiswert

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1446051463

8.37% p.a. Callable Barrier Reverse Convertible on Sonova, Straumann, Ypsomed

Title

CH1548134134 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134134

Fälligkeitstag

26.05.2027

Basiswert

Sonova Holding AG, Straumann Holding AG, Ypsomed Holding AG - CH1548134134

8.37% p.a. Reverse Convertible on Alcon, Nestlé, Roche

Title

CH1532245144 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245144

Fälligkeitstag

05.04.2027

Basiswert

Nestlé SA, Alcon Inc., Roche Holding AG - CH1532245144

8.38% (8.38% p.a.) Barrier Reverse Convertible on Richemont, Sandoz Group, SGS

Title

CH1476909341 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909341

Fälligkeitstag

24.09.2026

Basiswert

SGS SA, Compagnie Financière Richemont SA, Sandoz Group AG - CH1476909341

8.38% (8.38% p.a.) Barrier Reverse Convertible on Swiss Life, UBS Group, Zurich Insurance

Title

CH1492036632 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036632

Fälligkeitstag

23.02.2027

Basiswert

Swiss Life Holding AG, UBS Group AG, Zurich Insurance Group Ltd - CH1492036632

8.38% p.a. Autocallable Reverse Convertible on Burberry, Ferrari, Kering (Quanto EUR)

Title

CH1492017293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017293

Fälligkeitstag

26.10.2026

Basiswert

Burberry Group PLC, Ferrari N.V., Kering SA - CH1492017293

8.38% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548131353 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131353

Fälligkeitstag

07.05.2027

Basiswert

Corning Inc., Costco Wholesale Corp., Walmart Inc. - CH1548131353

8.38% p.a. Barrier Reverse Convertible on Richemont, Sika, VAT

Title

CH1492020198 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020198

Fälligkeitstag

11.11.2026

Basiswert

VAT Group AG, Sika AG, Compagnie Financière Richemont SA - CH1492020198

8.38% p.a. Reverse Convertible on EMS-Chemie, Holcim, Novartis

Title

CH1532246720 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246720

Fälligkeitstag

08.04.2027

Basiswert

Novartis AG, Holcim Ltd, EMS-Chemie Holding AG - CH1532246720

8.39% (8.42% p.a.) Barrier Reverse Convertible on Givaudan, Partners Group Holding, Swisscom (Quanto USD)

Title

CH1476906164 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906164

Fälligkeitstag

04.09.2026

Basiswert

Swisscom AG, Partners Group Holding AG, Givaudan SA - CH1476906164

8.40% (11.07% p.a.) Barrier Reverse Convertible on EMS-Chemie, Galderma Group

Title

CH1532243594 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243594

Fälligkeitstag

23.12.2026

Basiswert

Galderma Group Ltd, EMS-Chemie Holding AG - CH1532243594

8.40% (16.71% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Hochtief

Title

CH1532242034 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242034

Fälligkeitstag

14.09.2026

Basiswert

Heidelberg Materials AG, Hochtief AG - CH1532242034

8.40% (16.81% p.a.) Barrier Reverse Convertible on KKR & Co, PayPal, The Blackstone Group

Title

CH1548129233 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129233

Fälligkeitstag

29.10.2026

Basiswert

KKR & Co Inc., PayPal Holdings Inc., The Blackstone Group Inc. - CH1548129233

8.40% p.a. Autocallable Barrier Reverse Convertible on Alcon, Georg Fischer, Lonza, Sika

Title

CH1476903799 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903799

Fälligkeitstag

21.12.2026

Basiswert

Alcon Inc., Lonza Group AG, Georg Fischer AG, Sika AG - CH1476903799

8.40% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Novartis, Roche, Sandoz Group

Title

CH1532237802 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237802

Fälligkeitstag

25.02.2027

Basiswert

Novartis AG, Roche Holding AG, Galderma Group Ltd, Sandoz Group AG - CH1532237802

8.40% p.a. Barrier Reverse Convertible on Partners Group Holding, Swiss Life, UBS Group

Title

CH1548130959 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130959

Fälligkeitstag

08.11.2027

Basiswert

Swiss Life Holding AG, UBS Group AG, Partners Group Holding AG - CH1548130959

8.40% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548137525 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137525

Fälligkeitstag

14.06.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548137525

8.40% p.a. Callable Reverse Convertible on Accelleron Industries, Geberit, Swatch

Title

CH1492017871 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017871

Fälligkeitstag

29.10.2026

Basiswert

Accelleron Industries AG, The Swatch Group AG, Geberit AG - CH1492017871

8.41% (12.01% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sika

Title

CH1492032219 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032219

Fälligkeitstag

15.10.2026

Basiswert

Partners Group Holding AG, Sika AG - CH1492032219

8.41% (8.41% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Swiss Life

Title

CH1548139729 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139729

Fälligkeitstag

24.06.2027

Basiswert

Alcon Inc., Logitech International SA, Swiss Life Holding AG - CH1548139729

8.41% p.a. Autocallable Barrier Reverse Convertible on Bachem, Geberit, Interroll

Title

CH1548149165 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149165

Fälligkeitstag

18.08.2027

Basiswert

Geberit AG, Interroll Holding AG, Bachem Holding AG - CH1548149165

8.41% p.a. Autocallable Reverse Convertible on Amazon.com, Nestlé, Zurich Insurance (Quanto CHF)

Title

CH1532245821 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245821

Fälligkeitstag

06.04.2027

Basiswert

Zurich Insurance Group Ltd, Nestlé SA, Amazon.com Inc. - CH1532245821

8.41% p.a. Autocallable Reverse Convertible on Broadcom, Caterpillar, Visa (Quanto EUR)

Title

CH1548132567 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132567

Fälligkeitstag

16.08.2027

Basiswert

Broadcom Inc., Caterpillar Inc., Visa Inc. - CH1548132567

8.41% p.a. Callable Reverse Convertible on Dottikon ES Holding, Lonza, Siegfried

Title

CH1548139018 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139018

Fälligkeitstag

20.12.2027

Basiswert

Dottikon ES Holding AG, Lonza Group AG, Siegfried Holding AG - CH1548139018

8.42% (11.06% p.a.) Reverse Convertible on Deutsche Telekom, Fielmann, SAP

Title

CH1548135933 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135933

Fälligkeitstag

08.03.2027

Basiswert

SAP SE, Deutsche Telekom AG, Fielmann AG - CH1548135933

8.42% (12.03% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sika

Title

CH1492032268 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032268

Fälligkeitstag

15.10.2026

Basiswert

Partners Group Holding AG, Sika AG - CH1492032268

8.42% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Holcim

Title

CH1548149207 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149207

Fälligkeitstag

18.08.2027

Basiswert

Galderma Group Ltd, Alcon Inc., Holcim Ltd - CH1548149207

8.42% p.a. Barrier Reverse Convertible on Airbus, CaixaBank, Carlsberg (Quanto CHF)

Title

CH1548133565 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133565

Fälligkeitstag

21.05.2027

Basiswert

Carlsberg A/S, Airbus SE, CaixaBank SA - CH1548133565

8.42% p.a. Reverse Convertible on Emmi, Sandoz Group, Swatch

Title

CH1492022459 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022459

Fälligkeitstag

27.11.2026

Basiswert

Emmi AG, Sandoz Group AG, The Swatch Group AG - CH1492022459

8.43% (11.24% p.a.) Reverse Convertible on Kardex, Straumann, VAT

Title

CH1492034793 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034793

Fälligkeitstag

16.11.2026

Basiswert

Kardex AG, VAT Group AG, Straumann Holding AG - CH1492034793

8.43% (8.39% p.a.) Barrier Reverse Convertible on Deutsche Bank AG

Title

CH1492022574 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022574

Fälligkeitstag

30.11.2026

Basiswert

Deutsche Bank AG

8.43% (8.43% p.a.) Reverse Convertible on Palo Alto Networks, Inc.

Title

CH1532246886 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246886

Fälligkeitstag

09.04.2027

Basiswert

Palo Alto Networks, Inc.

8.43% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swatch, VAT

Title

CH1532246837 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246837

Fälligkeitstag

09.04.2027

Basiswert

VAT Group AG, The Swatch Group AG, Partners Group Holding AG - CH1532246837

8.43% p.a. Autocallable Reverse Convertible on Inditex, LVMH Moët Hennessy Louis Vuitton, Microsoft (Quanto EUR)

Title

CH1548139711 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139711

Fälligkeitstag

27.12.2027

Basiswert

Microsoft Corp., Inditex SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548139711

8.43% p.a. Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Sika

Title

CH1548129555 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129555

Fälligkeitstag

30.04.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Sika AG - CH1548129555

8.43% p.a. Barrier Reverse Convertible on Julius Bär, Straumann, UBS Group

Title

CH1548132849 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132849

Fälligkeitstag

18.05.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Straumann Holding AG - CH1548132849

8.43% p.a. Callable Reverse Convertible on Allianz, Commerzbank, Vonovia

Title

CH1314928529 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314928529

Fälligkeitstag

23.09.2026

Basiswert

Allianz SE, Commerzbank AG, Vonovia SE - CH1314928529

8.44% (8.46% p.a.) Barrier Reverse Convertible on Adidas, Givaudan, SGS (Quanto CHF)

Title

CH1492027110 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027110

Fälligkeitstag

06.01.2027

Basiswert

Givaudan SA, SGS SA, Adidas AG - CH1492027110

8.44% p.a. Autocallable Barrier Reverse Convertible on Deere, McDonalds, Salesforce

Title

CH1548131676 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131676

Fälligkeitstag

12.11.2026

Basiswert

Deere & Co., Salesforce, Inc., McDonalds Corp. - CH1548131676

8.45% (17.28% p.a.) Reverse Convertible on Heidelberg Materials, Holcim, Newmont (Quanto GBP)

Title

CH1532246779 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246779

Fälligkeitstag

09.10.2026

Basiswert

Heidelberg Materials AG, Holcim Ltd, Newmont Corp. - CH1532246779

8.45% (8.45% p.a.) Barrier Reverse Convertible on Adecco, Lonza, UBS Group

Title

CH1476911321 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911321

Fälligkeitstag

09.10.2026

Basiswert

Lonza Group AG, UBS Group AG, Adecco Group AG - CH1476911321

8.45% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft

Title

CH1548147847 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147847

Fälligkeitstag

11.08.2027

Basiswert

Microsoft Corp., Amazon.com Inc. - CH1548147847

8.45% p.a. Callable Barrier Reverse Convertible on Swiss Re, UBS Group, Zurich Insurance

Title

CH1548146765 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146765

Fälligkeitstag

05.02.2027

Basiswert

Swiss Re AG, UBS Group AG, Zurich Insurance Group Ltd - CH1548146765

8.45% p.a. Callable Reverse Convertible on Alcon, Siegfried, Sonova

Title

CH1548148415 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148415

Fälligkeitstag

14.02.2028

Basiswert

Alcon Inc., Siegfried Holding AG, Sonova Holding AG - CH1548148415

8.46% (16.83% p.a.) Barrier Reverse Convertible on Geberit, Stadler Rail, Swatch

Title

CH1548132393 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132393

Fälligkeitstag

16.11.2026

Basiswert

Geberit AG, Stadler Rail AG, The Swatch Group AG - CH1548132393

8.46% (8.42% p.a.) Barrier Reverse Convertible on Holcim, Logitech, Sika

Title

CH1548138838 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138838

Fälligkeitstag

21.06.2027

Basiswert

Sika AG, Holcim Ltd, Logitech International SA - CH1548138838

8.46% p.a. Autocallable Reverse Convertible on Banco BPM, Intesa Sanpaolo

Title

CH1548147854 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147854

Fälligkeitstag

11.08.2027

Basiswert

Banco BPM S.p.A., Intesa Sanpaolo SpA - CH1548147854

8.46% p.a. Barrier Reverse Convertible on Alcon, Julius Bär, Swiss Re

Title

CH1532246977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246977

Fälligkeitstag

14.04.2027

Basiswert

Alcon Inc., Julius Bär Gruppe AG, Swiss Re AG - CH1532246977

8.46% p.a. Barrier Reverse Convertible on Geberit, Logitech, VAT (Quanto EUR)

Title

CH1476909382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909382

Fälligkeitstag

24.09.2026

Basiswert

VAT Group AG, Geberit AG, Logitech International SA - CH1476909382

8.46% p.a. Barrier Reverse Convertible on Sika, Sonova, VAT

Title

CH1492021972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021972

Fälligkeitstag

25.11.2026

Basiswert

VAT Group AG, Sonova Holding AG, Sika AG - CH1492021972

8.46% p.a. Callable Barrier Reverse Convertible on BMW, Mercedes-Benz Group, Volkswagen (Quanto CHF)

Title

CH1476912915 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912915

Fälligkeitstag

21.01.2027

Basiswert

Mercedes-Benz Group AG, Bayerische Motoren Werke AG, Volkswagen AG - CH1476912915

8.47% (8.47% p.a.) Barrier Reverse Convertible on Amrize Ltd, Julius Bär, Swiss Re

Title

CH1532247058 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247058

Fälligkeitstag

15.04.2027

Basiswert

Swiss Re AG, Amrize Ltd, Julius Bär Gruppe AG - CH1532247058

8.47% (8.47% p.a.) Barrier Reverse Convertible on Geberit, Partners Group Holding, Swiss Re

Title

CH1492034140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034140

Fälligkeitstag

12.02.2027

Basiswert

Partners Group Holding AG, Geberit AG, Swiss Re AG - CH1492034140

8.47% (8.49% p.a.) Barrier Reverse Convertible on Lonza, Partners Group Holding, Straumann

Title

CH1492027300 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027300

Fälligkeitstag

07.01.2027

Basiswert

Straumann Holding AG, Lonza Group AG, Partners Group Holding AG - CH1492027300

8.47% (8.50% p.a.) Reverse Convertible on Ypsomed Holding AG

Title

CH1548134647 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548134647

Fälligkeitstag

27.05.2027

Basiswert

Ypsomed Holding AG

8.47% p.a. Autocallable Reverse Convertible on Coca-Cola, Schneider Electric, STMicroelectronics (Quanto EUR)

Title

CH1532243669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243669

Fälligkeitstag

21.06.2027

Basiswert

Schneider Electric SE, Coca-Cola Company, STMicroelectronics NV - CH1532243669

8.47% p.a. Autocallable Reverse Convertible on Inditex, LVMH Moët Hennessy Louis Vuitton, Microsoft (Quanto EUR)

Title

CH1548139653 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139653

Fälligkeitstag

27.12.2027

Basiswert

Microsoft Corp., Inditex SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548139653

8.47% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Zurich Insurance (Quanto EUR)

Title

CH1492020446 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020446

Fälligkeitstag

13.11.2026

Basiswert

Alcon Inc., Givaudan SA, Zurich Insurance Group Ltd - CH1492020446

8.47% p.a. Barrier Reverse Convertible on Lonza, Partners Group Holding, Swissquote

Title

CH1548147888 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147888

Fälligkeitstag

11.08.2027

Basiswert

Partners Group Holding AG, Lonza Group AG, Swissquote Group Holding SA - CH1548147888

8.47% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, VAT

Title

CH1476910794 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910794

Fälligkeitstag

06.10.2026

Basiswert

VAT Group AG, Partners Group Holding AG, Straumann Holding AG - CH1476910794

8.47% p.a. Barrier Reverse Convertible on Sika, Straumann, VAT

Title

CH1492027516 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027516

Fälligkeitstag

12.01.2028

Basiswert

Sika AG, Straumann Holding AG, VAT Group AG - CH1492027516

8.47% p.a. Callable Barrier Reverse Convertible on Holcim, Swiss Re, Swisscom

Title

CH1548129837 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129837

Fälligkeitstag

31.07.2028

Basiswert

Holcim Ltd, Swiss Re AG, Swisscom AG - CH1548129837

8.47% p.a. Reverse Convertible on Meta Platforms Inc. (Quanto EUR)

Title

CH1548145163 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145163

Fälligkeitstag

27.01.2027

Basiswert

Meta Platforms Inc.

8.48% (8.48% p.a.) Reverse Convertible on Rheinmetall AG

Title

CH1548133607 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133607

Fälligkeitstag

20.05.2027

Basiswert

Rheinmetall AG

8.48% p.a. Autocallable Barrier Reverse Convertible on Infineon, L´Oréal, SAP

Title

CH1476912881 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912881

Fälligkeitstag

21.10.2026

Basiswert

L´Oréal International, Infineon Technologies AG, SAP SE - CH1476912881

8.48% p.a. Barrier Reverse Convertible on Airbus, Boeing (Quanto CHF)

Title

CH1548146633 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146633

Fälligkeitstag

04.08.2027

Basiswert

Airbus SE, Boeing Company - CH1548146633

8.48% p.a. Barrier Reverse Convertible on Deutsche Telekom, Fresenius Medical Care, Munich Re

Title

CH1492020651 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020651

Fälligkeitstag

14.05.2027

Basiswert

Deutsche Telekom AG, Münchener Rückversicherungs AG, Fresenius Medical Care AG - CH1492020651

8.48% p.a. Barrier Reverse Convertible on Julius Bär, Lonza, Sika

Title

CH1492036558 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036558

Fälligkeitstag

23.02.2027

Basiswert

Sika AG, Lonza Group AG, Julius Bär Gruppe AG - CH1492036558

8.48% p.a. Barrier Reverse Convertible on Lonza, Roche, Swisscom

Title

CH1548127450 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127450

Fälligkeitstag

22.04.2027

Basiswert

Swisscom AG, Roche Holding AG, Lonza Group AG - CH1548127450

8.49% (8.47% p.a.) Barrier Reverse Convertible on Roche, Sandoz Group, UBS Group, Zurich Insurance

Title

CH1492031575 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031575

Fälligkeitstag

01.02.2027

Basiswert

UBS Group AG, Sandoz Group AG, Roche Holding AG, Zurich Insurance Group Ltd - CH1492031575

8.49% (8.49% p.a.) Barrier Reverse Convertible on ABB, Nestlé, Zurich Insurance

Title

CH1532241283 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241283

Fälligkeitstag

11.03.2027

Basiswert

ABB Ltd, Zurich Insurance Group Ltd, Nestlé SA - CH1532241283

8.49% p.a. Autocallable Barrier Reverse Convertible on Amrize Ltd, Partners Group Holding, UBS Group

Title

CH1548132781 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132781

Fälligkeitstag

18.05.2027

Basiswert

Amrize Ltd, Partners Group Holding AG, UBS Group AG - CH1548132781

8.49% p.a. Callable Reverse Convertible on Lonza, Sandoz Group, Siegfried

Title

CH1548139422 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139422

Fälligkeitstag

23.12.2027

Basiswert

Lonza Group AG, Siegfried Holding AG, Sandoz Group AG - CH1548139422

8.50% (16.73% p.a.) Barrier Reverse Convertible on Meta Platforms, Microsoft

Title

CH1548144406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144406

Fälligkeitstag

25.01.2027

Basiswert

Meta Platforms Inc., Microsoft Corp. - CH1548144406

8.50% (17.01% p.a.) Reverse Convertible on Nike, On Holding

Title

CH1548134282 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134282

Fälligkeitstag

27.11.2026

Basiswert

On Holding Ltd, Nike Inc. - CH1548134282

8.50% (8.50% p.a.) Reverse Convertible on Givaudan, Holcim, Roche

Title

CH1532243065 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243065

Fälligkeitstag

19.03.2027

Basiswert

Roche Holding AG, Holcim Ltd, Givaudan SA - CH1532243065

8.50% p.a. Autocallable Reverse Convertible on ARYZTA, OC Oerlikon, Sonova

Title

CH1548149389 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149389

Fälligkeitstag

19.08.2027

Basiswert

ARYZTA AG, OC Oerlikon Corp. AG, Sonova Holding AG - CH1548149389

8.50% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto USD)

Title

CH1548140230 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140230

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140230

8.50% p.a. Autocallable Reverse Convertible on L´Oréal, Safran, Siemens (Quanto USD)

Title

CH1548142061 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142061

Fälligkeitstag

08.10.2027

Basiswert

L´Oréal International, Safran SA, Siemens AG - CH1548142061

8.50% p.a. Autocallable Reverse Convertible on NVIDIA, Palantir, Tesla

Title

CH1548136816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136816

Fälligkeitstag

09.06.2027

Basiswert

NVIDIA Corp., Palantir Technologies Inc., Tesla Inc. - CH1548136816

8.50% p.a. Callable Barrier Reverse Convertible on Continental, RWE, SAP

Title

CH1492029736 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029736

Fälligkeitstag

22.07.2027

Basiswert

Continental AG, SAP SE, RWE AG - CH1492029736

8.50% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Sika (Quanto EUR)

Title

CH1492027557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027557

Fälligkeitstag

12.01.2027

Basiswert

Partners Group Holding AG, Sika AG - CH1492027557

8.50% p.a. Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton

Title

CH1548138861 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138861

Fälligkeitstag

21.06.2027

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1548138861

8.51% (8.49% p.a.) Barrier Reverse Convertible on Eli Lilly, Novo Nordisk (Quanto CHF)

Title

CH1548142194 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142194

Fälligkeitstag

09.07.2027

Basiswert

Novo Nordisk A/S, Eli Lilly & Co. - CH1548142194

8.51% p.a. Callable Reverse Convertible on Alcon, Galderma Group, Sonova

Title

CH1548139943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139943

Fälligkeitstag

27.12.2027

Basiswert

Sonova Holding AG, Alcon Inc., Galderma Group Ltd - CH1548139943

8.52% p.a. Autocallable Barrier Reverse Convertible on Allianz, ENGIE, Intesa Sanpaolo, Munich Re (Quanto CHF)

Title

CH1548133706 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133706

Fälligkeitstag

21.05.2027

Basiswert

Allianz SE, Münchener Rückversicherungs AG, Intesa Sanpaolo SpA, ENGIE SA - CH1548133706

8.52% p.a. Autocallable Barrier Reverse Convertible on Lonza, Novartis, Swiss Re, UBS Group

Title

CH1548140883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140883

Fälligkeitstag

01.07.2027

Basiswert

Swiss Re AG, UBS Group AG, Novartis AG, Lonza Group AG - CH1548140883

8.53% (8.49% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Lonza, Swiss Re

Title

CH1548147383 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147383

Fälligkeitstag

09.08.2027

Basiswert

Geberit AG, Lonza Group AG, Swiss Re AG, Holcim Ltd - CH1548147383

8.53% (8.53% p.a.) Barrier Reverse Convertible on Givaudan, Logitech, UBS Group

Title

CH1532237349 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237349

Fälligkeitstag

24.02.2027

Basiswert

Logitech International SA, UBS Group AG, Givaudan SA - CH1532237349

8.53% p.a. Autocallable Barrier Reverse Convertible on Alcon, ARYZTA, Galderma Group, Sandoz Group

Title

CH1476904342 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476904342

Fälligkeitstag

22.12.2026

Basiswert

ARYZTA AG, Galderma Group Ltd, Sandoz Group AG, Alcon Inc. - CH1476904342

8.54% (8.50% p.a.) Barrier Reverse Convertible on Barry Callebaut, Lindt & Sprüngli

Title

CH1548138788 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138788

Fälligkeitstag

21.06.2027

Basiswert

Barry Callebaut AG, Lindt & Sprüngli AG - CH1548138788

8.54% p.a. Autocallable Barrier Reverse Convertible on ABB, Holcim, VAT

Title

CH1548149421 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149421

Fälligkeitstag

19.08.2027

Basiswert

Holcim Ltd, VAT Group AG, ABB Ltd - CH1548149421

8.54% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Holcim, Swiss Re, Zurich Insurance

Title

CH1548139075 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139075

Fälligkeitstag

21.06.2027

Basiswert

Galderma Group Ltd, Swiss Re AG, Zurich Insurance Group Ltd, Holcim Ltd - CH1548139075

8.54% p.a. Autocallable Barrier Reverse Convertible on Straumann, Swiss Re

Title

CH1548142699 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142699

Fälligkeitstag

14.07.2027

Basiswert

Swiss Re AG, Straumann Holding AG - CH1548142699

8.54% p.a. Barrier Reverse Convertible on Airbus, BAE Systems, Lockheed Martin, MTU Aero Engines, Rolls-Royce (Quanto CHF)

Title

CH1492020057 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020057

Fälligkeitstag

11.11.2026

Basiswert

BAE Systems PLC, Rolls-Royce Holdings PLC, MTU Aero Engines Holdings AG, Lockheed Martin Corp, Airbus SE - CH1492020057

8.55% (8.55% p.a.) Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1492018911 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018911

Fälligkeitstag

03.11.2026

Basiswert

Alcon Inc., Sandoz Group AG, Straumann Holding AG - CH1492018911

8.55% p.a. Autocallable Reverse Convertible on Airbnb, Nike, Unilever PLC (Quanto USD)

Title

CH1548140289 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140289

Fälligkeitstag

29.06.2027

Basiswert

Airbnb Inc., Nike Inc., Unilever PLC - CH1548140289

8.55% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1532241499 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241499

Fälligkeitstag

11.03.2027

Basiswert

Alcon Inc., Givaudan SA, Lonza Group AG - CH1532241499

8.55% p.a. Callable Barrier Reverse Convertible on PSP Swiss Property, Richemont, Sika

Title

CH1314929378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314929378

Fälligkeitstag

21.10.2026

Basiswert

PSP Swiss Property AG, Compagnie Financière Richemont SA, Sika AG - CH1314929378

8.56% (8.56% p.a.) Barrier Reverse Convertible on ABB, Lonza, Sika

Title

CH1548141493 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141493

Fälligkeitstag

06.07.2027

Basiswert

Sika AG, Lonza Group AG, ABB Ltd - CH1548141493

8.56% (8.56% p.a.) Barrier Reverse Convertible on Accelleron Industries, BELIMO Holding, Galenica

Title

CH1532239683 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239683

Fälligkeitstag

04.03.2027

Basiswert

Accelleron Industries AG, BELIMO Holding AG, Galenica AG - CH1532239683

8.56% (8.56% p.a.) Barrier Reverse Convertible on GE Aerospace, Intel, Palo Alto Networks, RTX Corporation (Quanto CHF)

Title

CH1476905786 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905786

Fälligkeitstag

02.09.2026

Basiswert

GE Aerospace, Palo Alto Networks, Inc., RTX Corporation, Intel Corp. - CH1476905786

8.56% (8.56% p.a.) Barrier Reverse Convertible on Galderma Group, Kardex, Kuehne + Nagel

Title

CH1548149066 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149066

Fälligkeitstag

18.08.2027

Basiswert

Kardex AG, Galderma Group Ltd, Kuehne + Nagel International AG - CH1548149066

8.56% p.a. Callable Reverse Convertible on Geberit, Holcim, Sika

Title

CH1418950932 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418950932

Fälligkeitstag

06.11.2026

Basiswert

Holcim Ltd, Sika AG, Geberit AG - CH1418950932

8.57% (8.57% p.a.) Barrier Reverse Convertible on Givaudan, Nestlé, Straumann

Title

CH1548135701 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135701

Fälligkeitstag

04.06.2027

Basiswert

Straumann Holding AG, Nestlé SA, Givaudan SA - CH1548135701

8.57% (8.57% p.a.) Barrier Reverse Convertible on Holcim, Logitech, Richemont

Title

CH1492023861 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023861

Fälligkeitstag

10.12.2026

Basiswert

Holcim Ltd, Logitech International SA, Compagnie Financière Richemont SA - CH1492023861

8.57% (8.60% p.a.) Reverse Convertible on Bachem, Temenos, VAT

Title

CH1548132583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132583

Fälligkeitstag

14.05.2027

Basiswert

Temenos AG, VAT Group AG, Bachem Holding AG - CH1548132583

8.57% p.a. Autocallable Barrier Reverse Convertible on ABB, Prosus, Schneider Electric (Quanto USD)

Title

CH1492022103 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022103

Fälligkeitstag

26.05.2027

Basiswert

ABB Ltd, Prosus NV, Schneider Electric SE - CH1492022103

8.57% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Intesa Sanpaolo, Munich Re, UBS Group (Quanto CHF)

Title

CH1492029173 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029173

Fälligkeitstag

20.01.2027

Basiswert

Münchener Rückversicherungs AG, Intesa Sanpaolo SpA, BNP Paribas, UBS Group AG - CH1492029173

8.57% p.a. Barrier Reverse Convertible on ABB, Galderma Group, Salesforce, SAP, Ypsomed (Quanto CHF)

Title

CH1492032631 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032631

Fälligkeitstag

05.02.2027

Basiswert

ABB Ltd, Galderma Group Ltd, Ypsomed Holding AG, SAP SE, Salesforce, Inc. - CH1492032631

8.57% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, Swiss Re

Title

CH1492036178 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036178

Fälligkeitstag

22.02.2027

Basiswert

Partners Group Holding AG, Sika AG, Swiss Re AG - CH1492036178

8.58% (8.59% p.a.) Barrier Reverse Convertible on Alcon, Logitech, VAT

Title

CH1476911339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911339

Fälligkeitstag

09.10.2026

Basiswert

Logitech International SA, VAT Group AG, Alcon Inc. - CH1476911339

8.58% p.a. Autocallable Reverse Convertible on Air Liquide, Amazon.com, Schneider Electric (Quanto EUR)

Title

CH1532242596 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242596

Fälligkeitstag

17.06.2027

Basiswert

Schneider Electric SE, Amazon.com Inc., Air Liquide SA - CH1532242596

8.58% p.a. Autocallable Reverse Convertible on Dassault, Leonardo, Rheinmetall (Quanto USD)

Title

CH1492028720 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028720

Fälligkeitstag

20.01.2027

Basiswert

Dassault Systèmes S.A., Leonardo S.p.a., Rheinmetall AG - CH1492028720

8.58% p.a. Reverse Convertible on Intuitive Surgical, Microsoft, Newmont

Title

CH1548127385 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127385

Fälligkeitstag

21.04.2027

Basiswert

Newmont Corp., Microsoft Corp., Intuitive Surgical Inc. - CH1548127385

8.59% (8.61% p.a.) Barrier Reverse Convertible on Givaudan, Partners Group Holding, Swiss Re

Title

CH1492035097 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035097

Fälligkeitstag

18.02.2027

Basiswert

Givaudan SA, Partners Group Holding AG, Swiss Re AG - CH1492035097

8.59% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Salesforce, Taiwan Semiconductor Manufacturing

Title

CH1492029264 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029264

Fälligkeitstag

20.07.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, Salesforce, Inc., Microsoft Corp. - CH1492029264

8.60% (8.61% p.a.) Barrier Reverse Convertible on Lonza, Swiss Re, UBS Group

Title

CH1492027581 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027581

Fälligkeitstag

12.01.2027

Basiswert

UBS Group AG, Swiss Re AG, Lonza Group AG - CH1492027581

8.60% p.a. Barrier Reverse Convertible on Geberit, Roche, Swiss Re (Quanto USD)

Title

CH1548131866 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131866

Fälligkeitstag

12.05.2028

Basiswert

Roche Holding AG, Geberit AG, Swiss Re AG - CH1548131866

8.61% (8.61% p.a.) Barrier Reverse Convertible on SGS, VAT, VZ Holding AG

Title

CH1548148274 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148274

Fälligkeitstag

13.08.2027

Basiswert

VZ Holding AG, SGS SA, VAT Group AG - CH1548148274

8.61% (8.62% p.a.) Barrier Reverse Convertible on Adidas, Deutsche Börse, DSM-Firmenich

Title

CH1476909408 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909408

Fälligkeitstag

24.09.2026

Basiswert

Adidas AG, DSM-Firmenich AG, Deutsche Börse AG - CH1476909408

8.61% p.a. Autocallable Barrier Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re, UBS Group

Title

CH1548128870 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128870

Fälligkeitstag

30.11.2026

Basiswert

UBS Group AG, Helvetia Baloise Holding AG, Swiss Life Holding AG, Swiss Re AG - CH1548128870

8.61% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, VAT (Quanto EUR)

Title

CH1476908129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908129

Fälligkeitstag

17.09.2026

Basiswert

VAT Group AG, Straumann Holding AG, Partners Group Holding AG - CH1476908129

8.62% (8.60% p.a.) Barrier Reverse Convertible on Partners Group Holding, Swissquote, UBS Group (Quanto EUR)

Title

CH1548132070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132070

Fälligkeitstag

13.05.2027

Basiswert

Swissquote Group Holding SA, Partners Group Holding AG, UBS Group AG - CH1548132070

8.62% (8.70% p.a.) Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1492018747 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018747

Fälligkeitstag

30.10.2026

Basiswert

Compagnie Financière Richemont SA, Logitech International SA, Lonza Group AG - CH1492018747

8.62% p.a. Autocallable Barrier Reverse Convertible on Broadcom, Qualcomm

Title

CH1548131635 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131635

Fälligkeitstag

12.11.2027

Basiswert

Broadcom Inc., Qualcomm Inc. - CH1548131635

8.63% p.a. Barrier Reverse Convertible on Galderma Group, Logitech, Sonova

Title

CH1548149140 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149140

Fälligkeitstag

18.08.2027

Basiswert

Logitech International SA, Galderma Group Ltd, Sonova Holding AG - CH1548149140

8.64% (8.74% p.a.) Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532246803 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246803

Fälligkeitstag

09.04.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Alcon Inc. - CH1532246803

8.64% p.a. Autocallable Barrier Reverse Convertible on Coca-Cola, Microsoft, Visa

Title

CH1492031054 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031054

Fälligkeitstag

29.01.2027

Basiswert

Coca-Cola Company, Microsoft Corp., Visa Inc. - CH1492031054

8.64% p.a. Autocallable Reverse Convertible on Amazon.com, Enel (Quanto EUR)

Title

CH1548129357 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129357

Fälligkeitstag

30.04.2027

Basiswert

Enel SpA, Amazon.com Inc. - CH1548129357

8.64% p.a. Autocallable Reverse Convertible on Microsoft, Visa

Title

CH1492031278 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031278

Fälligkeitstag

29.01.2027

Basiswert

Visa Inc., Microsoft Corp. - CH1492031278

8.64% p.a. Barrier Reverse Convertible on Geberit, Holcim, VAT (Quanto EUR)

Title

CH1492018143 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018143

Fälligkeitstag

29.10.2027

Basiswert

Holcim Ltd, Geberit AG, VAT Group AG - CH1492018143

8.65% (17.12% p.a.) Barrier Reverse Convertible on QIAGEN, Sartorius

Title

CH1548134787 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134787

Fälligkeitstag

30.11.2026

Basiswert

QIAGEN NV, Sartorius AG - CH1548134787

8.65% (8.65% p.a.) Barrier Reverse Convertible on Accelleron Industries, BELIMO Holding, Sika

Title

CH1548146435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146435

Fälligkeitstag

03.08.2027

Basiswert

BELIMO Holding AG, Sika AG, Accelleron Industries AG - CH1548146435

8.65% p.a. Barrier Reverse Convertible on Georg Fischer, Kuehne + Nagel, Richemont

Title

CH1548137731 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137731

Fälligkeitstag

14.06.2027

Basiswert

Georg Fischer AG, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1548137731

8.65% p.a. Barrier Reverse Convertible on Lonza, Roche, Swisscom

Title

CH1548130751 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130751

Fälligkeitstag

07.05.2027

Basiswert

Lonza Group AG, Swisscom AG, Roche Holding AG - CH1548130751

8.65% p.a. Barrier Reverse Convertible on Roche, Swiss Life, VAT (Quanto CAD)

Title

CH1476907881 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907881

Fälligkeitstag

16.03.2027

Basiswert

VAT Group AG, Swiss Life Holding AG, Roche Holding AG - CH1476907881

8.65% p.a. Callable Barrier Reverse Convertible on ABB, Lonza, Sika

Title

CH1548149496 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149496

Fälligkeitstag

19.08.2027

Basiswert

ABB Ltd, Lonza Group AG, Sika AG - CH1548149496

8.65% p.a. Callable Reverse Convertible on Apple, Meta Platforms, Taiwan Semiconductor Manufacturing

Title

CH1532238537 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238537

Fälligkeitstag

29.02.2028

Basiswert

Apple Inc., Meta Platforms Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1532238537

8.65% p.a. Reverse Convertible on Berkshire Hathaway, ETF Invesco QQQ Trust Series I, SPDR S&P 500 ETF

Title

CH1492032508 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032508

Fälligkeitstag

04.02.2027

Basiswert

Berkshire Hathaway Inc., ETF Invesco QQQ Trust Series I, SPDR S&P 500 ETF - CH1492032508

8.65% p.a. Reverse Convertible on Intesa Sanpaolo, UniCredit

Title

CH1548128078 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128078

Fälligkeitstag

25.01.2027

Basiswert

Intesa Sanpaolo SpA, UniCredit SpA - CH1548128078

8.66% p.a. Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1548132401 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132401

Fälligkeitstag

14.05.2027

Basiswert

Alcon Inc., Lonza Group AG, Straumann Holding AG - CH1548132401

8.67% (8.64% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548131833 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131833

Fälligkeitstag

13.05.2027

Basiswert

Huber + Suhner AG, Accelleron Industries AG, ABB Ltd, Lonza Group AG - CH1548131833

8.67% (8.67% p.a.) Barrier Reverse Convertible on ABB, Helvetia Baloise, Logitech, VAT

Title

CH1548136782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136782

Fälligkeitstag

09.06.2027

Basiswert

ABB Ltd, Logitech International SA, VAT Group AG, Helvetia Baloise Holding AG - CH1548136782

8.67% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Cembra Money Bank, Julius Bär, UBS Group (Quanto CHF)

Title

CH1532237299 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237299

Fälligkeitstag

24.02.2027

Basiswert

Cembra Money Bank AG, Julius Bär Gruppe AG, UBS Group AG, BNP Paribas - CH1532237299

8.67% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, Sika

Title

CH1492031351 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031351

Fälligkeitstag

01.02.2027

Basiswert

ABB Ltd, Partners Group Holding AG, Sika AG - CH1492031351

8.67% p.a. Barrier Reverse Convertible on ABB, Siemens (Quanto CHF)

Title

CH1548130611 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130611

Fälligkeitstag

05.05.2027

Basiswert

ABB Ltd, Siemens AG - CH1548130611

8.67% p.a. Barrier Reverse Convertible on Lonza, Roche, Swisscom

Title

CH1548126353 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126353

Fälligkeitstag

16.04.2027

Basiswert

Lonza Group AG, Roche Holding AG, Swisscom AG - CH1548126353

8.67% p.a. Callable Barrier Reverse Convertible on Nestlé, SGS, Sulzer

Title

CH1446057791 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057791

Fälligkeitstag

19.07.2027

Basiswert

Nestlé SA, SGS SA, Sulzer AG - CH1446057791

8.68% p.a. Autocallable Reverse Convertible on Air Liquide, Airbus, Schneider Electric

Title

CH1548133250 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133250

Fälligkeitstag

18.08.2027

Basiswert

Schneider Electric SE, Air Liquide SA, Airbus SE - CH1548133250

8.68% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms (Quanto EUR)

Title

CH1548134118 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134118

Fälligkeitstag

25.11.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Meta Platforms Inc. - CH1548134118

8.68% p.a. Barrier Reverse Convertible on AT&T, Cisco Systems, Merck, Meta Platforms

Title

CH1492016980 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016980

Fälligkeitstag

23.10.2026

Basiswert

Cisco Systems Inc., Meta Platforms Inc., Merck & Co. Inc., AT&T Inc. - CH1492016980

8.68% p.a. Reverse Convertible on Geberit, SIG Group, Sika

Title

CH1548130934 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130934

Fälligkeitstag

08.02.2027

Basiswert

Geberit AG, Sika AG, SIG Group AG - CH1548130934

8.69% p.a. Barrier Reverse Convertible on Eli Lilly, Novo Nordisk, UnitedHealth (Quanto EUR)

Title

CH1476905851 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905851

Fälligkeitstag

02.09.2026

Basiswert

Novo Nordisk A/S, Eli Lilly & Co., UnitedHealth Group Inc. - CH1476905851

8.69% p.a. Barrier Reverse Convertible on Galderma Group, Straumann, VAT

Title

CH1548150940 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150940

Fälligkeitstag

26.08.2027

Basiswert

Straumann Holding AG, Galderma Group Ltd, VAT Group AG - CH1548150940

8.70% (8.67% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, UPS (Quanto EUR)

Title

CH1548132062 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132062

Fälligkeitstag

13.05.2027

Basiswert

Kuehne + Nagel International AG, United Parcel Service Inc. - CH1548132062

8.70% p.a. Autocallable Barrier Reverse Convertible on BlackRock, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548141964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141964

Fälligkeitstag

06.01.2028

Basiswert

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, BlackRock, Inc. - CH1548141964

8.70% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com (Quanto EUR)

Title

CH1548131916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131916

Fälligkeitstag

12.05.2027

Basiswert

Amazon.com Inc., Alphabet, Inc. - CH1548131916

8.70% p.a. Autocallable Reverse Convertible on ENGIE, Nextera Energy, RWE (Quanto USD)

Title

CH1548136949 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136949

Fälligkeitstag

10.12.2027

Basiswert

Nextera Energy Inc., RWE AG, ENGIE SA - CH1548136949

8.70% p.a. Autocallable Reverse Convertible on ENGIE, Nextera Energy, RWE (Quanto USD)

Title

CH1548137251 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137251

Fälligkeitstag

13.12.2027

Basiswert

Nextera Energy Inc., RWE AG, ENGIE SA - CH1548137251

8.70% p.a. Autocallable Reverse Convertible on Hensoldt , Leonardo, Rheinmetall (Quanto USD)

Title

CH1548126254 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126254

Fälligkeitstag

16.04.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a., Hensoldt AG - CH1548126254

8.70% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Sika

Title

CH1492020172 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020172

Fälligkeitstag

11.11.2026

Basiswert

Julius Bär Gruppe AG, Sika AG, Partners Group Holding AG - CH1492020172

8.70% p.a. Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548135594 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135594

Fälligkeitstag

03.06.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1548135594

8.71% (8.66% p.a.) Barrier Reverse Convertible on ING, SAP, Schneider Electric

Title

CH1492020578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020578

Fälligkeitstag

16.11.2026

Basiswert

ING Groep N.V., SAP SE, Schneider Electric SE - CH1492020578

8.71% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Vonovia, Zalando (Quanto CHF)

Title

CH1492026245 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026245

Fälligkeitstag

27.12.2027

Basiswert

Zalando SE, Vonovia SE, LVMH Moët Hennessy Louis Vuitton SE - CH1492026245

8.71% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com

Title

CH1548137855 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137855

Fälligkeitstag

15.06.2027

Basiswert

Alphabet, Inc., Amazon.com Inc. - CH1548137855

8.71% p.a. Autocallable Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Mercedes-Benz Group, Stellantis

Title

CH1492017301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017301

Fälligkeitstag

26.10.2026

Basiswert

Dr. Ing. H.c. F. Porsche AG, Mercedes-Benz Group AG, Stellantis N.V. - CH1492017301

8.71% p.a. Autocallable Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Moncler

Title

CH1548143184 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143184

Fälligkeitstag

16.07.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Kering SA, Moncler SpA - CH1548143184

8.71% p.a. Barrier Reverse Convertible on Adidas, Logitech, VAT (Quanto CHF)

Title

CH1476907782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907782

Fälligkeitstag

15.09.2026

Basiswert

Logitech International SA, Adidas AG, VAT Group AG - CH1476907782

8.72% (17.06% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Bank

Title

CH1548147904 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147904

Fälligkeitstag

11.02.2027

Basiswert

Commerzbank AG, Deutsche Bank AG - CH1548147904

8.72% (8.67% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Lonza, Swiss Re

Title

CH1548147425 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147425

Fälligkeitstag

09.08.2027

Basiswert

Geberit AG, Lonza Group AG, Swiss Re AG, Holcim Ltd - CH1548147425

8.72% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1492020842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020842

Fälligkeitstag

17.11.2026

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Partners Group Holding AG - CH1492020842

8.72% p.a. Reverse Convertible on Logitech, Temenos, VAT

Title

CH1548147177 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147177

Fälligkeitstag

06.08.2027

Basiswert

VAT Group AG, Temenos AG, Logitech International SA - CH1548147177

8.73% p.a. Autocallable Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto USD)

Title

CH1548137806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137806

Fälligkeitstag

15.06.2028

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1548137806

8.73% p.a. Callable Reverse Convertible on ALSO Holding, Logitech

Title

CH1476907279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907279

Fälligkeitstag

11.09.2026

Basiswert

ALSO Holding AG, Logitech International SA - CH1476907279

8.73% p.a. Callable Reverse Convertible on Deutsche Telekom, Munich Re, Vinci

Title

CH1548139034 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139034

Fälligkeitstag

20.12.2027

Basiswert

Münchener Rückversicherungs AG, Vinci SA, Deutsche Telekom AG - CH1548139034

8.74% (8.64% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re, VAT

Title

CH1476909796 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909796

Fälligkeitstag

28.09.2026

Basiswert

Swiss Re AG, Nestlé SA, VAT Group AG, Novartis AG - CH1476909796

8.74% (8.74% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life

Title

CH1548127716 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127716

Fälligkeitstag

23.04.2027

Basiswert

Roche Holding AG, Nestlé SA, Novartis AG, Swiss Life Holding AG - CH1548127716

8.74% (8.74% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life

Title

CH1548127690 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127690

Fälligkeitstag

23.04.2027

Basiswert

Swiss Life Holding AG, Novartis AG, Nestlé SA, Roche Holding AG - CH1548127690

8.74% p.a. Autocallable Barrier Reverse Convertible on AMD, Microsoft, Netflix

Title

CH1492018655 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018655

Fälligkeitstag

03.05.2027

Basiswert

Advanced Micro Devices Inc., Microsoft Corp., Netflix Inc. - CH1492018655

8.74% p.a. Barrier Reverse Convertible on Adecco, Logitech, Richemont

Title

CH1476909200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909200

Fälligkeitstag

23.09.2026

Basiswert

Adecco Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1476909200

8.74% p.a. Barrier Reverse Convertible on Bank of America, Citigroup, Goldman Sachs

Title

CH1532238479 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238479

Fälligkeitstag

26.02.2027

Basiswert

Bank of America Corporation, Citigroup Inc., The Goldman Sachs Group, Inc. - CH1532238479

8.74% p.a. Reverse Convertible on Heidelberg Materials, Rheinmetall, Sartorius (Quanto CHF)

Title

CH1548136766 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136766

Fälligkeitstag

09.06.2027

Basiswert

Rheinmetall AG, Heidelberg Materials AG, Sartorius AG - CH1548136766

8.74% p.a. Reverse Convertible on Sanofi, STMicroelectronics

Title

CH1532240111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240111

Fälligkeitstag

05.03.2027

Basiswert

Sanofi SA, STMicroelectronics NV - CH1532240111

8.75% (8.72% p.a.) Reverse Convertible on Heidelberg Materials AG

Title

CH1532244790 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244790

Fälligkeitstag

01.04.2027

Basiswert

Heidelberg Materials AG

8.75% (8.75% p.a.) Barrier Reverse Convertible on Sonova, Straumann, Ypsomed

Title

CH1492031971 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031971

Fälligkeitstag

02.02.2027

Basiswert

Ypsomed Holding AG, Sonova Holding AG, Straumann Holding AG - CH1492031971

8.75% p.a. Autocallable Reverse Convertible on Intel Corp. (Quanto CHF)

Title

CH1548150932 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150932

Fälligkeitstag

26.08.2027

Basiswert

Intel Corp.

8.75% p.a. Barrier Reverse Convertible on Flughafen Zürich, Straumann, Swissquote

Title

CH1548148738 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148738

Fälligkeitstag

16.08.2027

Basiswert

Swissquote Group Holding SA, Flughafen Zürich AG, Straumann Holding AG - CH1548148738

8.75% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548137038 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137038

Fälligkeitstag

10.06.2027

Basiswert

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548137038

8.76% (8.76% p.a.) Barrier Reverse Convertible on Richemont, Swiss Life, Zurich Insurance

Title

CH1532242307 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242307

Fälligkeitstag

16.03.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532242307

8.76% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, PayPal

Title

CH1418943291 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418943291

Fälligkeitstag

04.03.2027

Basiswert

PayPal Holdings Inc., Microsoft Corp., Alphabet, Inc. - CH1418943291

8.76% p.a. Reverse Convertible on Burckhardt Compression, Georg Fischer, Siegfried

Title

CH1548150015 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150015

Fälligkeitstag

23.08.2027

Basiswert

Siegfried Holding AG, Burckhardt Compression Holding Ltd., Georg Fischer AG - CH1548150015

8.77% (8.77% p.a.) Barrier Reverse Convertible on ABB, Amrize Ltd, Partners Group Holding

Title

CH1492030551 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030551

Fälligkeitstag

27.01.2027

Basiswert

ABB Ltd, Amrize Ltd, Partners Group Holding AG - CH1492030551

8.77% (8.77% p.a.) Reverse Convertible on Partners Group Holding AG (Quanto EUR)

Title

CH1532239246 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239246

Fälligkeitstag

03.03.2027

Basiswert

Partners Group Holding AG

8.77% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1492036475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036475

Fälligkeitstag

22.02.2027

Basiswert

Alcon Inc., Lonza Group AG, Givaudan SA - CH1492036475

8.77% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Straumann, Zurich Insurance

Title

CH1548149330 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149330

Fälligkeitstag

19.08.2027

Basiswert

Givaudan SA, Straumann Holding AG, Zurich Insurance Group Ltd, Geberit AG - CH1548149330

8.77% p.a. Callable Reverse Convertible on Intuitive Surgical Inc.

Title

CH1548149736 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548149736

Fälligkeitstag

22.02.2028

Basiswert

Intuitive Surgical Inc.

8.78% p.a. Callable Barrier Reverse Convertible on Roche, Sika, Swatch

Title

CH1314928032 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314928032

Fälligkeitstag

02.09.2026

Basiswert

Roche Holding AG, Sika AG, The Swatch Group AG - CH1314928032

8.78% p.a. Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1532238453 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238453

Fälligkeitstag

26.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Compagnie Financière Richemont SA - CH1532238453

8.79% p.a. Barrier Reverse Convertible on Lonza, Partners Group Holding, SGS

Title

CH1492036533 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036533

Fälligkeitstag

23.02.2027

Basiswert

SGS SA, Lonza Group AG, Partners Group Holding AG - CH1492036533

8.80% (8.80% p.a.) Barrier Reverse Convertible on ABB, Givaudan, Richemont (Quanto USD)

Title

CH1492033332 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033332

Fälligkeitstag

09.02.2027

Basiswert

ABB Ltd, Compagnie Financière Richemont SA, Givaudan SA - CH1492033332

8.80% p.a. Autocallable Barrier Reverse Convertible on Alcon, Novo Nordisk, Zurich Insurance (Quanto USD)

Title

CH1476903815 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903815

Fälligkeitstag

22.02.2027

Basiswert

Novo Nordisk A/S, Alcon Inc., Zurich Insurance Group Ltd - CH1476903815

8.80% p.a. Barrier Reverse Convertible on Alcon, Holcim, Swiss Re

Title

CH1548138986 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138986

Fälligkeitstag

20.12.2027

Basiswert

Holcim Ltd, Swiss Re AG, Alcon Inc. - CH1548138986

8.80% p.a. Barrier Reverse Convertible on Alphabet, Johnson & Johnson, Procter & Gamble (Quanto CHF)

Title

CH1548127476 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127476

Fälligkeitstag

23.04.2029

Basiswert

Alphabet, Inc., Johnson & Johnson, The Procter & Gamble Company - CH1548127476

8.80% p.a. Barrier Reverse Convertible on Comet, Lonza, Richemont

Title

CH1492016725 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016725

Fälligkeitstag

22.10.2026

Basiswert

Comet Holding AG, Lonza Group AG, Compagnie Financière Richemont SA - CH1492016725

8.80% p.a. Callable Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1548138101 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138101

Fälligkeitstag

16.12.2027

Basiswert

Alcon Inc., Lonza Group AG, Givaudan SA - CH1548138101

8.80% p.a. Callable Reverse Convertible on Logitech, VAT

Title

CH1492017483 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017483

Fälligkeitstag

27.04.2027

Basiswert

Logitech International SA, VAT Group AG - CH1492017483

8.81% p.a. Autocallable Reverse Convertible on ENI, Generali, Intesa Sanpaolo

Title

CH1548145114 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145114

Fälligkeitstag

27.07.2027

Basiswert

Assicurazioni Generali SpA, ENI SpA, Intesa Sanpaolo SpA - CH1548145114

8.82% (17.74% p.a.) Reverse Convertible on Alcon Inc.

Title

CH1548133169 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133169

Fälligkeitstag

18.11.2026

Basiswert

Alcon Inc.

8.82% (8.82% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492034884 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034884

Fälligkeitstag

16.02.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1492034884

8.82% p.a. Autocallable Reverse Convertible on Alphabet, Meta Platforms

Title

CH1548127401 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127401

Fälligkeitstag

21.10.2027

Basiswert

Meta Platforms Inc., Alphabet, Inc. - CH1548127401

8.82% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Nestlé

Title

CH1548127500 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127500

Fälligkeitstag

22.04.2027

Basiswert

Lonza Group AG, Givaudan SA, Nestlé SA - CH1548127500

8.83% (8.78% p.a.) Barrier Reverse Convertible on Galderma Group, Sandoz Group, Ypsomed

Title

CH1548149975 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149975

Fälligkeitstag

23.08.2027

Basiswert

Galderma Group Ltd, Ypsomed Holding AG, Sandoz Group AG - CH1548149975

8.83% (8.81% p.a.) Barrier Reverse Convertible on ABB, Alcon, Richemont, UBS Group

Title

CH1476905315 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905315

Fälligkeitstag

31.08.2026

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Alcon Inc., ABB Ltd - CH1476905315

8.83% p.a. Autocallable Reverse Convertible on Ferrari, SAP (Quanto EUR)

Title

CH1532243115 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243115

Fälligkeitstag

19.03.2027

Basiswert

Ferrari N.V., SAP SE - CH1532243115

8.84% (8.74% p.a.) Reverse Convertible on UBS Group AG

Title

CH1532245581 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245581

Fälligkeitstag

06.04.2027

Basiswert

UBS Group AG

8.84% p.a. Barrier Reverse Convertible on Logitech, Sika, Straumann

Title

CH1548148035 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148035

Fälligkeitstag

12.04.2028

Basiswert

Sika AG, Logitech International SA, Straumann Holding AG - CH1548148035

8.84% p.a. Barrier Reverse Convertible on Lonza, Richemont, Sandoz Group

Title

CH1492025072 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025072

Fälligkeitstag

18.12.2026

Basiswert

Lonza Group AG, Compagnie Financière Richemont SA, Sandoz Group AG - CH1492025072

8.85% (21.11% p.a.) Barrier Reverse Convertible on Salesforce, Inc.

Title

CH1548137699 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137699

Fälligkeitstag

13.11.2026

Basiswert

Salesforce, Inc.

8.85% (4.82% p.a.) Reverse Convertible on Nestlé, Swiss Re

Title

CH1492025296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025296

Fälligkeitstag

19.10.2027

Basiswert

Nestlé SA, Swiss Re AG - CH1492025296

8.85% p.a. Autocallable Barrier Reverse Convertible on Alcon, Georg Fischer, UBS Group

Title

CH1492028027 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028027

Fälligkeitstag

14.05.2027

Basiswert

Georg Fischer AG, UBS Group AG, Alcon Inc. - CH1492028027

8.85% p.a. Autocallable Reverse Convertible on ASML Holding NV

Title

CH1532244683 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244683

Fälligkeitstag

31.03.2027

Basiswert

ASML Holding NV

8.85% p.a. Autocallable Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton

Title

CH1492024059 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024059

Fälligkeitstag

11.12.2026

Basiswert

ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE - CH1492024059

8.86% (8.81% p.a.) Reverse Convertible on Alphabet, Meta Platforms

Title

CH1492027391 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027391

Fälligkeitstag

11.01.2027

Basiswert

Meta Platforms Inc., Alphabet, Inc. - CH1492027391

8.86% (8.86% p.a.) Barrier Reverse Convertible on Nestlé, Sika, VAT

Title

CH1476905919 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905919

Fälligkeitstag

03.09.2026

Basiswert

VAT Group AG, Nestlé SA, Sika AG - CH1476905919

8.86% p.a. Barrier Reverse Convertible on Schindler, SGS, SIG Group

Title

CH1492022152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022152

Fälligkeitstag

26.11.2026

Basiswert

SIG Group AG, Schindler Holding AG, SGS SA - CH1492022152

8.87% (8.87% p.a.) Barrier Reverse Convertible on ENGIE, Lonza, Straumann (Quanto CHF)

Title

CH1492017814 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017814

Fälligkeitstag

29.10.2026

Basiswert

ENGIE SA, Lonza Group AG, Straumann Holding AG - CH1492017814

8.87% (8.87% p.a.) Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Prime Site, Swisscom

Title

CH1548133680 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133680

Fälligkeitstag

21.05.2027

Basiswert

Swisscom AG, Swiss Prime Site AG, Sandoz Group AG, Swiss Life Holding AG - CH1548133680

8.87% p.a. Autocallable Reverse Convertible on Apple Inc.

Title

CH1548136097 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136097

Fälligkeitstag

07.12.2026

Basiswert

Apple Inc.

8.87% p.a. Barrier Reverse Convertible on ABB, Amrize Ltd, Holcim, Nestlé, Swiss Life

Title

CH1492023663 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023663

Fälligkeitstag

09.12.2026

Basiswert

ABB Ltd, Amrize Ltd, Nestlé SA, Swiss Life Holding AG, Holcim Ltd - CH1492023663

8.88% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1548144356 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144356

Fälligkeitstag

21.01.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1548144356

8.89% p.a. Autocallable Barrier Reverse Convertible on ASML, Danone, Deutsche Telekom

Title

CH1548136071 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136071

Fälligkeitstag

07.06.2027

Basiswert

Deutsche Telekom AG, Danone SA, ASML Holding NV - CH1548136071

8.89% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548146880 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146880

Fälligkeitstag

05.08.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Broadcom Inc. - CH1548146880

8.89% p.a. Barrier Reverse Convertible on Alibaba Group, Alphabet, Microsoft (Quanto CHF)

Title

CH1548130587 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130587

Fälligkeitstag

05.05.2027

Basiswert

Alibaba Group Holding Limited, Microsoft Corp., Alphabet, Inc. - CH1548130587

8.89% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche (Quanto EUR)

Title

CH1532243511 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243511

Fälligkeitstag

22.03.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1532243511

8.90% (11.87% p.a.) Barrier Reverse Convertible on Barry Callebaut, PSP Swiss Property, Swatch, Swiss Prime Site

Title

CH1532237406 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237406

Fälligkeitstag

24.11.2026

Basiswert

The Swatch Group AG, Barry Callebaut AG, PSP Swiss Property AG, Swiss Prime Site AG - CH1532237406

8.90% (8.90% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Heidelberg Materials

Title

CH1548127252 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127252

Fälligkeitstag

21.04.2027

Basiswert

Deutsche Telekom AG, Heidelberg Materials AG - CH1548127252

8.90% p.a. Autocallable Reverse Convertible on Amazon.com, Uber Technologies (Quanto EUR)

Title

CH1492019687 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019687

Fälligkeitstag

09.11.2026

Basiswert

Uber Technologies Inc., Amazon.com Inc. - CH1492019687

8.90% p.a. Autocallable Reverse Convertible on Bank of America, Goldman Sachs, JPMorgan Chase

Title

CH1532239394 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239394

Fälligkeitstag

03.03.2027

Basiswert

JPMorgan Chase & Co., Bank of America Corporation, The Goldman Sachs Group, Inc. - CH1532239394

8.90% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1548130777 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130777

Fälligkeitstag

08.05.2028

Basiswert

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1548130777

8.90% p.a. Callable Barrier Reverse Convertible on Microsoft, SAP (Quanto CHF)

Title

CH1548137095 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137095

Fälligkeitstag

10.06.2027

Basiswert

SAP SE, Microsoft Corp. - CH1548137095

8.90% p.a. Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548144885 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144885

Fälligkeitstag

25.01.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1548144885

8.91% (8.86% p.a.) Barrier Reverse Convertible on Airbus, AXA, Danone

Title

CH1476909762 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909762

Fälligkeitstag

28.09.2026

Basiswert

AXA SA, Danone SA, Airbus SE - CH1476909762

8.91% p.a. Autocallable Barrier Reverse Convertible on Allianz, Munich Re, Novo Nordisk (Quanto CHF)

Title

CH1548143762 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143762

Fälligkeitstag

20.07.2028

Basiswert

Allianz SE, Novo Nordisk A/S, Münchener Rückversicherungs AG - CH1548143762

8.91% p.a. Autocallable Barrier Reverse Convertible on Lindt & Sprüngli, Partners Group Holding, Swissquote

Title

CH1548149181 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149181

Fälligkeitstag

18.08.2027

Basiswert

Swissquote Group Holding SA, Lindt & Sprüngli AG, Partners Group Holding AG - CH1548149181

8.91% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Lonza

Title

CH1548140685 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140685

Fälligkeitstag

30.06.2027

Basiswert

Alcon Inc., Lonza Group AG, Givaudan SA - CH1548140685

8.92% (8.92% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1532238271 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238271

Fälligkeitstag

26.02.2027

Basiswert

Heidelberg Materials AG

8.92% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Lonza, Partners Group Holding, UBS Group

Title

CH1476911354 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911354

Fälligkeitstag

09.10.2026

Basiswert

UBS Group AG, Partners Group Holding AG, Lonza Group AG, Julius Bär Gruppe AG - CH1476911354

8.92% p.a. Autocallable Reverse Convertible on Infineon Technologies AG (Quanto USD)

Title

CH1532244667 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244667

Fälligkeitstag

31.03.2027

Basiswert

Infineon Technologies AG

8.92% p.a. Barrier Reverse Convertible on Alcon, Lonza, Zurich Insurance

Title

CH1532242745 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242745

Fälligkeitstag

17.03.2027

Basiswert

Lonza Group AG, Alcon Inc., Zurich Insurance Group Ltd - CH1532242745

8.92% p.a. Barrier Reverse Convertible on Lonza, Sika, Straumann (Quanto EUR)

Title

CH1548139901 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139901

Fälligkeitstag

25.06.2027

Basiswert

Straumann Holding AG, Sika AG, Lonza Group AG - CH1548139901

8.93% (11.91% p.a.) Reverse Convertible on Bayer, EssilorLuxottica, St-Gobain

Title

CH1548126999 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126999

Fälligkeitstag

20.01.2027

Basiswert

Bayer AG, EssilorLuxottica SA, Compagnie de St-Gobain - CH1548126999

8.93% (18.06% p.a.) Barrier Reverse Convertible on Hewlett-Packard Co. (Quanto CHF)

Title

CH1548130066 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130066

Fälligkeitstag

02.11.2026

Basiswert

Hewlett-Packard Co.

8.93% p.a. Autocallable Reverse Convertible on Amazon.com Inc.

Title

CH1532242323 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242323

Fälligkeitstag

16.03.2027

Basiswert

Amazon.com Inc.

8.93% p.a. Callable Barrier Reverse Convertible on Costco, Home Depot, McDonalds

Title

CH1548146666 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146666

Fälligkeitstag

04.02.2027

Basiswert

McDonalds Corp., Home Depot Inc., Costco Wholesale Corp. - CH1548146666

8.94% (11.97% p.a.) Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann

Title

CH1548141816 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141816

Fälligkeitstag

06.04.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Straumann Holding AG - CH1548141816

8.94% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Microsoft, UnitedHealth (Quanto EUR)

Title

CH1492032292 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032292

Fälligkeitstag

04.05.2027

Basiswert

Julius Bär Gruppe AG, UnitedHealth Group Inc., Microsoft Corp. - CH1492032292

8.95% (9.39% p.a.) Barrier Reverse Convertible on Lonza, LVMH Moët Hennessy Louis Vuitton, Partners Group Holding (Quanto CHF)

Title

CH1492028092 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028092

Fälligkeitstag

28.12.2026

Basiswert

Partners Group Holding AG, Lonza Group AG, LVMH Moët Hennessy Louis Vuitton SE - CH1492028092

8.95% p.a. Autocallable Barrier Reverse Convertible on Alcon, Lonza, Partners Group Holding, Sandoz Group

Title

CH1532238982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238982

Fälligkeitstag

02.03.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Partners Group Holding AG, Alcon Inc. - CH1532238982

8.95% p.a. Autocallable Reverse Convertible on Banco BPM, Intesa Sanpaolo

Title

CH1492024877 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024877

Fälligkeitstag

17.12.2026

Basiswert

Banco BPM S.p.A., Intesa Sanpaolo SpA - CH1492024877

8.95% p.a. Autocallable Reverse Convertible on Partners Group Holding AG

Title

CH1492022046 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022046

Fälligkeitstag

26.11.2026

Basiswert

Partners Group Holding AG

8.95% p.a. Barrier Reverse Convertible on Accelleron Industries, Swiss Life, VAT

Title

CH1492018978 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018978

Fälligkeitstag

04.11.2026

Basiswert

Accelleron Industries AG, Swiss Life Holding AG, VAT Group AG - CH1492018978

8.95% p.a. Barrier Reverse Convertible on Amrize Ltd, Logitech, Sandoz Group

Title

CH1548148969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148969

Fälligkeitstag

17.08.2027

Basiswert

Amrize Ltd, Sandoz Group AG, Logitech International SA - CH1548148969

8.95% p.a. Barrier Reverse Convertible on Bachem, Swatch

Title

CH1476908806 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908806

Fälligkeitstag

22.09.2026

Basiswert

Bachem Holding AG, The Swatch Group AG - CH1476908806

8.95% p.a. Barrier Reverse Convertible on Deutsche Telekom, Galderma Group, Givaudan, Nestlé, Sika, Straumann (Quanto CHF)

Title

CH1548142921 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142921

Fälligkeitstag

15.07.2027

Basiswert

Sika AG, Straumann Holding AG, Galderma Group Ltd, Givaudan SA, Nestlé SA, Deutsche Telekom AG - CH1548142921

8.95% p.a. Reverse Convertible on ABB, Logitech, Sandoz Group

Title

CH1548138218 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138218

Fälligkeitstag

16.06.2027

Basiswert

Logitech International SA, ABB Ltd, Sandoz Group AG - CH1548138218

8.96% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548143713 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143713

Fälligkeitstag

19.07.2027

Basiswert

ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd, Broadcom Inc. - CH1548143713

8.96% p.a. Barrier Reverse Convertible on Partners Group Holding, Swisscom, Zurich Insurance

Title

CH1532245359 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245359

Fälligkeitstag

05.04.2027

Basiswert

Partners Group Holding AG, Swisscom AG, Zurich Insurance Group Ltd - CH1532245359

8.97% (8.92% p.a.) Barrier Reverse Convertible on Geberit, Roche (Quanto AUD)

Title

CH1476912972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912972

Fälligkeitstag

23.10.2026

Basiswert

Geberit AG, Roche Holding AG - CH1476912972

8.97% (8.97% p.a.) Reverse Convertible on Sonova, Temenos, VAT

Title

CH1548129522 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129522

Fälligkeitstag

30.04.2027

Basiswert

Temenos AG, Sonova Holding AG, VAT Group AG - CH1548129522

8.97% p.a. Autocallable Barrier Reverse Convertible on Apple, LVMH Moët Hennessy Louis Vuitton, Spotify (Quanto CHF)

Title

CH1468580225 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468580225

Fälligkeitstag

02.11.2026

Basiswert

Apple Inc., LVMH Moët Hennessy Louis Vuitton SE, Spotify Technology S.A. - CH1468580225

8.97% p.a. Barrier Reverse Convertible on ABB, Givaudan, Straumann

Title

CH1446054210 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446054210

Fälligkeitstag

18.09.2026

Basiswert

ABB Ltd, Givaudan SA, Straumann Holding AG - CH1446054210

8.97% p.a. Barrier Reverse Convertible on Logitech, Richemont, Straumann

Title

CH1492033951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033951

Fälligkeitstag

11.02.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Straumann Holding AG - CH1492033951

8.97% p.a. Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548130785 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130785

Fälligkeitstag

07.05.2027

Basiswert

Novartis AG, Sandoz Group AG, Roche Holding AG - CH1548130785

8.97% p.a. Reverse Convertible on Julius Bär, Partners Group Holding, Swiss Prime Site

Title

CH1548132443 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132443

Fälligkeitstag

14.05.2027

Basiswert

Julius Bär Gruppe AG, Partners Group Holding AG, Swiss Prime Site AG - CH1548132443

8.98% (17.57% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1548140776 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140776

Fälligkeitstag

05.01.2027

Basiswert

Logitech International SA

8.98% (8.94% p.a.) Barrier Reverse Convertible on Roche, Sandoz Group, UBS Group, Zurich Insurance

Title

CH1532243677 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243677

Fälligkeitstag

22.03.2027

Basiswert

Zurich Insurance Group Ltd, Roche Holding AG, Sandoz Group AG, UBS Group AG - CH1532243677

8.98% p.a. Autocallable Barrier Reverse Convertible on Danone, Siemens, TotalEnergies

Title

CH1492028415 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028415

Fälligkeitstag

18.01.2027

Basiswert

Danone SA, Siemens AG, TotalEnergies SE - CH1492028415

8.98% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Palo Alto Networks, Roche, Veolia (Quanto CHF)

Title

CH1548131536 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131536

Fälligkeitstag

12.05.2027

Basiswert

Roche Holding AG, Givaudan SA, Lonza Group AG, Veolia Environnement, Palo Alto Networks, Inc. - CH1548131536

8.99% (17.79% p.a.) Barrier Reverse Convertible on BASF, Heidelberg Materials

Title

CH1548142368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142368

Fälligkeitstag

11.01.2027

Basiswert

BASF SE, Heidelberg Materials AG - CH1548142368

8.99% (8.99% p.a.) Reverse Convertible on Anheuser-Busch InBev, Danone, L´Oréal, Unilever PLC

Title

CH1532241317 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241317

Fälligkeitstag

11.03.2027

Basiswert

Danone SA, Anheuser-Busch InBev NV, Unilever PLC, L´Oréal International - CH1532241317

8.99% p.a. Barrier Reverse Convertible on Bristol-Myers Squibb, Exxon Mobil, Pfizer

Title

CH1548141691 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141691

Fälligkeitstag

07.07.2027

Basiswert

Bristol-Myers Squibb Co., Pfizer Inc., Exxon Mobil Corp. - CH1548141691

8.99% p.a. Callable Barrier Reverse Convertible on Airbus, Allianz, Heidelberg Materials, LVMH Moët Hennessy Louis Vuitton

Title

CH1492032912 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032912

Fälligkeitstag

08.02.2027

Basiswert

Airbus SE, LVMH Moët Hennessy Louis Vuitton SE, Heidelberg Materials AG, Allianz SE - CH1492032912

9.00% (9.00% p.a.) Barrier Reverse Convertible on Roche, Swiss Re, Swisscom, Zurich Insurance

Title

CH1548145577 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145577

Fälligkeitstag

29.07.2027

Basiswert

Swiss Re AG, Zurich Insurance Group Ltd, Swisscom AG, Roche Holding AG - CH1548145577

9.00% p.a. Autocallable Reverse Convertible on AMD, Apple, Meta Platforms (Quanto EUR)

Title

CH1548128557 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128557

Fälligkeitstag

27.07.2027

Basiswert

Advanced Micro Devices Inc., Meta Platforms Inc., Apple Inc. - CH1548128557

9.00% p.a. Autocallable Reverse Convertible on Allianz, AXA, Munich Re

Title

CH1532241945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241945

Fälligkeitstag

13.09.2027

Basiswert

AXA SA, Allianz SE, Münchener Rückversicherungs AG - CH1532241945

9.00% p.a. Autocallable Reverse Convertible on Berkshire Hathaway, NVIDIA, Roche (Quanto USD)

Title

CH1532239824 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239824

Fälligkeitstag

04.03.2027

Basiswert

NVIDIA Corp., Berkshire Hathaway Inc., Roche Holding AG - CH1532239824

9.00% p.a. Barrier Reverse Convertible on Adobe Systems Inc.

Title

CH1548135503 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135503

Fälligkeitstag

28.05.2027

Basiswert

Adobe Systems Inc.

9.00% p.a. Barrier Reverse Convertible on Holcim, Schindler, Sika

Title

CH1548129464 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129464

Fälligkeitstag

01.03.2028

Basiswert

Holcim Ltd, Sika AG, Schindler Holding AG - CH1548129464

9.00% p.a. Barrier Reverse Convertible on Rheinmetall AG

Title

CH1548135420 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135420

Fälligkeitstag

28.05.2027

Basiswert

Rheinmetall AG

9.00% p.a. Barrier Reverse Convertible on Rolls-Royce Holdings PLC

Title

CH1548135438 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135438

Fälligkeitstag

28.05.2027

Basiswert

Rolls-Royce Holdings PLC

9.00% p.a. Callable Barrier Reverse Convertible on ALSO Holding, Partners Group Holding, Straumann

Title

CH1548146872 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146872

Fälligkeitstag

05.02.2027

Basiswert

ALSO Holding AG, Partners Group Holding AG, Straumann Holding AG - CH1548146872

9.00% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re

Title

CH1548135966 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135966

Fälligkeitstag

06.12.2027

Basiswert

Partners Group Holding AG, Swiss Life Holding AG, Swiss Re AG - CH1548135966

9.00% p.a. Reverse Convertible on ASML Holding NV (Quanto CHF)

Title

CH1492035527 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492035527

Fälligkeitstag

18.02.2027

Basiswert

ASML Holding NV

9.01% (17.83% p.a.) Reverse Convertible on KION Group, Zillow Group (Quanto EUR)

Title

CH1548137517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137517

Fälligkeitstag

14.12.2026

Basiswert

KION Group AG, Zillow Group Inc. - CH1548137517

9.01% (9.01% p.a.) Barrier Reverse Convertible on Adidas, Amrize Ltd, Zurich Insurance (Quanto CHF)

Title

CH1492034157 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034157

Fälligkeitstag

12.02.2027

Basiswert

Zurich Insurance Group Ltd, Amrize Ltd, Adidas AG - CH1492034157

9.01% (9.01% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, NVIDIA

Title

CH1476909010 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909010

Fälligkeitstag

23.09.2026

Basiswert

Amazon.com Inc., NVIDIA Corp., Apple Inc. - CH1476909010

9.01% (9.02% p.a.) Barrier Reverse Convertible on Givaudan, Logitech, Swiss Re

Title

CH1548126395 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126395

Fälligkeitstag

16.04.2027

Basiswert

Logitech International SA, Givaudan SA, Swiss Re AG - CH1548126395

9.01% (9.03% p.a.) Barrier Reverse Convertible on Givaudan, Holcim, Lindt & Sprüngli

Title

CH1548134720 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134720

Fälligkeitstag

28.05.2027

Basiswert

Givaudan SA, Holcim Ltd, Lindt & Sprüngli AG - CH1548134720

9.01% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Novartis, Roche, Sandoz Group

Title

CH1548143127 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143127

Fälligkeitstag

16.07.2027

Basiswert

Sandoz Group AG, Novartis AG, Galderma Group Ltd, Roche Holding AG - CH1548143127

9.01% p.a. Autocallable Reverse Convertible on Holcim, Partners Group Holding

Title

CH1532242471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242471

Fälligkeitstag

17.03.2027

Basiswert

Partners Group Holding AG, Holcim Ltd - CH1532242471

9.01% p.a. Autocallable Reverse Convertible on Microsoft, SAP, ServiceNow (Quanto EUR)

Title

CH1548145445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145445

Fälligkeitstag

28.01.2028

Basiswert

Microsoft Corp., ServiceNow Inc, SAP SE - CH1548145445

9.01% p.a. Barrier Reverse Convertible on Alcon, Lonza, Sandoz Group

Title

CH1548143622 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143622

Fälligkeitstag

19.07.2027

Basiswert

Lonza Group AG, Alcon Inc., Sandoz Group AG - CH1548143622

9.01% p.a. Barrier Reverse Convertible on BASF, Heineken NV, Lindt & Sprüngli, Snowflake, Swiss Re, UBS Group (Quanto CHF)

Title

CH1492032664 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032664

Fälligkeitstag

05.02.2027

Basiswert

UBS Group AG, Lindt & Sprüngli AG, Swiss Re AG, Snowflake Inc., Heineken NV, BASF SE - CH1492032664

9.01% p.a. Barrier Reverse Convertible on BNP Paribas, Citigroup, Société Générale (Quanto EUR)

Title

CH1596851753 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851753

Fälligkeitstag

30.11.2027

Basiswert

BNP Paribas, Société Générale, Citigroup Inc. - CH1596851753

9.02% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548133045 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133045

Fälligkeitstag

18.05.2027

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548133045

9.02% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548126890 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126890

Fälligkeitstag

20.04.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1548126890

9.02% p.a. Reverse Convertible on Allianz, AXA, Deutsche Telekom

Title

CH1492029868 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029868

Fälligkeitstag

25.01.2027

Basiswert

Allianz SE, AXA SA, Deutsche Telekom AG - CH1492029868

9.03% (9.03% p.a.) Barrier Reverse Convertible on McCormick & Co, Mondelez Intl.

Title

CH1548131254 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131254

Fälligkeitstag

07.05.2027

Basiswert

McCormick & Co Inc, Mondelez International - CH1548131254

9.03% p.a. Autocallable Barrier Reverse Convertible on Allianz, Helvetia, Munich Re, Swiss Life, Swiss Re (Quanto USD)

Title

CH1492018051 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018051

Fälligkeitstag

29.10.2026

Basiswert

Swiss Life Holding AG, Swiss Re AG, Helvetia Holding AG, Münchener Rückversicherungs AG, Allianz SE - CH1492018051

9.03% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Novartis, Partners Group Holding, Sandoz Group

Title

CH1492028050 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028050

Fälligkeitstag

15.01.2027

Basiswert

Partners Group Holding AG, Novartis AG, Sandoz Group AG, Galderma Group Ltd - CH1492028050

9.03% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Richemont

Title

CH1492023192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023192

Fälligkeitstag

04.12.2026

Basiswert

Alcon Inc., Givaudan SA, Compagnie Financière Richemont SA - CH1492023192

9.03% p.a. Barrier Reverse Convertible on Alphabet, Deutsche Telekom, Givaudan, Kardex, Lonza (Quanto CHF)

Title

CH1548129993 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129993

Fälligkeitstag

03.05.2027

Basiswert

Lonza Group AG, Givaudan SA, Kardex AG, Alphabet, Inc., Deutsche Telekom AG - CH1548129993

9.03% p.a. Barrier Reverse Convertible on Geberit, Lonza, Partners Group Holding

Title

CH1548128029 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128029

Fälligkeitstag

23.04.2027

Basiswert

Geberit AG, Partners Group Holding AG, Lonza Group AG - CH1548128029

9.03% p.a. Barrier Reverse Convertible on Logitech, Lonza, Swiss Re (Quanto EUR)

Title

CH1492018259 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018259

Fälligkeitstag

30.10.2026

Basiswert

Logitech International SA, Swiss Re AG, Lonza Group AG - CH1492018259

9.03% p.a. Barrier Reverse Convertible on Lonza, Sika, Straumann (Quanto EUR)

Title

CH1548139695 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139695

Fälligkeitstag

24.06.2027

Basiswert

Sika AG, Straumann Holding AG, Lonza Group AG - CH1548139695

9.03% p.a. Barrier Reverse Convertible on Sika, Swiss Life, Zurich Insurance (Quanto EUR)

Title

CH1548141600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141600

Fälligkeitstag

06.07.2027

Basiswert

Sika AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548141600

9.03% p.a. Callable Reverse Convertible on Tesla Inc. (Quanto EUR)

Title

CH1548128243 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548128243

Fälligkeitstag

26.04.2027

Basiswert

Tesla Inc.

9.04% (9.12% p.a.) Barrier Reverse Convertible on Adecco, Richemont, Straumann

Title

CH1492021600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021600

Fälligkeitstag

18.11.2026

Basiswert

Compagnie Financière Richemont SA, Straumann Holding AG, Adecco Group AG - CH1492021600

9.04% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA, BNP Paribas, Intesa Sanpaolo (Quanto CHF)

Title

CH1548140891 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140891

Fälligkeitstag

01.07.2027

Basiswert

BNP Paribas, Allianz SE, Intesa Sanpaolo SpA, AXA SA - CH1548140891

9.04% p.a. Autocallable Barrier Reverse Convertible on Givaudan, Sandoz Group, UBS Group

Title

CH1492023143 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023143

Fälligkeitstag

04.12.2026

Basiswert

Givaudan SA, UBS Group AG, Sandoz Group AG - CH1492023143

9.04% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Nestlé, Novartis (Quanto USD)

Title

CH1548147144 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147144

Fälligkeitstag

06.08.2027

Basiswert

Julius Bär Gruppe AG, Nestlé SA, Novartis AG - CH1548147144

9.04% p.a. Barrier Reverse Convertible on AXA, EssilorLuxottica, ING

Title

CH1548137822 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137822

Fälligkeitstag

15.06.2027

Basiswert

ING Groep N.V., AXA SA, EssilorLuxottica SA - CH1548137822

9.04% p.a. Barrier Reverse Convertible on Adidas, BNP Paribas, SAP (Quanto CHF)

Title

CH1532247132 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247132

Fälligkeitstag

15.04.2027

Basiswert

Adidas AG, SAP SE, BNP Paribas - CH1532247132

9.04% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Sandoz Group, Sika, VAT

Title

CH1476911446 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911446

Fälligkeitstag

12.10.2026

Basiswert

Sika AG, Sandoz Group AG, VAT Group AG, Lonza Group AG, Nestlé SA - CH1476911446

9.04% p.a. Barrier Reverse Convertible on Lonza, Novartis, Sunrise Communications AG

Title

CH1548128748 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128748

Fälligkeitstag

28.04.2027

Basiswert

Novartis AG, Lonza Group AG, Sunrise Communications AG - CH1548128748

9.04% p.a. Callable Barrier Reverse Convertible on Galderma Group, Kardex, Ypsomed

Title

CH1548149041 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149041

Fälligkeitstag

18.08.2027

Basiswert

Kardex AG, Ypsomed Holding AG, Galderma Group Ltd - CH1548149041

9.04% p.a. Reverse Convertible on Visa, Walmart

Title

CH1492035741 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035741

Fälligkeitstag

19.02.2027

Basiswert

Walmart Inc., Visa Inc. - CH1492035741

9.05% p.a. Barrier Reverse Convertible on Geberit, Schindler, Sika

Title

CH1548140735 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140735

Fälligkeitstag

30.12.2027

Basiswert

Sika AG, Geberit AG, Schindler Holding AG - CH1548140735

9.05% p.a. Barrier Reverse Convertible on Partners Group Holding, PSP Swiss Property, Swiss Prime Site

Title

CH1548128086 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128086

Fälligkeitstag

23.04.2027

Basiswert

Partners Group Holding AG, Swiss Prime Site AG, PSP Swiss Property AG - CH1548128086

9.05% p.a. Reverse Convertible on Generali, LVMH Moët Hennessy Louis Vuitton

Title

CH1532246092 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246092

Fälligkeitstag

06.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Assicurazioni Generali SpA - CH1532246092

9.06% (9.01% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1548126817 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126817

Fälligkeitstag

19.04.2027

Basiswert

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1548126817

9.06% (9.06% p.a.) Barrier Reverse Convertible on Partners Group Holding, The Blackstone Group (Quanto CHF)

Title

CH1548137376 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137376

Fälligkeitstag

11.06.2027

Basiswert

Partners Group Holding AG, The Blackstone Group Inc. - CH1548137376

9.06% p.a. Autocallable Barrier Reverse Convertible on ABB, Bachem, VAT

Title

CH1548131965 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131965

Fälligkeitstag

13.05.2027

Basiswert

Bachem Holding AG, ABB Ltd, VAT Group AG - CH1548131965

9.06% p.a. Autocallable Reverse Convertible on AMD, Apple, Meta Platforms

Title

CH1548146898 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146898

Fälligkeitstag

05.08.2027

Basiswert

Advanced Micro Devices Inc., Apple Inc., Meta Platforms Inc. - CH1548146898

9.06% p.a. Barrier Reverse Convertible on Amazon.com, Apple, Netflix (Quanto EUR)

Title

CH1418948415 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418948415

Fälligkeitstag

12.04.2027

Basiswert

Amazon.com Inc., Apple Inc., Netflix Inc. - CH1418948415

9.06% p.a. Reverse Convertible on Broadcom, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1532240376 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240376

Fälligkeitstag

06.03.2028

Basiswert

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Broadcom Inc. - CH1532240376

9.07% (16.25% p.a.) Barrier Reverse Convertible on ABB, Georg Fischer, Lonza

Title

CH1532246332 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246332

Fälligkeitstag

30.10.2026

Basiswert

ABB Ltd, Georg Fischer AG, Lonza Group AG - CH1532246332

9.07% (9.07% p.a.) Barrier Reverse Convertible on Givaudan, Nestlé, Zurich Insurance

Title

CH1492036574 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036574

Fälligkeitstag

23.02.2027

Basiswert

Zurich Insurance Group Ltd, Nestlé SA, Givaudan SA - CH1492036574

9.07% p.a. Autocallable Reverse Convertible on ASML Holding NV

Title

CH1532245250 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532245250

Fälligkeitstag

05.04.2027

Basiswert

ASML Holding NV

9.07% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft (Quanto EUR)

Title

CH1532245292 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245292

Fälligkeitstag

05.04.2027

Basiswert

Microsoft Corp., Amazon.com Inc. - CH1532245292

9.07% p.a. Barrier Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532242430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242430

Fälligkeitstag

17.09.2027

Basiswert

Alcon Inc., Galderma Group Ltd, Sandoz Group AG - CH1532242430

9.07% p.a. Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548131130 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131130

Fälligkeitstag

10.05.2027

Basiswert

Novartis AG, Sandoz Group AG, Roche Holding AG - CH1548131130

9.08% (18.06% p.a.) Reverse Convertible on Alphabet, Broadcom

Title

CH1532241044 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241044

Fälligkeitstag

11.09.2026

Basiswert

Broadcom Inc., Alphabet, Inc. - CH1532241044

9.08% p.a. Autocallable Barrier Reverse Convertible on AXA, BNP Paribas, Ferrari, Julius Bär (Quanto CHF)

Title

CH1492017566 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017566

Fälligkeitstag

28.10.2026

Basiswert

Ferrari N.V., BNP Paribas, Julius Bär Gruppe AG, AXA SA - CH1492017566

9.08% p.a. Autocallable Reverse Convertible on Amazon.com, Uber Technologies (Quanto EUR)

Title

CH1476910315 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910315

Fälligkeitstag

01.10.2026

Basiswert

Amazon.com Inc., Uber Technologies Inc. - CH1476910315

9.08% p.a. Barrier Reverse Convertible on Alcon, Sandoz Group, Straumann

Title

CH1492024711 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024711

Fälligkeitstag

16.03.2027

Basiswert

Alcon Inc., Sandoz Group AG, Straumann Holding AG - CH1492024711

9.09% (9.07% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, Swiss Re

Title

CH1548131486 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131486

Fälligkeitstag

12.05.2027

Basiswert

Givaudan SA, Swiss Re AG, Alcon Inc. - CH1548131486

9.09% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA

Title

CH1476906982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906982

Fälligkeitstag

10.09.2026

Basiswert

Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1476906982

9.09% p.a. Barrier Reverse Convertible on Alcon, Geberit, Partners Group Holding

Title

CH1548136279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136279

Fälligkeitstag

07.06.2027

Basiswert

Alcon Inc., Partners Group Holding AG, Geberit AG - CH1548136279

9.09% p.a. Barrier Reverse Convertible on Alphabet, Givaudan, NVIDIA, Sika, Swiss Re (Quanto CHF)

Title

CH1548138952 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138952

Fälligkeitstag

22.06.2027

Basiswert

Givaudan SA, Sika AG, Swiss Re AG, NVIDIA Corp., Alphabet, Inc. - CH1548138952

9.09% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1476905356 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905356

Fälligkeitstag

31.08.2026

Basiswert

UBS Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476905356

9.09% p.a. Barrier Reverse Convertible on Lonza, Roche, Sonova

Title

CH1532243396 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243396

Fälligkeitstag

19.03.2027

Basiswert

Roche Holding AG, Sonova Holding AG, Lonza Group AG - CH1532243396

9.10% (9.10% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont, Swatch (Quanto CHF)

Title

CH1548144273 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144273

Fälligkeitstag

21.07.2027

Basiswert

The Swatch Group AG, LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1548144273

9.10% (9.10% p.a.) Reverse Convertible on Givaudan, Nestlé, Novartis, Richemont (Quanto EUR)

Title

CH1492030296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030296

Fälligkeitstag

27.01.2027

Basiswert

Nestlé SA, Compagnie Financière Richemont SA, Givaudan SA, Novartis AG - CH1492030296

9.10% p.a. Autocallable Barrier Reverse Convertible on AXA, Banco Santander, Crédit Agricole, Munich Re (Quanto CHF)

Title

CH1596851969 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851969

Fälligkeitstag

30.08.2027

Basiswert

AXA SA, Banco Santander SA, Crédit Agricole SA, Münchener Rückversicherungs AG - CH1596851969

9.10% p.a. Autocallable Barrier Reverse Convertible on BASF, Bayer, L´Oréal (Quanto CHF)

Title

CH1532242869 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242869

Fälligkeitstag

18.03.2027

Basiswert

BASF SE, Bayer AG, L´Oréal International - CH1532242869

9.10% p.a. Autocallable Reverse Convertible on Julius Bär, Kardex, Sandoz Group

Title

CH1492027755 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027755

Fälligkeitstag

13.01.2027

Basiswert

Sandoz Group AG, Julius Bär Gruppe AG, Kardex AG - CH1492027755

9.10% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1446051489 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446051489

Fälligkeitstag

28.05.2027

Basiswert

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1446051489

9.10% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Swiss Re

Title

CH1548128979 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128979

Fälligkeitstag

29.04.2027

Basiswert

Givaudan SA, Swiss Re AG, Lonza Group AG - CH1548128979

9.10% p.a. Barrier Reverse Convertible on Logitech, Lonza, Schindler

Title

CH1548137137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137137

Fälligkeitstag

10.06.2027

Basiswert

Logitech International SA, Lonza Group AG, Schindler Holding AG - CH1548137137

9.11% (9.11% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Lonza, Swiss Re

Title

CH1492032573 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032573

Fälligkeitstag

05.02.2027

Basiswert

Lonza Group AG, Alcon Inc., Swiss Re AG, Logitech International SA - CH1492032573

9.11% (9.11% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP, Swiss Re (Quanto EUR)

Title

CH1548142871 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142871

Fälligkeitstag

14.07.2027

Basiswert

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, Swiss Re AG - CH1548142871

9.11% (9.14% p.a.) Barrier Reverse Convertible on L´Oréal, LVMH Moët Hennessy Louis Vuitton, Swiss Life (Quanto CHF)

Title

CH1548130421 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130421

Fälligkeitstag

05.05.2027

Basiswert

L´Oréal International, Swiss Life Holding AG, LVMH Moët Hennessy Louis Vuitton SE - CH1548130421

9.11% p.a. Autocallable Barrier Reverse Convertible on ABB, Heidelberg Materials, Holcim, Lonza (Quanto CHF)

Title

CH1532247033 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247033

Fälligkeitstag

15.04.2027

Basiswert

ABB Ltd, Holcim Ltd, Lonza Group AG, Heidelberg Materials AG - CH1532247033

9.11% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Givaudan, Sandoz Group, Ypsomed

Title

CH1596852017 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852017

Fälligkeitstag

28.06.2027

Basiswert

Ypsomed Holding AG, Galderma Group Ltd, Sandoz Group AG, Givaudan SA - CH1596852017

9.11% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika (Quanto EUR)

Title

CH1476911255 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911255

Fälligkeitstag

09.10.2026

Basiswert

Sika AG, Kuehne + Nagel International AG, Partners Group Holding AG - CH1476911255

9.11% p.a. Barrier Reverse Convertible on Sika, Straumann, VAT

Title

CH1532238826 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238826

Fälligkeitstag

01.03.2028

Basiswert

Sika AG, Straumann Holding AG, VAT Group AG - CH1532238826

9.11% p.a. Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1532245953 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245953

Fälligkeitstag

05.10.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1532245953

9.12% (9.12% p.a.) Barrier Reverse Convertible on Banque CA Vaudoise, Swissquote, UBS Group

Title

CH1548135750 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135750

Fälligkeitstag

04.06.2027

Basiswert

Banque Cantonale Vaudoise, Swissquote Group Holding SA, UBS Group AG - CH1548135750

9.12% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1548145494 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145494

Fälligkeitstag

28.01.2028

Basiswert

Amazon.com Inc., Alphabet, Inc., Apple Inc. - CH1548145494

9.12% p.a. Barrier Reverse Convertible on AMD, Microsoft, Salesforce (Quanto EUR)

Title

CH1492018382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018382

Fälligkeitstag

31.10.2028

Basiswert

Advanced Micro Devices Inc., Microsoft Corp., Salesforce, Inc. - CH1492018382

9.12% p.a. Barrier Reverse Convertible on Burckhardt Compression, Sika, VAT

Title

CH1476908590 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908590

Fälligkeitstag

21.09.2026

Basiswert

Sika AG, VAT Group AG, Burckhardt Compression Holding Ltd. - CH1476908590

9.12% p.a. Callable Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548145700 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145700

Fälligkeitstag

29.07.2027

Basiswert

Alcon Inc., Sonova Holding AG, Straumann Holding AG - CH1548145700

9.12% p.a. Reverse Convertible on Roche, UBS Group (Quanto USD)

Title

CH1418949769 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949769

Fälligkeitstag

28.04.2027

Basiswert

Roche Holding AG, UBS Group AG - CH1418949769

9.13% (18.26% p.a.) Reverse Convertible on Moderna Inc.

Title

CH1548146799 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146799

Fälligkeitstag

05.02.2027

Basiswert

Moderna Inc.

9.13% p.a. Autocallable Barrier Reverse Convertible on Accelleron Industries, Logitech, Swissquote

Title

CH1492025627 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025627

Fälligkeitstag

22.12.2026

Basiswert

Logitech International SA, Accelleron Industries AG, Swissquote Group Holding SA - CH1492025627

9.13% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Carnival, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492023945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023945

Fälligkeitstag

10.12.2026

Basiswert

Carnival Corp., LVMH Moët Hennessy Louis Vuitton SE, Amazon.com Inc. - CH1492023945

9.13% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548144851 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144851

Fälligkeitstag

26.07.2027

Basiswert

Broadcom Inc., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144851

9.13% p.a. Barrier Reverse Convertible on Alcon, Geberit, Partners Group Holding

Title

CH1532239378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239378

Fälligkeitstag

03.03.2027

Basiswert

Alcon Inc., Partners Group Holding AG, Geberit AG - CH1532239378

9.13% p.a. Barrier Reverse Convertible on Boeing, Lockheed Martin, MTU Aero Engines, Rheinmetall (Quanto CHF)

Title

CH1492019778 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019778

Fälligkeitstag

10.11.2026

Basiswert

Rheinmetall AG, MTU Aero Engines Holdings AG, Boeing Company, Lockheed Martin Corp - CH1492019778

9.13% p.a. Barrier Reverse Convertible on Julius Bär, Straumann, Zurich Insurance

Title

CH1492025080 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025080

Fälligkeitstag

18.12.2026

Basiswert

Julius Bär Gruppe AG, Zurich Insurance Group Ltd, Straumann Holding AG - CH1492025080

9.13% p.a. Callable Barrier Reverse Convertible on Bachem, Lonza, Straumann

Title

CH1548149074 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149074

Fälligkeitstag

18.08.2027

Basiswert

Lonza Group AG, Bachem Holding AG, Straumann Holding AG - CH1548149074

9.14% (9.14% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Bank (Quanto CHF)

Title

CH1548136865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136865

Fälligkeitstag

09.06.2027

Basiswert

Commerzbank AG, Deutsche Bank AG - CH1548136865

9.14% (9.14% p.a.) Barrier Reverse Convertible on Partners Group Holding, Straumann, Swiss Re

Title

CH1548151039 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151039

Fälligkeitstag

27.08.2027

Basiswert

Straumann Holding AG, Partners Group Holding AG, Swiss Re AG - CH1548151039

9.14% p.a. Autocallable Barrier Reverse Convertible on Apple Inc.

Title

CH1548138879 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138879

Fälligkeitstag

21.12.2026

Basiswert

Apple Inc.

9.14% p.a. Autocallable Reverse Convertible on Amazon.com, Uber Technologies (Quanto EUR)

Title

CH1476909606 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909606

Fälligkeitstag

25.09.2026

Basiswert

Amazon.com Inc., Uber Technologies Inc. - CH1476909606

9.15% (18.10% p.a.) Barrier Reverse Convertible on Lufthansa, Tui

Title

CH1548134779 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134779

Fälligkeitstag

30.11.2026

Basiswert

Deutsche Lufthansa AG, Tui AG - CH1548134779

9.15% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Salesforce, Tesla (Quanto EUR)

Title

CH1492018945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018945

Fälligkeitstag

04.11.2026

Basiswert

Salesforce, Inc., Amazon.com Inc., Tesla Inc. - CH1492018945

9.15% p.a. Autocallable Barrier Reverse Convertible on BMW, Linde PLC, Schneider Electric (Quanto USD)

Title

CH1476911479 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911479

Fälligkeitstag

13.10.2026

Basiswert

Linde PLC, Schneider Electric SE, Bayerische Motoren Werke AG - CH1476911479

9.15% p.a. Autocallable Barrier Reverse Convertible on Bayer, Siemens Energy (Quanto CHF)

Title

CH1548129209 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129209

Fälligkeitstag

29.04.2027

Basiswert

Siemens Energy AG, Bayer AG - CH1548129209

9.15% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com (Quanto EUR)

Title

CH1548137590 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137590

Fälligkeitstag

14.06.2027

Basiswert

Amazon.com Inc., Alphabet, Inc. - CH1548137590

9.15% p.a. Autocallable Reverse Convertible on Fresenius, Merck KGaA, Sanofi

Title

CH1548143168 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143168

Fälligkeitstag

16.07.2027

Basiswert

Fresenius SE & Co. KGaA, Merck KGaA, Sanofi SA - CH1548143168

9.15% p.a. Barrier Reverse Convertible on Bank of America, Citigroup, Goldman Sachs

Title

CH1532239519 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239519

Fälligkeitstag

03.03.2027

Basiswert

Bank of America Corporation, Citigroup Inc., The Goldman Sachs Group, Inc. - CH1532239519

9.16% (18.64% p.a.) Reverse Convertible on Ford, Netflix, Petrobras

Title

CH1532240350 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240350

Fälligkeitstag

03.09.2026

Basiswert

Petroleo Brasileiro SA, Ford Motor Company, Netflix Inc. - CH1532240350

9.16% (9.16% p.a.) Barrier Reverse Convertible on Alcon, dormakaba, Sonova

Title

CH1548146096 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146096

Fälligkeitstag

30.07.2027

Basiswert

Alcon Inc., dormakaba Holding AG, Sonova Holding AG - CH1548146096

9.16% (9.19% p.a.) Barrier Reverse Convertible on Adidas, Alcon, Zurich Insurance (Quanto CHF)

Title

CH1548130249 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130249

Fälligkeitstag

04.05.2027

Basiswert

Alcon Inc., Adidas AG, Zurich Insurance Group Ltd - CH1548130249

9.16% p.a. Autocallable Barrier Reverse Convertible on ALSO Holding, Barry Callebaut, Julius Bär, Sandoz Group

Title

CH1492024760 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024760

Fälligkeitstag

16.12.2026

Basiswert

Julius Bär Gruppe AG, ALSO Holding AG, Barry Callebaut AG, Sandoz Group AG - CH1492024760

9.16% p.a. Autocallable Barrier Reverse Convertible on Adidas, Deutsche Telekom, Fresenius (Quanto CHF)

Title

CH1548143945 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143945

Fälligkeitstag

20.07.2027

Basiswert

Deutsche Telekom AG, Fresenius SE & Co. KGaA, Adidas AG - CH1548143945

9.16% p.a. Autocallable Barrier Reverse Convertible on Intuitive Surgical, Stryker, Vertex Pharmaceuticals

Title

CH1548142848 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142848

Fälligkeitstag

14.07.2027

Basiswert

Intuitive Surgical Inc., Vertex Pharmaceuticals Inc., Stryker Corp. - CH1548142848

9.16% p.a. Autocallable Barrier Reverse Convertible on Siemens Energy AG

Title

CH1532237638 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532237638

Fälligkeitstag

25.02.2027

Basiswert

Siemens Energy AG

9.16% p.a. Autocallable Reverse Convertible on Alphabet, Inc. (Quanto GBP)

Title

CH1548133789 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133789

Fälligkeitstag

21.05.2027

Basiswert

Alphabet, Inc.

9.16% p.a. Barrier Reverse Convertible on EssilorLuxottica, Geberit, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548129696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129696

Fälligkeitstag

03.05.2027

Basiswert

Geberit AG, EssilorLuxottica SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548129696

9.16% p.a. Barrier Reverse Convertible on Lonza, Novartis, Roche

Title

CH1548129456 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129456

Fälligkeitstag

30.07.2027

Basiswert

Novartis AG, Roche Holding AG, Lonza Group AG - CH1548129456

9.16% p.a. Barrier Reverse Convertible on Lonza, Swiss Re, Swisscom

Title

CH1548129480 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129480

Fälligkeitstag

30.04.2027

Basiswert

Lonza Group AG, Swisscom AG, Swiss Re AG - CH1548129480

9.17% (9.12% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Swisscom

Title

CH1548140149 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140149

Fälligkeitstag

28.06.2027

Basiswert

Kuehne + Nagel International AG, Sika AG, Swisscom AG - CH1548140149

9.17% (9.17% p.a.) Barrier Reverse Convertible on BELIMO Holding, Logitech

Title

CH1548128672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128672

Fälligkeitstag

28.04.2027

Basiswert

Logitech International SA, BELIMO Holding AG - CH1548128672

9.17% (9.22% p.a.) Barrier Reverse Convertible on BELIMO Holding, Galderma Group

Title

CH1532246357 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246357

Fälligkeitstag

07.04.2027

Basiswert

BELIMO Holding AG, Galderma Group Ltd - CH1532246357

9.17% p.a. Barrier Reverse Convertible on AXA, ING, SAP (Quanto CHF)

Title

CH1532238347 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238347

Fälligkeitstag

26.02.2027

Basiswert

ING Groep N.V., AXA SA, SAP SE - CH1532238347

9.17% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492032797 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032797

Fälligkeitstag

05.02.2027

Basiswert

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1492032797

9.17% p.a. Barrier Reverse Convertible on Richemont, Swiss Life, VAT

Title

CH1492030593 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030593

Fälligkeitstag

27.01.2027

Basiswert

Swiss Life Holding AG, Compagnie Financière Richemont SA, VAT Group AG - CH1492030593

9.18% (18.68% p.a.) Reverse Convertible on Salesforce, Thermo Fisher Scientific

Title

CH1532240525 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240525

Fälligkeitstag

03.09.2026

Basiswert

Salesforce, Inc., Thermo Fisher Scientific Inc. - CH1532240525

9.18% (9.18% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Swissquote

Title

CH1492032227 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032227

Fälligkeitstag

03.02.2027

Basiswert

Swissquote Group Holding SA, Partners Group Holding AG, Julius Bär Gruppe AG - CH1492032227

9.18% (9.18% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Swiss Life, UBS Group (Quanto CHF)

Title

CH1548126270 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126270

Fälligkeitstag

16.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, UBS Group AG, Swiss Life Holding AG - CH1548126270

9.18% (9.18% p.a.) Reverse Convertible on Amazon.com Inc.

Title

CH1492022939 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492022939

Fälligkeitstag

03.12.2026

Basiswert

Amazon.com Inc.

9.18% p.a. Autocallable Barrier Reverse Convertible on Air Liquide, Deutsche Telekom, Schneider Electric (Quanto USD)

Title

CH1548130181 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130181

Fälligkeitstag

04.05.2027

Basiswert

Air Liquide SA, Deutsche Telekom AG, Schneider Electric SE - CH1548130181

9.18% p.a. Autocallable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, UBS Group

Title

CH1548144026 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144026

Fälligkeitstag

20.07.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, UBS Group AG, Sandoz Group AG - CH1548144026

9.18% p.a. Barrier Reverse Convertible on ABB, Holcim, Swissquote

Title

CH1548146500 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146500

Fälligkeitstag

04.08.2027

Basiswert

ABB Ltd, Swissquote Group Holding SA, Holcim Ltd - CH1548146500

9.18% p.a. Barrier Reverse Convertible on Adecco, Geberit, Swiss Re

Title

CH1492020370 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020370

Fälligkeitstag

12.11.2026

Basiswert

Geberit AG, Swiss Re AG, Adecco Group AG - CH1492020370

9.18% p.a. Reverse Convertible on ABB, Burckhardt Compression, Holcim

Title

CH1532242232 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242232

Fälligkeitstag

16.03.2027

Basiswert

Holcim Ltd, Burckhardt Compression Holding Ltd., ABB Ltd - CH1532242232

9.19% (18.38% p.a.) Barrier Reverse Convertible on CME , Deutsche Bank, IntercontinentalExchange (Quanto EUR)

Title

CH1548139414 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139414

Fälligkeitstag

23.12.2026

Basiswert

CME Group Inc., Deutsche Bank AG, IntercontinentalExchange Inc. - CH1548139414

9.19% (9.19% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1532247223 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247223

Fälligkeitstag

16.04.2027

Basiswert

Julius Bär Gruppe AG, Givaudan SA, LVMH Moët Hennessy Louis Vuitton SE - CH1532247223

9.19% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Sandoz Group

Title

CH1492019752 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019752

Fälligkeitstag

10.12.2026

Basiswert

Sandoz Group AG, Lonza Group AG, Givaudan SA - CH1492019752

9.20% (9.20% p.a.) Barrier Reverse Convertible on ABB, Geberit, Georg Fischer, Kuehne + Nagel

Title

CH1492032284 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032284

Fälligkeitstag

03.02.2027

Basiswert

ABB Ltd, Kuehne + Nagel International AG, Georg Fischer AG, Geberit AG - CH1492032284

9.20% (9.20% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann, VAT

Title

CH1492033563 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033563

Fälligkeitstag

10.02.2027

Basiswert

VAT Group AG, Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1492033563

9.20% p.a. Autocallable Barrier Reverse Convertible on Mercedes-Benz Group, Stellantis

Title

CH1492024604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024604

Fälligkeitstag

16.12.2026

Basiswert

Mercedes-Benz Group AG, Stellantis N.V. - CH1492024604

9.20% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1548145189 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145189

Fälligkeitstag

28.01.2028

Basiswert

Amazon.com Inc., Alphabet, Inc., Apple Inc. - CH1548145189

9.20% p.a. Reverse Convertible on ABB, Accelleron Industries, Geberit

Title

CH1548148852 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148852

Fälligkeitstag

17.02.2027

Basiswert

ABB Ltd, Geberit AG, Accelleron Industries AG - CH1548148852

9.21% (9.21% p.a.) Barrier Reverse Convertible on T-Mobile US Inc.

Title

CH1548144331 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548144331

Fälligkeitstag

21.07.2027

Basiswert

T-Mobile US Inc.

9.21% (9.26% p.a.) Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton

Title

CH1532246670 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246670

Fälligkeitstag

08.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Kering SA - CH1532246670

9.21% p.a. Autocallable Reverse Convertible on Huber + Suhner AG

Title

CH1548136030 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136030

Fälligkeitstag

07.06.2027

Basiswert

Huber + Suhner AG

9.21% p.a. Barrier Reverse Convertible on Geberit, Holcim, Sika (Quanto USD)

Title

CH1548150296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150296

Fälligkeitstag

24.08.2027

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1548150296

9.22% (9.22% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont, Swiss Life (Quanto EUR)

Title

CH1548127138 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127138

Fälligkeitstag

21.04.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA, Swiss Life Holding AG - CH1548127138

9.22% p.a. Barrier Reverse Convertible on Charles Schwab, Citigroup, ING (Quanto USD)

Title

CH1548137111 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137111

Fälligkeitstag

10.06.2027

Basiswert

ING Groep N.V., Charles Schwab Corp., Citigroup Inc. - CH1548137111

9.22% p.a. Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548128482 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128482

Fälligkeitstag

01.03.2027

Basiswert

Nestlé SA, Roche Holding AG, Novartis AG - CH1548128482

9.23% (9.23% p.a.) Barrier Reverse Convertible on ABB, Partners Group Holding, Sandoz Group

Title

CH1492024943 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024943

Fälligkeitstag

17.12.2026

Basiswert

ABB Ltd, Partners Group Holding AG, Sandoz Group AG - CH1492024943

9.23% p.a. Autocallable Barrier Reverse Convertible on BMW, Dr. Ing. H.c. F. Porsche AG, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1476905182 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905182

Fälligkeitstag

28.08.2026

Basiswert

Ferrari N.V., Mercedes-Benz Group AG, Dr. Ing. H.c. F. Porsche AG, Bayerische Motoren Werke AG - CH1476905182

9.23% p.a. Barrier Reverse Convertible on Northrop Grumman, Rheinmetall, Rolls-Royce (Quanto CHF)

Title

CH1476912543 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912543

Fälligkeitstag

19.10.2026

Basiswert

Northrop Grumman Corp, Rolls-Royce Holdings PLC, Rheinmetall AG - CH1476912543

9.24% p.a. Autocallable Barrier Reverse Convertible on Holcim, Nestlé, Swissquote

Title

CH1492020636 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020636

Fälligkeitstag

16.11.2026

Basiswert

Nestlé SA, Swissquote Group Holding SA, Holcim Ltd - CH1492020636

9.24% p.a. Autocallable Reverse Convertible on Logitech, Lonza

Title

CH1548143267 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143267

Fälligkeitstag

14.01.2027

Basiswert

Logitech International SA, Lonza Group AG - CH1548143267

9.24% p.a. Autocallable Reverse Convertible on Microsoft, SAP, ServiceNow (Quanto EUR)

Title

CH1548143069 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143069

Fälligkeitstag

18.01.2028

Basiswert

ServiceNow Inc, Microsoft Corp., SAP SE - CH1548143069

9.24% p.a. Barrier Reverse Convertible on ABB, Richemont, SGS

Title

CH1548130231 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130231

Fälligkeitstag

05.05.2028

Basiswert

Compagnie Financière Richemont SA, SGS SA, ABB Ltd - CH1548130231

9.24% p.a. Barrier Reverse Convertible on Coca-Cola, McDonalds, Nike

Title

CH1476907204 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907204

Fälligkeitstag

11.09.2026

Basiswert

McDonalds Corp., Coca-Cola Company, Nike Inc. - CH1476907204

9.24% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Siemens Healthineers

Title

CH1476908855 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908855

Fälligkeitstag

22.03.2027

Basiswert

Adidas AG, Deutsche Telekom AG, Siemens Healthineers AG - CH1476908855

9.24% p.a. Reverse Convertible on ALSO Holding, Huber + Suhner

Title

CH1548149231 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149231

Fälligkeitstag

18.08.2027

Basiswert

Huber + Suhner AG, ALSO Holding AG - CH1548149231

9.24% p.a. Reverse Convertible on Burckhardt Compression, Lonza, Swatch

Title

CH1532243222 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243222

Fälligkeitstag

19.03.2027

Basiswert

Burckhardt Compression Holding Ltd., Lonza Group AG, The Swatch Group AG - CH1532243222

9.25% p.a. Autocallable Reverse Convertible on Alphabet, Intel, NVIDIA (Quanto EUR)

Title

CH1548150718 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150718

Fälligkeitstag

25.08.2027

Basiswert

Alphabet, Inc., Intel Corp., NVIDIA Corp. - CH1548150718

9.25% p.a. Barrier Reverse Convertible on Givaudan, Richemont, Swiss Re

Title

CH1492033670 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033670

Fälligkeitstag

10.02.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Re AG, Givaudan SA - CH1492033670

9.26% (9.27% p.a.) Barrier Reverse Convertible on Logitech, Straumann, Swiss Re

Title

CH1532240970 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240970

Fälligkeitstag

10.03.2027

Basiswert

Straumann Holding AG, Swiss Re AG, Logitech International SA - CH1532240970

9.26% p.a. Autocallable Barrier Reverse Convertible on ABB, Holcim, Logitech, Straumann, Swiss Life

Title

CH1476907006 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907006

Fälligkeitstag

09.09.2026

Basiswert

Holcim Ltd, Swiss Life Holding AG, Logitech International SA, ABB Ltd, Straumann Holding AG - CH1476907006

9.26% p.a. Autocallable Barrier Reverse Convertible on BlackRock, Inc.

Title

CH1532238784 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238784

Fälligkeitstag

02.03.2027

Basiswert

BlackRock, Inc.

9.26% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1596851803 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851803

Fälligkeitstag

28.08.2028

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1596851803

9.26% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Holcim

Title

CH1548138754 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138754

Fälligkeitstag

21.06.2027

Basiswert

Holcim Ltd, Alcon Inc., Givaudan SA - CH1548138754

9.26% p.a. Barrier Reverse Convertible on Alphabet, Georg Fischer, Lonza, Schneider Electric, Veolia (Quanto CHF)

Title

CH1548132559 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132559

Fälligkeitstag

14.05.2027

Basiswert

Lonza Group AG, Georg Fischer AG, Schneider Electric SE, Veolia Environnement, Alphabet, Inc. - CH1548132559

9.26% p.a. Barrier Reverse Convertible on Amazon.com, Microsoft, Pfizer

Title

CH1476907212 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907212

Fälligkeitstag

11.09.2026

Basiswert

Amazon.com Inc., Microsoft Corp., Pfizer Inc. - CH1476907212

9.26% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Nestlé

Title

CH1548126718 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126718

Fälligkeitstag

19.04.2027

Basiswert

Lonza Group AG, Givaudan SA, Nestlé SA - CH1548126718

9.26% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492019836 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019836

Fälligkeitstag

10.09.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Partners Group Holding AG - CH1492019836

9.26% p.a. Reverse Convertible on Ferrari, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1492035758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035758

Fälligkeitstag

19.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Ferrari N.V. - CH1492035758

9.27% (9.27% p.a.) Barrier Reverse Convertible on Holcim, Partners Group Holding, UBS Group

Title

CH1492029314 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029314

Fälligkeitstag

21.01.2027

Basiswert

Partners Group Holding AG, UBS Group AG, Holcim Ltd - CH1492029314

9.27% (9.27% p.a.) Reverse Convertible on Sanofi, STMicroelectronics

Title

CH1548140503 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140503

Fälligkeitstag

29.06.2027

Basiswert

Sanofi SA, STMicroelectronics NV - CH1548140503

9.27% p.a. Autocallable Barrier Reverse Convertible on Infineon, Pernod-Ricard, SAP (Quanto USD)

Title

CH1476903831 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903831

Fälligkeitstag

22.02.2027

Basiswert

Infineon Technologies AG, Pernod-Ricard SA, SAP SE - CH1476903831

9.27% p.a. Autocallable Reverse Convertible on Alphabet, Intel, NVIDIA (Quanto EUR)

Title

CH1548150577 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150577

Fälligkeitstag

25.08.2027

Basiswert

Alphabet, Inc., Intel Corp., NVIDIA Corp. - CH1548150577

9.27% p.a. Barrier Reverse Convertible on AMD, Apple, NVIDIA (Quanto CHF)

Title

CH1492019133 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019133

Fälligkeitstag

04.11.2026

Basiswert

Advanced Micro Devices Inc., NVIDIA Corp., Apple Inc. - CH1492019133

9.28% (13.87% p.a.) Barrier Reverse Convertible on Amrize Ltd

Title

CH1548150692 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150692

Fälligkeitstag

22.04.2027

Basiswert

Amrize Ltd

9.28% (9.23% p.a.) Barrier Reverse Convertible on BELIMO Holding, Sunrise Communications AG, Swatch

Title

CH1492036301 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036301

Fälligkeitstag

22.02.2027

Basiswert

The Swatch Group AG, BELIMO Holding AG, Sunrise Communications AG - CH1492036301

9.28% p.a. Autocallable Barrier Reverse Convertible on ASML, Infineon, SAP (Quanto USD)

Title

CH1492029256 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029256

Fälligkeitstag

20.07.2027

Basiswert

ASML Holding NV, Infineon Technologies AG, SAP SE - CH1492029256

9.28% p.a. Callable Barrier Reverse Convertible on Daimler Truck, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1492023325 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023325

Fälligkeitstag

07.12.2026

Basiswert

Daimler Truck Holding AG, Ferrari N.V., Mercedes-Benz Group AG - CH1492023325

9.29% (9.24% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann, VAT

Title

CH1492032938 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032938

Fälligkeitstag

08.02.2027

Basiswert

VAT Group AG, Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1492032938

9.29% p.a. Autocallable Reverse Convertible on Shell PLC

Title

CH1548145791 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145791

Fälligkeitstag

29.01.2027

Basiswert

Shell PLC

9.29% p.a. Barrier Reverse Convertible on Alcon, Richemont, Swiss Life (Quanto EUR)

Title

CH1476907972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907972

Fälligkeitstag

16.09.2026

Basiswert

Alcon Inc., Compagnie Financière Richemont SA, Swiss Life Holding AG - CH1476907972

9.29% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492032540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032540

Fälligkeitstag

04.02.2027

Basiswert

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1492032540

9.30% (18.60% p.a.) Reverse Convertible on Applovin Corporation (Quanto EUR)

Title

CH1532242786 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242786

Fälligkeitstag

18.09.2026

Basiswert

Applovin Corporation

9.30% (9.18% p.a.) Reverse Convertible on Adobe, Oracle, ServiceNow

Title

CH1492023457 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023457

Fälligkeitstag

10.12.2026

Basiswert

Oracle Corp., ServiceNow Inc, Adobe Systems Inc. - CH1492023457

9.30% p.a. Barrier Reverse Convertible on Geberit, Givaudan, Partners Group Holding

Title

CH1548134498 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134498

Fälligkeitstag

27.05.2027

Basiswert

Geberit AG, Givaudan SA, Partners Group Holding AG - CH1548134498

9.31% (9.31% p.a.) Barrier Reverse Convertible on BNP Paribas, Kering, Schindler (Quanto CHF)

Title

CH1492017855 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017855

Fälligkeitstag

29.10.2026

Basiswert

Schindler Holding AG, BNP Paribas, Kering SA - CH1492017855

9.31% (9.31% p.a.) Reverse Convertible on BNP Paribas

Title

CH1492021790 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021790

Fälligkeitstag

24.11.2026

Basiswert

BNP Paribas

9.31% (9.31% p.a.) Reverse Convertible on Boeing, Meta Platforms, Oracle

Title

CH1492019471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019471

Fälligkeitstag

06.11.2026

Basiswert

Meta Platforms Inc., Boeing Company, Oracle Corp. - CH1492019471

9.31% (9.34% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1548134076 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134076

Fälligkeitstag

25.05.2027

Basiswert

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1548134076

9.31% p.a. Barrier Reverse Convertible on Galderma Group, Helvetia, Richemont, Sandoz Group

Title

CH1476911925 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911925

Fälligkeitstag

13.10.2026

Basiswert

Galderma Group Ltd, Helvetia Holding AG, Compagnie Financière Richemont SA, Sandoz Group AG - CH1476911925

9.32% (9.32% p.a.) Reverse Convertible on Lockheed Martin, Northrop Grumman

Title

CH1548137343 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137343

Fälligkeitstag

11.06.2027

Basiswert

Lockheed Martin Corp, Northrop Grumman Corp - CH1548137343

9.32% p.a. Autocallable Reverse Convertible on Meta Platforms Inc.

Title

CH1532242331 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242331

Fälligkeitstag

16.03.2027

Basiswert

Meta Platforms Inc.

9.33% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1476907774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907774

Fälligkeitstag

15.09.2026

Basiswert

Partners Group Holding AG, UBS Group AG, Julius Bär Gruppe AG - CH1476907774

9.34% (10.13% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1492028878 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028878

Fälligkeitstag

21.12.2026

Basiswert

ASML Holding NV

9.34% p.a. Autocallable Barrier Reverse Convertible on ALSO Holding, ARYZTA, Logitech

Title

CH1548148001 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148001

Fälligkeitstag

14.05.2027

Basiswert

ARYZTA AG, ALSO Holding AG, Logitech International SA - CH1548148001

9.34% p.a. Autocallable Barrier Reverse Convertible on NVIDIA Corp.

Title

CH1532240848 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240848

Fälligkeitstag

09.03.2027

Basiswert

NVIDIA Corp.

9.34% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Roche, Sika

Title

CH1548140271 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140271

Fälligkeitstag

29.06.2027

Basiswert

Sika AG, Roche Holding AG, Nestlé SA - CH1548140271

9.34% p.a. Autocallable Reverse Convertible on Richemont, VAT

Title

CH1548147318 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147318

Fälligkeitstag

04.02.2027

Basiswert

Compagnie Financière Richemont SA, VAT Group AG - CH1548147318

9.34% p.a. Barrier Reverse Convertible on Givaudan, Holcim, SGS

Title

CH1548127203 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127203

Fälligkeitstag

21.04.2027

Basiswert

SGS SA, Holcim Ltd, Givaudan SA - CH1548127203

9.34% p.a. Barrier Reverse Convertible on Swiss Life, UBS Group, Zurich Insurance

Title

CH1532247074 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247074

Fälligkeitstag

15.02.2028

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, UBS Group AG - CH1532247074

9.34% p.a. Callable Barrier Reverse Convertible on Nestlé, Partners Group Holding, Roche (Quanto EUR)

Title

CH1492027540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027540

Fälligkeitstag

12.01.2027

Basiswert

Partners Group Holding AG, Nestlé SA, Roche Holding AG - CH1492027540

9.35% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1492021345 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492021345

Fälligkeitstag

19.11.2026

Basiswert

Tesla Inc.

9.36% (9.36% p.a.) Barrier Reverse Convertible on Holcim, Logitech, Swiss Re

Title

CH1548144174 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144174

Fälligkeitstag

21.07.2027

Basiswert

Holcim Ltd, Logitech International SA, Swiss Re AG - CH1548144174

9.36% p.a. Autocallable Barrier Reverse Convertible on Amazon.com Inc.

Title

CH1548129316 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129316

Fälligkeitstag

30.04.2027

Basiswert

Amazon.com Inc.

9.36% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Microsoft, PepsiCo (Quanto CHF)

Title

CH1548145338 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145338

Fälligkeitstag

28.07.2027

Basiswert

Microsoft Corp., Amazon.com Inc., PepsiCo Inc. - CH1548145338

9.36% p.a. Barrier Reverse Convertible on BKW, Flughafen Zürich, Swissquote

Title

CH1548148209 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148209

Fälligkeitstag

12.04.2028

Basiswert

Swissquote Group Holding SA, BKW AG, Flughafen Zürich AG - CH1548148209

9.36% p.a. Barrier Reverse Convertible on Julius Bär, Sandoz Group, Straumann

Title

CH1548137129 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137129

Fälligkeitstag

10.06.2027

Basiswert

Straumann Holding AG, Julius Bär Gruppe AG, Sandoz Group AG - CH1548137129

9.36% p.a. Barrier Reverse Convertible on Lonza, Sonova, Swatch (Quanto EUR)

Title

CH1532243214 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243214

Fälligkeitstag

19.03.2027

Basiswert

The Swatch Group AG, Sonova Holding AG, Lonza Group AG - CH1532243214

9.36% p.a. Reverse Convertible on ALSO Holding, Logitech

Title

CH1548141220 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141220

Fälligkeitstag

02.07.2027

Basiswert

Logitech International SA, ALSO Holding AG - CH1548141220

9.37% (9.32% p.a.) Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1548143614 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143614

Fälligkeitstag

19.07.2027

Basiswert

Partners Group Holding AG

9.37% (9.37% p.a.) Barrier Reverse Convertible on Adidas, Heidelberg Materials

Title

CH1548141535 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141535

Fälligkeitstag

06.07.2027

Basiswert

Adidas AG, Heidelberg Materials AG - CH1548141535

9.37% (9.37% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann, VAT

Title

CH1492033241 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033241

Fälligkeitstag

09.02.2027

Basiswert

VAT Group AG, Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1492033241

9.37% (9.37% p.a.) Reverse Convertible on Charles Schwab, PayPal

Title

CH1548137350 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137350

Fälligkeitstag

11.06.2027

Basiswert

Charles Schwab Corp., PayPal Holdings Inc. - CH1548137350

9.37% p.a. Autocallable Barrier Reverse Convertible on ASML, Bachem, LVMH Moët Hennessy Louis Vuitton, Siemens (Quanto CHF)

Title

CH1532237356 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237356

Fälligkeitstag

24.02.2027

Basiswert

Siemens AG, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV, Bachem Holding AG - CH1532237356

9.37% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Lonza, Sandoz Group

Title

CH1532240491 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240491

Fälligkeitstag

03.11.2026

Basiswert

Sandoz Group AG, Lonza Group AG, Galderma Group Ltd, Alcon Inc. - CH1532240491

9.37% p.a. Barrier Reverse Convertible on AXA, BNP Paribas, ING

Title

CH1548139299 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139299

Fälligkeitstag

23.12.2027

Basiswert

ING Groep N.V., BNP Paribas, AXA SA - CH1548139299

9.37% p.a. Barrier Reverse Convertible on Holcim, Richemont, Swiss Re

Title

CH1548132419 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132419

Fälligkeitstag

14.05.2027

Basiswert

Swiss Re AG, Holcim Ltd, Compagnie Financière Richemont SA - CH1548132419

9.38% (9.38% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Swiss Life

Title

CH1492033233 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033233

Fälligkeitstag

09.02.2027

Basiswert

Swiss Life Holding AG, Partners Group Holding AG, Logitech International SA - CH1492033233

9.38% p.a. Autocallable Barrier Reverse Convertible on ABB, Deere, DSM-Firmenich (Quanto EUR)

Title

CH1548141196 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141196

Fälligkeitstag

02.07.2027

Basiswert

DSM-Firmenich AG, ABB Ltd, Deere & Co. - CH1548141196

9.38% p.a. Barrier Reverse Convertible on SIG Group, Straumann

Title

CH1548151088 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548151088

Fälligkeitstag

27.08.2027

Basiswert

SIG Group AG, Straumann Holding AG - CH1548151088

9.39% (11.70% p.a.) Reverse Convertible on AMD, Intel, Micron Technology (Quanto CHF)

Title

CH1532241457 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241457

Fälligkeitstag

30.12.2026

Basiswert

Advanced Micro Devices Inc., Micron Technology Inc., Intel Corp. - CH1532241457

9.39% (9.34% p.a.) Barrier Reverse Convertible on BNP Paribas, Sika, Visa (Quanto CHF)

Title

CH1492021758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021758

Fälligkeitstag

23.11.2026

Basiswert

Sika AG, BNP Paribas, Visa Inc. - CH1492021758

9.39% (9.39% p.a.) Barrier Reverse Convertible on Givaudan, Partners Group Holding, VAT

Title

CH1548127153 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127153

Fälligkeitstag

21.04.2027

Basiswert

VAT Group AG, Givaudan SA, Partners Group Holding AG - CH1548127153

9.39% p.a. Autocallable Reverse Convertible on ASM International NV

Title

CH1548148167 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148167

Fälligkeitstag

12.08.2027

Basiswert

ASM International NV

9.39% p.a. Reverse Convertible on Nestlé SA

Title

CH1548139273 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548139273

Fälligkeitstag

30.12.2026

Basiswert

Nestlé SA

9.40% (9.43% p.a.) Barrier Reverse Convertible on SAP SE

Title

CH1548130470 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130470

Fälligkeitstag

05.05.2027

Basiswert

SAP SE

9.40% p.a. Barrier Reverse Convertible on Sika AG

Title

CH1476906966 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906966

Fälligkeitstag

09.09.2026

Basiswert

Sika AG

9.40% p.a. Callable Reverse Convertible on Infineon Technologies AG

Title

CH1548135487 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548135487

Fälligkeitstag

03.12.2027

Basiswert

Infineon Technologies AG

9.41% (12.54% p.a.) Barrier Reverse Convertible on EssilorLuxottica, Hermes, LVMH Moët Hennessy Louis Vuitton

Title

CH1548148696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148696

Fälligkeitstag

14.05.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Hermes International, EssilorLuxottica SA - CH1548148696

9.41% (9.44% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Swiss Re

Title

CH1548134456 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134456

Fälligkeitstag

27.05.2027

Basiswert

Straumann Holding AG, Swiss Re AG, Lonza Group AG - CH1548134456

9.41% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Lonza, Novartis, Sandoz Group

Title

CH1548147433 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147433

Fälligkeitstag

09.08.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Novartis AG, Lonza Group AG - CH1548147433

9.41% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Richemont

Title

CH1532241705 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241705

Fälligkeitstag

12.03.2027

Basiswert

Kuehne + Nagel International AG, Compagnie Financière Richemont SA, Logitech International SA - CH1532241705

9.41% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1548145643 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145643

Fälligkeitstag

29.07.2027

Basiswert

Lonza Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1548145643

9.41% p.a. Barrier Reverse Convertible on Lonza, SAP, UBS Group (Quanto CHF)

Title

CH1548138028 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138028

Fälligkeitstag

15.06.2027

Basiswert

SAP SE, UBS Group AG, Lonza Group AG - CH1548138028

9.42% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Lonza, Partners Group Holding, UBS Group

Title

CH1476911305 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911305

Fälligkeitstag

09.10.2026

Basiswert

UBS Group AG, Julius Bär Gruppe AG, Lonza Group AG, Partners Group Holding AG - CH1476911305

9.42% p.a. Barrier Reverse Convertible on Accelleron Industries, Helvetia Baloise, Mobilezone

Title

CH1548135990 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135990

Fälligkeitstag

04.06.2027

Basiswert

Mobilezone Holding AG, Accelleron Industries AG, Helvetia Baloise Holding AG - CH1548135990

9.42% p.a. Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Newmont (Quanto EUR)

Title

CH1492020149 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020149

Fälligkeitstag

11.11.2026

Basiswert

Barrick Mining Corporation, Newmont Corp., AngloGold Ashanti plc - CH1492020149

9.42% p.a. Barrier Reverse Convertible on Bank of America, Coca-Cola, McDonalds

Title

CH1548135545 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135545

Fälligkeitstag

04.06.2027

Basiswert

Coca-Cola Company, Bank of America Corporation, McDonalds Corp. - CH1548135545

9.42% p.a. Callable Barrier Reverse Convertible on BELIMO Holding, Zurich Insurance

Title

CH1532246951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246951

Fälligkeitstag

14.04.2027

Basiswert

BELIMO Holding AG, Zurich Insurance Group Ltd - CH1532246951

9.43% (18.96% p.a.) Barrier Reverse Convertible on Chipotle Mexican Grill Inc.

Title

CH1548130645 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130645

Fälligkeitstag

04.11.2026

Basiswert

Chipotle Mexican Grill Inc.

9.43% (9.38% p.a.) Barrier Reverse Convertible on Adidas, Logitech, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492036228 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036228

Fälligkeitstag

22.02.2027

Basiswert

Logitech International SA, Adidas AG, LVMH Moët Hennessy Louis Vuitton SE - CH1492036228

9.43% (9.38% p.a.) Reverse Convertible on Dominion Ressources, Duke Energy, Nextera Energy

Title

CH1548143572 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143572

Fälligkeitstag

19.07.2027

Basiswert

Dominion Ressources Inc./VA, Duke Energy Corp., Nextera Energy Inc. - CH1548143572

9.43% (9.43% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann, VAT

Title

CH1492033696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033696

Fälligkeitstag

10.02.2027

Basiswert

VAT Group AG, Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1492033696

9.43% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492035055 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035055

Fälligkeitstag

17.02.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Amazon.com Inc., Alphabet, Inc. - CH1492035055

9.43% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Citigroup, Société Générale (Quanto CHF)

Title

CH1548149132 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149132

Fälligkeitstag

18.11.2027

Basiswert

Citigroup Inc., Société Générale, BNP Paribas - CH1548149132

9.43% p.a. Autocallable Barrier Reverse Convertible on Goldman Sachs, JPMorgan Chase, Morgan Stanley

Title

CH1596851860 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851860

Fälligkeitstag

30.08.2027

Basiswert

JPMorgan Chase & Co., The Goldman Sachs Group, Inc., Morgan Stanley - CH1596851860

9.43% p.a. Barrier Reverse Convertible on Alphabet, Apple, Microsoft (Quanto CHF)

Title

CH1492031377 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031377

Fälligkeitstag

01.02.2027

Basiswert

Alphabet, Inc., Microsoft Corp., Apple Inc. - CH1492031377

9.43% p.a. Reverse Convertible on ASML, BASF, Inditex

Title

CH1418944521 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418944521

Fälligkeitstag

14.09.2026

Basiswert

ASML Holding NV, BASF SE, Inditex SA - CH1418944521

9.44% p.a. Barrier Reverse Convertible on Alcon, Givaudan

Title

CH1548132534 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132534

Fälligkeitstag

14.05.2027

Basiswert

Givaudan SA, Alcon Inc. - CH1548132534

9.44% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Sandoz Group

Title

CH1548138796 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138796

Fälligkeitstag

21.06.2027

Basiswert

Alcon Inc., Givaudan SA, Sandoz Group AG - CH1548138796

9.44% p.a. Barrier Reverse Convertible on Geberit, Lonza, Partners Group Holding

Title

CH1548127773 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127773

Fälligkeitstag

23.04.2027

Basiswert

Geberit AG, Partners Group Holding AG, Lonza Group AG - CH1548127773

9.44% p.a. Barrier Reverse Convertible on Logitech, Richemont, Swiss Life

Title

CH1532241341 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241341

Fälligkeitstag

11.03.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA, Swiss Life Holding AG - CH1532241341

9.44% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1532243883 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243883

Fälligkeitstag

23.03.2028

Basiswert

Novartis AG, Roche Holding AG, UBS Group AG - CH1532243883

9.46% (9.46% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Heidelberg Materials, ING

Title

CH1476906834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906834

Fälligkeitstag

09.09.2026

Basiswert

Deutsche Telekom AG, ING Groep N.V., Heidelberg Materials AG - CH1476906834

9.46% p.a. Autocallable Barrier Reverse Convertible on ASML, SAP, Siemens (Quanto CHF)

Title

CH1532243842 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243842

Fälligkeitstag

23.09.2027

Basiswert

SAP SE, Siemens AG, ASML Holding NV - CH1532243842

9.46% p.a. Barrier Reverse Convertible on Galenica, Novartis, Sunrise Communications AG

Title

CH1548138390 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138390

Fälligkeitstag

17.06.2027

Basiswert

Galenica AG, Novartis AG, Sunrise Communications AG - CH1548138390

9.47% (10.24% p.a.) Barrier Reverse Convertible on Givaudan, Holcim, Julius Bär

Title

CH1548139141 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139141

Fälligkeitstag

25.05.2027

Basiswert

Givaudan SA, Julius Bär Gruppe AG, Holcim Ltd - CH1548139141

9.47% (9.41% p.a.) Barrier Reverse Convertible on Berkshire Hathaway, MasterCard, Visa

Title

CH1492022475 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022475

Fälligkeitstag

30.11.2026

Basiswert

MasterCard Inc, Visa Inc., Berkshire Hathaway Inc. - CH1492022475

9.47% p.a. Autocallable Barrier Reverse Convertible on BlackRock, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548141485 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141485

Fälligkeitstag

05.01.2028

Basiswert

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, BlackRock, Inc. - CH1548141485

9.47% p.a. Reverse Convertible on Abbott Labs, Pfizer, Zoetis

Title

CH1532241275 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241275

Fälligkeitstag

14.09.2027

Basiswert

Abbott Laboratories, Pfizer Inc., Zoetis Inc - CH1532241275

9.47% p.a. Reverse Convertible on Airbus, Leonardo, Rheinmetall, Thales

Title

CH1532239972 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239972

Fälligkeitstag

05.03.2027

Basiswert

Airbus SE, Thales SA, Leonardo S.p.a., Rheinmetall AG - CH1532239972

9.48% (19.40% p.a.) Reverse Convertible on AMD, ASML, Broadcom (Quanto GBP)

Title

CH1532246787 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246787

Fälligkeitstag

09.10.2026

Basiswert

ASML Holding NV, Broadcom Inc., Advanced Micro Devices Inc. - CH1532246787

9.48% (9.43% p.a.) Barrier Reverse Convertible on Logitech, VAT

Title

CH1492022533 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022533

Fälligkeitstag

30.11.2026

Basiswert

VAT Group AG, Logitech International SA - CH1492022533

9.48% (9.48% p.a.) Barrier Reverse Convertible on BMW, Mercedes-Benz Group, Volkswagen

Title

CH1476908715 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908715

Fälligkeitstag

22.09.2026

Basiswert

Volkswagen AG, Mercedes-Benz Group AG, Bayerische Motoren Werke AG - CH1476908715

9.48% (9.48% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Straumann

Title

CH1548145825 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145825

Fälligkeitstag

30.07.2027

Basiswert

Lonza Group AG, Straumann Holding AG, Kuehne + Nagel International AG - CH1548145825

9.48% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA

Title

CH1476907030 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907030

Fälligkeitstag

10.09.2026

Basiswert

NVIDIA Corp., Microsoft Corp., Alphabet, Inc. - CH1476907030

9.48% p.a. Autocallable Reverse Convertible on Alibaba Group Holding Limited

Title

CH1532243537 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532243537

Fälligkeitstag

22.03.2027

Basiswert

Alibaba Group Holding Limited

9.48% p.a. Autocallable Reverse Convertible on NVIDIA, Tesla

Title

CH1492033522 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033522

Fälligkeitstag

09.02.2027

Basiswert

Tesla Inc., NVIDIA Corp. - CH1492033522

9.48% p.a. Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto CHF)

Title

CH1492025007 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025007

Fälligkeitstag

17.03.2027

Basiswert

Novo Nordisk A/S, Dr. Ing. H.c. F. Porsche AG, LVMH Moët Hennessy Louis Vuitton SE - CH1492025007

9.48% p.a. Callable Reverse Convertible on Sonova, Straumann, Tecan

Title

CH1532242604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242604

Fälligkeitstag

17.03.2028

Basiswert

Sonova Holding AG, Straumann Holding AG, Tecan Group Ltd. - CH1532242604

9.48% p.a. Reverse Convertible on Adecco, Logitech, VAT

Title

CH1548145908 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145908

Fälligkeitstag

30.07.2027

Basiswert

VAT Group AG, Adecco Group AG, Logitech International SA - CH1548145908

9.48% p.a. Reverse Convertible on Alphabet, ASML (Quanto CHF)

Title

CH1548137954 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137954

Fälligkeitstag

15.06.2027

Basiswert

Alphabet, Inc., ASML Holding NV - CH1548137954

9.49% p.a. Autocallable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1548131619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131619

Fälligkeitstag

12.05.2027

Basiswert

Compagnie Financière Richemont SA, Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1548131619

9.49% p.a. Barrier Reverse Convertible on Logitech, Lonza, Sika

Title

CH1548130793 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130793

Fälligkeitstag

07.05.2027

Basiswert

Logitech International SA, Lonza Group AG, Sika AG - CH1548130793

9.50% (9.50% p.a.) Barrier Reverse Convertible on Amrize Ltd, Kuehne + Nagel, Sika (Quanto EUR)

Title

CH1492026732 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026732

Fälligkeitstag

30.12.2026

Basiswert

Kuehne + Nagel International AG, Sika AG, Amrize Ltd - CH1492026732

9.50% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Visa

Title

CH1596851829 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851829

Fälligkeitstag

30.08.2027

Basiswert

Visa Inc., Amazon.com Inc. - CH1596851829

9.50% p.a. Autocallable Reverse Convertible on Alcon, Straumann, Tecan (Quanto EUR)

Title

CH1548149439 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149439

Fälligkeitstag

17.02.2027

Basiswert

Alcon Inc., Straumann Holding AG, Tecan Group Ltd. - CH1548149439

9.50% p.a. Autocallable Reverse Convertible on Alphabet, Inc.

Title

CH1532244717 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532244717

Fälligkeitstag

30.03.2027

Basiswert

Alphabet, Inc.

9.50% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft (Quanto EUR)

Title

CH1548135685 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135685

Fälligkeitstag

04.12.2026

Basiswert

Alphabet, Inc., Microsoft Corp. - CH1548135685

9.50% p.a. Autocallable Reverse Convertible on Alphabet, ServiceNow, TotalEnergies (Quanto USD)

Title

CH1446055027 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446055027

Fälligkeitstag

24.09.2026

Basiswert

Alphabet, Inc., ServiceNow Inc, TotalEnergies SE - CH1446055027

9.50% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548135677 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135677

Fälligkeitstag

04.12.2026

Basiswert

NVIDIA Corp., Meta Platforms Inc. - CH1548135677

9.50% p.a. Barrier Reverse Convertible on Julius Bär, Temenos, UBS Group

Title

CH1492032805 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032805

Fälligkeitstag

05.02.2027

Basiswert

UBS Group AG, Temenos AG, Julius Bär Gruppe AG - CH1492032805

9.50% p.a. Callable Barrier Reverse Convertible on Allianz, AXA, ING, Swiss Re (Quanto EUR)

Title

CH1548129001 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129001

Fälligkeitstag

29.04.2027

Basiswert

AXA SA, Allianz SE, ING Groep N.V., Swiss Re AG - CH1548129001

9.51% (9.46% p.a.) Barrier Reverse Convertible on Logitech, Sika, Swisscom (Quanto CAD)

Title

CH1548134688 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134688

Fälligkeitstag

31.05.2027

Basiswert

Logitech International SA, Sika AG, Swisscom AG - CH1548134688

9.51% p.a. Barrier Reverse Convertible on Alcon, Logitech, Lonza

Title

CH1492033928 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033928

Fälligkeitstag

11.02.2027

Basiswert

Logitech International SA, Lonza Group AG, Alcon Inc. - CH1492033928

9.51% p.a. Barrier Reverse Convertible on Partners Group Holding, Sonova, VAT

Title

CH1492030742 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030742

Fälligkeitstag

28.01.2027

Basiswert

Partners Group Holding AG, VAT Group AG, Sonova Holding AG - CH1492030742

9.51% p.a. Callable Barrier Reverse Convertible on Avolta, Kuehne + Nagel, Partners Group Holding

Title

CH1476909812 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909812

Fälligkeitstag

28.09.2026

Basiswert

Partners Group Holding AG, Kuehne + Nagel International AG, Avolta AG - CH1476909812

9.51% p.a. Reverse Convertible on S&P 500®️ Index

Title

CH1548138556 - Compartment P100

Kategorie

Structured Products - Index

ISIN

CH1548138556

Fälligkeitstag

18.12.2026

Basiswert

S&P 500®️ Index

9.52% (9.52% p.a.) Barrier Reverse Convertible on Accor, Danone, Siemens

Title

CH1548150965 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150965

Fälligkeitstag

26.08.2027

Basiswert

Siemens AG, Accor SA, Danone SA - CH1548150965

9.52% p.a. Autocallable Barrier Reverse Convertible on Allianz, Daimler Truck, Novartis, Roche, Zurich Insurance (Quanto EUR)

Title

CH1548135404 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135404

Fälligkeitstag

02.06.2027

Basiswert

Allianz SE, Daimler Truck Holding AG, Novartis AG, Roche Holding AG, Zurich Insurance Group Ltd - CH1548135404

9.52% p.a. Autocallable Barrier Reverse Convertible on American Express, ASML, Intuitive Surgical (Quanto USD)

Title

CH1492026815 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026815

Fälligkeitstag

29.06.2027

Basiswert

American Express Company, Intuitive Surgical Inc., ASML Holding NV - CH1492026815

9.52% p.a. Autocallable Reverse Convertible on Amazon.com, Apple, Microsoft (Quanto CHF)

Title

CH1532245243 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245243

Fälligkeitstag

05.04.2027

Basiswert

Amazon.com Inc., Microsoft Corp., Apple Inc. - CH1532245243

9.52% p.a. Barrier Reverse Convertible on Richemont, Sonova, VAT (Quanto EUR)

Title

CH1476907865 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907865

Fälligkeitstag

16.03.2027

Basiswert

Compagnie Financière Richemont SA, VAT Group AG, Sonova Holding AG - CH1476907865

9.53% (9.48% p.a.) Barrier Reverse Convertible on Koninklijke Ahold Delhaize, Shell, Unilever PLC

Title

CH1596851779 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596851779

Fälligkeitstag

30.08.2027

Basiswert

Unilever PLC, Koninklijke Ahold Delhaize N.V., Shell PLC - CH1596851779

9.53% (9.53% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Richemont

Title

CH1476906552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906552

Fälligkeitstag

08.09.2026

Basiswert

Compagnie Financière Richemont SA, Alcon Inc., Partners Group Holding AG - CH1476906552

9.53% p.a. Reverse Convertible on Logitech, Richemont

Title

CH1532246738 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246738

Fälligkeitstag

08.04.2027

Basiswert

Logitech International SA, Compagnie Financière Richemont SA - CH1532246738

9.54% (9.49% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Richemont, Straumann

Title

CH1492020552 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020552

Fälligkeitstag

16.11.2026

Basiswert

Nestlé SA, Novartis AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1492020552

9.54% (9.57% p.a.) Barrier Reverse Convertible on Geberit, Givaudan, Lonza (Quanto AUD)

Title

CH1548136758 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136758

Fälligkeitstag

09.06.2027

Basiswert

Geberit AG, Givaudan SA, Lonza Group AG - CH1548136758

9.54% p.a. Barrier Reverse Convertible on Alcon, Amrize Ltd, Straumann

Title

CH1492030445 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030445

Fälligkeitstag

27.01.2027

Basiswert

Alcon Inc., Straumann Holding AG, Amrize Ltd - CH1492030445

9.54% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Lonza

Title

CH1492025916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025916

Fälligkeitstag

25.01.2027

Basiswert

Julius Bär Gruppe AG, Lonza Group AG, Logitech International SA - CH1492025916

9.54% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1548128219 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128219

Fälligkeitstag

26.04.2027

Basiswert

UBS Group AG, Novartis AG, Roche Holding AG - CH1548128219

9.54% p.a. Barrier Reverse Convertible on Sika, Straumann, VAT

Title

CH1548133870 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133870

Fälligkeitstag

25.05.2027

Basiswert

Sika AG, Straumann Holding AG, VAT Group AG - CH1548133870

9.55% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, Lonza

Title

CH1532238339 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238339

Fälligkeitstag

26.02.2027

Basiswert

Lonza Group AG, Kuehne + Nagel International AG, Alcon Inc. - CH1532238339

9.55% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548135008 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135008

Fälligkeitstag

30.08.2027

Basiswert

Swiss Life Holding AG, Swiss Re AG, Partners Group Holding AG, Zurich Insurance Group Ltd - CH1548135008

9.56% (9.56% p.a.) Barrier Reverse Convertible on Geberit, Sandoz Group, Straumann

Title

CH1492023069 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023069

Fälligkeitstag

03.12.2026

Basiswert

Sandoz Group AG, Geberit AG, Straumann Holding AG - CH1492023069

9.56% (9.56% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1548137947 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137947

Fälligkeitstag

15.06.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548137947

9.56% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Georg Fischer, Kardex (Quanto EUR)

Title

CH1492036293 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036293

Fälligkeitstag

20.08.2027

Basiswert

Deutsche Telekom AG, Kardex AG, Georg Fischer AG - CH1492036293

9.56% p.a. Autocallable Reverse Convertible on Dassault, Hensoldt , Thales

Title

CH1548128094 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548128094

Fälligkeitstag

26.04.2027

Basiswert

Dassault Systèmes S.A., Hensoldt AG, Thales SA - CH1548128094

9.56% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Swiss Re

Title

CH1548134316 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134316

Fälligkeitstag

26.05.2027

Basiswert

Lonza Group AG, Kuehne + Nagel International AG, Swiss Re AG - CH1548134316

9.57% p.a. Barrier Reverse Convertible on Geberit, Straumann, Swiss Re

Title

CH1548138747 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138747

Fälligkeitstag

21.06.2027

Basiswert

Geberit AG, Straumann Holding AG, Swiss Re AG - CH1548138747

9.57% p.a. Barrier Reverse Convertible on Partners Group Holding, SGS, Swiss Life

Title

CH1548126361 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126361

Fälligkeitstag

16.04.2027

Basiswert

Swiss Life Holding AG, Partners Group Holding AG, SGS SA - CH1548126361

9.58% (4.79% p.a.) Barrier Reverse Convertible on ABB, Geberit, Swisscom

Title

CH1492030411 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030411

Fälligkeitstag

27.01.2028

Basiswert

ABB Ltd, Geberit AG, Swisscom AG - CH1492030411

9.58% (9.53% p.a.) Barrier Reverse Convertible on Alcon, Barry Callebaut, Zurich Insurance

Title

CH1492020669 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020669

Fälligkeitstag

16.11.2026

Basiswert

Barry Callebaut AG, Alcon Inc., Zurich Insurance Group Ltd - CH1492020669

9.58% p.a. Barrier Reverse Convertible on Georg Fischer, Hermes, L´Oréal, Logitech, Richemont, Visa (Quanto CHF)

Title

CH1492019661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019661

Fälligkeitstag

09.11.2026

Basiswert

Georg Fischer AG, Compagnie Financière Richemont SA, Hermes International, Logitech International SA, L´Oréal International, ...

9.58% p.a. Barrier Reverse Convertible on SGS, Sika, UBS Group

Title

CH1418949280 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949280

Fälligkeitstag

22.10.2026

Basiswert

SGS SA, UBS Group AG, Sika AG - CH1418949280

9.59% (9.53% p.a.) Barrier Reverse Convertible on Alcon, Straumann, UBS Group

Title

CH1532242091 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242091

Fälligkeitstag

15.03.2027

Basiswert

Straumann Holding AG, UBS Group AG, Alcon Inc. - CH1532242091

9.59% p.a. Autocallable Reverse Convertible on Deutsche Telekom, Schneider Electric

Title

CH1492028449 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028449

Fälligkeitstag

18.01.2027

Basiswert

Deutsche Telekom AG, Schneider Electric SE - CH1492028449

9.59% p.a. Barrier Reverse Convertible on Lonza, Richemont, UBS Group

Title

CH1446050929 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446050929

Fälligkeitstag

26.11.2026

Basiswert

UBS Group AG, Lonza Group AG, Compagnie Financière Richemont SA - CH1446050929

9.59% p.a. Reverse Convertible on Galderma Group Ltd

Title

CH1476912030 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476912030

Fälligkeitstag

14.10.2026

Basiswert

Galderma Group Ltd

9.60% (9.55% p.a.) Barrier Reverse Convertible on BNP Paribas, Crédit Agricole, Société Générale (Quanto CHF)

Title

CH1596852074 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852074

Fälligkeitstag

30.08.2027

Basiswert

BNP Paribas, Société Générale, Crédit Agricole SA - CH1596852074

9.60% (9.60% p.a.) Barrier Reverse Convertible on easyJet, LVMH Moët Hennessy Louis Vuitton, Partners Group Holding (Quanto EUR)

Title

CH1492035907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035907

Fälligkeitstag

19.02.2027

Basiswert

Partners Group Holding AG, LVMH Moët Hennessy Louis Vuitton SE, easyJet PLC - CH1492035907

9.60% p.a. Autocallable Barrier Reverse Convertible on Ferrari N.V. (Quanto CHF)

Title

CH1548145056 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145056

Fälligkeitstag

27.01.2027

Basiswert

Ferrari N.V.

9.60% p.a. Autocallable Reverse Convertible on Texas Instruments Inc.

Title

CH1548145486 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145486

Fälligkeitstag

28.01.2028

Basiswert

Texas Instruments Inc.

9.60% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1492022822 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022822

Fälligkeitstag

02.12.2026

Basiswert

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1492022822

9.60% p.a. Callable Barrier Reverse Convertible on Logitech, Straumann, VAT

Title

CH1548135198 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135198

Fälligkeitstag

01.03.2027

Basiswert

VAT Group AG, Straumann Holding AG, Logitech International SA - CH1548135198

9.61% (19.22% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, IBM, Intel (Quanto CHF)

Title

CH1548127682 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127682

Fälligkeitstag

23.10.2026

Basiswert

International Business Machines Corp., Intel Corp., Amazon.com Inc., Apple Inc. - CH1548127682

9.61% (9.61% p.a.) Barrier Reverse Convertible on Alcon, Amrize Ltd, Logitech

Title

CH1492029272 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029272

Fälligkeitstag

20.01.2027

Basiswert

Logitech International SA, Amrize Ltd, Alcon Inc. - CH1492029272

9.61% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Rheinmetall

Title

CH1548127625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127625

Fälligkeitstag

22.04.2027

Basiswert

EssilorLuxottica SA, Rheinmetall AG - CH1548127625

9.61% p.a. Barrier Reverse Convertible on ASML, Banco Santander, Siemens

Title

CH1476911503 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911503

Fälligkeitstag

12.10.2026

Basiswert

Banco Santander SA, Siemens AG, ASML Holding NV - CH1476911503

9.61% p.a. Barrier Reverse Convertible on Lonza, Schindler, VAT (Quanto USD)

Title

CH1476910109 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910109

Fälligkeitstag

30.09.2026

Basiswert

Lonza Group AG, Schindler Holding AG, VAT Group AG - CH1476910109

9.61% p.a. Reverse Convertible on Crowdstrike Holdings, NVIDIA, Palantir (Quanto CHF)

Title

CH1476907303 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907303

Fälligkeitstag

14.09.2026

Basiswert

Crowdstrike Holdings Inc., NVIDIA Corp., Palantir Technologies Inc. - CH1476907303

9.62% (9.57% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1548137640 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137640

Fälligkeitstag

14.06.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548137640

9.62% (9.57% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1548137756 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137756

Fälligkeitstag

14.06.2027

Basiswert

Kuehne + Nagel International AG, Holcim Ltd, Zurich Insurance Group Ltd, Compagnie Financière Richemont SA - CH1548137756

9.62% (9.62% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Nestlé, UBS Group

Title

CH1548135743 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135743

Fälligkeitstag

04.06.2027

Basiswert

UBS Group AG, Nestlé SA, Kuehne + Nagel International AG - CH1548135743

9.62% p.a. Barrier Reverse Convertible on ABB, Swiss Re, UBS Group

Title

CH1532241853 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241853

Fälligkeitstag

12.03.2027

Basiswert

UBS Group AG, Swiss Re AG, ABB Ltd - CH1532241853

9.62% p.a. Barrier Reverse Convertible on Nestlé, Roche, Straumann

Title

CH1492027052 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027052

Fälligkeitstag

30.04.2027

Basiswert

Nestlé SA, Straumann Holding AG, Roche Holding AG - CH1492027052

9.63% (9.63% p.a.) Barrier Reverse Convertible on Givaudan, Lonza, UBS Group

Title

CH1548127971 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127971

Fälligkeitstag

23.04.2027

Basiswert

Lonza Group AG, UBS Group AG, Givaudan SA - CH1548127971

9.63% p.a. Autocallable Reverse Convertible on E.ON, Naturgy Energy Group, Veolia, Verbund

Title

CH1548143150 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143150

Fälligkeitstag

16.07.2027

Basiswert

Verbund AG, Veolia Environnement, E.ON SE, Naturgy Energy Group SA - CH1548143150

9.63% p.a. Barrier Reverse Convertible on Accor, EssilorLuxottica, ING

Title

CH1418942368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418942368

Fälligkeitstag

29.12.2026

Basiswert

ING Groep N.V., Accor SA, EssilorLuxottica SA - CH1418942368

9.63% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Lonza

Title

CH1548144067 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144067

Fälligkeitstag

20.07.2027

Basiswert

Julius Bär Gruppe AG, Logitech International SA, Lonza Group AG - CH1548144067

9.64% p.a. Autocallable Barrier Reverse Convertible on Alcon, Logitech, SIG Group

Title

CH1468579706 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1468579706

Fälligkeitstag

30.11.2026

Basiswert

SIG Group AG, Alcon Inc., Logitech International SA - CH1468579706

9.64% p.a. Autocallable Reverse Convertible on ASML, Baidu, NVIDIA (Quanto EUR)

Title

CH1548144471 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144471

Fälligkeitstag

22.07.2027

Basiswert

ASML Holding NV, Baidu, Inc., NVIDIA Corp. - CH1548144471

9.64% p.a. Autocallable Reverse Convertible on Alphabet, NVIDIA (Quanto EUR)

Title

CH1548145122 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145122

Fälligkeitstag

27.07.2027

Basiswert

Alphabet, Inc., NVIDIA Corp. - CH1548145122

9.64% p.a. Reverse Convertible on BHP Group, Vale

Title

CH1548133219 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133219

Fälligkeitstag

18.05.2027

Basiswert

Vale SA, BHP Group Limited - CH1548133219

9.65% (9.57% p.a.) Barrier Reverse Convertible on Bank of America, Coca-Cola, McDonalds

Title

CH1548135719 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135719

Fälligkeitstag

07.06.2027

Basiswert

Coca-Cola Company, McDonalds Corp., Bank of America Corporation - CH1548135719

9.65% (9.60% p.a.) Reverse Convertible on Alphabet, Apple

Title

CH1492024257 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024257

Fälligkeitstag

14.12.2026

Basiswert

Apple Inc., Alphabet, Inc. - CH1492024257

9.66% (19.02% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1548142038 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142038

Fälligkeitstag

11.01.2027

Basiswert

ASML Holding NV

9.66% p.a. Autocallable Barrier Reverse Convertible on Netflix Inc.

Title

CH1476911685 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476911685

Fälligkeitstag

13.10.2026

Basiswert

Netflix Inc.

9.66% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche (Quanto USD)

Title

CH1492027607 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027607

Fälligkeitstag

12.01.2027

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1492027607

9.67% (9.52% p.a.) Reverse Convertible on DKSH, Partners Group Holding, Sunrise Communications AG

Title

CH1492032334 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032334

Fälligkeitstag

10.02.2027

Basiswert

Partners Group Holding AG, DKSH Holding Ltd., Sunrise Communications AG - CH1492032334

9.67% (9.70% p.a.) Barrier Reverse Convertible on Geberit, LVMH Moët Hennessy Louis Vuitton, Swiss Re (Quanto CHF)

Title

CH1548129951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129951

Fälligkeitstag

03.05.2027

Basiswert

Swiss Re AG, Geberit AG, LVMH Moët Hennessy Louis Vuitton SE - CH1548129951

9.68% (19.26% p.a.) Barrier Reverse Convertible on Accenture, Infosys

Title

CH1548133862 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133862

Fälligkeitstag

23.11.2026

Basiswert

Accenture PLC, Infosys Ltd. - CH1548133862

9.68% (9.68% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Straumann

Title

CH1532246019 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246019

Fälligkeitstag

07.04.2027

Basiswert

Straumann Holding AG, Holcim Ltd, Alcon Inc. - CH1532246019

9.68% (9.68% p.a.) Barrier Reverse Convertible on Givaudan, Straumann, Swiss Re

Title

CH1492033605 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033605

Fälligkeitstag

10.02.2027

Basiswert

Straumann Holding AG, Swiss Re AG, Givaudan SA - CH1492033605

9.68% p.a. Autocallable Barrier Reverse Convertible on Lonza, Swiss Re, UniCredit (Quanto CHF)

Title

CH1548145882 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145882

Fälligkeitstag

30.07.2027

Basiswert

Lonza Group AG, Swiss Re AG, UniCredit SpA - CH1548145882

9.68% p.a. Autocallable Reverse Convertible on Leonardo, Rheinmetall

Title

CH1492029454 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029454

Fälligkeitstag

21.07.2027

Basiswert

Rheinmetall AG, Leonardo S.p.a. - CH1492029454

9.68% p.a. Autocallable Reverse Convertible on Novartis, Zurich Insurance

Title

CH1548149819 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149819

Fälligkeitstag

22.02.2027

Basiswert

Novartis AG, Zurich Insurance Group Ltd - CH1548149819

9.68% p.a. Reverse Convertible on Alphabet, Amazon.com, Microsoft (Quanto EUR)

Title

CH1548134985 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134985

Fälligkeitstag

28.05.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1548134985

9.69% (9.69% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann, VAT

Title

CH1492034959 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034959

Fälligkeitstag

16.02.2027

Basiswert

Alcon Inc., Straumann Holding AG, Partners Group Holding AG, VAT Group AG - CH1492034959

9.70% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Netflix, PayPal

Title

CH1548131684 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131684

Fälligkeitstag

12.11.2026

Basiswert

PayPal Holdings Inc., Alibaba Group Holding Limited, Netflix Inc. - CH1548131684

9.70% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1492022228 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022228

Fälligkeitstag

26.11.2026

Basiswert

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1492022228

9.71% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1492028548 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028548

Fälligkeitstag

18.01.2027

Basiswert

UBS Group AG, Julius Bär Gruppe AG - CH1492028548

9.72% p.a. Barrier Reverse Convertible on Barry Callebaut, Givaudan, Swiss Re

Title

CH1548140065 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140065

Fälligkeitstag

25.06.2027

Basiswert

Barry Callebaut AG, Swiss Re AG, Givaudan SA - CH1548140065

9.74% (9.74% p.a.) Reverse Convertible on Continental, Deutsche Post, Merck KGaA

Title

CH1532238156 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238156

Fälligkeitstag

26.02.2027

Basiswert

Deutsche Post AG, Merck KGaA, Continental AG - CH1532238156

9.74% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1532239071 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239071

Fälligkeitstag

02.03.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

9.74% p.a. Barrier Reverse Convertible on Crowdstrike Holdings Inc. (Quanto EUR)

Title

CH1548129704 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129704

Fälligkeitstag

03.05.2027

Basiswert

Crowdstrike Holdings Inc.

9.74% p.a. Barrier Reverse Convertible on Logitech, Sika, VAT (Quanto NOK)

Title

CH1446048832 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446048832

Fälligkeitstag

13.10.2026

Basiswert

Sika AG, VAT Group AG, Logitech International SA - CH1446048832

9.74% p.a. Callable Reverse Convertible on ING, Munich Re, Siemens Energy

Title

CH1548140420 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140420

Fälligkeitstag

29.06.2027

Basiswert

ING Groep N.V., Münchener Rückversicherungs AG, Siemens Energy AG - CH1548140420

9.75% p.a. Autocallable Barrier Reverse Convertible on Comet, Swiss Life, Swiss Re, VAT

Title

CH1532241556 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241556

Fälligkeitstag

11.03.2027

Basiswert

VAT Group AG, Swiss Re AG, Swiss Life Holding AG, Comet Holding AG - CH1532241556

9.75% p.a. Autocallable Barrier Reverse Convertible on Logitech, Schindler, Zurich Insurance

Title

CH1476912378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912378

Fälligkeitstag

16.10.2026

Basiswert

Zurich Insurance Group Ltd, Schindler Holding AG, Logitech International SA - CH1476912378

9.75% p.a. Autocallable Reverse Convertible on Flughafen Zürich, Richemont, Swisscom

Title

CH1492032102 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032102

Fälligkeitstag

03.02.2027

Basiswert

Compagnie Financière Richemont SA, Flughafen Zürich AG, Swisscom AG - CH1492032102

9.75% p.a. Barrier Reverse Convertible on Adidas, Danone, Richemont (Quanto EUR)

Title

CH1548126403 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126403

Fälligkeitstag

16.04.2027

Basiswert

Danone SA, Compagnie Financière Richemont SA, Adidas AG - CH1548126403

9.75% p.a. Barrier Reverse Convertible on EMS-Chemie, Straumann, Swiss Re

Title

CH1492031617 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031617

Fälligkeitstag

01.02.2027

Basiswert

EMS-Chemie Holding AG, Straumann Holding AG, Swiss Re AG - CH1492031617

9.75% p.a. Reverse Convertible on Geberit, Holcim, Sika

Title

CH1548132450 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132450

Fälligkeitstag

14.05.2027

Basiswert

Geberit AG, Holcim Ltd, Sika AG - CH1548132450

9.75% p.a. Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Prime Site

Title

CH1548127286 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127286

Fälligkeitstag

21.10.2026

Basiswert

Helvetia Baloise Holding AG, Swiss Prime Site AG, Swiss Life Holding AG - CH1548127286

9.76% p.a. Autocallable Barrier Reverse Convertible on DSM-Firmenich, SAP, Siemens Healthineers

Title

CH1492019489 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019489

Fälligkeitstag

06.11.2026

Basiswert

SAP SE, Siemens Healthineers AG, DSM-Firmenich AG - CH1492019489

9.76% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Lonza, Ypsomed

Title

CH1492030783 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030783

Fälligkeitstag

29.12.2026

Basiswert

Galderma Group Ltd, Ypsomed Holding AG, Lonza Group AG - CH1492030783

9.76% p.a. Autocallable Reverse Convertible on ENI, Generali, LVMH Moët Hennessy Louis Vuitton

Title

CH1532243990 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243990

Fälligkeitstag

24.03.2027

Basiswert

Assicurazioni Generali SpA, ENI SpA, LVMH Moët Hennessy Louis Vuitton SE - CH1532243990

9.77% (9.00% p.a.) Reverse Convertible on Airbus, Saab AB, Thales (Quanto CHF)

Title

CH1548146922 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146922

Fälligkeitstag

06.09.2027

Basiswert

Saab AB, Thales SA, Airbus SE - CH1548146922

9.77% (9.77% p.a.) Barrier Reverse Convertible on Alcon, ASML, Lonza (Quanto CHF)

Title

CH1492033571 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033571

Fälligkeitstag

10.02.2027

Basiswert

Lonza Group AG, Alcon Inc., ASML Holding NV - CH1492033571

9.77% (9.77% p.a.) Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1476910091 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910091

Fälligkeitstag

30.09.2026

Basiswert

Hermes International, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1476910091

9.78% (9.78% p.a.) Barrier Reverse Convertible on ING, Kering, Nestlé (Quanto EUR)

Title

CH1548132435 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132435

Fälligkeitstag

14.05.2027

Basiswert

Kering SA, ING Groep N.V., Nestlé SA - CH1548132435

9.78% p.a. Autocallable Barrier Reverse Convertible on Cembra Money Bank, Julius Bär, Partners Group Holding, UBS Group

Title

CH1476905588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905588

Fälligkeitstag

01.09.2026

Basiswert

Julius Bär Gruppe AG, Cembra Money Bank AG, UBS Group AG, Partners Group Holding AG - CH1476905588

9.78% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Re, UBS Group

Title

CH1548131791 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131791

Fälligkeitstag

13.05.2027

Basiswert

UBS Group AG, Partners Group Holding AG, Swiss Re AG - CH1548131791

9.78% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548143663 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143663

Fälligkeitstag

19.07.2027

Basiswert

Broadcom Inc., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548143663

9.78% p.a. Autocallable Reverse Convertible on Alcon, Nestlé, Partners Group Holding

Title

CH1548144075 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144075

Fälligkeitstag

20.07.2027

Basiswert

Nestlé SA, Partners Group Holding AG, Alcon Inc. - CH1548144075

9.78% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Richemont

Title

CH1532239931 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239931

Fälligkeitstag

05.03.2027

Basiswert

Givaudan SA, Alcon Inc., Compagnie Financière Richemont SA - CH1532239931

9.79% (9.79% p.a.) Barrier Reverse Convertible on Hochtief AG

Title

CH1548127245 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548127245

Fälligkeitstag

21.04.2027

Basiswert

Hochtief AG

9.79% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Sika, UBS Group

Title

CH1492026765 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026765

Fälligkeitstag

30.12.2026

Basiswert

Sandoz Group AG, Partners Group Holding AG, Sika AG, UBS Group AG - CH1492026765

9.79% p.a. Autocallable Reverse Convertible on Alcon, Nestlé, Partners Group Holding

Title

CH1548143499 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143499

Fälligkeitstag

19.07.2027

Basiswert

Nestlé SA, Partners Group Holding AG, Alcon Inc. - CH1548143499

9.79% p.a. Autocallable Reverse Convertible on Partners Group Holding, VAT

Title

CH1548131080 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131080

Fälligkeitstag

04.11.2026

Basiswert

VAT Group AG, Partners Group Holding AG - CH1548131080

9.79% p.a. Barrier Reverse Convertible on Crédit Agricole, DSM-Firmenich, TotalEnergies (Quanto CHF)

Title

CH1492026757 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026757

Fälligkeitstag

30.12.2026

Basiswert

Crédit Agricole SA, TotalEnergies SE, DSM-Firmenich AG - CH1492026757

9.80% (9.86% p.a.) Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1532246381 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246381

Fälligkeitstag

07.04.2027

Basiswert

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532246381

9.80% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Lindt & Sprüngli

Title

CH1548142152 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142152

Fälligkeitstag

08.07.2027

Basiswert

Lindt & Sprüngli AG, Givaudan SA, Alcon Inc. - CH1548142152

9.80% p.a. Autocallable Barrier Reverse Convertible on EssilorLuxottica, Rheinmetall

Title

CH1548127948 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127948

Fälligkeitstag

23.04.2027

Basiswert

Rheinmetall AG, EssilorLuxottica SA - CH1548127948

9.80% p.a. Barrier Reverse Convertible on Richemont, Sandoz Group, Sika

Title

CH1492025833 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025833

Fälligkeitstag

23.12.2026

Basiswert

Compagnie Financière Richemont SA, Sika AG, Sandoz Group AG - CH1492025833

9.80% p.a. Callable Barrier Reverse Convertible on Galderma Group, Sandoz Group, Straumann

Title

CH1548141261 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141261

Fälligkeitstag

06.04.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Straumann Holding AG - CH1548141261

9.80% p.a. Callable Barrier Reverse Convertible on ING, L´Oréal, Schneider Electric

Title

CH1548147961 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147961

Fälligkeitstag

12.03.2027

Basiswert

ING Groep N.V., L´Oréal International, Schneider Electric SE - CH1548147961

9.80% p.a. Reverse Convertible on Alcon, Lonza, Sandoz Group

Title

CH1492029777 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029777

Fälligkeitstag

25.01.2027

Basiswert

Lonza Group AG, Sandoz Group AG, Alcon Inc. - CH1492029777

9.80% p.a. Reverse Convertible on Intuitive Surgical Inc.

Title

CH1492032474 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492032474

Fälligkeitstag

04.02.2027

Basiswert

Intuitive Surgical Inc.

9.81% (19.40% p.a.) Barrier Reverse Convertible on Barclays, BNP Paribas, Deutsche Bank, ING, UBS Group (Quanto EUR)

Title

CH1446049319 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446049319

Fälligkeitstag

17.11.2025

Basiswert

UBS Group AG, ING Groep N.V., Deutsche Bank AG, BNP Paribas, Barclays Plc - CH1446049319

9.81% (9.82% p.a.) Barrier Reverse Convertible on ABB, Richemont, UBS Group

Title

CH1492025031 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025031

Fälligkeitstag

17.12.2026

Basiswert

ABB Ltd, UBS Group AG, Compagnie Financière Richemont SA - CH1492025031

9.81% p.a. Reverse Convertible on ASML, Banco Santander, SAP

Title

CH1418944547 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418944547

Fälligkeitstag

14.09.2026

Basiswert

Banco Santander SA, ASML Holding NV, SAP SE - CH1418944547

9.82% (9.82% p.a.) Barrier Reverse Convertible on ABB, Richemont, UBS Group

Title

CH1532241309 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241309

Fälligkeitstag

11.03.2027

Basiswert

UBS Group AG, ABB Ltd, Compagnie Financière Richemont SA - CH1532241309

9.82% (9.82% p.a.) Reverse Convertible on Stryker, Thermo Fisher Scientific

Title

CH1548137368 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137368

Fälligkeitstag

11.06.2027

Basiswert

Stryker Corp., Thermo Fisher Scientific Inc. - CH1548137368

9.82% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Apple, Carnival (Quanto CHF)

Title

CH1532239774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239774

Fälligkeitstag

01.09.2026

Basiswert

Alphabet, Inc., Carnival Corp., Apple Inc. - CH1532239774

9.83% (4.91% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens

Title

CH1492022244 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022244

Fälligkeitstag

26.11.2027

Basiswert

Schneider Electric SE, Siemens AG - CH1492022244

9.83% p.a. Autocallable Barrier Reverse Convertible on ASML Holding NV (Quanto CHF)

Title

CH1548150007 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150007

Fälligkeitstag

23.08.2027

Basiswert

ASML Holding NV

9.83% p.a. Autocallable Barrier Reverse Convertible on Adidas, Airbus, St-Gobain

Title

CH1476909085 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476909085

Fälligkeitstag

23.09.2026

Basiswert

Adidas AG, Compagnie de St-Gobain, Airbus SE - CH1476909085

9.84% (9.84% p.a.) Barrier Reverse Convertible on ABB, Geberit, Sika, VAT

Title

CH1492035998 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035998

Fälligkeitstag

19.02.2027

Basiswert

Geberit AG, Sika AG, VAT Group AG, ABB Ltd - CH1492035998

9.84% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548131379 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131379

Fälligkeitstag

07.05.2027

Basiswert

Corning Inc., Costco Wholesale Corp., Walmart Inc. - CH1548131379

9.84% p.a. Barrier Reverse Convertible on SAP SE (Quanto CHF)

Title

CH1532241143 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241143

Fälligkeitstag

10.03.2027

Basiswert

SAP SE

9.84% p.a. Callable Barrier Reverse Convertible on BKW, Temenos

Title

CH1548145627 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548145627

Fälligkeitstag

29.04.2027

Basiswert

BKW AG, Temenos AG - CH1548145627

9.84% p.a. Callable Barrier Reverse Convertible on Daimler Truck, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1492022772 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022772

Fälligkeitstag

02.12.2026

Basiswert

Ferrari N.V., Mercedes-Benz Group AG, Daimler Truck Holding AG - CH1492022772

9.84% p.a. Callable Reverse Convertible on Apple, Broadcom, NVIDIA

Title

CH1492016907 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492016907

Fälligkeitstag

22.10.2027

Basiswert

NVIDIA Corp., Broadcom Inc., Apple Inc. - CH1492016907

9.84% p.a. Reverse Convertible on Constellation Energy, Vistra Energy (Quanto CHF)

Title

CH1548133946 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133946

Fälligkeitstag

24.05.2027

Basiswert

Vistra Energy Corp., Constellation Energy Corp. - CH1548133946

9.86% (19.40% p.a.) Reverse Convertible on Microsoft, Oracle, Palantir, Salesforce

Title

CH1548142137 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142137

Fälligkeitstag

11.01.2027

Basiswert

Microsoft Corp., Salesforce, Inc., Palantir Technologies Inc., Oracle Corp. - CH1548142137

9.86% (38.59% p.a.) Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1596852041 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1596852041

Fälligkeitstag

30.11.2026

Basiswert

Inficon Holding AG, VAT Group AG, Comet Holding AG - CH1596852041

9.86% (9.86% p.a.) Barrier Reverse Convertible on Givaudan, Logitech, Microsoft (Quanto CHF)

Title

CH1492024976 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492024976

Fälligkeitstag

17.12.2026

Basiswert

Microsoft Corp., Givaudan SA, Logitech International SA - CH1492024976

9.86% (9.86% p.a.) Barrier Reverse Convertible on SAP, Siemens Healthineers, Tui

Title

CH1492018960 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018960

Fälligkeitstag

04.11.2026

Basiswert

SAP SE, Siemens Healthineers AG, Tui AG - CH1492018960

9.86% p.a. Autocallable Reverse Convertible on ASML, Broadcom, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548143382 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143382

Fälligkeitstag

16.07.2027

Basiswert

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Broadcom Inc. - CH1548143382

9.86% p.a. Autocallable Reverse Convertible on Microsoft, SAP, ServiceNow (Quanto EUR)

Title

CH1548144323 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144323

Fälligkeitstag

21.07.2028

Basiswert

ServiceNow Inc, SAP SE, Microsoft Corp. - CH1548144323

9.87% (9.82% p.a.) Barrier Reverse Convertible on Huber + Suhner, Kardex, Sulzer

Title

CH1548149967 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149967

Fälligkeitstag

23.08.2027

Basiswert

Huber + Suhner AG, Kardex AG, Sulzer AG - CH1548149967

9.87% (9.87% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1492028225 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028225

Fälligkeitstag

15.01.2027

Basiswert

Compagnie Financière Richemont SA

9.87% (9.87% p.a.) Barrier Reverse Convertible on Logitech, Richemont, Swiss Re

Title

CH1492033902 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033902

Fälligkeitstag

11.02.2027

Basiswert

Compagnie Financière Richemont SA, Swiss Re AG, Logitech International SA - CH1492033902

9.87% (9.88% p.a.) Barrier Reverse Convertible on Allianz, AXA, Munich Re

Title

CH1548140578 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140578

Fälligkeitstag

30.06.2027

Basiswert

Allianz SE, AXA SA, Münchener Rückversicherungs AG - CH1548140578

9.87% p.a. Autocallable Reverse Convertible on DKSH, Forbo

Title

CH1492036335 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036335

Fälligkeitstag

22.02.2027

Basiswert

Forbo Holding AG, DKSH Holding Ltd. - CH1492036335

9.87% p.a. Autocallable Reverse Convertible on ING, LVMH Moët Hennessy Louis Vuitton

Title

CH1532241820 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241820

Fälligkeitstag

12.03.2027

Basiswert

ING Groep N.V., LVMH Moët Hennessy Louis Vuitton SE - CH1532241820

9.88% (9.88% p.a.) Reverse Convertible on Amazon.com, Apple, Meta Platforms

Title

CH1532243081 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243081

Fälligkeitstag

19.03.2027

Basiswert

Apple Inc., Amazon.com Inc., Meta Platforms Inc. - CH1532243081

9.88% (9.94% p.a.) Reverse Convertible on Siemens Energy AG

Title

CH1532246167 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246167

Fälligkeitstag

06.04.2027

Basiswert

Siemens Energy AG

9.88% p.a. Autocallable Barrier Reverse Convertible on Allianz, BNP Paribas, Intesa Sanpaolo, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548139620 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139620

Fälligkeitstag

24.06.2027

Basiswert

Allianz SE, Intesa Sanpaolo SpA, BNP Paribas, LVMH Moët Hennessy Louis Vuitton SE - CH1548139620

9.89% p.a. Autocallable Reverse Convertible on Infineon, SAP, Schneider Electric (Quanto USD)

Title

CH1548146914 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146914

Fälligkeitstag

05.08.2027

Basiswert

SAP SE, Schneider Electric SE, Infineon Technologies AG - CH1548146914

9.89% p.a. Barrier Reverse Convertible on Procter & Gamble, Waste Management, Zoetis (Quanto CHF)

Title

CH1548136501 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136501

Fälligkeitstag

09.09.2027

Basiswert

Waste Management, Inc., Zoetis Inc, The Procter & Gamble Company - CH1548136501

9.90% (13.20% p.a.) Barrier Reverse Convertible on Heidelberg Materials, ING, Schneider Electric, Siemens Energy

Title

CH1532237430 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237430

Fälligkeitstag

24.11.2026

Basiswert

Heidelberg Materials AG, Siemens Energy AG, Schneider Electric SE, ING Groep N.V. - CH1532237430

9.90% (17.74% p.a.) Barrier Reverse Convertible on Klepierre, LEG Immobilien, Unibail-Rodamco-Westfield, Vonovia

Title

CH1532239600 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239600

Fälligkeitstag

02.10.2026

Basiswert

Vonovia SE, LEG Immobilien, Unibail-Rodamco-Westfield SE, Klepierre - CH1532239600

9.90% (9.90% p.a.) Barrier Reverse Convertible on Logitech, Lonza, VAT

Title

CH1492035667 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035667

Fälligkeitstag

18.02.2027

Basiswert

Lonza Group AG, Logitech International SA, VAT Group AG - CH1492035667

9.90% (9.90% p.a.) Barrier Reverse Convertible on Merck KGaA, Munich Re, Veolia

Title

CH1548127260 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127260

Fälligkeitstag

21.04.2027

Basiswert

Münchener Rückversicherungs AG, Merck KGaA, Veolia Environnement - CH1548127260

9.90% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Nestlé, Partners Group Holding, Sika (Quanto CHF)

Title

CH1476912774 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912774

Fälligkeitstag

20.10.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Partners Group Holding AG, Sika AG, Nestlé SA - CH1476912774

9.90% p.a. Callable Barrier Reverse Convertible on Givaudan, Roche, Sika, Swiss Re

Title

CH1492020073 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020073

Fälligkeitstag

11.08.2027

Basiswert

Givaudan SA, Swiss Re AG, Sika AG, Roche Holding AG - CH1492020073

9.91% (6.60% p.a.) Reverse Convertible on Lonza, Nestlé, Ypsomed

Title

CH1548137962 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137962

Fälligkeitstag

15.12.2027

Basiswert

Ypsomed Holding AG, Lonza Group AG, Nestlé SA - CH1548137962

9.91% (9.91% p.a.) Barrier Reverse Convertible on Geberit, Straumann, VAT

Title

CH1548127054 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127054

Fälligkeitstag

21.04.2027

Basiswert

Geberit AG, Straumann Holding AG, VAT Group AG - CH1548127054

9.91% p.a. Barrier Reverse Convertible on Accor, Adidas, EssilorLuxottica

Title

CH1532241267 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241267

Fälligkeitstag

11.03.2027

Basiswert

EssilorLuxottica SA, Adidas AG, Accor SA - CH1532241267

9.91% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1476912659 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912659

Fälligkeitstag

19.10.2026

Basiswert

Compagnie Financière Richemont SA, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1476912659

9.91% p.a. Barrier Reverse Convertible on Logitech, Richemont, Straumann

Title

CH1476912279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912279

Fälligkeitstag

15.10.2026

Basiswert

Straumann Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476912279

9.91% p.a. Reverse Convertible on Helvetia Baloise, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548126296 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126296

Fälligkeitstag

16.10.2026

Basiswert

Zurich Insurance Group Ltd, Swiss Life Holding AG, Helvetia Baloise Holding AG, Swiss Re AG - CH1548126296

9.92% (9.92% p.a.) Reverse Convertible on Georg Fischer, Lonza, Partners Group Holding

Title

CH1532243073 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243073

Fälligkeitstag

19.03.2027

Basiswert

Lonza Group AG, Partners Group Holding AG, Georg Fischer AG - CH1532243073

9.92% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto GBP)

Title

CH1548133771 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548133771

Fälligkeitstag

21.05.2027

Basiswert

NVIDIA Corp.

9.92% p.a. Autocallable Reverse Convertible on Rheinmetall AG

Title

CH1548141105 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141105

Fälligkeitstag

05.04.2027

Basiswert

Rheinmetall AG

9.92% p.a. Reverse Convertible on Flughafen Zürich AG

Title

CH1548132575 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132575

Fälligkeitstag

15.02.2027

Basiswert

Flughafen Zürich AG

9.93% (9.93% p.a.) Barrier Reverse Convertible on Geberit, Holcim, Novo Nordisk (Quanto CHF)

Title

CH1492035709 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035709

Fälligkeitstag

18.02.2027

Basiswert

Holcim Ltd, Geberit AG, Novo Nordisk A/S - CH1492035709

9.93% p.a. Barrier Reverse Convertible on Alcon, BNP Paribas, Lonza (Quanto CHF)

Title

CH1492033639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492033639

Fälligkeitstag

10.02.2027

Basiswert

BNP Paribas, Alcon Inc., Lonza Group AG - CH1492033639

9.94% (9.88% p.a.) Barrier Reverse Convertible on Partners Group Holding, Swiss Re, VAT

Title

CH1492019588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492019588

Fälligkeitstag

09.11.2026

Basiswert

Partners Group Holding AG, Swiss Re AG, VAT Group AG - CH1492019588

9.94% (9.94% p.a.) Barrier Reverse Convertible on Allianz, AXA, Deutsche Post

Title

CH1548134696 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134696

Fälligkeitstag

28.05.2027

Basiswert

Allianz SE, AXA SA, Deutsche Post AG - CH1548134696

9.94% (9.94% p.a.) Barrier Reverse Convertible on Roche, Sandoz Group, Straumann

Title

CH1548143325 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143325

Fälligkeitstag

16.07.2027

Basiswert

Roche Holding AG, Sandoz Group AG, Straumann Holding AG - CH1548143325

9.94% p.a. Reverse Convertible on Palantir, Siemens Energy (Quanto CHF)

Title

CH1476908764 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908764

Fälligkeitstag

22.09.2026

Basiswert

Palantir Technologies Inc., Siemens Energy AG - CH1476908764

9.95% (9.92% p.a.) Barrier Reverse Convertible on FedEx, Kuehne + Nagel, UPS (Quanto CHF)

Title

CH1548132245 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132245

Fälligkeitstag

14.05.2027

Basiswert

Kuehne + Nagel International AG, FedEx Corp., United Parcel Service Inc. - CH1548132245

9.95% p.a. Autocallable Barrier Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto CHF)

Title

CH1492029629 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492029629

Fälligkeitstag

25.01.2027

Basiswert

Norwegian Cruise Line Holdings Ltd.

9.96% (16.16% p.a.) Reverse Convertible on Alcon, Huber + Suhner, Straumann

Title

CH1548150916 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150916

Fälligkeitstag

08.04.2027

Basiswert

Huber + Suhner AG, Straumann Holding AG, Alcon Inc. - CH1548150916

9.96% (19.60% p.a.) Barrier Reverse Convertible on Airbus, MTU Aero Engines, Rheinmetall

Title

CH1548135602 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135602

Fälligkeitstag

04.12.2026

Basiswert

MTU Aero Engines Holdings AG, Airbus SE, Rheinmetall AG - CH1548135602

9.96% (9.91% p.a.) Barrier Reverse Convertible on ABB, Geberit, Logitech

Title

CH1548126700 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126700

Fälligkeitstag

19.04.2027

Basiswert

ABB Ltd, Geberit AG, Logitech International SA - CH1548126700

9.96% (9.96% p.a.) Barrier Reverse Convertible on Huber + Suhner, Kuehne + Nagel, Lonza, Sandoz Group

Title

CH1492036004 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036004

Fälligkeitstag

19.02.2027

Basiswert

Kuehne + Nagel International AG, Huber + Suhner AG, Lonza Group AG, Sandoz Group AG - CH1492036004

9.96% p.a. Autocallable Reverse Convertible on iShares Silver Trust

Title

CH1532241549 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532241549

Fälligkeitstag

12.11.2026

Basiswert

iShares Silver Trust

9.96% p.a. Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Sonova

Title

CH1548130884 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130884

Fälligkeitstag

07.05.2027

Basiswert

Sonova Holding AG, Kuehne + Nagel International AG, Geberit AG - CH1548130884

9.97% (13.39% p.a.) Reverse Convertible on Adecco, Comet, SIG Group

Title

CH1548130819 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130819

Fälligkeitstag

05.02.2027

Basiswert

Adecco Group AG, Comet Holding AG, SIG Group AG - CH1548130819

9.97% (20.00% p.a.) Reverse Convertible on ServiceNow Inc (Quanto GBP)

Title

CH1548136238 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136238

Fälligkeitstag

07.12.2026

Basiswert

ServiceNow Inc

9.97% p.a. Autocallable Barrier Reverse Convertible on Airbnb, Meta Platforms, Microsoft

Title

CH1548134977 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134977

Fälligkeitstag

30.05.2028

Basiswert

Meta Platforms Inc., Microsoft Corp., Airbnb Inc. - CH1548134977

9.98% p.a. Autocallable Barrier Reverse Convertible on Airbus, Generali, Vonovia

Title

CH1476910547 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910547

Fälligkeitstag

02.10.2026

Basiswert

Airbus SE, Vonovia SE, Assicurazioni Generali SpA - CH1476910547

9.98% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Intesa Sanpaolo, Morgan Stanley, UBS Group (Quanto CHF)

Title

CH1548149538 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548149538

Fälligkeitstag

19.08.2027

Basiswert

Morgan Stanley, BNP Paribas, UBS Group AG, Intesa Sanpaolo SpA - CH1548149538

9.98% p.a. Autocallable Barrier Reverse Convertible on DSM-Firmenich, Schneider Electric, Vinci

Title

CH1548142103 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142103

Fälligkeitstag

08.07.2027

Basiswert

Schneider Electric SE, Vinci SA, DSM-Firmenich AG - CH1548142103

9.98% p.a. Autocallable Barrier Reverse Convertible on Nike Inc.

Title

CH1476911743 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476911743

Fälligkeitstag

14.10.2026

Basiswert

Nike Inc.

9.98% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1548129662 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129662

Fälligkeitstag

01.11.2027

Basiswert

Tesla Inc.

9.99% (9.99% p.a.) Barrier Reverse Convertible on ASML, SAP, Unilever PLC

Title

CH1476910950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476910950

Fälligkeitstag

08.10.2026

Basiswert

ASML Holding NV, SAP SE, Unilever PLC - CH1476910950

ACP Private Loan Bond (2033)

Title

A3LJQB - Compartment E65

Kategorie

Structured Products - CLN

ISIN

DE000A3LJQB4

Fälligkeitstag

01.06.2033

Basiswert

ACP Private Loan Compartment 618

ACTAN Algo World Equity Index Tracker

Title

XS2962780255 - Compartment 875

Kategorie

Instifolio - Liquid

ISIN

XS2962780255

Basiswert

ACTAN Algo World Equity Index

AF Rendement Structurés

Title

A3G9FS - Compartment 674

Kategorie

Instifolio - Liquid

ISIN

DE000A3G9FS7

Basiswert

AF Rendement Structurés Index

AGS Consult Index Tracker

Title

A4A51F - Compartment 831

Kategorie

Instifolio - Liquid

ISIN

DE000A4A51F4

Basiswert

AGS Consult Index

AGS Global Strategies Index Tracker

Title

A3GV77 - Compartment 378

Kategorie

Instifolio - Liquid

ISIN

DE000A3GV775

Basiswert

AGS Global Strategies Index

AIP Strategy

Title

CHA0AT - Compartment 917

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AT7

Basiswert

AIP Strategy Index

ALEPH Index Tracker Certificate

Title

A3GRPB - Compartment 282

Kategorie

Basket linked - Real Estate

ISIN

DE000A3GRPB9

Basiswert

ALEPH Index

ALFA Opportunistic Index Tracker Notes

Title

A2EH0S - Compartment 56

Kategorie

Instifolio - Alternative

ISIN

DE000A2EH0S2

Fälligkeitstag

15.03.2027

Basiswert

Alfa Opportunistic Index

ANF Rare Earth Tracker

Title

XS3332481236 - Compartment 1073

Kategorie

Basket linked - AIF

ISIN

XS3332481236

Fälligkeitstag

01.04.2036

Basiswert

ANF Rare Earth Tracker

AQM AI Fund 1 Index Tracker

Title

CHA0AL - Compartment 585 (2nd Issuance)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AL4

Basiswert

AQM AI Fund 1 Index

AQM AI Fund 2 Index Tracker

Title

A3G3BR - Compartment 555

Kategorie

Instifolio - Liquid

ISIN

DE000A3G3BR1

Basiswert

AQM AI Fund 2 Index

ARCS Crypto Strategy Index Tracker

Title

A4MGT4 - Compartment E124

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGT49

Basiswert

ARCS Crypto Strategy Index

ARCS Crypto Strategy Index Tracker (I)

Title

A4MGT2 - Compartment E124

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGT23

Basiswert

ARCS Crypto Strategy Index

ARCS Tactical US Markets Strategy Index Tracker

Title

A2TGTX - Compartment 124

Kategorie

Instifolio - Liquid

ISIN

DE000A2TGTX3

Basiswert

ARCS Tactical US Market Strategy

ARIAN Quant Model Tracker Certificate

Title

CHA0DM - Compartment 1068

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DM6

Basiswert

ARIAN Quant Model Index

AS Defensive Equity Strategies (CHF)

Title

A|3|G|Y|V|C - Compartment 4|1|2

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|Y|V|C|1

Basiswert

AS Defensive Equity Strategies (CHF) Index

AS Defensive Equity Strategies (CHF)

Title

A3GYVC - Compartment 412

Kategorie

Instifolio - Liquid

ISIN

DE000A3GYVC1

Basiswert

AS Defensive Equity Strategies (CHF) Index

AS Defensive Equity Strategies (USD)

Title

A3GYVB - Compartment 411

Kategorie

Instifolio - Liquid

ISIN

DE000A3GYVB3

Basiswert

AS Defensive Equity Strategies Index (USD)

AS Defensive Equity Strategies (USD)

Title

A|3|G|Y|V|B - Compartment 4|1|1

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|Y|V|B|3

Basiswert

AS Defensive Equity Strategies Index

ASTEO OptiFutures Index Tracker Certificates

Title

A3G8WZ - Compartment 588

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8WZ9

Basiswert

ASTEO OptiFutures Index

AVA Structured Note on Rejuveron

Title

A3GV3U - Compartment 273

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GV3U1

Fälligkeitstag

13.12.2026

Basiswert

Rejuveron Life Science AG

AVEK Diesel Loan Basket linked Note

Title

A4MGUZ - Compartment E158

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUZ7

Fälligkeitstag

07.06.2026

Basiswert

Diesel Loan Basket

AVM Reserve Index

Title

A3GPD2 - Compartment 262

Kategorie

Instifolio - Liquid

ISIN

DE000A3GPD29

Basiswert

AVM Reserve Index

AVM Stability Basket

Title

A218DZ - Compartment 171

Kategorie

Basket linked - Private Debt

ISIN

DE000A218DZ9

Basiswert

AVM Stability Index

AXIA Capital Bond

Title

A3LY6A-Compartment E93

Kategorie

Credit linked - Other

ISIN

DE000A3LY6A6

Fälligkeitstag

07.06.2029

Basiswert

Loan to AXIA Capital GmbH

AY STY Index Tracker

Title

A3G8VH - Compartment 659

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8VH9

Basiswert

AY STY Index

Aarhus Immobilienanleihe Series I

Title

A3KQV3 - Compartment 292

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KQV38

Fälligkeitstag

29.09.2023

Basiswert

Loan to Caprate Aarhus

Aarhus Immobilienanleihe Series II

Title

A3KQV4 - Compartment 292

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KQV46

Fälligkeitstag

29.09.2023

Basiswert

Loan to Caprate Aarhus

Absolute - Alpha Decorrelated Certificate (Hegde Fund Tracker)

Title

A2CQCQ - Compartment 41

Kategorie

Instifolio - Alternative

ISIN

DE000A2CQCQ8

Fälligkeitstag

18.11.2049

Basiswert

Absolute - Alpha Decorrelated Index

Absolute Return Crypto Index Tracker Certificates

Title

A3GV83 - Compartment E13

Kategorie

Instifolio - Liquid

ISIN

DE000A3GV833

Basiswert

Absolute Crypto Return Index

Absolute Return Opportunities

Title

A4A6BC - Compartment 868

Kategorie

Instifolio - Liquid

ISIN

DE000A4A6BC1

Basiswert

Absolute Return Opportunities Index

Access - Conservative (USD) Index Tracker

Title

A3G5PJ - Compartment 608

Kategorie

Instifolio - Liquid

ISIN

DE000A3G5PJ3

Basiswert

Access - Conservative (USD) Index

Actan Algo US Equity Index Tracker

Title

XS2858864817 - Compartment 733

Kategorie

Instifolio - Liquid

ISIN

XS2858864817

Basiswert

Actan Algo US Equity Index Tracker Index

Advanced AI Options Strategies

Title

CHA0EM - Compartment 1117

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EM4

Basiswert

Advanced AI Options Strategies

Advanced Multi-Strategy-Options-Portfolio

Title

CHA0BM - Compartment 946

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BM0

Basiswert

Advanced Multi-Strategy-Options Index

Advanced US Options Strategy

Title

A4A586 - Compartment 851

Kategorie

Instifolio - Liquid

ISIN

DE000A4A5860

Basiswert

Advanced US Options Strategy Index

Aguaverde Structured Products Index Tracker

Title

A4AGD7 - Compartment 753

Kategorie

Instifolio - Liquid

ISIN

DE000A4AGD74

Basiswert

Aguaverde Structured Products Index

Akrida Chances Strategy II Index Tracker Certificates Series 1

Title

CHA0CK - Compartment 985 S1

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CK2

Basiswert

Akrida Chances Strategy II Index

Akrida Chances Strategy II Index Tracker Certificates Series 2

Title

CHA0CL - Compartment 985 S2

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CL0

Basiswert

Akrida Chances Strategy II Index

Akrida Chances Strategy Index Tracker Certificates

Title

A2UJPW - Compartment 154

Kategorie

Instifolio - Liquid

ISIN

DE000A2UJPW5

Basiswert

Akrida Chances Strategy Index

Algo Shepherd Equity Index (CHF) Tracker

Title

XS2570283486 - Compartment 546

Kategorie

Instifolio - Liquid

ISIN

XS2570283486

Basiswert

Algo Shepherd Equity Index (CHF)

Algo Shepherd Equity Index (EUR) Tracker

Title

XS2570080023 - Compartment 544

Kategorie

Instifolio - Liquid

ISIN

XS2570080023

Basiswert

Algo Shepherd Equity Index (EUR)

Algo Shepherd Equity Index (USD) Tracker

Title

XS2576253038 - Compartment 551

Kategorie

Instifolio - Liquid

ISIN

XS2576253038

Basiswert

Algo Shepherd Equity Index (USD)

All-Star 10 USD

Title

CHA0C4 - Compartment 908

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C45

Basiswert

All Star Index 10 USD

All-Star Opportunity

Title

CHA0B0 - Compartment 907

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0B04

Basiswert

All Star Opportunity Index

Allianz Private Debt Participation Notes

Title

CHA0DV - Compartment 1036

Kategorie

Basket linked - Private Markets

ISIN

DE000CHA0DV7

Fälligkeitstag

15.07.2046

Basiswert

Allianz Leben Capitalization Product

Allocation K Multi-Asset

Title

CHA0C8 - Compartment 966

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C86

Basiswert

Allocation K Multi-Asset Index

Alpha Index Tracker

Title

A4A58Y - Compartment 834

Kategorie

Instifolio - Alternative

ISIN

DE000A4A58Y0

Basiswert

Alpha Index

Alpha Quant Index

Title

CHA0BK - Compartment 940

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BK4

Basiswert

Alpha Quant Index

Alpha Tauri Index Tracker

Title

CHA0AJ - Compartment 892

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0AJ8

Basiswert

Alpha Tauri Index

Alternative Asset Index Tracker

Title

A3GJ86 - Compartment P11

Kategorie

Instifolio - Alternative

ISIN

DE000A3GJ861

Fälligkeitstag

14.08.2030

Basiswert

Alternative Asset Index

Alternative Enhanced Fund Index Tracker

Title

A3GY9R - Compartment 436

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY9R1

Basiswert

Alternative Enhanced Fund Index

Alternative Income Portfolio Index Tracker

Title

A3G43A - Compartment 397

Kategorie

Instifolio - Liquid

ISIN

DE000A3G43A1

Basiswert

Alternative Income Portfolio Index

Alternative Strategies Index Tracker

Title

XS2793259743 - Compartment 725

Kategorie

Instifolio - Alternative

ISIN

XS2793259743

Basiswert

Alternative Strategies Index

Alternative Strategies Index Tracker_S2

Title

USL72369AA61 - Compartment 725_S2

Kategorie

Instifolio - Alternative

ISIN

USL72369AA61

Basiswert

Alternative Strategies Index

Anchor Strategy Index Tracker

Title

CHA0DA - Compartment 1032

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0DA1

Basiswert

Anchor Strategy Index

Andalusian Partners Fund Tracker

Title

A3GXNZ - Compartment 408

Kategorie

Basket linked - AIF

ISIN

DE000A3GXNZ1

Fälligkeitstag

04.03.2032

Basiswert

Andalusian Fund Basket

Anthropic Pre-IPO Structured Note with downside protection (Series 1)

Title

CHA0E7 - Compartment 1173 S1

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0E76

Fälligkeitstag

13.07.2028

Basiswert

Anthropic Pre-IPO Downside Protection 1 Basket

Anthropic Pre-IPO Structured Note with downside protection (Series 2)

Title

CHA0E8 - Compartment 1173 S2

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0E84

Fälligkeitstag

13.07.2028

Basiswert

Anthropic Pre-IPO Downside Protection 2 Basket

Anthropic Pre-IPO Structured Note with downside protection (Series 3)

Title

CHA0E9 - Compartment 1173 S3

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0E92

Fälligkeitstag

13.07.2028

Basiswert

Anthropic Pre-IPO Downside Protection 3 Basket

Ardentport Maritime Equities & Bonds Financial Instruments Certificates

Title

A3GRZU - Compartment 198

Kategorie

Instifolio - Liquid

ISIN

DE000A3GRZU8

Basiswert

Ardentport Maritime Equities & Bonds Financial Instruments Index

Aris Blue Flame Absolute Return Index Tracker

Title

A3GMGT - Compartment 250

Kategorie

Instifolio - Liquid

ISIN

DE000A3GMGT1

Basiswert

Aris Blue Flame Absolute Return Index

Aris Merlion Strategy Index Certificate

Title

A3GMTC - Compartment 254

Kategorie

Loan linked - Real Estate

ISIN

DE000A3GMTC0

Basiswert

Merlion Strategy Index

Aris Private Debt 2.0 Loan Bond Series 2

Title

A3KNDU - Compartment E6

Kategorie

Credit linked - Other

ISIN

DE000A3KNDU6

Fälligkeitstag

07.04.2031

Basiswert

Gesco Loan

Aris Private Debt 2.0 Loan Bond in SGD

Title

A3K0P7 - Compartment E10

Kategorie

Loan linked - Corporate

ISIN

DE000A3K0P70

Fälligkeitstag

01.04.2032

Basiswert

Gesco Loan in SGD

Ascend Wealth Private AI Basket Tracker

Title

A28Q4L - Compartment 194

ISIN

DE000A28Q4L8

Fälligkeitstag

01.07.2050

Basiswert

Ascend Wealth Private AI Basket

Asia Strategic Opportunities Index Tracker

Title

A3G4H6 - Compartment 579

Kategorie

Instifolio - Liquid

ISIN

DE000A3G4H66

Basiswert

Asia Strategic Opportunities

Athena Alpha Strategy

Title

CHA0FB - Compartment 1063

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0FB4

Basiswert

Athena Alpha Strategy

Aument Capital Private Debt Strategy Notes

Title

A3G6HQ - Compartment 618

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G6HQ3

Fälligkeitstag

12.06.2033

Basiswert

Aument Capital Private Debt Strategy Basket

Autocallable Barrier Reverse Convertible with Conditional Coupon on ABB, BKW, Julius Bär, Lonza

Title

CH1492018192 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492018192

Fälligkeitstag

30.10.2026

Basiswert

ABB Ltd, BKW AG, Julius Bär Gruppe AG, Lonza Group AG - CH1492018192

Autocallable Barrier Reverse Convertible with Conditional Coupon on ABB, BKW, Julius Bär, Lonza

Title

CH1492017574 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017574

Fälligkeitstag

28.10.2026

Basiswert

BKW AG, ABB Ltd, Lonza Group AG, Julius Bär Gruppe AG - CH1492017574

Autocallable Barrier Reverse Convertible with Conditional Coupon on ABB, Richemont, Sandoz Group

Title

CH1548135826 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135826

Fälligkeitstag

04.06.2027

Basiswert

ABB Ltd, Compagnie Financière Richemont SA, Sandoz Group AG - CH1548135826

Autocallable Barrier Reverse Convertible with Conditional Coupon on ABN AMRO Bank, Banco Santander, BNP Paribas, UniCredit

Title

CH1548148761 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148761

Fälligkeitstag

16.08.2027

Basiswert

Banco Santander SA, BNP Paribas, UniCredit SpA, ABN AMRO Bank N.V - CH1548148761

Autocallable Barrier Reverse Convertible with Conditional Coupon on AMD, Intel, SanDisk Corp Registered

Title

CH1548132369 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132369

Fälligkeitstag

13.05.2027

Basiswert

Advanced Micro Devices Inc., Intel Corp., SanDisk Corp Registered - CH1548132369

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, Broadcom, Infineon, NVIDIA (Quanto GBP)

Title

CH1548141923 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141923

Fälligkeitstag

08.07.2027

Basiswert

ASML Holding NV, Infineon Technologies AG, Broadcom Inc., NVIDIA Corp. - CH1548141923

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1418949223 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949223

Fälligkeitstag

21.04.2027

Basiswert

SAP SE, ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE, EssilorLuxottica SA - CH1418949223

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1418949108 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418949108

Fälligkeitstag

19.04.2027

Basiswert

SAP SE, EssilorLuxottica SA, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1418949108

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk, Shell (Quanto EUR)

Title

CH1314935540 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314935540

Fälligkeitstag

26.01.2027

Basiswert

ASML Holding NV, Shell PLC, LVMH Moët Hennessy Louis Vuitton SE, Novo Nordisk A/S - CH1314935540

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, Moncler, Novo Nordisk, UniCredit (Quanto USD)

Title

CH1314937637 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314937637

Fälligkeitstag

16.02.2027

Basiswert

ASML Holding NV, UniCredit SpA, Moncler SpA, Novo Nordisk A/S - CH1314937637

Autocallable Barrier Reverse Convertible with Conditional Coupon on ASML, Take-Two Interactive, Zillow Group (Quanto EUR)

Title

CH1476907485 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476907485

Fälligkeitstag

09.09.2027

Basiswert

Zillow Group Inc., Take-Two Interactive Software Inc., ASML Holding NV - CH1476907485

Autocallable Barrier Reverse Convertible with Conditional Coupon on Abbott Labs, Amgen, Ingersoll Rand, PNC Financial Services (Quanto CHF)

Title

CH1548148175 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148175

Fälligkeitstag

14.09.2027

Basiswert

PNC Financial Services Group, Ingersoll Rand Inc., Abbott Laboratories, Amgen Inc. - CH1548148175

Autocallable Barrier Reverse Convertible with Conditional Coupon on Adidas AG

Title

CH1548150049 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150049

Fälligkeitstag

23.08.2027

Basiswert

Adidas AG

Autocallable Barrier Reverse Convertible with Conditional Coupon on Air Liquide, ASSA ABLOY, Deutsche Börse, Erste Group Bank (Quanto EUR)

Title

CH1548144497 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144497

Fälligkeitstag

22.07.2027

Basiswert

Air Liquide SA, ASSA ABLOY AB, Deutsche Börse AG, Erste Group Bank AG - CH1548144497

Autocallable Barrier Reverse Convertible with Conditional Coupon on Airbus, Schneider Electric, St-Gobain

Title

CH1548130348 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130348

Fälligkeitstag

04.05.2027

Basiswert

Compagnie de St-Gobain, Schneider Electric SE, Airbus SE - CH1548130348

Autocallable Barrier Reverse Convertible with Conditional Coupon on Airbus, Schneider Electric, St-Gobain

Title

CH1548130314 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130314

Fälligkeitstag

04.05.2027

Basiswert

Compagnie de St-Gobain, Schneider Electric SE, Airbus SE - CH1548130314

Autocallable Barrier Reverse Convertible with Conditional Coupon on Airbus, Schneider Electric, St-Gobain

Title

CH1548130306 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130306

Fälligkeitstag

04.05.2027

Basiswert

Compagnie de St-Gobain, Schneider Electric SE, Airbus SE - CH1548130306

Autocallable Barrier Reverse Convertible with Conditional Coupon on Akzo Nobel, Continental, L´Oréal, Norsk Hydro (Quanto EUR)

Title

CH1548137764 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137764

Fälligkeitstag

15.10.2027

Basiswert

Akzo Nobel N.V., Continental AG, L´Oréal International, Norsk Hydro ASA - CH1548137764

Autocallable Barrier Reverse Convertible with Conditional Coupon on Alcon, Galderma Group, Sandoz Group, Tecan

Title

CH1548150056 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150056

Fälligkeitstag

23.08.2027

Basiswert

Sandoz Group AG, Galderma Group Ltd, Alcon Inc., Tecan Group Ltd. - CH1548150056

Autocallable Barrier Reverse Convertible with Conditional Coupon on Alcon, Galderma Group, Sandoz Group, Tecan

Title

CH1548148746 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148746

Fälligkeitstag

16.08.2027

Basiswert

Galderma Group Ltd, Sandoz Group AG, Alcon Inc., Tecan Group Ltd. - CH1548148746

Autocallable Barrier Reverse Convertible with Conditional Coupon on Allianz, AXA, SCOR, Zurich Insurance (Quanto GBP)

Title

CH1548141931 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141931

Fälligkeitstag

07.07.2027

Basiswert

Zurich Insurance Group Ltd, SCOR SE, AXA SA, Allianz SE - CH1548141931

Autocallable Barrier Reverse Convertible with Conditional Coupon on Allianz, AXA, Zurich Insurance (Quanto EUR)

Title

CH1548146336 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146336

Fälligkeitstag

03.08.2027

Basiswert

AXA SA, Allianz SE, Zurich Insurance Group Ltd - CH1548146336

Autocallable Barrier Reverse Convertible with Conditional Coupon on Alphabet, Novo Nordisk, Partners Group Holding, Pfizer, Straumann (Quanto CHF)

Title

CH1446056983 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446056983

Fälligkeitstag

13.07.2027

Basiswert

Novo Nordisk A/S, Partners Group Holding AG, Pfizer Inc., Straumann Holding AG, Alphabet, Inc. - CH1446056983

Autocallable Barrier Reverse Convertible with Conditional Coupon on Amazon.com, NVIDIA, Tesla

Title

CH1492036012 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036012

Fälligkeitstag

22.02.2027

Basiswert

Tesla Inc., Amazon.com Inc., NVIDIA Corp. - CH1492036012

Autocallable Barrier Reverse Convertible with Conditional Coupon on Amgen, Eli Lilly, Merck KGaA, Novartis, Roche (Quanto EUR)

Title

CH1548146344 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146344

Fälligkeitstag

03.08.2027

Basiswert

Amgen Inc., Eli Lilly & Co., Novartis AG, Roche Holding AG, Merck KGaA - CH1548146344

Autocallable Barrier Reverse Convertible with Conditional Coupon on AstraZeneca, Pfizer, Roche (Quanto EUR)

Title

CH1532237935 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237935

Fälligkeitstag

25.02.2027

Basiswert

Pfizer Inc., Roche Holding AG, AstraZeneca Group PLC - CH1532237935

Autocallable Barrier Reverse Convertible with Conditional Coupon on Banca Popolare dell'Emilia Romagna

Title

CH1548150064 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150064

Fälligkeitstag

23.08.2027

Basiswert

Banca Popolare dell'Emilia Romagna

Autocallable Barrier Reverse Convertible with Conditional Coupon on Banco BPM S.p.A.

Title

CH1548150031 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150031

Fälligkeitstag

23.08.2027

Basiswert

Banco BPM S.p.A.

Autocallable Barrier Reverse Convertible with Conditional Coupon on Banco Santander SA

Title

CH1548147540 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147540

Fälligkeitstag

09.08.2027

Basiswert

Banco Santander SA

Autocallable Barrier Reverse Convertible with Conditional Coupon on Banco Santander, NVIDIA, XPeng (Quanto EUR)

Title

CH1548138051 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138051

Fälligkeitstag

13.06.2028

Basiswert

Banco Santander SA, NVIDIA Corp., XPeng Inc. - CH1548138051

Autocallable Barrier Reverse Convertible with Conditional Coupon on Barry Callebaut, Julius Bär, SGS, Straumann

Title

CH1532245672 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245672

Fälligkeitstag

06.04.2027

Basiswert

Julius Bär Gruppe AG, Straumann Holding AG, SGS SA, Barry Callebaut AG - CH1532245672

Autocallable Barrier Reverse Convertible with Conditional Coupon on Bayerische Motoren Werke AG

Title

CH1532239675 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532239675

Fälligkeitstag

04.03.2027

Basiswert

Bayerische Motoren Werke AG

Autocallable Barrier Reverse Convertible with Conditional Coupon on Bouygues, Heidelberg Materials, Vinci

Title

CH1492025981 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025981

Fälligkeitstag

24.12.2026

Basiswert

Vinci SA, Bouygues SA, Heidelberg Materials AG - CH1492025981

Autocallable Barrier Reverse Convertible with Conditional Coupon on British Land Co, D.R. Horton, GE Vernova, Vertex Pharmaceuticals (Quanto EUR)

Title

CH1548147839 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147839

Fälligkeitstag

11.06.2027

Basiswert

British Land Co Plc, D.R. Horton, Inc., GE Vernova Inc., Vertex Pharmaceuticals Inc. - CH1548147839

Autocallable Barrier Reverse Convertible with Conditional Coupon on Coca-Cola, Kraft Heinz, PepsiCo (Quanto EUR)

Title

CH1492017400 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017400

Fälligkeitstag

27.04.2027

Basiswert

The Kraft Heinz Company, Coca-Cola Company, PepsiCo Inc. - CH1492017400

Autocallable Barrier Reverse Convertible with Conditional Coupon on DKSH, DSV Panalpina, Truist Financial, Ypsomed (Quanto EUR)

Title

CH1548138457 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138457

Fälligkeitstag

18.05.2027

Basiswert

DKSH Holding Ltd., DSV Panalpina A/S, Truist Financial Corp., Ypsomed Holding AG - CH1548138457

Autocallable Barrier Reverse Convertible with Conditional Coupon on EURO STOXX 50®️ Index

Title

CH1532240632 - Compartment P100

Kategorie

Structured Products - Index

ISIN

CH1532240632

Fälligkeitstag

10.03.2031

Basiswert

EURO STOXX 50®️ Index

Autocallable Barrier Reverse Convertible with Conditional Coupon on EURO STOXX 50®️ Index, Nikkei 225 Index, S&P 500®️ Index (Quanto EUR)

Title

CH1548144315 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144315

Fälligkeitstag

23.07.2030

Basiswert

EURO STOXX 50®️ Index, S&P 500®️ Index, Nikkei 225 Index - CH1548144315

Autocallable Barrier Reverse Convertible with Conditional Coupon on First Solar, MP Materials Corp, SAP (Quanto EUR)

Title

CH1548140966 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140966

Fälligkeitstag

28.06.2028

Basiswert

MP Materials Corp, SAP SE, First Solar Inc. - CH1548140966

Autocallable Barrier Reverse Convertible with Conditional Coupon on Hensoldt , RENK Group AG, Rheinmetall, ThyssenKrupp

Title

CH1532239527 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239527

Fälligkeitstag

29.02.2028

Basiswert

RENK Group AG, ThyssenKrupp AG, Rheinmetall AG, Hensoldt AG - CH1532239527

Autocallable Barrier Reverse Convertible with Conditional Coupon on Holcim, Schindler, SGS, Straumann

Title

CH1548127880 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127880

Fälligkeitstag

23.04.2027

Basiswert

Holcim Ltd, SGS SA, Straumann Holding AG, Schindler Holding AG - CH1548127880

Autocallable Barrier Reverse Convertible with Conditional Coupon on JD.com, Meta Platforms, Renault (Quanto CHF)

Title

CH1548132823 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132823

Fälligkeitstag

10.05.2028

Basiswert

JD.com, Inc., Meta Platforms Inc., Renault SA - CH1548132823

Autocallable Barrier Reverse Convertible with Conditional Coupon on Julius Bär, Sea, Tesla (Quanto CHF)

Title

CH1548136378 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136378

Fälligkeitstag

06.06.2028

Basiswert

Tesla Inc., Julius Bär Gruppe AG, Sea Ltd - CH1548136378

Autocallable Barrier Reverse Convertible with Conditional Coupon on KKR & Co, Uber Technologies (Quanto GBP)

Title

CH1492032565 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032565

Fälligkeitstag

05.02.2027

Basiswert

Uber Technologies Inc., KKR & Co Inc. - CH1492032565

Autocallable Barrier Reverse Convertible with Conditional Coupon on Lufthansa, Stellantis (Quanto USD)

Title

CH1418947300 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418947300

Fälligkeitstag

05.10.2026

Basiswert

Stellantis N.V., Deutsche Lufthansa AG - CH1418947300

Autocallable Barrier Reverse Convertible with Conditional Coupon on MP Materials Corp, Prudential Financial, Tesla (Quanto EUR)

Title

CH1548136386 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136386

Fälligkeitstag

05.06.2028

Basiswert

Tesla Inc., Prudential Financial Inc, MP Materials Corp - CH1548136386

Autocallable Barrier Reverse Convertible with Conditional Coupon on MercadoLibre, Salesforce, ServiceNow (Quanto EUR)

Title

CH1548136360 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136360

Fälligkeitstag

05.06.2028

Basiswert

Salesforce, Inc., ServiceNow Inc, MercadoLibre Inc. - CH1548136360

Autocallable Barrier Reverse Convertible with Conditional Coupon on Meta Platforms, Microsoft, NVIDIA (Quanto CHF)

Title

CH1548143010 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143010

Fälligkeitstag

12.07.2028

Basiswert

Meta Platforms Inc., NVIDIA Corp., Microsoft Corp. - CH1548143010

Autocallable Barrier Reverse Convertible with Conditional Coupon on Nextera Energy, Shell, TotalEnergies (Quanto USD)

Title

CH1548130710 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130710

Fälligkeitstag

06.05.2027

Basiswert

Nextera Energy Inc., Shell PLC, TotalEnergies SE - CH1548130710

Autocallable Barrier Reverse Convertible with Conditional Coupon on PayPal Holdings Inc. (Quanto CHF)

Title

CH1476913004 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476913004

Fälligkeitstag

21.10.2027

Basiswert

PayPal Holdings Inc.

Autocallable Barrier Reverse Convertible with Conditional Coupon on Ping An Healthcare and Technology, ServiceNow, WuXi Biologics (Cayman) (Quanto EUR)

Title

CH1476908509 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476908509

Fälligkeitstag

15.09.2027

Basiswert

Ping An Healthcare and Technology Co. Ltd., ServiceNow Inc, WuXi Biologics (Cayman) Inc. - CH1476908509

Autocallable Barrier Reverse Convertible with Conditional Coupon on Rheinmetall, Safran

Title

CH1548140982 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548140982

Fälligkeitstag

01.07.2027

Basiswert

Rheinmetall AG, Safran SA - CH1548140982

Autocallable Barrier Reverse Convertible with Conditional Coupon on Salesforce, Tesla (Quanto EUR)

Title

CH1532241200 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532241200

Fälligkeitstag

10.03.2027

Basiswert

Salesforce, Inc., Tesla Inc. - CH1532241200

Autocallable Barrier Reverse Convertible with Conditional Coupon on Sunrise Communications AG, UBS Group, Zurich Insurance

Title

CH1548135834 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135834

Fälligkeitstag

04.06.2027

Basiswert

UBS Group AG, Sunrise Communications AG, Zurich Insurance Group Ltd - CH1548135834

Autocallable Barrier Reverse Convertible with Conditional Coupon on UniCredit SpA

Title

CH1548150023 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150023

Fälligkeitstag

23.08.2027

Basiswert

UniCredit SpA

Autocallable Barrier Reverse Convertible with Conditional Coupon on VanEck Vectors Gold Miners ETF

Title

CH1548137160 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548137160

Fälligkeitstag

10.12.2027

Basiswert

VanEck Vectors Gold Miners ETF

Autocallable Barrier Reverse Convertible with Conditional Coupon on iShares MSCI Brazil Index Fund, iShares MSCI India ETF, iShares MSCI Mexico ETF (Quanto EUR)

Title

CH1532237950 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532237950

Fälligkeitstag

25.08.2027

Basiswert

iShares MSCI Brazil Index Fund, iShares MSCI Mexico ETF, iShares MSCI India ETF - CH1532237950

Autocallable Reverse Convertible with Conditional Coupon on Accenture PLC (Quanto CHF)

Title

CH1476907634 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476907634

Fälligkeitstag

14.09.2027

Basiswert

Accenture PLC

Autocallable Reverse Convertible with Conditional Coupon on Adobe, Oracle

Title

CH1532243545 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243545

Fälligkeitstag

18.03.2027

Basiswert

Oracle Corp., Adobe Systems Inc. - CH1532243545

Autocallable Reverse Convertible with Conditional Coupon on Alcon, Swatch, Swiss Re

Title

CH1492020156 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492020156

Fälligkeitstag

10.11.2026

Basiswert

Swiss Re AG, Alcon Inc., The Swatch Group AG - CH1492020156

Autocallable Reverse Convertible with Conditional Coupon on Alphabet, Amazon.com, Microsoft

Title

CH1446056850 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446056850

Fälligkeitstag

11.01.2027

Basiswert

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1446056850

Autocallable Reverse Convertible with Conditional Coupon on Alphabet, Apple, Microsoft

Title

CH1548126833 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126833

Fälligkeitstag

19.04.2027

Basiswert

Alphabet, Inc., Apple Inc., Microsoft Corp. - CH1548126833

Autocallable Reverse Convertible with Conditional Coupon on Alphabet, Meta Platforms (Quanto EUR)

Title

CH1492035949 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035949

Fälligkeitstag

20.02.2031

Basiswert

Meta Platforms Inc., Alphabet, Inc. - CH1492035949

Autocallable Reverse Convertible with Conditional Coupon on Amazon.com, Apple, Microsoft (Quanto EUR)

Title

CH1548127070 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127070

Fälligkeitstag

21.04.2031

Basiswert

Amazon.com Inc., Apple Inc., Microsoft Corp. - CH1548127070

Autocallable Reverse Convertible with Conditional Coupon on Amazon.com, Meta Platforms, Netflix

Title

CH1548126841 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126841

Fälligkeitstag

19.04.2027

Basiswert

Meta Platforms Inc., Amazon.com Inc., Netflix Inc. - CH1548126841

Autocallable Reverse Convertible with Conditional Coupon on Amazon.com, Netflix, Walt Disney (Quanto EUR)

Title

CH1492035964 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035964

Fälligkeitstag

20.02.2031

Basiswert

Netflix Inc., Amazon.com Inc., The Walt Disney Company - CH1492035964

Autocallable Reverse Convertible with Conditional Coupon on Amazon.com, Netflix, Walt Disney (Quanto EUR)

Title

CH1492028274 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028274

Fälligkeitstag

15.07.2027

Basiswert

Amazon.com Inc., Netflix Inc., The Walt Disney Company - CH1492028274

Autocallable Reverse Convertible with Conditional Coupon on American Express, MasterCard, Visa

Title

CH1548126858 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126858

Fälligkeitstag

19.04.2027

Basiswert

American Express Company, MasterCard Inc, Visa Inc. - CH1548126858

Autocallable Reverse Convertible with Conditional Coupon on Anglo American, Glencore, Rio Tinto (Quanto EUR)

Title

CH1532239998 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239998

Fälligkeitstag

05.03.2031

Basiswert

Anglo American PLC, Rio Tinto PLC, Glencore PLC - CH1532239998

Autocallable Reverse Convertible with Conditional Coupon on Anheuser-Busch InBev, VAT (Quanto EUR)

Title

CH1548142996 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142996

Fälligkeitstag

13.07.2027

Basiswert

Anheuser-Busch InBev NV, VAT Group AG - CH1548142996

Autocallable Reverse Convertible with Conditional Coupon on Apollo Global, KKR & Co, Partners Group Holding (Quanto EUR)

Title

CH1446057627 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057627

Fälligkeitstag

15.01.2027

Basiswert

Partners Group Holding AG, Apollo Global Management Inc., KKR & Co Inc. - CH1446057627

Autocallable Reverse Convertible with Conditional Coupon on Arista Networks, Intuitive Surgical, Visa

Title

CH1548129266 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548129266

Fälligkeitstag

29.01.2027

Basiswert

Arista Networks, Inc., Intuitive Surgical Inc., Visa Inc. - CH1548129266

Autocallable Reverse Convertible with Conditional Coupon on Arm Holding plc, Intel (Quanto EUR)

Title

CH1492017327 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492017327

Fälligkeitstag

24.10.2030

Basiswert

Intel Corp., Arm Holding plc - CH1492017327

Autocallable Reverse Convertible with Conditional Coupon on BNP Paribas, Monte dei Paschi di Siena, UniCredit

Title

CH1548131924 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131924

Fälligkeitstag

12.05.2028

Basiswert

BNP Paribas, Banca Monte dei Paschi di Siena SpA, UniCredit SpA - CH1548131924

Autocallable Reverse Convertible with Conditional Coupon on BNP Paribas, Société Générale

Title

CH1548127088 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548127088

Fälligkeitstag

22.04.2031

Basiswert

BNP Paribas, Société Générale - CH1548127088

Autocallable Reverse Convertible with Conditional Coupon on Booking Holdings Inc. (Quanto EUR)

Title

CH1548136295 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136295

Fälligkeitstag

08.06.2027

Basiswert

Booking Holdings Inc.

Autocallable Reverse Convertible with Conditional Coupon on Boston Scientific Corporation (Quanto EUR)

Title

CH1548136303 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548136303

Fälligkeitstag

08.06.2027

Basiswert

Boston Scientific Corporation

Autocallable Reverse Convertible with Conditional Coupon on Broadcom, Meta Platforms (Quanto EUR)

Title

CH1446057619 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1446057619

Fälligkeitstag

15.01.2027

Basiswert

Meta Platforms Inc., Broadcom Inc. - CH1446057619

Autocallable Reverse Convertible with Conditional Coupon on Broadcom, NVIDIA

Title

CH1532238990 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238990

Fälligkeitstag

02.03.2027

Basiswert

NVIDIA Corp., Broadcom Inc. - CH1532238990

Autocallable Reverse Convertible with Conditional Coupon on Broadcom, Oracle (Quanto EUR)

Title

CH1492025809 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025809

Fälligkeitstag

24.06.2027

Basiswert

Oracle Corp., Broadcom Inc. - CH1492025809

Autocallable Reverse Convertible with Conditional Coupon on Byd Co, Tesla (Quanto EUR)

Title

CH1476905547 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905547

Fälligkeitstag

03.09.2030

Basiswert

Tesla Inc., BYD Company Limited - CH1476905547

Autocallable Reverse Convertible with Conditional Coupon on Capgemini, Dassault, Publicis

Title

CH1418945213 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418945213

Fälligkeitstag

19.03.2030

Basiswert

Dassault Systèmes S.A., Capgemini SE, Publicis Groupe SA - CH1418945213

Autocallable Reverse Convertible with Conditional Coupon on Capgemini, SAP

Title

CH1492034645 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034645

Fälligkeitstag

11.02.2027

Basiswert

SAP SE, Capgemini SE - CH1492034645

Autocallable Reverse Convertible with Conditional Coupon on Caterpillar, GE Vernova

Title

CH1548147607 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147607

Fälligkeitstag

05.08.2027

Basiswert

GE Vernova Inc., Caterpillar Inc. - CH1548147607

Autocallable Reverse Convertible with Conditional Coupon on CoreWeave, Super Micro Computer Inc

Title

CH1548139778 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548139778

Fälligkeitstag

27.12.2027

Basiswert

CoreWeave Inc., Super Micro Computer Inc - CH1548139778

Autocallable Reverse Convertible with Conditional Coupon on Crowdstrike Holdings, NVIDIA, Palantir

Title

CH1532243826 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532243826

Fälligkeitstag

23.09.2026

Basiswert

Palantir Technologies Inc., Crowdstrike Holdings Inc., NVIDIA Corp. - CH1532243826

Autocallable Reverse Convertible with Conditional Coupon on DSV Panalpina A/S (Quanto EUR)

Title

CH1548146013 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146013

Fälligkeitstag

30.07.2027

Basiswert

DSV Panalpina A/S

Autocallable Reverse Convertible with Conditional Coupon on Deere & Co. (Quanto EUR)

Title

CH1548138234 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548138234

Fälligkeitstag

16.06.2027

Basiswert

Deere & Co.

Autocallable Reverse Convertible with Conditional Coupon on Dell Technologies, Nike, Pernod-Ricard (Quanto USD)

Title

CH1492028522 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028522

Fälligkeitstag

19.01.2027

Basiswert

Nike Inc., Pernod-Ricard SA, Dell Technologies Inc. - CH1492028522

Autocallable Reverse Convertible with Conditional Coupon on Deutsche Telekom, Munich Re

Title

CH1548131155 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548131155

Fälligkeitstag

04.11.2026

Basiswert

Deutsche Telekom AG, Münchener Rückversicherungs AG - CH1548131155

Autocallable Reverse Convertible with Conditional Coupon on Dr. Ing. H.c. F. Porsche AG, Ferrari (Quanto EUR)

Title

CH1492035931 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035931

Fälligkeitstag

20.02.2031

Basiswert

Ferrari N.V., Dr. Ing. H.c. F. Porsche AG - CH1492035931

Autocallable Reverse Convertible with Conditional Coupon on Eiffage, EssilorLuxottica, Michelin

Title

CH1532242836 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532242836

Fälligkeitstag

18.03.2031

Basiswert

Eiffage SA, EssilorLuxottica SA, Cie Générale des Etablissements Michelin - CH1532242836

Autocallable Reverse Convertible with Conditional Coupon on Eli Lilly, Novo Nordisk (Quanto USD)

Title

CH1548126866 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126866

Fälligkeitstag

19.04.2027

Basiswert

Eli Lilly & Co., Novo Nordisk A/S - CH1548126866

Autocallable Reverse Convertible with Conditional Coupon on Exxon Mobil, Shell, TotalEnergies (Quanto EUR)

Title

CH1548141303 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141303

Fälligkeitstag

03.07.2031

Basiswert

Exxon Mobil Corp., TotalEnergies SE, Shell PLC - CH1548141303

Autocallable Reverse Convertible with Conditional Coupon on Freeport-McMoRan Inc., Holcim (Quanto USD)

Title

CH1548150981 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150981

Fälligkeitstag

24.08.2027

Basiswert

Freeport-McMoRan Inc., Holcim Ltd - CH1548150981

Autocallable Reverse Convertible with Conditional Coupon on Hermes, L´Oréal

Title

CH1548130264 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548130264

Fälligkeitstag

06.05.2031

Basiswert

Hermes International, L´Oréal International - CH1548130264

Autocallable Reverse Convertible with Conditional Coupon on Holcim, Lonza (Quanto EUR)

Title

CH1492030189 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030189

Fälligkeitstag

22.01.2027

Basiswert

Holcim Ltd, Lonza Group AG - CH1492030189

Autocallable Reverse Convertible with Conditional Coupon on Infineon Technologies AG

Title

CH1548147003 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147003

Fälligkeitstag

05.02.2027

Basiswert

Infineon Technologies AG

Autocallable Reverse Convertible with Conditional Coupon on Infineon, STMicroelectronics

Title

CH1476905554 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476905554

Fälligkeitstag

02.09.2030

Basiswert

STMicroelectronics NV, Infineon Technologies AG - CH1476905554

Autocallable Reverse Convertible with Conditional Coupon on Intel, Palantir (Quanto GBP)

Title

CH1532247165 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532247165

Fälligkeitstag

15.04.2027

Basiswert

Intel Corp., Palantir Technologies Inc. - CH1532247165

Autocallable Reverse Convertible with Conditional Coupon on Intel, Qualcomm (Quanto EUR)

Title

CH1492034256 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034256

Fälligkeitstag

12.02.2031

Basiswert

Qualcomm Inc., Intel Corp. - CH1492034256

Autocallable Reverse Convertible with Conditional Coupon on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548146377 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146377

Fälligkeitstag

03.08.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

Autocallable Reverse Convertible with Conditional Coupon on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1532240830 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240830

Fälligkeitstag

09.09.2026

Basiswert

LVMH Moët Hennessy Louis Vuitton SE

Autocallable Reverse Convertible with Conditional Coupon on LVMH Moët Hennessy Louis Vuitton, Richemont, Swatch (Quanto EUR)

Title

CH1492022483 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492022483

Fälligkeitstag

27.05.2027

Basiswert

Compagnie Financière Richemont SA, The Swatch Group AG, LVMH Moët Hennessy Louis Vuitton SE - CH1492022483

Autocallable Reverse Convertible with Conditional Coupon on L´Oréal, RWE, SAP

Title

CH1532245680 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532245680

Fälligkeitstag

06.04.2027

Basiswert

L´Oréal International, RWE AG, SAP SE - CH1532245680

Autocallable Reverse Convertible with Conditional Coupon on Marvell Technology , Micron Technology (Quanto EUR)

Title

CH1476906974 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906974

Fälligkeitstag

10.09.2030

Basiswert

Marvell Technology Group Ltd., Micron Technology Inc. - CH1476906974

Autocallable Reverse Convertible with Conditional Coupon on Microsoft Corp. (Quanto EUR)

Title

CH1548148472 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148472

Fälligkeitstag

16.02.2027

Basiswert

Microsoft Corp.

Autocallable Reverse Convertible with Conditional Coupon on NVIDIA, Oracle

Title

CH1548126874 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126874

Fälligkeitstag

19.04.2027

Basiswert

Oracle Corp., NVIDIA Corp. - CH1548126874

Autocallable Reverse Convertible with Conditional Coupon on NVIDIA, Tesla

Title

CH1492029165 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029165

Fälligkeitstag

20.07.2027

Basiswert

NVIDIA Corp., Tesla Inc. - CH1492029165

Autocallable Reverse Convertible with Conditional Coupon on NVIDIA, Tesla (Quanto EUR)

Title

CH1492025502 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025502

Fälligkeitstag

22.06.2027

Basiswert

Tesla Inc., NVIDIA Corp. - CH1492025502

Autocallable Reverse Convertible with Conditional Coupon on NXP Semiconductors NV (Quanto EUR)

Title

CH1548147011 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147011

Fälligkeitstag

05.02.2027

Basiswert

NXP Semiconductors NV

Autocallable Reverse Convertible with Conditional Coupon on Netflix Inc.

Title

CH1548130637 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130637

Fälligkeitstag

05.05.2027

Basiswert

Netflix Inc.

Autocallable Reverse Convertible with Conditional Coupon on Novo Nordisk A/S (Quanto CHF)

Title

CH1476905729 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476905729

Fälligkeitstag

02.09.2027

Basiswert

Novo Nordisk A/S

Autocallable Reverse Convertible with Conditional Coupon on Oracle, Vertiv Holdings Co (Quanto EUR)

Title

CH1492025262 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492025262

Fälligkeitstag

19.12.2030

Basiswert

Oracle Corp., Vertiv Holdings Co - CH1492025262

Autocallable Reverse Convertible with Conditional Coupon on Palo Alto Networks, Inc.

Title

CH1468580795 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1468580795

Fälligkeitstag

13.08.2026

Basiswert

Palo Alto Networks, Inc.

Autocallable Reverse Convertible with Conditional Coupon on Partners Group Holding, Richemont (Quanto EUR)

Title

CH1548143002 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143002

Fälligkeitstag

13.07.2027

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG - CH1548143002

Autocallable Reverse Convertible with Conditional Coupon on Partners Group Holding, Richemont, Sika

Title

CH1492030072 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492030072

Fälligkeitstag

26.01.2027

Basiswert

Compagnie Financière Richemont SA, Partners Group Holding AG, Sika AG - CH1492030072

Autocallable Reverse Convertible with Conditional Coupon on Rheinmetall AG

Title

CH1548141071 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141071

Fälligkeitstag

01.07.2027

Basiswert

Rheinmetall AG

Autocallable Reverse Convertible with Conditional Coupon on Rheinmetall, Safran, Thales

Title

CH1548141402 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141402

Fälligkeitstag

03.07.2029

Basiswert

Rheinmetall AG, Thales SA, Safran SA - CH1548141402

Autocallable Reverse Convertible with Conditional Coupon on Robinhood Markets Inc. (Quanto EUR)

Title

CH1492029421 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492029421

Fälligkeitstag

22.01.2031

Basiswert

Robinhood Markets Inc.

Autocallable Reverse Convertible with Conditional Coupon on SAP, ServiceNow (Quanto EUR)

Title

CH1492034181 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034181

Fälligkeitstag

12.02.2031

Basiswert

ServiceNow Inc, SAP SE - CH1492034181

Autocallable Reverse Convertible with Conditional Coupon on SLB Ltd (Quanto EUR)

Title

CH1548141030 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548141030

Fälligkeitstag

01.07.2027

Basiswert

Schlumberger Ltd

Autocallable Reverse Convertible with Conditional Coupon on Salesforce, SAP, ServiceNow (Quanto EUR)

Title

CH1548143721 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143721

Fälligkeitstag

17.07.2029

Basiswert

SAP SE, ServiceNow Inc, Salesforce, Inc. - CH1548143721

Autocallable Reverse Convertible with Conditional Coupon on Schneider Electric, St-Gobain, Vinci

Title

CH1532240020 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240020

Fälligkeitstag

05.03.2031

Basiswert

Compagnie de St-Gobain, Vinci SA, Schneider Electric SE - CH1532240020

Autocallable Reverse Convertible with Conditional Coupon on Schneider Electric, Volkswagen

Title

CH1532240657 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240657

Fälligkeitstag

05.03.2027

Basiswert

Schneider Electric SE, Volkswagen AG - CH1532240657

Autocallable Reverse Convertible with Conditional Coupon on Shell PLC

Title

CH1548148480 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148480

Fälligkeitstag

15.02.2027

Basiswert

Shell PLC

Autocallable Reverse Convertible with Conditional Coupon on Sony Group , Take-Two Interactive (Quanto EUR)

Title

CH1532240053 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240053

Fälligkeitstag

05.03.2031

Basiswert

Sony Group Corporation, Take-Two Interactive Software Inc. - CH1532240053

Autocallable Reverse Convertible with Conditional Coupon on iShares Russell 2000 Index Fund, State Street Consumer Discretionary Select Sector SPDR ETF, State Street Technology Select Sector SPDR ETF (Quanto EUR)

Title

CH1492031161 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031161

Fälligkeitstag

29.07.2027

Basiswert

State Street Technology Select Sector SPDR ETF, State Street Consumer Discretionary Select Sector SPDR ETF, iShares Russell 2...

Autocallable Reverse Convertible with Conditional Coupon on Ørsted A/S (Quanto EUR)

Title

CH1548130207 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548130207

Fälligkeitstag

04.05.2027

Basiswert

Ørsted A/S

Avallis Commodity Strategy Note (SGD)

Title

CHA0EJ - Compartment 1119 (SGD)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EJ0

Basiswert

Avallis Commodity Strategy Index

Avallis Commodity Strategy Note (USD)

Title

CHA0EH - Compartment 1119 (USD)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EH4

Basiswert

Avallis Commodity Strategy Index

Avallis Fixed Maturity Bond

Title

A3G7XH - Compartment 647

Kategorie

Instifolio - Liquid

ISIN

DE000A3G7XH7

Fälligkeitstag

15.10.2028

Basiswert

Avallis Fixed Maturity Bond Fund Index

Avallis Strategic Opportuities

Title

CHA0C6 - Compartment 1013 (USD)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C60

Basiswert

Avallis Strategic Opportuities Index Tracker

Avallis Strategic Opportuities - S2

Title

CHA0C7 - Compartment 1013 (SGD)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C78

Basiswert

Avallis Strategic Opportuities Index Tracker

Aventicum Basket Tracker Note

Title

A4MGUE - Compartment E97

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUE2

Fälligkeitstag

19.07.2027

Basiswert

Aventicum Basket

BCC Alternative Strategies Index Tracker

Title

A3G7DZ - Compartment 483

Kategorie

Instifolio - Alternative

ISIN

DE000A3G7DZ1

Basiswert

BCC Alternative Strategies Index

BF Index Tracker

Title

A3G47W - Compartment 601

Kategorie

Instifolio - Liquid

ISIN

DE000A3G47W6

Basiswert

BF Index

Bahore Index Tracker

Title

XS3146986735 - Compartment 991

Kategorie

Instifolio - Liquid

ISIN

XS3146986735

Basiswert

Bahore Index

Baltics Lending Platforms Basket Tracker

Title

A3L7FZ - Compartment 370 - Series 2

Kategorie

Credit linked - Receivable

ISIN

DE000A3L7FZ9

Fälligkeitstag

20.12.2027

Basiswert

Baltics Platform Basket

Banor/Centuri Systematic US Equity Long/Short Index Tracker

Title

A3G5UM - Compartment 616

Kategorie

Instifolio - Liquid

ISIN

DE000A3G5UM7

Basiswert

Banor/Centuri Systematic US Equity Long/Short Index

Barrier Discount Certificate on Adecco Group AG

Title

CH1418947862 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1418947862

Fälligkeitstag

08.10.2026

Basiswert

Adecco Group AG

Basso Private Markets Co-Investment Portfolio - Series 2025 Tracker

Title

A4A54F - Compartment E105

Kategorie

Basket linked - AIF

ISIN

DE000A4A54F8

Fälligkeitstag

04.02.2030

Basiswert

Basso Private Markets Co-Investment Portfolio - Series 2025 Tracker

Basso Private Markets Co-Investment Portfolio - Series 2026 Tracker

Title

A4MGU9 - Compartment E167

Kategorie

Basket linked - AIF

ISIN

DE000A4MGU95

Fälligkeitstag

03.02.2031

Basiswert

Basso Private Markets Co-Investment Portfolio - Series 2026

Bastion Diversified Index Tracker

Title

A2MDNL - Compartment 113

Kategorie

Basket linked - AIF

ISIN

DE000A2MDNL3

Fälligkeitstag

31.12.2049

Basiswert

Bastion Diversified Portfolio Index

Bastion Fixed Income Euro Index Certificate

Title

A3GQFJ - Compartment 275

Kategorie

Instifolio - Liquid

ISIN

DE000A3GQFJ5

Basiswert

Bastion Fixed Income Euro Index

Bastion Fixed Income Tracker

Title

A28DJF - Compartment 205

Kategorie

Instifolio - Liquid

ISIN

DE000A28DJF0

Basiswert

Bastion Dynamic Protection Index

Bastion Unconstrained Index Tracker

Title

A3GNQE - Compartment 251

Kategorie

Instifolio - Liquid

ISIN

DE000A3GNQE0

Basiswert

Bastion Unconstrained Index

Baumann Partners Investmentgate Fee Financing Note

Title

A4MGUU - Compartment E160

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUU8

Fälligkeitstag

22.06.2033

Basiswert

Baumann Partners Fee Financing Portfolio

Best of Two (Europe) EUR Index Certificate

Title

A3GS2U - Compartment 277

Kategorie

Instifolio - Liquid

ISIN

DE000A3GS2U8

Basiswert

Best of Two (Europe) Index

Blu Income Index Tracker

Title

A2CR9L - Compartment 45

Kategorie

Basket linked - AIF

ISIN

DE000A2CR9L8

Fälligkeitstag

24.10.2049

Basiswert

EUR BLU Income Index

Blu Income Tracker II

Title

A2HPGL - Compartment 95

Kategorie

Basket linked - AIF

ISIN

DE000A2HPGL1

Fälligkeitstag

31.12.2049

Basiswert

Blu Income Tracker II

Bondi Beach Fund Repack

Title

CHA0FC - Compartment 1169

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0FC2

Fälligkeitstag

30.06.2027

Basiswert

VPAM Special Opportunities Pte. Ltd.

Bonsai Select Equity Index Tracker

Title

CHA0EF - Compartment 1106

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EF8

Basiswert

Bonsai Select Equity

Brazil Yield Strategies_S1

Title

CHA0DP - Compartment 1072_S1

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DP9

Basiswert

Brazil Yield Strategies

Brazil Yield Strategies_S2

Title

CHA0DQ - Compartment 1072_S2

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DQ7

Basiswert

Brazil Yield Strategies

Butterfly 2.0 Tracker Zertifikat

Title

A4MG75-Compartment PR9

ISIN

DE000A4MG756

Basiswert

MS 1 alpha invest GmbH

CEN Fixed Income Opportunities 2 (USD)

Title

A4AEQ2 - Compartment 708

Kategorie

Instifolio - Liquid

ISIN

DE000A4AEQ22

Basiswert

CEN Fixed Income Opportunities 2 (USD) Index

CHF Yield Optimization Index Tracker

Title

CHA0AH - Compartment 890

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AH2

Basiswert

CHF Yield Optimization Index

CLO CIS ALSTER II

Title

A22DNB - Compartment 178

Kategorie

Credit linked - Other

ISIN

DE000A22DNB4

Fälligkeitstag

07.07.2038

Basiswert

CLO Note Alster II

CLO CIS ALSTER III Tracker Bonds

Title

A28NZ7 - Compartment 222

Kategorie

Credit linked - Other

ISIN

DE000A28NZ77

Fälligkeitstag

18.05.2032

Basiswert

CLO Note Alster III

CLO CIS Alster IV Bonds

Title

A2838N - Compartment 247

Kategorie

Credit linked - Other

ISIN

DE000A2838N1

Fälligkeitstag

20.10.2038

Basiswert

CLO Note Alster IV

CLO CIS Alster IV Bonds (Series Assets 2)

Title

A3GRZ8 - Compartment 247

Kategorie

Credit linked - Other

ISIN

DE000A3GRZ88

Fälligkeitstag

06.08.2038

Basiswert

CLO Note Alster V ALPHA I

CLO CIS Alster VI Bonds (Series Assets 3)

Title

A3GU3F - Compartment 247

Kategorie

Credit linked - Other

ISIN

DE000A3GU3F3

Fälligkeitstag

20.10.2034

Basiswert

CLO Alster VI

CLO CIS Alster VII Bonds

Title

A3G1L6 - Compartment 506

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G1L63

Fälligkeitstag

08.11.2038

Basiswert

CLO Alster VII

CLO Note Alster I

Title

A2147Q - Compartment 169

Kategorie

Credit linked - Other

ISIN

DE000A2147Q0

Fälligkeitstag

07.07.2038

Basiswert

CLO Note Alster I

CLO Note Taunus I

Title

A2147R - Compartment 170

Kategorie

Credit linked - Other

ISIN

DE000A2147R8

Fälligkeitstag

08.10.2029

Basiswert

CLO Note Taunus I

COFRAMAX Index Tracker

Title

A3G3TT - Compartment 560

Kategorie

Instifolio - Liquid

ISIN

DE000A3G3TT9

Basiswert

COFRAMAX Index

CPCS Basket Tracker Bonds

Title

A27ZWA - Compartment 184

Kategorie

Basket linked - AIF

ISIN

DE000A27ZWA9

Fälligkeitstag

29.11.2024

Basiswert

USD CPCS Real Estate Basket

CPCS Basket Tracker Bonds AUD

Title

A275XP - Compartment 189

Kategorie

Basket linked - Real Estate

ISIN

DE000A275XP8

Fälligkeitstag

16.01.2025

Basiswert

AUD CPCS Real Estate Basket

CREO Berlin Bond

Title

A3KUMW - Compartment 305

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KUMW8

Fälligkeitstag

07.08.2025

Basiswert

Loan to CREO Vorratsgesellschaft 20 GmbH and CREO RK GmbH

CS Daily Vertical Strategy Tracker S3

Title

CHA0B7 - Compartment 989

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0B79

Basiswert

CS Daily Vertical Strategy Index

Callable Barrier Reverse Convertible with Conditional Coupon on ASML, Capgemini

Title

CH1476906743 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476906743

Fälligkeitstag

08.03.2027

Basiswert

Capgemini SE, ASML Holding NV - CH1476906743

Callable Barrier Reverse Convertible with Conditional Coupon on Abbott Labs, AstraZeneca, Bayer, Bristol-Myers Squibb, Pfizer, Sanofi (Quanto EUR)

Title

CH1548146591 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146591

Fälligkeitstag

04.08.2027

Basiswert

Abbott Laboratories, Bristol-Myers Squibb Co., AstraZeneca Group PLC, Pfizer Inc., Sanofi SA, Bayer AG - CH1548146591

Callable Barrier Reverse Convertible with Conditional Coupon on Adidas, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1548135867 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548135867

Fälligkeitstag

04.06.2027

Basiswert

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA, Adidas AG - CH1548135867

Callable Barrier Reverse Convertible with Conditional Coupon on Alcon, Clariant, UBS Group

Title

CH1532239279 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532239279

Fälligkeitstag

03.03.2027

Basiswert

UBS Group AG, Alcon Inc., Clariant AG - CH1532239279

Callable Barrier Reverse Convertible with Conditional Coupon on Alphabet, Amazon.com, ENI, Intesa Sanpaolo, Microsoft, Volkswagen (Quanto EUR)

Title

CH1532238644 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532238644

Fälligkeitstag

01.03.2027

Basiswert

Intesa Sanpaolo SpA, Alphabet, Inc., ENI SpA, Volkswagen AG, Amazon.com Inc., Microsoft Corp. - CH1532238644

Callable Barrier Reverse Convertible with Conditional Coupon on American Express, Boeing, Nike (Quanto CHF)

Title

CH1548147573 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147573

Fälligkeitstag

09.08.2027

Basiswert

American Express Company, Boeing Company, Nike Inc. - CH1548147573

Callable Barrier Reverse Convertible with Conditional Coupon on American Express, Coca-Cola, MasterCard, PepsiCo, Visa

Title

CH1548148555 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148555

Fälligkeitstag

13.08.2027

Basiswert

Coca-Cola Company, PepsiCo Inc., American Express Company, MasterCard Inc, Visa Inc. - CH1548148555

Callable Barrier Reverse Convertible with Conditional Coupon on Anheuser-Busch InBev, Diageo, Pernod-Ricard (Quanto EUR)

Title

CH1418945866 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1418945866

Fälligkeitstag

21.09.2026

Basiswert

Pernod-Ricard SA, Diageo PLC, Anheuser-Busch InBev NV - CH1418945866

Callable Barrier Reverse Convertible with Conditional Coupon on BNP Paribas, Intesa Sanpaolo, UBS Group (Quanto EUR)

Title

CH1548148951 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548148951

Fälligkeitstag

17.08.2027

Basiswert

BNP Paribas, Intesa Sanpaolo SpA, UBS Group AG - CH1548148951

Callable Barrier Reverse Convertible with Conditional Coupon on BP, Chevron, ENI, Exxon Mobil, Shell, TotalEnergies (Quanto EUR)

Title

CH1548144588 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144588

Fälligkeitstag

23.07.2027

Basiswert

ENI SpA, Shell PLC, BP PLC, Exxon Mobil Holdings Corp., TotalEnergies SE, Chevron Corp. - CH1548144588

Callable Barrier Reverse Convertible with Conditional Coupon on Baker Hughes, Meta Platforms, Newmont (Quanto CHF)

Title

CH1548133664 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548133664

Fälligkeitstag

21.05.2027

Basiswert

Meta Platforms Inc., Baker Hughes Co., Newmont Corp. - CH1548133664

Callable Barrier Reverse Convertible with Conditional Coupon on Barclays, Goldman Sachs, ING, Morgan Stanley, Wells Fargo (Quanto EUR)

Title

CH1532246605 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532246605

Fälligkeitstag

09.07.2027

Basiswert

Barclays Plc, ING Groep N.V., Morgan Stanley, Wells Fargo & Company, The Goldman Sachs Group, Inc. - CH1532246605

Callable Barrier Reverse Convertible with Conditional Coupon on Broadcom, Copart, KLA-Tencor (Quanto CHF)

Title

CH1476912188 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476912188

Fälligkeitstag

15.10.2026

Basiswert

KLA-Tencor Corp., Broadcom Inc., Copart Inc. - CH1476912188

Callable Barrier Reverse Convertible with Conditional Coupon on Caterpillar, Johnson & Johnson, Wheaton Precious Metals (Quanto CHF)

Title

CH1548147599 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147599

Fälligkeitstag

09.08.2027

Basiswert

Wheaton Precious Metals Corp., Johnson & Johnson, Caterpillar Inc. - CH1548147599

Callable Barrier Reverse Convertible with Conditional Coupon on Danone, Heineken NV, L´Oréal, McDonalds, Unilever PLC (Quanto EUR)

Title

CH1548146583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548146583

Fälligkeitstag

04.08.2027

Basiswert

L´Oréal International, Heineken NV, Danone SA, Unilever PLC, McDonalds Corp. - CH1548146583

Callable Barrier Reverse Convertible with Conditional Coupon on Deutsche Post, Deutsche Telekom, UPS (Quanto EUR)

Title

CH1548134506 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134506

Fälligkeitstag

27.05.2027

Basiswert

Deutsche Post AG, Deutsche Telekom AG, United Parcel Service Inc. - CH1548134506

Callable Barrier Reverse Convertible with Conditional Coupon on GE Aerospace, Thermo Fisher Scientific, Wells Fargo (Quanto CHF)

Title

CH1548147581 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548147581

Fälligkeitstag

09.08.2027

Basiswert

Wells Fargo & Company, Thermo Fisher Scientific Inc., GE Aerospace - CH1548147581

Callable Barrier Reverse Convertible with Conditional Coupon on GE Vernova, Hitachi, Mitsubishi Heavy (Quanto EUR)

Title

CH1492031815 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031815

Fälligkeitstag

31.01.2028

Basiswert

Hitachi Ltd., Mitsubishi Heavy Industries Ltd, GE Vernova Inc. - CH1492031815

Callable Reverse Convertible with Conditional Coupon on AMD, NVIDIA

Title

CH1492023416 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023416

Fälligkeitstag

03.12.2026

Basiswert

NVIDIA Corp., Advanced Micro Devices Inc. - CH1492023416

Callable Reverse Convertible with Conditional Coupon on AMD, SanDisk Corp Registered

Title

CH1548132294 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548132294

Fälligkeitstag

16.11.2026

Basiswert

SanDisk Corp Registered, Advanced Micro Devices Inc. - CH1548132294

Callable Reverse Convertible with Conditional Coupon on Abbott Labs, Intuitive Surgical (Quanto CHF)

Title

CH1548143689 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143689

Fälligkeitstag

15.07.2027

Basiswert

Abbott Laboratories, Intuitive Surgical Inc. - CH1548143689

Callable Reverse Convertible with Conditional Coupon on Abbott Labs, Intuitive Surgical, Stryker

Title

CH1548144729 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144729

Fälligkeitstag

26.01.2027

Basiswert

Intuitive Surgical Inc., Stryker Corp., Abbott Laboratories - CH1548144729

Callable Reverse Convertible with Conditional Coupon on Accor, Fielmann, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548142053 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142053

Fälligkeitstag

08.07.2027

Basiswert

Accor SA, Fielmann AG, LVMH Moët Hennessy Louis Vuitton SE - CH1548142053

Callable Reverse Convertible with Conditional Coupon on Adidas AG (Quanto CHF)

Title

CH1548147029 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548147029

Fälligkeitstag

04.08.2027

Basiswert

Adidas AG

Callable Reverse Convertible with Conditional Coupon on Adidas, Kering (Quanto USD)

Title

CH1492027771 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492027771

Fälligkeitstag

11.01.2027

Basiswert

Kering SA, Adidas AG - CH1492027771

Callable Reverse Convertible with Conditional Coupon on Adobe, Palantir, Palo Alto Networks (Quanto EUR)

Title

CH1532240533 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240533

Fälligkeitstag

03.09.2027

Basiswert

Palantir Technologies Inc., Adobe Systems Inc., Palo Alto Networks, Inc. - CH1532240533

Callable Reverse Convertible with Conditional Coupon on Alibaba Group, Amazon.com, JPMorgan Chase, Oracle

Title

CH1548138416 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548138416

Fälligkeitstag

17.12.2026

Basiswert

Alibaba Group Holding Limited, JPMorgan Chase & Co., Amazon.com Inc., Oracle Corp. - CH1548138416

Callable Reverse Convertible with Conditional Coupon on Amazon.com, Meta Platforms, Oracle (Quanto EUR)

Title

CH1548141022 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548141022

Fälligkeitstag

03.01.2028

Basiswert

Amazon.com Inc., Oracle Corp., Meta Platforms Inc. - CH1548141022

Callable Reverse Convertible with Conditional Coupon on Aptiv Holdings, Mobileye Global, Valeo (Quanto EUR)

Title

CH1492026575 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026575

Fälligkeitstag

28.12.2027

Basiswert

Mobileye Global Inc., Aptiv Holdings Ltd, Valeo SE - CH1492026575

Callable Reverse Convertible with Conditional Coupon on Aptiv Holdings, Mobileye Global, Valeo (Quanto USD)

Title

CH1492026625 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026625

Fälligkeitstag

28.12.2027

Basiswert

Mobileye Global Inc., Aptiv Holdings Ltd, Valeo SE - CH1492026625

Callable Reverse Convertible with Conditional Coupon on Arista Networks, ServiceNow

Title

CH1548134639 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548134639

Fälligkeitstag

30.11.2026

Basiswert

Arista Networks, Inc., ServiceNow Inc - CH1548134639

Callable Reverse Convertible with Conditional Coupon on Avolta, Swatch

Title

CH1548144984 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144984

Fälligkeitstag

22.07.2027

Basiswert

The Swatch Group AG, Avolta AG - CH1548144984

Callable Reverse Convertible with Conditional Coupon on Best Buy, Costco, Salesforce (Quanto EUR)

Title

CH1476911289 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911289

Fälligkeitstag

09.04.2027

Basiswert

Salesforce, Inc., Costco Wholesale Corp., Best Buy Co. Inc. - CH1476911289

Callable Reverse Convertible with Conditional Coupon on Best Buy, Nike

Title

CH1492036442 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492036442

Fälligkeitstag

19.02.2027

Basiswert

Nike Inc., Best Buy Co. Inc. - CH1492036442

Callable Reverse Convertible with Conditional Coupon on BioNTech, DexCom

Title

CH1476911693 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911693

Fälligkeitstag

12.04.2027

Basiswert

BioNTech SE, DexCom Inc. - CH1476911693

Callable Reverse Convertible with Conditional Coupon on BioNTech, DexCom (Quanto EUR)

Title

CH1476911263 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476911263

Fälligkeitstag

09.04.2027

Basiswert

BioNTech SE, DexCom Inc. - CH1476911263

Callable Reverse Convertible with Conditional Coupon on Broadcom, Taiwan Semiconductor Manufacturing, Vistra Energy

Title

CH1548136311 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136311

Fälligkeitstag

07.12.2026

Basiswert

Broadcom Inc., Taiwan Semiconductor Manufacturing Co. Ltd, Vistra Energy Corp. - CH1548136311

Callable Reverse Convertible with Conditional Coupon on CRISPR Therapeutics, Illumina Inc., Siemens (Quanto USD)

Title

CH1492031831 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031831

Fälligkeitstag

31.01.2028

Basiswert

Siemens AG, Illumina Inc., CRISPR Therapeutics AG - CH1492031831

Callable Reverse Convertible with Conditional Coupon on Capgemini, Infineon

Title

CH1492028654 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028654

Fälligkeitstag

15.01.2027

Basiswert

Infineon Technologies AG, Capgemini SE - CH1492028654

Callable Reverse Convertible with Conditional Coupon on Coinbase Global Inc.

Title

CH1492028563 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028563

Fälligkeitstag

18.01.2028

Basiswert

Coinbase Global Inc.

Callable Reverse Convertible with Conditional Coupon on Coinbase Global Inc.

Title

CH1476906768 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476906768

Fälligkeitstag

10.09.2027

Basiswert

Coinbase Global Inc.

Callable Reverse Convertible with Conditional Coupon on Coinbase Global Inc.

Title

CH1446055779 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1446055779

Fälligkeitstag

30.06.2027

Basiswert

Coinbase Global Inc.

Callable Reverse Convertible with Conditional Coupon on Deutsche Bank, Lloyds Bank, Monte dei Paschi di Siena, UBS Group (Quanto EUR)

Title

CH1532240517 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240517

Fälligkeitstag

06.09.2027

Basiswert

UBS Group AG, Banca Monte dei Paschi di Siena SpA, Lloyds Banking Group PLC, Deutsche Bank AG - CH1532240517

Callable Reverse Convertible with Conditional Coupon on Deutsche Bank, Swissquote (Quanto CHF)

Title

CH1548142046 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548142046

Fälligkeitstag

08.07.2027

Basiswert

Swissquote Group Holding SA, Deutsche Bank AG - CH1548142046

Callable Reverse Convertible with Conditional Coupon on ENGIE, Schneider Electric

Title

CH1548144794 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144794

Fälligkeitstag

22.07.2027

Basiswert

ENGIE SA, Schneider Electric SE - CH1548144794

Callable Reverse Convertible with Conditional Coupon on Ericsson, Nokia, Qualcomm (Quanto EUR)

Title

CH1492026583 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492026583

Fälligkeitstag

28.12.2027

Basiswert

Telefonaktiebolaget LM Ericsson, Nokia OYJ, Qualcomm Inc. - CH1492026583

Callable Reverse Convertible with Conditional Coupon on First Majestic Silver, Pan American Silver (Quanto EUR)

Title

CH1532240731 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1532240731

Fälligkeitstag

10.09.2027

Basiswert

Pan American Silver Corp., First Majestic Silver Corp - CH1532240731

Callable Reverse Convertible with Conditional Coupon on First Solar, Nextera Energy, Sunrun

Title

CH1492031849 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492031849

Fälligkeitstag

30.07.2027

Basiswert

First Solar Inc., Sunrun Inc., Nextera Energy Inc. - CH1492031849

Callable Reverse Convertible with Conditional Coupon on Ford, Volkswagen (Quanto USD)

Title

CH1492034611 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034611

Fälligkeitstag

11.02.2027

Basiswert

Ford Motor Company, Volkswagen AG - CH1492034611

Callable Reverse Convertible with Conditional Coupon on Galderma Group, Siegfried

Title

CH1548143440 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548143440

Fälligkeitstag

15.07.2027

Basiswert

Galderma Group Ltd, Siegfried Holding AG - CH1548143440

Callable Reverse Convertible with Conditional Coupon on Georg Fischer, Sika

Title

CH1492029827 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492029827

Fälligkeitstag

21.01.2027

Basiswert

Sika AG, Georg Fischer AG - CH1492029827

Callable Reverse Convertible with Conditional Coupon on Grab Holdings Ltd. (Quanto CHF)

Title

CH1548143697 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548143697

Fälligkeitstag

15.07.2027

Basiswert

Grab Holdings Ltd.

Callable Reverse Convertible with Conditional Coupon on Intel, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548136550 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548136550

Fälligkeitstag

09.09.2026

Basiswert

NVIDIA Corp., Intel Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548136550

Callable Reverse Convertible with Conditional Coupon on Intesa Sanpaolo, UniCredit

Title

CH1548144604 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144604

Fälligkeitstag

25.01.2027

Basiswert

Intesa Sanpaolo SpA, UniCredit SpA - CH1548144604

Callable Reverse Convertible with Conditional Coupon on Klarna Group PLC (Quanto EUR)

Title

CH1532240509 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532240509

Fälligkeitstag

03.09.2027

Basiswert

Klarna Group PLC

Callable Reverse Convertible with Conditional Coupon on Lufthansa, Tui

Title

CH1492028662 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492028662

Fälligkeitstag

15.01.2027

Basiswert

Tui AG, Deutsche Lufthansa AG - CH1492028662

Callable Reverse Convertible with Conditional Coupon on Mercedes-Benz Group, Volkswagen

Title

CH1492021956 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492021956

Fälligkeitstag

23.11.2026

Basiswert

Volkswagen AG, Mercedes-Benz Group AG - CH1492021956

Callable Reverse Convertible with Conditional Coupon on Moderna Inc. (Quanto EUR)

Title

CH1476911271 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1476911271

Fälligkeitstag

09.04.2027

Basiswert

Moderna Inc.

Callable Reverse Convertible with Conditional Coupon on NVIDIA, Salesforce

Title

CH1548137327 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548137327

Fälligkeitstag

11.12.2026

Basiswert

NVIDIA Corp., Salesforce, Inc. - CH1548137327

Callable Reverse Convertible with Conditional Coupon on Oracle Corp.

Title

CH1492026609 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492026609

Fälligkeitstag

29.12.2026

Basiswert

Oracle Corp.

Callable Reverse Convertible with Conditional Coupon on Swiss Re, VZ Holding AG

Title

CH1548150270 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548150270

Fälligkeitstag

20.08.2027

Basiswert

Swiss Re AG, VZ Holding AG - CH1548150270

Callable Reverse Convertible with Conditional Coupon on Temenos AG

Title

CH1548145833 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145833

Fälligkeitstag

28.01.2027

Basiswert

Temenos AG

Callable Reverse Convertible with Conditional Coupon on Veolia, Vistra Energy (Quanto CHF)

Title

CH1548144661 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548144661

Fälligkeitstag

21.07.2027

Basiswert

Veolia Environnement, Vistra Energy Corp. - CH1548144661

Callable Reverse Convertible with Conditional Coupon on easyJet, Lufthansa (Quanto EUR)

Title

CH1492023705 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492023705

Fälligkeitstag

09.12.2027

Basiswert

Deutsche Lufthansa AG, easyJet PLC - CH1492023705

Calvin Note Basket

Title

CHA0BY - Compartment 990

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0BY5

Basiswert

Calvin Note Basket

Candid Capital Asia Credit Index Tracker

Title

A4MGUF - Compartment E130

Kategorie

Instifolio - Alternative

ISIN

DE000A4MGUF9

Basiswert

Candid Capital Asia Credit Index

Canopia Prudent Index Tracker

Title

A3GY9M - Compartment 440

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY9M2

Basiswert

Canopia Prudent Index

CapChase Bond

Title

A3KQV1 - Compartment 300

Kategorie

Loan linked - Corporate

ISIN

DE000A3KQV12

Fälligkeitstag

05.07.2023

Basiswert

Receivable of Capchase

Capital Protected Shark Notes Linked to Bitcoin

Title

CH1473396617 - Compartment 860

Kategorie

Structured Products - Rates

ISIN

CH1473396617

Fälligkeitstag

26.08.2025

Basiswert

BTC CME BRR

Capital Protected Shark Notes Linked to Bitcoin - SP1

Title

XXTEST860SP1 - Compartment 860_SP_1

Kategorie

Structured Products - Rates

ISIN

XXTEST860SP1

Fälligkeitstag

26.08.2025

Basiswert

BTC CME BRR

Capstone Emerging Market Index Tracker

Title

CHA0EN - Compartment 1086

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EN2

Basiswert

Capstone Emerging Markets Index

Capstone Global Index Tracker

Title

A4A55F - Compartment 866

Kategorie

Instifolio - Liquid

ISIN

DE000A4A55F5

Basiswert

Capstone Global Index

Capstone NewConstructs Index Tracker

Title

A3G780- Compartment 443

Kategorie

Instifolio - Liquid

ISIN

DE000A3G7804

Basiswert

Capstone NewConstructs Index

Cataleya Global Excellence Tracker

Title

A2M00Z - Compartment 127

Kategorie

Instifolio - Liquid

ISIN

DE000A2M00Z8

Fälligkeitstag

24.10.2030

Basiswert

Cataleya Global Excellence Index

Central Europe (DACH) Lending Platform Basket Tracker

Title

A3KPTV - Compartment 299

Kategorie

Credit linked - Receivable

ISIN

DE000A3KPTV5

Fälligkeitstag

23.06.2028

Basiswert

Central Europe (DACH) Lending Platform Basket

Certificat PV – Kepler – Défensif

Title

A3GZYG - Compartment 454

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZYG3

Basiswert

Certificat PV – Kepler – Défensif Index

Charm Impact

Title

A3GXC8 - Compartment E9

Kategorie

Loan linked - Corporate

ISIN

DE000A3GXC87

Fälligkeitstag

15.04.2028

Basiswert

Charm Impact Loan

Clarity Diversified Fixed Income Flexible Strategy Index Tracker

Title

XS2874170470 - Compartment 815

Kategorie

Instifolio - Liquid

ISIN

XS2874170470

Basiswert

Clarity Diversified Fixed Income Flexible Strategy Index

Closed End W Decorrelated Strategies Index Tracker

Title

CHA0AM - Compartment 903

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0AM2

Fälligkeitstag

28.04.2045

Basiswert

Closed End W Decorrelated Strategies Index

Co-invest LBO ECT Basket Tracker

Title

A3G7QQ - Compartment 484

Kategorie

Basket linked - AIF

ISIN

DE000A3G7QQ2

Fälligkeitstag

15.09.2028

Basiswert

Co-invest LBO ECT Basket

Coatue Asia Fund Certificate

Title

A3GVMA - Compartment 331

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GVMA0

Fälligkeitstag

01.11.2028

Basiswert

Coatue Asia Fund Basket

Compartment 1004 - JAR Evolution Index Tracker - S2

Title

CHA0DH - Compartment 1004 - S2

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DH6

Basiswert

JAR Evolution Index

Compartment 1083 - Nova All Weather Index Tracker

Title

CHA0D5 - Compartment 1083_S1

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0D51

Basiswert

Nova All Weather Index

Compartment 114 - Compartment E114 - Akrida Chances Strategy III Index Tracker Certificates

Title

A4MGVQ - Compartment E114

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGVQ4

Basiswert

Akrida Chances Strategy III Index

Compartment 1166 - Crypto AMC - Digital Assets Alpha (DAA)

Title

CHA0E5 - Compartment 1166

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0E50

Basiswert

Crypto AMC - Digital Assets Alpha (DAA)

Compartment 1167 - Absolute Return Strategy (ARS)

Title

CHA0E6 - Compartment 1167

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0E68

Basiswert

Absolute Return Strategy (ARS)

Compartment 605 - Primary Market Bond (EUR) Index Tracker

Title

A3G43C - Compartment 605

Kategorie

Instifolio - Liquid

ISIN

DE000A3G43C7

Basiswert

Primary Market Bond (EUR) Index

Compartment 749 - Opus High Tech Performance Bond XXVI (Device Total II)

Title

A4AFX5-Compartment 749

Kategorie

Equity linked - Private Equity

ISIN

DE000A4AFX55

Fälligkeitstag

15.04.2029

Compartment Jermyn Street Commercial Real Estate Fund IX Basket Tracker

Title

A3GVYD - Compartment 351

Kategorie

Basket linked - AIF

ISIN

DE000A3GVYD9

Fälligkeitstag

25.11.2026

Basiswert

Jermyn Street US Commercial Real Estate Fund II L.P

Conduit Auctus Precious Metals Note

Title

A3G7NQ - Compartment E68

Kategorie

Instifolio - Liquid

ISIN

DE000A3G7NQ9

Basiswert

Conduit Auctus Metal Portfolio Index

Connect Private Equity Tracker Certificate

Title

A4MGU6 - Compartment E39 (Series II)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGU61

Fälligkeitstag

20.12.2033

Basiswert

Connect Private Equity Basket on Aquila Healthcare Fund

Connect Private Equity Tracker Certificate

Title

A4MGU4 - Compartment E39 (Series I)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGU46

Fälligkeitstag

23.03.2034

Basiswert

Connect Private Equity Basket on Aquila Healthcare Fund

Consulting Team Anleihe

Title

A194PD - Compartment 123

Kategorie

Loan linked - Corporate

ISIN

DE000A194PD3

Fälligkeitstag

31.08.2028

Basiswert

Receivable of Consulting Team Holding AG

Consulting Team Anleihe II

Title

A3KRGG - Compartment 284

Kategorie

Loan linked - Corporate

ISIN

DE000A3KRGG9

Fälligkeitstag

20.05.2031

Basiswert

Receivable II of 7. CT Immobilienfonds GmbH & Co. KG

Consulting Team Anleihe III

Title

A3K4GH - Compartment 353

Kategorie

Loan linked - Corporate

ISIN

DE000A3K4GH3

Fälligkeitstag

15.04.2032

Basiswert

Loan to CTWJ GmbH & Co. KG

Consulting Team Anleihe IV

Title

A3LHP5 - Compartment E48

Kategorie

Loan linked - Real Estate

ISIN

DE000A3LHP51

Fälligkeitstag

16.06.2033

Basiswert

Loan to ZWEITER BIMAG FONDS GmbH & Co. KG

Corail Index Tracker

Title

A4A50X - Compartment 819

Kategorie

Instifolio - Liquid

ISIN

DE000A4A50X9

Basiswert

Corail Index

Corporate Governance Action Tracker

Title

A4AEQ1 - Compartment 710

Kategorie

Instifolio - Liquid

ISIN

DE000A4AEQ14

Basiswert

Corporate Governance Action Index

Cowa Tracker Notes

Title

A3GWES - Compartment 377

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GWES7

Fälligkeitstag

17.12.2026

Basiswert

Cowa Opportunity Basket

Credit Convictions 2024 (EUR)

Title

A3GY14 - Compartment 427

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY142

Basiswert

Credit Convictions 2024 (EUR) Index

Credit Convictions 2024 (USD)

Title

A3GY15 - Compartment 428

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY159

Basiswert

Credit Convictions 2024 Index (USD)

Credit Linked Note on General Electric Company

Title

A19YVA - Compartment Marex 04

Kategorie

Structured Products - CLN

ISIN

DE000A19YVA1

Fälligkeitstag

10.01.2023

Basiswert

Receivable from Marex

Crypto Cycle Index Zertifikat

Title

A4A52L - Compartment E20

Kategorie

Instifolio - Liquid

ISIN

DE000A4A52L0

Basiswert

Crypto Cycle Index

CuraPart

Title

A19LFT - Compartment 74

Kategorie

Loan linked - Real Estate

ISIN

DE000A19LFT1

Fälligkeitstag

08.01.2029

Basiswert

Receivable of CuraPart Immobilien GmbH

Currency Overlay CHF Index Tracker

Title

A4A53H - Compartment 842

Kategorie

Instifolio - Liquid

ISIN

DE000A4A53H6

Basiswert

Currency Overlay CHF Index

Cyber and AI Index Tracker

Title

A4AJW3 - Compartment 847

Kategorie

Instifolio - Liquid

ISIN

DE000A4AJW37

Basiswert

Cyber and AI Index

D&D Alpha Plus Index Tracker

Title

A28MTK - Compartment 215

Kategorie

Instifolio - Liquid

ISIN

DE000A28MTK0

Basiswert

D&D Alpha Plus Index

DPL Bond CHF

Title

A19JGB - Compartment 54 - CHF

Kategorie

Credit linked - Other

ISIN

DE000A19JGB1

Fälligkeitstag

26.10.2026

Basiswert

DPL Bond

DPL Bond EUR

Title

A19JGC - Compartment 54 - EUR

Kategorie

Credit linked - Other

ISIN

DE000A19JGC9

Fälligkeitstag

26.10.2024

Basiswert

DPL Bond

DPL Green Bond 2026

Title

A3K9GQ - Compartment 516

Kategorie

Loan linked - Corporate

ISIN

DE000A3K9GQ3

Fälligkeitstag

26.10.2026

Basiswert

Receivable of DPL Green Bond 2026 (Loan)

DPL Green Bond 2030

Title

A3K9GP - Compartment 495

Kategorie

Loan linked - Corporate

ISIN

DE000A3K9GP5

Fälligkeitstag

26.10.2030

Basiswert

Receivable of DPL Green Bond 2030 (Loan)

DPL Ladungsträger besicherte Anleihe

Title

A184F0 - Compartment 35

Kategorie

Loan linked - Corporate

ISIN

DE000A184F09

Fälligkeitstag

26.10.2024

Basiswert

Receivable of DPL

Danish Lending Platforms Basket Tracker (DKK)

Title

CHA0AS - Compartment 902

Kategorie

Credit linked - Receivable

ISIN

DE000CHA0AS9

Fälligkeitstag

17.03.2029

Basiswert

Nordix DKK Lending Basket

DataCenter Club-Deal (EUR) Basket Tracker

Title

CHA0AW - Compartment 977

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0AW1

Fälligkeitstag

07.07.2032

Basiswert

DataCenter Club-Deal (EUR) Basket

DataCenter Club-Deal (USD) Basket Tracker

Title

CHA0BG - Compartment 981

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0BG2

Fälligkeitstag

07.07.2032

Basiswert

DataCenter Club-Deal (USD) Basket

Digital Market Neutral Index Tracker

Title

A3GWQ9 - Compartment 382

Kategorie

Instifolio - Liquid

ISIN

DE000A3GWQ90

Basiswert

Digital Market Neutral Index

Directional Long Short Index Tracker

Title

CHA0DJ - Compartment 1038

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DJ2

Basiswert

Directional Long Short Index

Directional Long Short Index Tracker

Title

A3G825 - Compartment 374

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8257

Basiswert

Directional Long Short Index

Discount Certificate on ABB Ltd

Title

CH1548148530 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148530

Fälligkeitstag

15.02.2027

Basiswert

ABB Ltd

Discount Certificate on ASML Holding NV

Title

CH1532246423 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246423

Fälligkeitstag

07.10.2026

Basiswert

ASML Holding NV

Discount Certificate on Adyen N.V.

Title

CH1446048923 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1446048923

Fälligkeitstag

13.05.2027

Basiswert

Adyen N.V.

Discount Certificate on Allianz SE

Title

CH1532242893 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532242893

Fälligkeitstag

18.09.2026

Basiswert

Allianz SE

Discount Certificate on Alphabet, Inc.

Title

CH1532246415 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246415

Fälligkeitstag

07.10.2026

Basiswert

Alphabet, Inc.

Discount Certificate on Alstom SA

Title

CH1314935987 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1314935987

Fälligkeitstag

29.01.2027

Basiswert

Alstom SA

Discount Certificate on Barclays Plc

Title

CH1548145858 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145858

Fälligkeitstag

31.07.2028

Basiswert

Barclays Plc

Discount Certificate on Commerzbank AG

Title

CH1492028035 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492028035

Fälligkeitstag

17.01.2028

Basiswert

Commerzbank AG

Discount Certificate on DSM-Firmenich AG

Title

CH1532238800 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532238800

Fälligkeitstag

30.08.2027

Basiswert

DSM-Firmenich AG

Discount Certificate on Heidelberg Materials AG

Title

CH1548145866 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548145866

Fälligkeitstag

01.03.2028

Basiswert

Heidelberg Materials AG

Discount Certificate on Lonza Group AG

Title

CH1532246431 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1532246431

Fälligkeitstag

07.10.2026

Basiswert

Lonza Group AG

Discount Certificate on Lonza Group AG

Title

CH1548148548 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548148548

Fälligkeitstag

15.02.2027

Basiswert

Lonza Group AG

Discount Certificate on NVIDIA Corp.

Title

CH1548131395 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548131395

Fälligkeitstag

09.11.2026

Basiswert

NVIDIA Corp.

Discount Certificate on Novartis AG

Title

CH1548150759 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548150759

Fälligkeitstag

25.08.2027

Basiswert

Novartis AG

Discount Certificate on Partners Group Holding AG

Title

CH1548132203 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548132203

Fälligkeitstag

13.11.2026

Basiswert

Partners Group Holding AG

Discount Certificate on Prosus NV

Title

CH1492023002 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1492023002

Fälligkeitstag

03.12.2027

Basiswert

Prosus NV

Discount Certificate on UCB SA

Title

CH1548140198 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548140198

Fälligkeitstag

22.10.2027

Basiswert

UCB SA

Discount Certificate on VAT Group AG

Title

CH1548146773 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548146773

Fälligkeitstag

05.02.2027

Basiswert

VAT Group AG

Drako Index Tracker

Title

XS2832946334 - Compartment 750

Kategorie

Instifolio - Liquid

ISIN

XS2832946334

Basiswert

Drako Index

Drysdale Ventures Basket Tracker

Title

A4MGTQ - Compartment E120

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGTQ8

Fälligkeitstag

05.03.2035

Basiswert

Drysdale Ventures Basket

Dynamic Allocation Active Return Index Tracker

Title

CHA0AK - Compartment 878

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AK6

Basiswert

Dynamic Allocation Active Return Index

Dynamic Allocation Index Tracker

Title

CHA0EG - Compartment 1016

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EG6

Basiswert

Dynamique Allocation Index

Dynamic Alternative Opportunities Index Tracker

Title

CHA0AN- Compartment 896

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AN0

Basiswert

Dynamic Alternative Opportunities Index

Dynamic Balanced Allocation Index Tracker (USD)

Title

CHA0A8 - Compartment 927

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0A88

Basiswert

Dynamic Balanced Allocation Index

Dynamic Balanced Index Tracker

Title

A3GZMN - Compartment 447

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZMN4

Basiswert

Dynamic Balanced Index

Dynamic Equity Active Return Index Tracker

Title

A3G7XF - Compartment 645

Kategorie

Instifolio - Liquid

ISIN

DE000A3G7XF1

Basiswert

Dynamic Equity Active Return Index

ECHO Immobilien Index Tracker Bond

Title

A22CTQ - Compartment 173

Kategorie

Instifolio - Alternative

ISIN

DE000A22CTQ1

Fälligkeitstag

31.12.2026

Basiswert

Echo Immobilien Index

EGONON Global Macro Index Tracker Certificates

Title

A2UG4F - Compartment 162

Kategorie

Instifolio - Liquid

ISIN

DE000A2UG4F2

Basiswert

EGONON Global Macro Index

EMATH Index Tracker

Title

A3G214 - Compartment 545

Kategorie

Instifolio - Liquid

ISIN

DE000A3G2144

Basiswert

EMATH Index

EMPIRA Real Estate Finance Fund 6 Note

Title

A4A6AX-Compartment 863

Kategorie

Basket linked - AIF

ISIN

DE000A4A6AX9

Fälligkeitstag

15.01.2035

Basiswert

EMPIRA Real Estate Finance Fund 6 SCSp, SICAV-RAIF

EMPIRA Transition-to-Green SCSp SICAV-RAIF Repack Note

Title

CHA0A5 - Compartment 941

Kategorie

Basket linked - AIF

ISIN

DE000CHA0A54

Fälligkeitstag

20.03.2040

EQT Exeter Europe Logistics Value Fund V Basket Tracker

Title

A4MGTW - Compartment E143

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGTW6

Fälligkeitstag

31.07.2034

Basiswert

EQT Exeter Europe Logistics Value Fund V Basket

EU Equities AI Trend Navigator - Long/Short Index Tracker

Title

CHA0B9 - Compartment 999

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0B95

Basiswert

EU Equities AI Trend Navigator - Long/Short Index

EUR Yield Optimization Index Tracker

Title

CHA0AF - Compartment 884

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AF6

Basiswert

EUR Yield Optimization Index

Edelweiss Long-Term Growth Index Tracker

Title

CHA0A0 - Compartment 926

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0A05

Basiswert

Edelweiss Long-Term Growth Index

Energy Value Basket Certificate

Title

A3G8W1 - Compartment E79

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8W14

Basiswert

Energy Value Basket Index

Enhanced Fund Index Tracker

Title

A276EB - Compartment 195

Kategorie

Basket linked - AIF

ISIN

DE000A276EB6

Fälligkeitstag

27.09.2025

Basiswert

Enhanced Fund Basket

Entry Strategy Fixing

Title

A28Q17 & A28YED - Compartment 230

Kategorie

Structured Products - Index

ISIN

DE000A28Q178

Fälligkeitstag

23.06.2025

Basiswert

Deposit with Baader Bank

Equity Global Growth Opportunities

Title

CHA0BL - Compartment 947

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BL2

Basiswert

Equity Global Growth Opportunities Index

Ermes Feeder Index Tracker

Title

A3G9X2 - Compartment 684_DE

Kategorie

Instifolio - Liquid

ISIN

DE000A3G9X20

Basiswert

Ermes Feeder Index

Ermes Feeder Index Tracker

Title

XS2732241067 - Compartment 684_XS

Kategorie

Instifolio - Liquid

ISIN

XS2732241067

Basiswert

Ermes Feeder Index

Erster Immobilienanleihen Tracker

Title

A2MCNU - Compartment 105

Kategorie

Basket linked - AIF

ISIN

DE000A2MCNU6

Fälligkeitstag

31.12.2027

Basiswert

Erster Immobilienanleihen Index

Euro50 Index Tracker

Title

A4AFMX - Compartment 745

Kategorie

Instifolio - Liquid

ISIN

DE000A4AFMX6

Basiswert

Euro50 Index

European Global Sector

Title

XS3266569683 - Compartment 1028

Kategorie

Instifolio - Liquid

ISIN

XS3266569683

Basiswert

European Global Sector Index

Exaloan Platform Lending Basket

Title

A3G47V - Compartment E52

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G47V8

Fälligkeitstag

17.07.2026

Basiswert

Exaloan Platform Lending Basket

Excelsa Anne Arundel Co-Invest Conventional, SP Basket

Title

A3G5P9 - Compartment E25

Kategorie

Basket linked - Real Estate

ISIN

DE000A3G5P99

Fälligkeitstag

11.05.2033

Basiswert

Excelsa Anne Arundel Co-Invest Conventional, SP Basket

Excelsa Capital Europe Pinnacle Zertifikat

Title

A4MGVB - Compartment E137

Kategorie

Basket linked - Real Estate

ISIN

DE000A4MGVB6

Fälligkeitstag

12.02.2032

Basiswert

Excelsa Capital Europe Pinnacle Basket

Excelsa PE - Naya Basket Tracker (Series 1)

Title

A4MGTS - Compartment E141 (Series 1)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGTS4

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 2)

Title

A4MGT5- Compartment E141 (Series 2)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGT56

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 3)

Title

A4MGT7- Compartment E141 (Series 3)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGT72

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 4)

Title

A4MGT8 - Compartment E141 (Series 4)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGT80

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 5)

Title

A4MGT9 - Compartment E141 (Series 5)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGT98

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 6)

Title

A4MGUA - Compartment E141 (Series 6)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUA0

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 7)

Title

A4MGUB - Compartment E141 (Series 7)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUB8

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa PE - Naya Basket Tracker (Series 8)

Title

A4MGUC - Compartment E141 (Series 8)

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUC6

Fälligkeitstag

23.06.2030

Basiswert

Naya Basket

Excelsa US Real Estate II LP Repack

Title

A3GXHU - Compartment 403

Kategorie

Basket linked - Real Estate

ISIN

DE000A3GXHU4

Fälligkeitstag

11.03.2032

Basiswert

Excelsa US Real Estate Partners II, LP Basket

Extalia Private Debt Basket Tracker

Title

A4MGUL - Compartment E149

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUL7

Fälligkeitstag

08.09.2027

Basiswert

Extalia Private Debt Basket

Faivre Rendement Index Tracker

Title

A3G3WH - Compartment 578

Kategorie

Instifolio - Liquid

ISIN

DE000A3G3WH8

Basiswert

Faivre Rendement Index

Fiduciam CBIL Pass Through Notes 2025

Title

A3GN08 - Compartment 258

Kategorie

Loan linked - Real Estate

ISIN

DE000A3GN087

Fälligkeitstag

30.09.2026

Basiswert

Fiduciam CBIL Portfolio

Fintech Lending Note

Title

A4A533 - Compartment E98

Kategorie

Basket linked - Private Debt

ISIN

DE000A4A5332

Fälligkeitstag

20.11.2029

Basiswert

Fintech Lending Note

Fintech Lending Note Finbee

Title

CHA0EL - Compartment 1012

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0EL6

Fälligkeitstag

01.07.2031

Basiswert

Platform Lending Finbee

Fixed Income Convictions Index Tracker

Title

A3GVC7 - Compartment 348

Kategorie

Instifolio - Liquid

ISIN

DE000A3GVC71

Basiswert

Fixed Income Convictions Index

Flex EUR Index Tracker

Title

A3G217 - Compartment 548

Kategorie

Instifolio - Liquid

ISIN

DE000A3G2177

Basiswert

Flex EUR Index

Flex USD Index Tracker

Title

A3GZC2 - Compartment 444

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZC28

Basiswert

Flex USD Index

FoX-i Quantum8 Index Tracker

Title

CHA0BQ - Compartment 942

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BQ1

Basiswert

FoX-i Quantum8 Index

Fortune Financial II Index Tracker

Title

CHA0AR - Compartment 909

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AR1

Basiswert

Fortune Financial II Index

Fortune Financial Index Tracker

Title

A4A59S - Compartment 811

Kategorie

Instifolio - Liquid

ISIN

DE000A4A59S0

Basiswert

Fortune Financial Index

Frankfurter Mezzanine Index Tracker

Title

A28DH4 - Compartment 201

Kategorie

Instifolio - Alternative

ISIN

DE000A28DH48

Basiswert

Frankfurter Mezzanine Index

Fresha Pre-IPO Opportunities Note

Title

A3GVH4 - Compartment 346

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GVH43

Fälligkeitstag

26.11.2026

Basiswert

Fresha Co-Invest ELP

Future of Music 2023 Bond

Title

A3LQX3-Compartment 243

Kategorie

Credit linked - Receivable

ISIN

DE000A3LQX35

Fälligkeitstag

22.11.2027

Basiswert

Future of Music 2023 Basket

Future of Music 2025-1

Title

A3L7RJ-Compartment 332 (Serie 1)

Kategorie

Basket linked - Private Markets

ISIN

DE000A3L7RJ8

Fälligkeitstag

07.03.2030

Basiswert

Future of Music 2025-1 Basket

Future of Music 2025-2

Title

CHA0CF-Compartment 332 (Serie 2)

ISIN

DE000CHA0CF2

Fälligkeitstag

07.03.2030

Basiswert

Future of Music 2025-1 Basket

GA Fund Basket Tracker Bonds

Title

A2UCSG - Compartment 155

ISIN

DE000A2UCSG7

Basiswert

GA Fund Basket EUR

GA Private Debt Basket Tracker Bond

Title

A2UH3G - Compartment 164

ISIN

DE000A2UH3G1

Basiswert

GA Private Debt Basket

GA Private Debt Basket Tracker Bond (USD)

Title

A3GY9N - Compartment 434

Kategorie

Basket linked - Real Estate

ISIN

DE000A3GY9N0

Basiswert

GA Private Debt Basket (USD)

GA Private Equity Debt Secondaries Dynamic Basket Tracker

Title

A4AE0Y - Compartment 711

Kategorie

Basket linked - Private Markets

ISIN

DE000A4AE0Y5

Basiswert

GA Secondaries Private Equity and Debt Dynamic Basket Tracker

GA Real Estate Basket Tracker

Title

A3GUH1 - Compartment 341

Kategorie

Basket linked - Real Estate

ISIN

DE000A3GUH10

Fälligkeitstag

28.09.2033

Basiswert

GA Real Estate Basket

GAM Avenue Sports Opportunities Fund Tracker

Title

A4AHYZ - Compartment E92

Kategorie

Basket linked - AIF

ISIN

DE000A4AHYZ2

Fälligkeitstag

31.07.2035

Basiswert

GAM Avenue Sports Opportunities Fund Basket

GDP Private Debt Basket

Title

A4MG77 - Compartment PR12

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MG772

Fälligkeitstag

13.04.2029

Basiswert

GDP Private Debt Basket

GK Real Estate Anleihe A - Series I

Title

A3KQVR - Compartment 263

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KQVR7

Fälligkeitstag

26.03.2027

Basiswert

Loan Contract to CapRate Groß Kienitz Wohnen GmbH and to CapRate Groß Kienitz Gewerbe GmbH

GK Real Estate Anleihe Series II

Title

A28XXH - Compartment 213

Kategorie

Loan linked - Real Estate

ISIN

DE000A28XXH5

Fälligkeitstag

10.06.2021

Basiswert

Loan Contract to CapRate Groß Kienitz Wohnen GmbH and to CapRate Groß Kienitz Gewerbe GmbH

GKB Floating Rate Note CHF

Title

A2FY5V - Compartment 65 - CHF

Kategorie

Basket linked - Private Debt

ISIN

DE000A2FY5V3

Fälligkeitstag

31.05.2027

Basiswert

Working Capital CHF Basket

GVM Private Debt Basket Tracker Certificate

Title

A4MGTH - Compartment E115

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGTH7

Fälligkeitstag

01.12.2026

Basiswert

GVM Private Debt Basket

Game Changer Private Equity Zertifikat Series I (USD)

Title

A4A5Z1-Compartment E76 Series I (USD)

Kategorie

Instifolio - Alternative

ISIN

DE000A4A5Z15

Fälligkeitstag

31.01.2032

Basiswert

Game Changer Private Equity Index USD

Genisis Index Tracker

Title

A4MGTZ - Compartment E127

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGTZ9

Basiswert

Genisis Index

Gestion Equilibrée CHF

Title

XS2949604909 - Compartment 858

Kategorie

Instifolio - Liquid

ISIN

XS2949604909

Basiswert

Gestion Equilibrée CHF Index

Gestion Equilibrée EUR

Title

XS2950698139 - Compartment 859

Kategorie

Instifolio - Liquid

ISIN

XS2950698139

Basiswert

Gestion Equilibrée EUR Index

Global Bond Plus

Title

A3G218 - Compartment 550

Kategorie

Instifolio - Liquid

ISIN

DE000A3G2185

Basiswert

Global Bond Plus Index

Global Bonds (EUR) Index Tracker

Title

CHA0BB - Compartment 944

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BB3

Basiswert

Global Bonds (EUR) Index

Global Equities Index Tracker

Title

A4AJW2 - Compartment 845

Kategorie

Instifolio - Liquid

ISIN

DE000A4AJW29

Basiswert

Global Equities Index

Global Equity & FX AI strategy Index Tracker

Title

CHA0BE - Compartment 932

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0BE7

Basiswert

Global Equity & FX AI strategy Index

Global Fixed Income Linked Strategy

Title

USL72369AC28 - Compartment 854

Kategorie

Instifolio - Liquid

ISIN

USL72369AC28

Basiswert

Global Fixed Income Linked Strategy Index

Global Fixed Income Linked Strategy_S2

Title

XS3065236278 - Compartment 854_S2

Kategorie

Instifolio - Liquid

ISIN

XS3065236278

Basiswert

Global Fixed Income Linked Strategy Index

Global Flexible Strategy Index Tracker

Title

CHA0D2 - Compartment 1096

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0D28

Basiswert

Global Flexible Strategy Index

Global Opportunistic Bond Index Tracker (CHF)

Title

XS3267170374 - Compartment 1031 (CHF)

Kategorie

Instifolio - Liquid

ISIN

XS3267170374

Basiswert

Global Opportunistic Bond Index

Global Opportunistic Bond Index Tracker (EUR)

Title

XS3266584724- Compartment 1031 (EUR)

Kategorie

Instifolio - Liquid

ISIN

XS3266584724

Basiswert

Global Opportunistic Bond Index

Global Opportunistic Bond Index Tracker (USD)

Title

XS3266586695 - Compartment 1031 (USD)

Kategorie

Instifolio - Liquid

ISIN

XS3266586695

Basiswert

Global Opportunistic Bond Index

Global Opportunity Select Index Tracker

Title

A3GZC3 - Compartment 442

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZC36

Basiswert

Global Opportunity Select Index

Global Stock Market Linked Strategy

Title

XS3064438362 - Compartment 853_S2

Kategorie

Instifolio - Liquid

ISIN

XS3064438362

Basiswert

Global Stock Markets Linked Strategy Index

Global Stock Market Linked Strategy

Title

USL72369AB45 - Compartment 853_S1

Kategorie

Instifolio - Liquid

ISIN

USL72369AB45

Basiswert

Global Stock Markets Linked Strategy Index

Global Thematic Opportunities Certificate

Title

A3GV82 - Compartment 376

Kategorie

Instifolio - Liquid

ISIN

DE000A3GV825

Basiswert

Global Thematic Index

Global Yield Enhancer Index Tracker

Title

A3GZ3T - Compartment 437

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZ3T9

Basiswert

Global Yield Enhancer Index

Globales Hedgefonds Zertifikat

Title

A2TYVL - Compartment 133

Kategorie

Basket linked - AIF

ISIN

DE000A2TYVL7

Fälligkeitstag

01.02.2049

Basiswert

Globaler Hedgefonds Basket

Golden Equator Resilience VCC Repack Note (SGD)

Title

A4MGTU - Compartment E123

Kategorie

Basket linked - AIF

ISIN

DE000A4MGTU0

Fälligkeitstag

11.12.2027

Basiswert

Fixed Income Resilience VCC Basket

Golden Equator Resilience VCC Repack Note (USD)

Title

A4MGUG- Compartment E133

Kategorie

Basket linked - AIF

ISIN

DE000A4MGUG7

Fälligkeitstag

11.12.2027

Basiswert

Fixed Income Resilience VCC Basket

Gordon International Private Debt Basket II Tracker

Title

A4MGUT - Compartment E159

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUT0

Fälligkeitstag

25.09.2026

Basiswert

Gordon International Private Debt Basket II

Gordon International Private Debt Basket III Tracker

Title

A4MGU5 - Compartment E166

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGU53

Fälligkeitstag

12.12.2027

Basiswert

Gordon International Private Debt Basket III

Gordon International Private Debt Basket Tracker

Title

A4MGTX - Compartment E129

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGTX4

Fälligkeitstag

30.05.2027

Basiswert

Gordon International Private Debt Basket

Grand Ouest Index Tracker

Title

A3GZ8R - Compartment 480

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZ8R2

Basiswert

Grand Ouest Index

H Dynamic Capital Index Tracker

Title

A3G7D0 - Compartment 482

Kategorie

Instifolio - Liquid

ISIN

DE000A3G7D00

Basiswert

H Dynamic Capital Index

HCL Bond CHF

Title

A19G8Q - Compartment 62 - CHF

Kategorie

Loan linked - Corporate

ISIN

DE000A19G8Q1

Fälligkeitstag

09.06.2025

Basiswert

Receivable of H-Clearing AG

HERA Law Firm Lending Fund Basket Tracker Note

Title

A3G6SE - Compartment E66

Kategorie

Basket linked - AIF

ISIN

DE000A3G6SE6

Fälligkeitstag

30.06.2029

Basiswert

HERA Law Firm Lending Fund Basket

HIG Income Maximizer CHF

Title

XS3104416949 - Compartment 953

Kategorie

Instifolio - Liquid

ISIN

XS3104416949

Basiswert

HIG Income Maximizer CHF Index

HIG Income Maximizer EUR

Title

XS3104416279 - Compartment 952

Kategorie

Instifolio - Liquid

ISIN

XS3104416279

Basiswert

HIG Income Maximizer EUR Index

HIP VI Basket Tracker

Title

A4MGVL - Compartment E113

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGVL5

Fälligkeitstag

05.06.2036

Basiswert

HIP VI Basket

Havel Marina Funding Note

Title

A4MGVD - Compartment E183

Kategorie

Loan linked - Real Estate

ISIN

DE000A4MGVD2

Fälligkeitstag

27.05.2028

Basiswert

Havel Marina Loan

Heart Basket Tracker

Title

A4A53P-Compartment 862

Kategorie

Basket linked - Private Markets

ISIN

DE000A4A53P9

Fälligkeitstag

23.02.2026

Heiligberg Basket Tracker Note

Title

A4MGUH - Compartment E146

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUH5

Fälligkeitstag

15.03.2028

Basiswert

Heiligberg Basket

High Tech Performance Bond XVIII 2022

Title

A3G2F4 - Compartment 522

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G2F45

Fälligkeitstag

27.01.2028

Basiswert

Zsquare - Advance Investment Amounts

High Tech Performance Bond XVIV 2022

Title

A3G2AL-Compartment 523

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G2AL8

Basiswert

Trobix Innovation Ltd.

High Tech Performance Bond XVV 2022

Title

A3G2AM - Compartment 524

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G2AM6

Fälligkeitstag

19.12.2027

Basiswert

XTEND Preferred A-1 Shares

High Tech Performance Bond XXI (Device Total)

Title

A3G6WL-Compartment 630

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G6WL3

Fälligkeitstag

25.09.2028

Basiswert

Device Total - shares of Arcsaber

High Tech Performance Bond XXII (InnerEye)

Title

A3G6WK-compartment 631

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G6WK5

Fälligkeitstag

25.09.2028

Basiswert

InnerEye Ltd.

High Tech Performance Bond XXIII (SolCold)

Title

A3G8D6-Compartment 650

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G8D66

Fälligkeitstag

25.09.2028

Basiswert

SolCold Ltd.

High Tech Performance Bond XXIV (Pepticom)

Title

A3G8D5-Compartment 658

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G8D58

Fälligkeitstag

25.09.2028

Basiswert

Pepticom Ltd.

High Tech Performance Bond XXV (Qart)

Title

A3G9FV-Compartment 680

Kategorie

Equity linked - Private Equity

ISIN

DE000A3G9FV1

Basiswert

Qart Medical Ltd.

Horizon Revenus Millésime I

Title

CHA0DW - Compartment 1043

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DW5

Basiswert

Horizon Revenus Millésime I Index

Horizon Revenus Millésime I Index Tracker (CHF)

Title

CHA0EB - Compartment 1056

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EB7

Basiswert

Horizon Revenus Millésime I (CHF) Index

Hoste International Private Debt Basket Tracker

Title

A4MG76 - Compartment PR11

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MG764

Fälligkeitstag

10.12.2027

Basiswert

Hoste International Private Debt Basket

ICON Brouwers Systematic Trading

Title

A28K2A - Compartment 207

Kategorie

Instifolio - Liquid

ISIN

DE000A28K2A1

Basiswert

ICON Brouwers Systematic Multistrategy Index

ICON HONMA A.I. Volatility Strategy

Title

A4AE0W- Compartment 704

Kategorie

Instifolio - Liquid

ISIN

DE000A4AE0W9

Basiswert

ICON HONMA A.I. Volatility Strategy Index

ICON Market Neutral I Index Tracker

Title

A275XR - Compartment 191

Kategorie

Instifolio - Liquid

ISIN

DE000A275XR4

Basiswert

ICON Market Neutral I Index

ICON Market Neutral II Index Tracker

Title

A22MU3 - Compartment 182

Kategorie

Instifolio - Liquid

ISIN

DE000A22MU38

Basiswert

ICON Market Neutral II Index

ICON TrueNAV Structured Yield

Title

A3G1LT - Compartment 503

Kategorie

Instifolio - Liquid

ISIN

DE000A3G1LT0

Basiswert

ICON TrueNav Structured Yield Index

Icon Aeolus Hedged Equity Index Tracker

Title

A3G857 - Compartment 668

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8570

Basiswert

Icon Aeolus Hedged Equity Index

Icon Low Volatility I Index Tracker

Title

A28MEG - Compartment 214

Kategorie

Instifolio - Liquid

ISIN

DE000A28MEG0

Basiswert

ICON Low Volatility I Index

Id4 Pathway Note

Title

A4MGUX - Compartment E72

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUX2

Fälligkeitstag

22.10.2028

Basiswert

Id4 Pathway Basket

Instifolio Alternative – Dummy

Title

WKN - Compartment T2

Kategorie

Instifolio - Alternative

Basiswert

Instifolio Alternative – Dummy Index

Instifolio Test Tracker Certificate

Title

WKN - Compartment 18

Kategorie

Instifolio - Liquid

Basiswert

Comp18TestIndexWith2RefAccounts

International Equities Certificate

Title

A3GUHV - Compartment 324

Kategorie

Instifolio - Liquid

ISIN

DE000A3GUHV8

Basiswert

International Equities Index

Interrad Tracker Generation Alfa (Series 1) GBP

Title

A3G17S - Compartment E33

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G17S7

Fälligkeitstag

17.11.2026

Basiswert

Interrad Notes Series 4 GBP

Interrad Tracker Generation Alfa (Series 2) USD

Title

A3G17T - Compartment E33

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G17T5

Fälligkeitstag

17.11.2026

Basiswert

Interrad Notes Series 3 USD & Series 4 USD

Ironclad Absolute Aggressive Index Tracker

Title

A4A50H - Compartment 825

Kategorie

Instifolio - Liquid

ISIN

DE000A4A50H2

Basiswert

Ironclad Absolute Aggressive Index

Ironclad Cash Armour Strategy Index Tracker

Title

A3G6WM - Compartment 627

Kategorie

Instifolio - Liquid

ISIN

DE000A3G6WM1

Basiswert

Ironclad Cash Armour Strategy Index

Ironclad Clockwork Aggressive Index Tracker

Title

A4A50J - Compartment 826

Kategorie

Instifolio - Liquid

ISIN

DE000A4A50J8

Basiswert

Ironclad Clockwork Aggressive Index

Ironclad Diversified Armour Strategy Index Tracker

Title

A4AF89 - Compartment 695

Kategorie

Instifolio - Liquid

ISIN

DE000A4AF894

Basiswert

Ironclad Diversified Armour Strategy Index

Ironclad Enhanced Commodity Index

Title

CHA0D1 - Compartment 1029

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0D10

Basiswert

Ironclad Enhanced Commodity Index

Ironclad Equity Armour Strategy Index Tracker

Title

A3G856 - Compartment 672

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8562

Basiswert

Ironclad Equity Armour Strategy Index

Ironclad Fortress Index Tracker

Title

A3GYFS - Compartment 413

Kategorie

Instifolio - Liquid

ISIN

DE000A3GYFS0

Basiswert

Ironclad Fortress Index

Ironclad Risk Parity (15% Volatility) Index Tracker

Title

A3GYFT - Compartment 414

Kategorie

Instifolio - Liquid

ISIN

DE000A3GYFT8

Basiswert

Ironclad Risk Parity (15% Volatility) Index

Ironclad Trend-Following Index Tracker

Title

A3G6WN - Compartment 628

Kategorie

Instifolio - Liquid

ISIN

DE000A3G6WN9

Basiswert

Ironclad Trend-Following Index

Ironclad Volatility Premium Index Tracker

Title

A4A50K - Compartment 827

Kategorie

Instifolio - Liquid

ISIN

DE000A4A50K6

Basiswert

Ironclad Volatility Premium Index

Islandic Lending Platforms Basket Tracker

Title

A3K9GN - Compartment 501

Kategorie

Credit linked - Receivable

ISIN

DE000A3K9GN0

Fälligkeitstag

20.12.2027

Basiswert

Islandic Lending Platforms Basket (ISK)

JAR Evolution Index Tracker

Title

CHA0CE - Compartment 1004

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CE5

Basiswert

JAR Evolution Index

JAR Global Investment Index Tracker

Title

A3G2MD - Compartment 509

Kategorie

Instifolio - Liquid

ISIN

DE000A3G2MD0

Basiswert

JAR Global Investment Index

JAR Structured Product Index Tracker

Title

A3G2AN - Compartment 525

Kategorie

Instifolio - Liquid

ISIN

DE000A3G2AN4

Basiswert

JAR Structured Product Index

JE Invest Index Tracker

Title

A3GN36 - Compartment 260

Kategorie

Instifolio - Liquid

ISIN

DE000A3GN368

Basiswert

JE Invest Index

JRC Quant Dynamic

Title

A2HUF2 - Compartment 99

Kategorie

Instifolio - Liquid

ISIN

DE000A2HUF20

Fälligkeitstag

01.02.2024

Basiswert

JRC Quant Dynamic Index

Jermyn Street Street Logistics Fund II Tracker

Title

A3G0T3 - Compartment 491

Kategorie

Basket linked - AIF

ISIN

DE000A3G0T33

Fälligkeitstag

19.08.2027

Basiswert

Jermyn Street Logistics Fund II

Jermyn US Commercial Real Estate Fund Tracker

Title

A3KUPN - Compartment 102

Kategorie

Basket linked - AIF

ISIN

DE000A3KUPN0

Fälligkeitstag

04.08.2028

Basiswert

Jermyn Street US Commercial Real Estate Fund

Junior Miners Index Tracker

Title

CHA0CD - Compartment 1007

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CD7

Basiswert

Junior Miners Index

K Fixed Income Best Convictions

Title

CHA0DB - Compartment 969

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DB9

Basiswert

K Fixed Income Best Convictions Index

KM Cube Unicorn Index Tracker

Title

A3GWGE - Compartment 383

Kategorie

Instifolio - Liquid

ISIN

DE000A3GWGE2

Basiswert

KM Cube Unicorn Index

KM KeyMaker Notes Index Tracker

Title

CHA0D0 - Compartment 1045

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0D02

Basiswert

KM KeyMaker Notes Index

KYNA World Islamic Equity Index Tracker

Title

A3GX9V - Compartment 366

Kategorie

Instifolio - Liquid

ISIN

DE000A3GX9V4

Basiswert

World Islamic Equity Index

Kalshi Pre IPO Structured Note

Title

CHA0ET -Compartment 1123

Kategorie

Equity linked - Private Equity

ISIN

DE000CHA0ET9

Fälligkeitstag

17.06.2031

Basiswert

Aliya Growth Fund LLC - Series BS, investing in Kalshi Inc. (Pre IPO Shares)

Kansas Oil Income l

Title

A3KXR9 - Compartment 322

Kategorie

Loan linked - Corporate

ISIN

DE000A3KXR92

Fälligkeitstag

17.12.2026

Basiswert

Loan to Kansas Oil Income I, LP

Korridor Index EUR II Tracker Certificates

Title

A22GMC - Compartment 176

Kategorie

Structured Products - Equities

ISIN

DE000A22GMC7

Basiswert

Korridor Index EUR II

Kredo Debt Fund I Series 1 Basket Tracker

Title

XS3358200379 - Compartment E181 S1

Kategorie

Basket linked - Private Debt

ISIN

XS3358200379

Fälligkeitstag

29.04.2036

Basiswert

Kredo Debt Fund I Series 1 Basket

Kredo Debt Fund I Series 2 Basket Tracker

Title

XS3358200965 - Compartment E181 S2

Kategorie

Basket linked - Private Debt

ISIN

XS3358200965

Fälligkeitstag

29.04.2036

Basiswert

Kredo Debt Fund I Series 2 Basket

Kyna Alternative Opportunities Index Tracker

Title

A3G3KE - Compartment 477

Kategorie

Instifolio - Liquid

ISIN

DE000A3G3KE0

Basiswert

Kyna Alternative Opportunities Index

Kyna European Equity Index Tracker

Title

A3G1PK - Compartment 511

Kategorie

Instifolio - Liquid

ISIN

DE000A3G1PK0

Basiswert

Kyna European Equity Index

Kyna Global Equity Impact Index Tracker

Title

A4A5ZV - Compartment 823

Kategorie

Instifolio - Liquid

ISIN

DE000A4A5ZV2

Basiswert

Kyna Global Equity Impact Index

Kyna Global Equity Index Tracker

Title

A3G08J - Compartment 499

Kategorie

Instifolio - Liquid

ISIN

DE000A3G08J5

Basiswert

Kyna Global Equity Index

Kyna Global Tech Index Tracker

Title

A4A5ZW - Compartment 824

Kategorie

Instifolio - Liquid

ISIN

DE000A4A5ZW0

Basiswert

Kyna Global Tech Index

Kyna Swiss Focus Index Tracker

Title

A3G6HP - Compartment 626

Kategorie

Instifolio - Liquid

ISIN

DE000A3G6HP5

Basiswert

Kyna Swiss Focus Index

Kyna US Equity Index Tracker

Title

A3G08K - Compartment 500

Kategorie

Instifolio - Liquid

ISIN

DE000A3G08K3

Basiswert

Kyna US Equity Index

Kyoto Resort Holdings Convertible Bond

Title

A3GMDL - Compartment 245

Kategorie

Loan linked - Real Estate

ISIN

DE000A3GMDL5

Fälligkeitstag

09.11.2027

Basiswert

Kyoto Resorts Holding Co., Ltd. Ordinary Shares

L.F. Pioneer Venture Capital Zertifikat Series 1

Title

A4AFJ3-Compartment PR 1 Series I

Kategorie

Loan linked - Corporate

ISIN

DE000A4AFJ38

Fälligkeitstag

15.05.2034

Basiswert

Profit Participation Loan to L.F. Pioneer Ventures AG (EUR)

LCI Total Return Strategy

Title

CHA0AX - Compartment 923

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AX9

Basiswert

LCI Total Return Strategy Index

LG Family Index Tracker

Title

CHA0DR - Compartment 1069

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DR5

Basiswert

LG Family Index

LIXX European Green Deal Core CTB Index Tracker

Title

CHA0FF - Compartment 1175

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0FF5

Basiswert

LIXX Europe Green Deal Core CTB NTR Index

La Querola Real Estate Loan

Title

A3K3D2 - Compartment E19

Kategorie

Loan linked - Real Estate

ISIN

DE000A3K3D22

Fälligkeitstag

02.11.2026

Basiswert

La Querola Loan

Lakeshore Diok Loan Participation Notes

Title

A4MGT3-Compartment E125

Kategorie

Loan linked - Real Estate

ISIN

DE000A4MGT31

Fälligkeitstag

28.05.2029

Basiswert

Lakeshore Diok Loan

Lakeshore Diok Loan Participation Notes II

Title

A4MGUW - Compartment E161

Kategorie

Loan linked - Real Estate

ISIN

DE000A4MGUW4

Fälligkeitstag

23.10.2029

Basiswert

Lakeshore Diok Loan II

Lakeshore Diok Loan Participation Notes III

Title

A4MGU1 - Compartment E164

Kategorie

Loan linked - Real Estate

ISIN

DE000A4MGU12

Fälligkeitstag

11.11.2027

Langstrasse Basket Tracker Note

Title

A4MGVG - Compartment E168

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGVG5

Fälligkeitstag

06.11.2028

Basiswert

Langstrasse Basket

Large Cap Trading Index Tracker

Title

A3G1BK - Compartment 462

Kategorie

Instifolio - Liquid

ISIN

DE000A3G1BK0

Basiswert

Large Cap Trading Index

Linvo Market Neutral Index Tracker

Title

A3GRR5 - Compartment 272

Kategorie

Instifolio - Liquid

ISIN

DE000A3GRR54

Basiswert

Linvo Market Neutral Index

Loan Participation Dublin 2 Notes

Title

A4MGUJ - Compartment E145

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUJ1

Fälligkeitstag

05.09.2028

Basiswert

Loan Participation Dublin2 for Comp 145

Loan Participation Dublin1

Title

A4MGUK - Compartment E142

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUK9

Fälligkeitstag

05.09.2028

Basiswert

Loan Participation Dublin1 for Comp 142

Long Term Evolutive Portfolio I (EUR)

Title

XS2913286105 - Compartment 840

Kategorie

Instifolio - Liquid

ISIN

XS2913286105

Basiswert

Long Term Evolutive Portfolio I (EUR) Index

Luna Food PE Basket Tracker

Title

A3GWGF - Compartment 363

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GWGF9

Fälligkeitstag

16.01.2032

Basiswert

Luna Food PE Basket

Lunis Bridge Financing Index Tracker

Title

A3KNB3 - Compartment 287

Kategorie

Basket linked - Real Estate

ISIN

DE000A3KNB35

Fälligkeitstag

08.01.2025

Basiswert

Real Estate Bridge Financing Index

Luxembourg Life Fund II Basket Tracker Note

Title

A28DH7 - Compartment 192

Kategorie

Basket linked - AIF

ISIN

DE000A28DH71

Fälligkeitstag

30.04.2030

Basiswert

Luxembourg Life Fund II Basket

MB Kapital Invest

Title

A|3|G|X|C|9 - Compartment 4|0|4

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|X|C|9|5

Basiswert

MB Kapital Invest Index

MEZ Capital Index Bonds II

Title

A22C4M - Compartment 177

Kategorie

Instifolio - Alternative

ISIN

DE000A22C4M8

Basiswert

MEZ Capital basket

MEZ Capital Long Term Index Bond

Title

A2TGRM - Compartment 142

Kategorie

Instifolio - Alternative

ISIN

DE000A2TGRM0

Fälligkeitstag

06.11.2068

Basiswert

Mez Capital Long term

MEZ Captal Basket Partizipationszertifikate

Title

A2FTV1 - Compartment 58 - EUR

Kategorie

Basket linked - Real Estate

ISIN

DE000A2FTV17

Basiswert

MEZ Capital basket

MEZ Long Term Opportunity

Title

A2TGHC - Compartment 144

Kategorie

Instifolio - Alternative

ISIN

DE000A2TGHC2

Basiswert

RE Opportunity Index

MMC 998

Title

ALL - Compartment 998

Kategorie

Structured Products - Rates

ISIN

998MASTERFX

MS Multi Asset Strategy Index Tracker

Title

A3KS5Y - Compartment P15

Kategorie

Structured Products - Index

ISIN

DE000A3KS5Y7

Fälligkeitstag

01.12.2031

Basiswert

MS Multi Asset Strategy

MS Multi Asset Strategy Index Tracker II

Title

A3GWZE - Compartment P19

Kategorie

Structured Products - Index

ISIN

DE000A3GWZE2

Fälligkeitstag

01.07.2032

Basiswert

MS Multi Asset Strategy

MS Multi Asset Strategy Index Tracker III

Title

A3K5HZ - Compartment P22

Kategorie

Structured Products - Index

ISIN

DE000A3K5HZ0

Fälligkeitstag

01.12.2032

Basiswert

Coupon discount certificates issued by Bank Cler AG

MS Multi Asset Strategy Index Tracker IV

Title

A3G219 - Compartment P24

Kategorie

Structured Products - Index

ISIN

DE000A3G2193

Fälligkeitstag

04.07.2033

MS Multi Asset Strategy Index Tracker V

Title

A3LJQM -Compartment P31

Kategorie

Structured Products - Index

ISIN

DE000A3LJQM1

Fälligkeitstag

01.12.2033

MS Multi Asset Strategy Index Tracker VI

Title

A4AEHW -Compartment P35

Kategorie

Structured Products - Index

ISIN

DE000A4AEHW1

Fälligkeitstag

03.07.2034

MS Multi Asset Strategy Index Tracker VII

Title

A4AH2E -Compartment P38

Kategorie

Structured Products - Index

ISIN

DE000A4AH2E0

Fälligkeitstag

04.12.2034

MS Multi Asset Strategy Index Tracker VIII

Title

A4MGCR -Compartment P43

Kategorie

Structured Products - Index

ISIN

DE000A4MGCR2

Fälligkeitstag

03.12.2035

MW LSV AMAN Fund Tracker

Title

A4MGU7 - Compartment E177

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGU79

Fälligkeitstag

11.02.2030

Basiswert

MW LSV AMAN Fund Tracker Basket

Magnolia Index Tracker

Title

XS3114734257 - Compartment 924

Kategorie

Instifolio - Liquid

ISIN

XS3114734257

Basiswert

Magnolia Index

Malekula Global Income Index Tracker

Title

A4AJAT - Compartment 820

Kategorie

Instifolio - Alternative

ISIN

DE000A4AJAT1

Basiswert

Malekula Global Income Index

Malmö Real Estate Bond Serie III

Title

CHA0FM - Compartment 235 Serie III

Kategorie

Loan linked - Real Estate

ISIN

DE000CHA0FM1

Fälligkeitstag

10.08.2029

Basiswert

Loan to Cap Rate Malmö 1 AB

Malmö Real Estate Series I

Title

A281NZ - Compartment 235

Kategorie

Loan linked - Real Estate

ISIN

DE000A281NZ6

Fälligkeitstag

30.06.2025

Basiswert

Loan to Cap Rate Malmö 1 AB

Malmö Real Estate Series II

Title

A281N0 - Compartment 235

Kategorie

Loan linked - Real Estate

ISIN

DE000A281N01

Fälligkeitstag

30.06.2025

Basiswert

Loan to Cap Rate Malmö 1 AB

Maranello Index Tracker Certificate (Series 1)

Title

CHA0CH - Compartment 1005 S1

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CH8

Basiswert

Maranello Index

Maranello Index Tracker Certificate (Series 2)

Title

CHA0CJ - Compartment 1005 S2

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CJ4

Basiswert

Maranello Index

Maranello Levered Index Tracker Certificate

Title

CHA0CY - Compartment 1014

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CY3

Basiswert

Maranello Levered Index

Marex - Elysium Index Tracker

Title

A4AH4H - Compartment 777

Kategorie

Instifolio - Alternative

ISIN

DE000A4AH4H9

Basiswert

Elysium Optimised Index

Margeaux Basket Tracker

Title

CHA0BF-Compartment 950

Kategorie

Basket linked - Private Markets

ISIN

DE000CHA0BF4

Fälligkeitstag

30.06.2027

Market Impulse Index Tracker

Title

XS3064399879 - Compartment 936

Kategorie

Instifolio - Liquid

ISIN

XS3064399879

Basiswert

Market Impulse Index

Master Dynamic Cross Asset Index Tracker (EUR)

Title

A|3|G|S|R|X - Compartment 3|1|1

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|S|R|X|7

Basiswert

Master Dynamic Multi-Asset Opportunities (EUR) Index

Matcha Basket Tracker

Title

A4A51C - Compartment 829

Kategorie

Basket linked - Private Markets

ISIN

DE000A4A51C1

Fälligkeitstag

07.10.2026

Mbanq Earned Wage Access Participation Note

Title

A4MGVH-Compartment E193

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGVH3

Fälligkeitstag

10.04.2028

Basiswert

Loan to Mbanq

Merseburg Anleihe

Title

A4MGVM - Compartment E191

Kategorie

Loan linked - Real Estate

ISIN

DE000A4MGVM3

Fälligkeitstag

30.04.2032

Basiswert

Loan to Merseburg Immobilien GmbH

Method Investments Systematic US Long/Short Strategy

Title

A3GZKB - Compartment 446

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZKB3

Basiswert

Method Investments Systematic US Long/Short Strategy Index

MillReef Fund III Basket Tracker

Title

A4MGU0 - Compartment E163

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGU04

Fälligkeitstag

17.12.2035

Basiswert

Mill Reef Capital Fund III Basket

Miyam SAS Private Basket Tracker

Title

A4MGTK - Compartment E112

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGTK1

Fälligkeitstag

28.02.2030

Basiswert

Miyam SAS Private Basket

MoSAIQ Market Neutral II CHF FX Hedged

Title

CHA0C0 - Compartment 905

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C03

Basiswert

MoSAIQ-Market Neutral II CHF FX HEDGED Index

Momentick Preferred A Shares

Title

A4A594-Compartment 872

Kategorie

Equity linked - Private Equity

ISIN

DE000A4A5944

Fälligkeitstag

20.12.2029

Money Market USD Index Tracker

Title

A4AH73 - Compartment 801 (Series 1)

Kategorie

Instifolio - Liquid

ISIN

DE000A4AH734

Basiswert

Money Market USD Index

Mont Blanc Performance Index Tracker

Title

A3G4H3 - Compartment 587

Kategorie

Instifolio - Liquid

ISIN

DE000A3G4H33

Basiswert

Mont Blanc Performance Index

Monti Dynamic Protection # 1

Title

A3GVMC - Compartment 355

Kategorie

Instifolio - Liquid

ISIN

DE000A3GVMC6

Basiswert

Monti Dynamic Protection #1 Index

Mozzeno Fintech Lending Note

Title

CHA0EK - Compartment 1105

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0EK8

Fälligkeitstag

15.05.2031

Basiswert

Platform Lending Mozzeno

Mozzeno Lending Platform Basket Tracker

Title

A3KZPM - Compartment 345

ISIN

DE000A3KZPM1

Fälligkeitstag

06.12.2028

Basiswert

Mozzeno Lending Platform Basket

Multi Asset Fund Basket Index Tracker

Title

A28K1P - Compartment 203

Kategorie

Basket linked - AIF

ISIN

DE000A28K1P1

Basiswert

Multi Asset Fund Basket Index

Multi-Asset Absolute Return Strategy

Title

XS3339805684 - Compartment 1033

Kategorie

Instifolio - Liquid

ISIN

XS3339805684

Basiswert

Multi-Asset Absolute Return Strategy Index

Multi-Asset Alternative

Title

CHA0DN - Compartment 971

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0DN4

Basiswert

Multi-Asset Alternative Index

Multi-Asset-Flexible 1L

Title

XS3328663466 - Compartment 1089

Kategorie

Instifolio - Liquid

ISIN

XS3328663466

Basiswert

Multi-Asset-Flexible 1L

Multi-Asset-Flexible 1M

Title

XS3328604882 - Compartment 1090

Kategorie

Instifolio - Liquid

ISIN

XS3328604882

Basiswert

Multi-Asset-Flexible 1M

Multi-Asset-Flexible 1a Index tracker

Title

XS3320009189 - Compartment 1075

Kategorie

Instifolio - Liquid

ISIN

XS3320009189

Basiswert

Multi-Asset-Flexible 1a Index

Multi-Strategy C

Title

CHA0EV - Compartment 1059

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EV5

Basiswert

Multi-Strategy C

Multi-Thematic GCM

Title

CHA0DX - Compartment 1044

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DX3

Basiswert

Multi-Thematic GCM Index

Multistrategie Micro Opportunity Index Tracker

Title

A4A6BE - Compartment 844

Kategorie

Credit linked - Other

ISIN

DE000A4A6BE7

Basiswert

Multistrategie Micro Opportunity Index

Murahaba Deposits Basket Tracker

Title

A3G4UD - Compartment 590_S1

Kategorie

Basket linked - AIF

ISIN

DE000A3G4UD9

Fälligkeitstag

05.04.2033

Basiswert

Murhabaha Deposits Basket

Muse Metrics Index Tracker

Title

A2MB2L - Compartment 104

Kategorie

Instifolio - Liquid

ISIN

DE000A2MB2L9

Fälligkeitstag

30.04.2049

Möbius US selection balanced EUR hedged Index Tracker (InstiToken Series)

Title

LU2999513752 - Compartment 879_S2 (InstiToken)

Kategorie

Instifolio - Liquid

ISIN

LU2999513752

Basiswert

Möbius US selection balanced EUR hedged Index

Möbius USD intraday trend Index Tracker (InstiToken Series)

Title

CHA0FG - Compartment 1170 S1 (InstiToken)

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0FG3

Basiswert

Möbius USD intraday trend Index

NDM Tactical Opportunities Index tracker

Title

CHA0CR - Compartment 1008

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CR7

Basiswert

NDM Tactical Opportunities Index

NEO Finance Lending Platform Basket Tracker

Title

A3KS55 - Compartment 317

Kategorie

Credit linked - Receivable

ISIN

DE000A3KS559

Fälligkeitstag

16.07.2028

Basiswert

NEO Finance Lending Platform Basket

NRW Zins Strategie

Title

A3GTR7 - Compartment 316

Kategorie

Instifolio - Liquid

ISIN

DE000A3GTR78

Basiswert

NRW Zins Strategie Index

NexGen on Digital Asset

Title

CHA0AU - Compartment 913

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AU5

Basiswert

NextGen on Digital Asset Index

Nexaro Holdings Index Linked Note

Title

CHA0DE - Compartment 1034

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0DE3

Basiswert

Nexaro Holdings Index

Nikkei Barrier Accelerator Bear Bond

Title

A19XLK & A19XLL - Compartment 106

Kategorie

Structured Products - Equities

ISIN

DE000A19XLK3

Fälligkeitstag

20.03.2023

Basiswert

JPY Money Market

Nikkei Double Barrier Accelerator Bull Bear Bond

Title

A2A8E8 & A2A8E9 Compartment 28

Kategorie

Structured Products - Equities

ISIN

DE000A2A8E86 & DE000A2A8E94

Fälligkeitstag

29.04.2021

Basiswert

JPY Money Market

Nikkei Double Barrier Accelerator Bull Bear Bond

Title

A17ZY2 Compartment 27

Kategorie

Structured Products - Equities

ISIN

DE000A17ZY28

Fälligkeitstag

22.12.2020

Basiswert

JPY Money Market

Nikkei Double Barrier Accelerator Bull Bond

Title

A2TU5Q & A2TU5R - Compartment 147

Kategorie

Structured Products - Equities

ISIN

DE000A2TU5Q1 & DE000A2TU5R9

Fälligkeitstag

24.07.2024

Northern Europe Lending Platform Basket Tracker

Title

A3G961 - Compartment 239

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G9610

Fälligkeitstag

21.12.2030

Basiswert

Northern Europe Lending Platform Basket

Notos Maritim HPM

Title

A22MVW - Compartment 179

Kategorie

Instifolio - Liquid

ISIN

DE000A22MVW4

Basiswert

Notos Maritime Strategy Index USD

NovoLeo Index Tracker (Series 1)

Title

CHA0CX - Compartment 1017

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CX5

Basiswert

NovoLeo Index

OAFIT USD Hedged Notes (Series 1)

Title

CHA0EW - Compartment 1122 S1

Kategorie

Loan linked - Corporate

ISIN

DE000CHA0EW3

Fälligkeitstag

21.07.2028

OAFIT USD hedged Notes

Title

A3L6HZ - Compartment 855

Kategorie

Loan linked - Corporate

ISIN

DE000A3L6HZ7

Fälligkeitstag

19.03.2027

OB Strategies Index Tracker

Title

A4MGUV - Compartment E156

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGUV6

Basiswert

OB Strategies

Olympia Crypto Strategy

Title

A4MGVN - Compartment E203

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGVN1

Basiswert

Olympia Crypto Strategy

Omega Private Debt Fund Basket Tracker Bonds

Title

A2UH3F - Compartment 163

Kategorie

Basket linked - AIF

ISIN

DE000A2UH3F3

Fälligkeitstag

30.06.2027

Basiswert

Omega Private Debt Basket

Optimum Global Index EUR Tracker Bonds

Title

A2TTYW - Compartment 126

Kategorie

Instifolio - Liquid

ISIN

DE000A2TTYW8

Fälligkeitstag

31.12.2049

Opus High Tech Performance Bond X

Title

A2TWTT - Compartment 151

Kategorie

Equity linked - Private Equity

ISIN

DE000A2TWTT8

Fälligkeitstag

21.12.2023

Basiswert

0-Phy Technologies Ltd.

Opus-EFG Money Market Certificate

Title

CH1532251688 - Compartment 1015

Kategorie

Structured Products - Rates

ISIN

CH1532251688

Fälligkeitstag

02.04.2036

Basiswert

CH1532251688 - SOFR-USD Riskfree Rate

Opus-EFG Money Market Certificate

Title

CH1488394250 - Compartment 998

Kategorie

Structured Products - Rates

ISIN

CH1488394250

Fälligkeitstag

01.10.2026

Basiswert

ESTR - EUR Riskfree Rate

Opus-EFG Money Market Certificate

Title

CH1501107044 - Compartment 998

Kategorie

Structured Products - Rates

ISIN

CH1501107044

Fälligkeitstag

30.10.2026

Basiswert

SOFR-USD Riskfree Rate

Opus-EFG Money Market Certificate

Title

CH1532514275 - Compartment 998

Kategorie

Structured Products - Rates

ISIN

CH1532514275

Fälligkeitstag

13.02.2036

Basiswert

ESTR - EUR Riskfree Rate

Organic Garden AG Tracker

Title

A4MGUS-Compartment E152

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUS2

Fälligkeitstag

19.09.2035

Basiswert

Organic Garden AG Basket

P Finance Tracker

Title

A3G0T4 - Compartment 492

Kategorie

Instifolio - Liquid

ISIN

DE000A3G0T41

Basiswert

P Finance Index

P Thema Certificate

Title

CHA0C5 - Compartment 967

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C52

Basiswert

P Thema Index

PARTIZIPATIONS-ZERTIFIKATE - MEZ COMBINED RETURN

Title

A2RVQX - Compartment 141

Kategorie

Instifolio - Alternative

ISIN

DE000A2RVQX2

Basiswert

Mez Combined Return Referenzkorb

PD Convertible Opportunity Bond Basket

Title

A3GT18 - Compartment E8

Kategorie

Credit linked - Other

ISIN

DE000A3GT183

Fälligkeitstag

07.09.2031

Basiswert

PD Convertible Opportunity Bond Basket

PE Opportunities Basket Tracker

Title

A4AJX5 - Compartment E101

Kategorie

Basket linked - Private Equity

ISIN

DE000A4AJX51

Fälligkeitstag

11.11.2029

Basiswert

PE Opportunities Basket

PKB Euro High Yield Bonds Selection Index Traker

Title

A4AFMV - Compartment 747

Kategorie

Instifolio - Liquid

ISIN

DE000A4AFMV0

Basiswert

PKB Euro High Yield Bonds Selection Index Tracker Index

PKB US Dollar Aggregate Bond Selection Index Tracker

Title

A4AFMW - Compartment 748

Kategorie

Instifolio - Liquid

ISIN

DE000A4AFMW8

Basiswert

PKB US Dollar Aggregate Bond Selection Index

Paladin Fund Basket Tracker Bonds

Title

A3GQ0S - Compartment 276

Kategorie

Basket linked - AIF

ISIN

DE000A3GQ0S8

Fälligkeitstag

29.03.2028

Basiswert

Paladin Fund Basket

Paradigm Shift Loan Note

Title

A4MGTL - Compartment E140

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGTL9

Fälligkeitstag

20.01.2027

Basiswert

Paradigm Shift Holdings Loan Basket

Partizipationsanleihe auf das Globale Hedgefondszertifikat

Title

A3G6PC-Compartment E56

Kategorie

Basket linked - AIF

ISIN

DE000A3G6PC6

Basiswert

Globales Hedgefondszertifikat

Partizipationsanleihe auf den Real Estate Bridge Financing Index

Title

A3GN3Z - Compartment 100

Kategorie

Instifolio - Alternative

ISIN

DE000A3GN3Z0

Basiswert

Real Estate Bridge Financing Index

Partizipationsanleihen auf den Mez Capital Index

Title

A2TGHB - Compartment 143

Kategorie

Instifolio - Alternative

ISIN

DE000A2TGHB4

Basiswert

Mez Investible Referenzkorb

Partizipationszertifikate Mez Capital (P) Basket

Title

A2HJF9 - Compartment 75

Kategorie

Basket linked - Real Estate

ISIN

DE000A2HJF90

Basiswert

Mez Capital (P) Basket

Partizipationszertifikate auf PG Combined Return Index

Title

A2TVAZ - Compartment P8

Kategorie

Instifolio - Liquid

ISIN

DE000A2TVAZ7

Fälligkeitstag

31.12.2049

Pasqal Private Equity Tracker

Title

A4MGVR - Compartment E204

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGVR2

Fälligkeitstag

30.07.2027

Basiswert

Pasqal Holding SAS Basket

Passive strategy - Balanced profile Index Tracker

Title

A3GV7M - Compartment 373

Kategorie

Instifolio - Liquid

ISIN

DE000A3GV7M9

Basiswert

Passive strategy - Balanced profile Index

Passive strategy - Balanced profile Index Tracker

Title

A|3|G|V|7|M - Compartment 3|7|3

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|V|7|M|9

Basiswert

Passive strategy - Balanced profile Index

Payin7 Lending Platform Basket Tracker

Title

A3GV10 - Compartment 370

Kategorie

Credit linked - Receivable

ISIN

DE000A3GV106

Fälligkeitstag

02.12.2028

Basiswert

Payin7 Lending Platform Basket

Pendragon Real Estate Bond

Title

A2F9NG - Compartment 69

Kategorie

Basket linked - AIF

ISIN

DE000A2F9NG8

Basiswert

Pendragon Real Estate Fund

Pendragon enhanced Index Tracker

Title

A185XJ - Compartment 42

Kategorie

Instifolio - Alternative

ISIN

DE000A185XJ2

Fälligkeitstag

03.09.2021

Basiswert

Pendragon Real Estate Basket

Pepticom Spin Off Tracker

Title

A3GNUU - Compartment 264

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GNUU8

Fälligkeitstag

15.01.2031

Basiswert

Pepticom Ltd.

Phi Technologies Structured Note

Title

A4MGVT - Compartment E195

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGVT8

Fälligkeitstag

17.07.2031

Basiswert

Phi Technologies Management Ltd. Preferred Shares

Plutus Tactical Opportunities Index Tracker

Title

A4A539 - Compartment 839

Kategorie

Instifolio - Liquid

ISIN

DE000A4A5399

Basiswert

Plutus Tactical Opportunities Index

Premium Alpha Selection Index Tracker

Title

A4A6A9 - Compartment 869

Kategorie

Instifolio - Alternative

ISIN

DE000A4A6A96

Basiswert

Premium Alpha Selection Index

Prime Venture Capital Basket 1 Tracker

Title

A4AG75 - Compartment 768 S1

Kategorie

Basket linked - AIF

ISIN

DE000A4AG751

Fälligkeitstag

19.06.2034

Basiswert

Prime Venture Capital Basket 1

Prime Venture Capital Basket 2 Tracker

Title

A4AG76 - Compartment 768 S2

Kategorie

Basket linked - AIF

ISIN

DE000A4AG769

Fälligkeitstag

19.06.2034

Basiswert

Prime Venture Capital Basket 2

Prisme Tréso Index Tracker

Title

A3GY9Q - Compartment 430

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY9Q3

Basiswert

Prisme Tréso Index

Prisme Tréso Index Tracker

Title

A|3|G|Y|9|Q - Compartment 4|3|0

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|Y|9|Q|3

Basiswert

Prisme Tréso Index

Private Credit Opportunities VCC Basket

Title

A3G536 - Compartment 498

Kategorie

Structured Products - Funds

ISIN

DE000A3G5360

Fälligkeitstag

30.05.2033

Basiswert

Private Credit Opportunities VCC Basket

Private Markets Basket 2026 Series 1

Title

A4MGVF - Compartment E100 S1

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGVF7

Fälligkeitstag

16.04.2029

Basiswert

Private Markets 2026 Series 1 Basket

Project Runway tracker Bonds

Title

A22LU0 - Compartment 185

Kategorie

Basket linked - AIF

ISIN

DE000A22LU05

Fälligkeitstag

13.11.2029

Basiswert

Class B Shares issued by the Western Europe Real Estate Compartment of Jermyn Street Real Estate S.A., SICAV-FIAR

Protina Hedge Fund Index Tracker

Title

A4AGFL-Compartment E55

Kategorie

Instifolio - Alternative

ISIN

DE000A4AGFL3

Basiswert

Protina Hedge Fund Index

Pumpkin Global Strategy Note

Title

A3GUDL - Compartment 302

Kategorie

Instifolio - Liquid

ISIN

DE000A3GUDL8

Basiswert

Pumpkin Index

Purple Bridge Funding Bond Series I (EUR)

Title

A4MGUM-Compartment E155 (Series I_EUR)

Kategorie

Loan linked - Corporate

ISIN

DE000A4MGUM5

Fälligkeitstag

01.11.2025

Purple DIP Cash EUR Bond

Title

A4MGU3 - Compartment E172

Kategorie

Loan linked - Corporate

ISIN

DE000A4MGU38

Fälligkeitstag

14.08.2026

Purple DIP RU EUR Bond

Title

A4MGU2 - Compartment E171

Kategorie

Loan linked - Corporate

ISIN

DE000A4MGU20

Fälligkeitstag

14.08.2026

QRA Capital Real Estate Fund Tracker

Title

A3GXCP - Compartment 395

Kategorie

Basket linked - AIF

ISIN

DE000A3GXCP5

Fälligkeitstag

19.02.2027

Basiswert

QRA CAPITAL RAIF V.C.I.C. PLC Basket

QWM Active Bonds

Title

A3G8WX - Compartment 663

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8WX4

Basiswert

QWM Active Bonds Index

Quant Crypto Trading Index Tracker

Title

A4MGVC - Compartment E57

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGVC4

Basiswert

Quant Crypto Trading Index

Quant Total Return Index Tracker Certificates

Title

A275XQ - Compartment 190

Kategorie

Instifolio - Liquid

ISIN

DE000A275XQ6

Fälligkeitstag

21.01.2024

Basiswert

Quant Total Return Index

QuantOn Managed Futures Index Tracker

Title

A3G539 - Compartment 598

Kategorie

Instifolio - Liquid

ISIN

DE000A3G5394

Basiswert

QuantOn Managed Futures Index

Quantres Index Tracker

Title

A3G96W - Compartment 683

Kategorie

Instifolio - Liquid

ISIN

DE000A3G96W3

Basiswert

Qantares Index

Quantum Computing Selection

Title

CHA0E0 - Compartment 1060

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0E01

Basiswert

Quantum Computing Selection

Quasar Index Tracker

Title

A3G0C9 - Compartment 487

Kategorie

Instifolio - Liquid

ISIN

DE000A3G0C99

Basiswert

Quasar Index

RAPA Global Equities and Fixed Income Index Tracker

Title

A3GQZQ - Compartment 283

Kategorie

Instifolio - Liquid

ISIN

DE000A3GQZQ8

Basiswert

RAPA Global Equity and Fixed Income Index

RBI Inflation Linked VW

Title

A2R4Z5 - Compartment P9 Inflation VWIF Mar 2019(27)

Kategorie

Structured Products - Rates

ISIN

DE000A2R4Z55

Fälligkeitstag

02.04.2027

Basiswert

CPTFEMU (HICP ex Tobacco)

RCSH Bond CHF

Title

A19JCA - Compartment 61 - CHF

Kategorie

Loan linked - Corporate

ISIN

DE000A19JCA2

Fälligkeitstag

09.06.2028

Basiswert

Loan Bit-Oil UK Limited

RCSH Bond EUR

Title

A19H7X - Compartment 61 - EUR

Kategorie

Loan linked - Corporate

ISIN

DE000A19H7X8

Fälligkeitstag

09.06.2028

Basiswert

Loan Bit-Oil UK Limited

RCSH Bond USD

Title

A19G8P - Compartment 61 - USD

Kategorie

Loan linked - Corporate

ISIN

DE000A19G8P3

Fälligkeitstag

09.06.2028

Basiswert

Loan Bit-Oil UK Limited,Loan to Boost & Co GP Sarl,Loan to Dashcap,Loan to Easterhill I B.V. I,Loan to Easterhill I B.V. II,Loan I to Finantia AG,Loan II to Finantia AG,Loan to HAFAG AG,Loan to IBG Capital GmbH,Loan I to Newgate Funding Holdings LLC,Loan

RI Diversified Fixed Income Portfolio CHF

Title

A3GY0A - Compartment 439

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY0A6

Basiswert

RI Diversified Fixed Income Portfolio CHF Index

RI Diversified Fixed Income Portfolio EUR

Title

A3GY0B - Compartment 438

Kategorie

Instifolio - Liquid

ISIN

DE000A3GY0B4

Basiswert

RI Diversified Fixed Income Portfolio EUR Index

Receivables Bond I

Title

A3LJQL - Compartment E59 Series I

Kategorie

Credit linked - Receivable

ISIN

DE000A3LJQL3

Fälligkeitstag

15.08.2028

Basiswert

Receivables Loan

Receivables Certificate

Title

A3G6PB-Compartment E59 Series II

Kategorie

Loan linked - Corporate

ISIN

DE000A3G6PB8

Fälligkeitstag

14.08.2029

Basiswert

Receivables Loan

Rendement EUR Opportunité

Title

CHA0CQ - Compartment 963

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CQ9

Basiswert

Rendement EUR Opportunité Index

Responsibly Sourced Gold (Physically Backed Note)

Title

A3GYU2 - Compartment P20

Kategorie

Structured Products - Commodities

ISIN

DE000A3GYU27

Basiswert

Valcambi Green Gold (Physical)

Responsibly Sourced Gold (Physically Backed Note)

Title

A3GYU3 - Compartment P14

Kategorie

Basket linked - Private Markets

ISIN

DE000A3GYU35

Basiswert

Valcambi Green Gold (Physical)

Responsibly Sourced Gold (Physically Backed Note) (Series 2)

Title

CH1305317765 - Compartment P20 Series 2

Kategorie

Structured Products - Commodities

ISIN

CH1305317765

Basiswert

Valcambi Green Gold (Physical)

Responsibly Sourced Gold (Physically Backed Note) (Series 3)

Title

LU2718166007 - Compartment P20 Series 3

Kategorie

Structured Products - Commodities

ISIN

LU2718166007

Basiswert

Valcambi Green Gold (Physical)

Risk-Premium Strategy Index Tracker

Title

A3GSR0 - Compartment 307

Kategorie

Instifolio - Liquid

ISIN

DE000A3GSR04

Basiswert

Risk-Premium Strategy Index

Rumanian Equity Repack

Title

A17LGN - Compartment 12

Kategorie

Basket linked - AIF

ISIN

DE000A17LGN6

Fälligkeitstag

26.09.2024

Basiswert

RSI Diversified II Index

SC Global Equities Index Tracker

Title

XS3330356851 - Compartment 1101 (USD)

Kategorie

Instifolio - Liquid

ISIN

XS3330356851

Basiswert

SC Global Equities Index

SC Global Equities Index Tracker (EUR)

Title

XS3330356265 - Compartment 1101 (EUR)

Kategorie

Instifolio - Liquid

ISIN

XS3330356265

Basiswert

SC Global Equities Index

SF Digital Assets Index Tracker

Title

A4MGVA - Compartment E 69

Kategorie

Instifolio - Liquid

ISIN

DE000A4MGVA8

Basiswert

SF Digital Assets Index

SFQUANTUM47 Tracker

Title

A28KS1 - Compartment 209

Kategorie

Instifolio - Liquid

ISIN

DE000A28KS12

Basiswert

SFQUANTUM47 Index

SG Active Index Tracker

Title

A3G10G - Compartment 505

Kategorie

Instifolio - Alternative

ISIN

DE000A3G10G7

Basiswert

SG Active Index

SMAVESTO - RoboFlex ESG Series 1

Title

A3GZYL - Compartment 459

Kategorie

Structured Products - Funds

ISIN

DE000A3GZYL3

Fälligkeitstag

30.06.2049

Basiswert

SMAVESTO - RoboFlex ESG Ausgewogen - ISIN DE000A3C55C0

SMAVESTO - RoboFlex ESG Series 3

Title

A3GZYM - Compartment 467

Kategorie

Structured Products - Funds

ISIN

DE000A3GZYM1

Fälligkeitstag

30.06.2049

Basiswert

SMAVESTO - RoboFlex ESG Dynamik - ISIN DE000A3C55D8

SMAVESTO - Roboflex ESG Series 2

Title

A3GZYN - Compartment 466

Kategorie

Structured Products - Funds

ISIN

DE000A3GZYN9

Fälligkeitstag

30.06.2049

Basiswert

SMAVESTO - Roboflex ESG Ertrag - ISIN DE000A3C55E6

SP3

Title

ALL - Compartment P100

Kategorie

Structured Products - Index

ISIN

P100MASTERFX

Basiswert

TEST - SP3 - Long-Short - Consistent Alpha Outperformance

SPC Income

Title

A3GW9A - Compartment 401

Kategorie

Instifolio - Liquid

ISIN

DE000A3GW9A9

Basiswert

SPC Income Index

SPC Rendement CHF Feeder

Title

CHA0C9 - Compartment 968

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0C94

Basiswert

SPC Rendement CHF Feeder Index

SPC Valuation

Title

A|3|G|W|9|B - Compartment 4|0|2

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|W|9|B|7

Basiswert

SPC Valuation Index

SPC Valuation

Title

A3GW9B - Compartment 402

Kategorie

Instifolio - Liquid

ISIN

DE000A3GW9B7

Basiswert

SPC Valuation Index

SQT Dynamic PSO Index Tracker

Title

CHA0AV - Compartment 945

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AV3

Basiswert

SQT Dynamic PSO Index

STRI Financing Notes (Series 1)

Title

A3K9GU - Compartment 514 (CHF)

Kategorie

Credit linked - Receivable

ISIN

DE000A3K9GU5

Basiswert

Loan to m3 Leasing (CHF) 514

STRI Financing Notes (Series 2)

Title

A3K9GR - Compartment 514 (EUR)

Kategorie

Credit linked - Receivable

ISIN

DE000A3K9GR1

Basiswert

Loan to m3 Leasing (EUR) 514

STRI Financing Notes (Series 3)

Title

A3K9GS - Compartment 514 (GBP)

Kategorie

Credit linked - Receivable

ISIN

DE000A3K9GS9

Basiswert

Loan to m3 Leasing (GBP) 514

STRI Financing Notes (Series 4)

Title

A3K9GT - Compartment 514 (USD)

Kategorie

Credit linked - Receivable

ISIN

DE000A3K9GT7

Fälligkeitstag

21.11.2026

Basiswert

Loan to m3 Leasing (USD) 514

SUPERNOVA Index Tracker

Title

CHA0CG - Compartment 961

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CG0

Basiswert

SUPERNOVA Index

SVX BTC Tracker

Title

CHA0CA - Compartment 939

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0CA3

Basiswert

SVX BTC Index

Sanderson Opportunity

Title

CHA0ER - Compartment 986

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0ER3

Basiswert

Sanderson Opportunity Index

Saranc Partners Limited Fiduciam Basket Bond

Title

CHA0BD- Compartment 904

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0BD9

Fälligkeitstag

30.08.2030

Basiswert

Fiduciam Saranac Basket

Satigny Basket Tracker Note

Title

A4MGUP - Compartment E150

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUP8

Fälligkeitstag

28.02.2028

Basiswert

Satigny Basket

Savy Fintech Lending Note

Title

A4MGVK - Compartment E190

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGVK7

Fälligkeitstag

05.06.2031

Basiswert

Platform Lending Savy

Scandic Lending Platforms Basket Tracker

Title

A3GZFN - Compartment 422

Kategorie

Credit linked - Receivable

ISIN

DE000A3GZFN8

Fälligkeitstag

04.07.2025

Basiswert

Scandic Lending Platforms Basket

Scandic Lending Platforms Basket Tracker (SEK)

Title

A3K5H4 - Compartment 422

Kategorie

Credit linked - Receivable

ISIN

DE000A3K5H42

Fälligkeitstag

04.07.2029

Basiswert

Scandic Lending Platforms Basket (SEK)

Scorlion Index Tracker

Title

A3GQZE - Compartment 286

Kategorie

Instifolio - Liquid

ISIN

DE000A3GQZE4

Basiswert

Scorlion Index

SecondAI Private Debt Basket II

Title

A4MG78 - Compartment PR14

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MG780

Fälligkeitstag

13.08.2029

Basiswert

SecondAI Private Debt II Basket

SecondAI Private Debt Basket Tracker

Title

A4MGUY - Compartment E162

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGUY0

Fälligkeitstag

05.12.2028

Basiswert

SecondAI Private Debt Basket

Secondary Private Equity II Basket Tracker

Title

CHA0EP - Compartment 1121

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0EP7

Fälligkeitstag

15.05.2036

Basiswert

Secondary Private Equity II Basket

Secured Loan Repacked Note

Title

CHA0AA - Compartment 883

Kategorie

Loan linked - Real Estate

ISIN

DE000CHA0AA7

Fälligkeitstag

31.03.2027

Shariah Flex USD

Title

CHA0EQ - Compartment 590_S3

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EQ5

Basiswert

Shariah Flex USD Index

Shariah Kyna Global Tech Index Tracker

Title

A4A505 - Compartment 590_S2

Kategorie

Instifolio - Liquid

ISIN

DE000A4A5050

Basiswert

Shariah Kyna Global Tech Index

Shariah Kyna US equity

Title

CHA0E4 - Compartment 590_S4

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0E43

Basiswert

Shariah Kyna US equity Index

SkyCell Tracker Bonds

Title

A3GV5P - Compartment 293

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GV5P6

Fälligkeitstag

02.12.2026

Basiswert

SkyCell AG

Small Caps Best Value Index Tracker

Title

A3GR9P - Compartment 303

Kategorie

Instifolio - Liquid

ISIN

DE000A3GR9P4

Basiswert

Small Caps Best Value Index

Small Caps Best Value Index Tracker

Title

A|3|G|R|9|P - Compartment 3|0|3

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|R|9|P|4

Basiswert

Small Caps Best Value Index

Smart Beta Bond (Feeder Inst.) Tracker

Title

A3GVUD - Compartment 361

Kategorie

Instifolio - Liquid

ISIN

DE000A3GVUD7

Basiswert

Smart Beta Bond (Feeder Inst.) Index

Smart Beta Bond (Master) II Tracker

Title

A3GW1S - Compartment 359

Kategorie

Instifolio - Liquid

ISIN

DE000A3GW1S8

Basiswert

Smart Beta Bond (Master) II Index

Smart Beta Bond Index Tracker

Title

A28G4G - Compartment 206

Kategorie

Instifolio - Liquid

ISIN

DE000A28G4G0

Basiswert

Smart Beta Bond Index

Smart Wealth Multi Asset Global Rotation Target Return 14% Index Tracker

Title

A3G6PD - Compartment 586 S2

Kategorie

Instifolio - Liquid

ISIN

DE000A3G6PD4

Basiswert

Smart Wealth Multi Asset Global Rotation Target Return 14% Index

Smart Wealth Multi Asset Global Rotation Target Return 14% Index Tracker (CHF)

Title

A4AE0V - Compartment 586 S3

Kategorie

Instifolio - Liquid

ISIN

DE000A4AE0V1

Basiswert

Smart Wealth Multi Asset Global Rotation Target Return 14% Index

Smart Wealth Multi Asset Global Rotation Target Return 14% Index Tracker InstiToken

Title

LU2623993461 - Compartment 586

Kategorie

Instifolio - Liquid

ISIN

LU2623993461

Basiswert

Smart Wealth Multi Asset Global Rotation Target Return 14% Index

Space Odyssey Index Tracker - S1

Title

XS3379668968 - Compartment 1116 - S1

Kategorie

Instifolio - Liquid

ISIN

XS3379668968

Basiswert

Space Odyssey Index

SpaceX pre-IPO Structured Note with downside protection

Title

CHA0E2 - Compartment 1097 S2

Kategorie

Basket linked - Private Equity

ISIN

DE000CHA0E27

Fälligkeitstag

02.05.2028

Basiswert

SpaceX Pre-IPO Downside Protection 2 Basket

Special Trading Strategy Index Tracker USD

Title

A3GL2G - Compartment 248

Kategorie

Instifolio - Liquid

ISIN

DE000A3GL2G4

Basiswert

Special Trading Strategy Index USD

SprayPay Lending Platform Basket Tracker

Title

A3KWK5 - Compartment 335

Kategorie

Credit linked - Receivable

ISIN

DE000A3KWK58

Fälligkeitstag

04.10.2028

Basiswert

SprayPay Lending Platform Basket

StellR Index Tracker

Title

CHA0BV - Compartment 982

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0BV1

Basiswert

StellR Index

Structured Bond on Northvolt Convertible Loan I

Title

A3GY0D - Compartment 431

Kategorie

Loan linked - Corporate

ISIN

DE000A3GY0D0

Fälligkeitstag

06.05.2027

Basiswert

Northvolt AB Convertible Loan

Structured Bond on Northvolt Convertible Loan II

Title

A3GY0C - Compartment 431

Kategorie

Loan linked - Corporate

ISIN

DE000A3GY0C2

Fälligkeitstag

06.05.2027

Basiswert

Northvolt AB Convertible Loan

Structured Bond on ReGas Basket (Series IV) (EUR)

Title

A3G0S4 - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0S42

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series IV Basket

Structured Horizon Performance_CHF Index Tracker

Title

CHA0AE - Compartment 888

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AE9

Basiswert

Structured Horizon Performance_CHF Index

Structured Horizon Performance_EUR Index Tracker

Title

CHA0AC - Compartment 886

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AC3

Basiswert

Structured Horizon Performance_EUR Index

Structured Horizon Performance_USD Index Tracker

Title

CHA0AD - Compartment 887

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AD1

Basiswert

Structured Horizon Performance_USD Index

Structured Note on Northvolt Convertible EURO Series I

Title

A3K498 - Compartment 435

Kategorie

Basket linked - Private Equity

ISIN

DE000A3K4987

Fälligkeitstag

06.05.2027

Basiswert

Northvolt AB Convertible Loan

Structured Note on Northvolt Convertible EURO Series II

Title

A3K499 - Compartment 435

Kategorie

Loan linked - Corporate

ISIN

DE000A3K4995

Fälligkeitstag

06.05.2027

Basiswert

Northvolt AB Convertible Loan

Structured Note on ReGas Series I (USD)

Title

A3G0C3 - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0C32

Fälligkeitstag

03.08.2027

Basiswert

ReGas (USD) Series I Basket

Structured Note on ReGas Series II (USD)

Title

A3G0LK - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0LK1

Fälligkeitstag

03.08.2027

Basiswert

ReGas (USD) Series II Basket

Structured Note on ReGas Series III (EUR)

Title

A3G0LJ - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0LJ3

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series III Basket

Structured Note on ReGas Series IX (EUR)

Title

A3G4H7 - Compartment 468 Series IX

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G4H74

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series IX Basket

Structured Note on ReGas Series V (USD)

Title

A3G0S5 - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0S59

Fälligkeitstag

03.08.2027

Basiswert

ReGas (USD) Series V Basket

Structured Note on ReGas Series VI (EUR)

Title

A3G0S6 - Compartment 468

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G0S67

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series VI Basket

Structured Note on ReGas Series VII (EUR)

Title

A3G121 - Compartment 468 Series VII

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G1211

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series VII Basket

Structured Note on ReGas Series VIII (EUR)

Title

A3G4H8 - Compartment 468 Series VIII

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G4H82

Fälligkeitstag

03.08.2027

Basiswert

ReGas (EUR) Series VIII Basket

Structured Note on Theobroma

Title

A3G6B4 - Compartment E54 Series II

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G6B45

Fälligkeitstag

28.04.2028

Basiswert

Sensation Beauty SA Series II (CHF) Basket

Structured Yield Allocation Index Tracker

Title

A3GXDA - Compartment 405

Kategorie

Instifolio - Liquid

ISIN

DE000A3GXDA5

Basiswert

Structured Yield Allocation Index

SunSpear Opportunistic Alpha Portfolio Bond

Title

A3G1BL - Compartment 497

Kategorie

Instifolio - Alternative

ISIN

DE000A3G1BL8

Basiswert

SunSpear Opportunistic Alpha Portfolio Index

Supernova I Anleihe

Title

A190J2 - Compartment 116

Kategorie

Loan linked - Real Estate

ISIN

DE000A190J23

Fälligkeitstag

30.11.2023

Basiswert

Senior Darlehen an Diok Asset GmbH

Supernova II Anleihe

Title

A190J3 - Compartment 116

Kategorie

Loan linked - Real Estate

ISIN

DE000A190J31

Fälligkeitstag

30.05.2023

Basiswert

Junior Loan an Diok Asset GmbH,Senior Darlehen an Diok Asset GmbH

Swiss Capital Index Tracker

Title

A2T0K0 - Compartment 131

Kategorie

Instifolio - Liquid

ISIN

DE000A2T0K03

Fälligkeitstag

31.12.2049

Basiswert

Swiss Capital Index

Swiss Equity Opportunities Index Tracker

Title

A3GZ8S - Compartment 476

Kategorie

Instifolio - Liquid

ISIN

DE000A3GZ8S0

Fälligkeitstag

20.07.2037

Basiswert

Swiss Equity Opportunities Index

Swiss Real Estate Bond

Title

A28V4G - Compartment 212

Kategorie

Loan linked - Real Estate

ISIN

DE000A28V4G1

Fälligkeitstag

20.11.2027

Basiswert

Receivable of Re Outside Service SA

Swiss-Asia Whiskey Note

Title

A4AHVW-Compartment E37

Kategorie

Basket linked - Private Markets

ISIN

DE000A4AHVW5

Fälligkeitstag

12.05.2035

Basiswert

Swiss-Asia Whisky Basket

SwissInvest Emerging Markets Active Index Tracker

Title

A3GSRY - Compartment 256

Kategorie

Instifolio - Liquid

ISIN

DE000A3GSRY5

Basiswert

Emerging Markets Bonds Strategy Index

SwissOne Smart Defensive Index Tracker

Title

A4AJWY - Compartment E102

Kategorie

Instifolio - Alternative

ISIN

DE000A4AJWY5

Basiswert

SwissOne Smart Defensive Index

Swisshire Index Tracker

Title

CHA0BW - Compartment 988

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0BW9

Basiswert

Swisshire Index

Swissport Recovery Basket Tracker Notes

Title

A28RBT - Compartment 231

Kategorie

Basket linked - Bonds listed

ISIN

DE000A28RBT8

Fälligkeitstag

26.11.2028

Basiswert

Swissport Recovery Basket

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra II) Basket Tracker

Title

A4AEW2 - Compartment E82 S2

Kategorie

Basket linked - AIF

ISIN

DE000A4AEW24

Fälligkeitstag

11.12.2033

Basiswert

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra II) Basket

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra III) Basket Tracker

Title

A4MGTM - Compartment E82 S3

Kategorie

Basket linked - AIF

ISIN

DE000A4MGTM7

Fälligkeitstag

11.12.2033

Basiswert

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra III) Basket

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra) Basket Tracker

Title

A3G9X4 - Compartment E82 S1

Kategorie

Basket linked - AIF

ISIN

DE000A3G9X46

Fälligkeitstag

11.12.2033

Basiswert

SyzCrest Digital Uncorrelated Fund Class Z Shares (Andorra) Basket

SyzCrest Digital Uncorrelated Fund Class Z Shares (Switzerland) Basket Tracker

Title

A3G9SP - Compartment E67 S1

Kategorie

Basket linked - AIF

ISIN

DE000A3G9SP6

Fälligkeitstag

30.11.2033

Basiswert

SyzCrest Digital Uncorrelated Fund Class Z Shares (Switzerland) Basket

TB Invest

Title

A|3|G|W|G|M - Compartment 3|8|5

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|W|G|M|5

Basiswert

TB Invest Index

TC Sapphire Index Tracker - Series 1 - Retail Investors

Title

A3G4T0 - Compartment 581

Kategorie

Instifolio - Liquid

ISIN

DE000A3G4T05

Basiswert

TCG Sapphire Index

TCG Blue

Title

CHA0CV - Compartment 965

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0CV9

Basiswert

TCG Blue Index

TCG PRIVALT

Title

CHA0B5 - Compartment 958

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0B53

Basiswert

TCG PRIVALT Index

TCG Sapphire Index Tracker - Series 2 - Qualified Investors

Title

A3G43B - Compartment 581

Kategorie

Instifolio - Liquid

ISIN

DE000A3G43B9

Basiswert

TCG Sapphire Index

THE GA PRIVATE EQUITY BASKET TRACKER BONDS

Title

A2T87W - Compartment 153

Kategorie

Basket linked - Private Equity

ISIN

DE000A2T87W7

Fälligkeitstag

15.03.2049

Basiswert

GA Private Equity Basket

THE PWM FUND BASKET I TRACKER BONDS

Title

A2T8PM - Compartment 146

Kategorie

Basket linked - AIF

ISIN

DE000A2T8PM7

Fälligkeitstag

22.03.2049

TRTN SP Opportunities Index Tracker

Title

CHA0EE - Compartment 1055

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0EE1

Basiswert

TRTN SP Opportunities Index

TSS Basket Tracker

Title

A4MGTR - Compartment E111

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGTR6

Fälligkeitstag

07.03.2030

Basiswert

TSS Basket

Tactical Bond Index Tracker EUR

Title

A3G9SM - Compartment 682

Kategorie

Instifolio - Liquid

ISIN

DE000A3G9SM3

Basiswert

Tactical Bond Index EUR Index

Tactical Bond Index Tracker USD

Title

A3G9SL - Compartment 681

Kategorie

Instifolio - Liquid

ISIN

DE000A3G9SL5

Basiswert

Tactical Bond Index USD Index

Take Trend Index Tracker

Title

A3G43E - Compartment 593

Kategorie

Instifolio - Liquid

ISIN

DE000A3G43E3

Basiswert

Take Trend Index

Taxeum Shares Basket Notes

Title

A4MGUD-Compartment E119

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUD4

Fälligkeitstag

15.10.2035

Basiswert

Taxeum Shares Basket

Tech Global Opportunities

Title

CHA0E1 - Compartment 1130

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0E19

Basiswert

Tech Global Opportunities

Teilkauf Tracker Bonds

Title

A3KPTM - Compartment 271

Kategorie

Loan linked - Real Estate

ISIN

DE000A3KPTM4

Fälligkeitstag

12.05.2036

Basiswert

Deutsche Teilkauf Loan Basket

The Descartes CLOEE Basket Tracker

Title

A2TF8Q - Compartment 139

Kategorie

Basket linked - AIF

ISIN

DE000A2TF8Q4

Fälligkeitstag

02.11.2026

Basiswert

Descartes CLOEE Fund Basket

The Heimat 4,75% Structured Bond Series III

Title

A3K5HC - Compartment 216

Kategorie

Loan linked - Real Estate

ISIN

DE000A3K5HC9

Basiswert

Loan to DTH Arlberg Hotel Besitzgesellschaft mbh & Arlberg Alpin Apart Plus Errichtergesellschaft mbH

The Heimat Bond Series II

Title

A28W2R - Compartment 216

Kategorie

Loan linked - Real Estate

ISIN

DE000A28W2R1

Basiswert

Loan to DTH Arlberg Hotel Besitzgesellschaft mbh & Arlberg Alpin Apart Plus Errichtergesellschaft mbH

The Japan Israel High Tech Venture Basket 2 Tracker Bonds

Title

A3GNDJ - Compartment 211

Kategorie

Basket linked - AIF

ISIN

DE000A3GNDJ7

Fälligkeitstag

29.03.2030

Basiswert

Japan Israel High Tech Venture Basket 2

The Japan Israel High Tech Venture Basket 3 Tracker Bonds (Series 1)

Title

A3GVYC - Compartment 358 (Series 1)

Kategorie

Basket linked - AIF

ISIN

DE000A3GVYC1

Fälligkeitstag

27.03.2030

Basiswert

Japan Israel High Tech Venture Basket 3

The Japan Israel High Tech Venture Basket 3 Tracker Bonds (Series 2)

Title

A3G4JV-Compartment 358 (Series 2)

Kategorie

Basket linked - AIF

ISIN

DE000A3G4JV4

Fälligkeitstag

27.03.2030

Basiswert

Japan Israel High Tech Venture Basket 3

The Take One Fund Basket Tracker Bonds

Title

A2MR1L - Compartment 121

Kategorie

Basket linked - AIF

ISIN

DE000A2MR1L3

Fälligkeitstag

03.09.2028

Basiswert

Take One Fund SICAV

Thelo Kapital Higher Yielding Credit Basket Tracker

Title

A2EFTK - Compartment 55

Kategorie

Basket linked - Bonds listed

ISIN

DE000A2EFTK4

Fälligkeitstag

10.03.2027

Basiswert

Thelo Kapital Higher Yielding Credit Basket

Tracker Note on Compulsory Convertible of Innoterra AG

Title

A3G1PP - Compartment E31

Kategorie

Basket linked - Private Markets

ISIN

DE000A3G1PP9

Fälligkeitstag

20.10.2027

Basiswert

Compulsory Convertible on Innoterra AG Basket

Trend-Driven Equity Index Tracker

Title

A3G6B0 - Compartment 624

Kategorie

Instifolio - Alternative

ISIN

DE000A3G6B03

Basiswert

Trend-Driven Equity Index

Triatlum Moove Mobility Structured Note

Title

A3G6YX - Compartment E71

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G6YX4

Fälligkeitstag

20.07.2028

Basiswert

Moove Africa Basket

Triatlum Note on Wella

Title

A3GNJH - Compartment 261

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GNJH8

Fälligkeitstag

15.12.2027

Basiswert

Triatlum Wella Basket

Triatlum Structured Note on Brigad

Title

A3GVM7 - Compartment 294

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GVM79

Fälligkeitstag

03.11.2026

Basiswert

Triatlum Brigad Basket

Triatlum Structured Note on Le Fourgon

Title

A3G6YW - Compartment E70

Kategorie

Basket linked - Private Equity

ISIN

DE000A3G6YW6

Fälligkeitstag

19.07.2028

Basiswert

Le Fourgon Basket

Trigon Managed Structured Product Index Tracker

Title

XS3309667429 - Compartment 1046

Kategorie

Instifolio - Liquid

ISIN

XS3309667429

Basiswert

TRG Managed Structured Product Index

Tyger Index Tracker

Title

A4A54G - Compartment E106

Kategorie

Instifolio - Liquid

ISIN

DE000A4A54G6

Basiswert

Tyger Index

UK Lending Platforms Basket Tracker (GBP)

Title

CHA0CW - Compartment 933

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0CW7

Fälligkeitstag

21.11.2029

Basiswert

Nordix GBP Lending Basket

UP Smart Investment AMC

Title

A3GYTF - Compartment 419

Kategorie

Instifolio - Liquid

ISIN

DE000A3GYTF8

Basiswert

UP Smart Investment Index

UP Smart Investment Index Tracker II

Title

A3G827 - Compartment 667

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8273

Basiswert

UP Smart Investment Index II

US Advantage

Title

XS3266524159 - Compartment 1027

Kategorie

Instifolio - Liquid

ISIN

XS3266524159

Basiswert

US Advantage Index

US Equities AI Trend Navigator - Long/Short Index Tracker

Title

CHA0B8 - Compartment 996

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0B87

Basiswert

US Equities AI Trend Navigator - Long/Short Index

US Equities Index Tracker

Title

A4AJW1 - Compartment 846

Kategorie

Instifolio - Liquid

ISIN

DE000A4AJW11

Basiswert

US Equities Index

US Equity Volatility Index Tracker

Title

A4AH4J - Compartment 779

Kategorie

Instifolio - Liquid

ISIN

DE000A4AH4J5

Basiswert

US Equity Volatility Index

US Healthcare Properties Index Tracker

Title

CHA0AQ - Compartment 910

Kategorie

Instifolio - Alternative

ISIN

DE000CHA0AQ3

Fälligkeitstag

14.03.2030

Basiswert

US Healthcare Properties Index

US Small Cap Index Tracker

Title

A4AHRW - Compartment 806

Kategorie

Instifolio - Liquid

ISIN

DE000A4AHRW3

Basiswert

US Small Cap Index

US UNICORN PE BASKET TRACKER BONDS 21-12

Title

A3GVYB - Compartment 181

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GVYB3

Fälligkeitstag

16.12.2026

Basiswert

US UNICORN PE (Private Equity) Basket

USD Alternative Global Income Multi Asset Index Note

Title

A3GZJN - Compartment 398

Kategorie

Instifolio - Alternative

ISIN

DE000A3GZJN0

Basiswert

USD Alternative Global Income Multi Asset Strategy Index

USD Global Income Multi Asset Strategy Tracker Note

Title

A3GMZE - Compartment 236

Kategorie

Basket linked - Bonds listed

ISIN

DE000A3GMZE3

Basiswert

USD Global Income Multi Asset Strategy Basket

USD High Tech Performance Bond XVI 2021

Title

A3GV11 - Compartment 356

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GV114

Fälligkeitstag

03.12.2026

Basiswert

Pepticom - Advance Investment Amounts

USD MODERATE RISK STRATEGY TRACKER CERTIFICATE

Title

CHA0DS - Compartment 1074

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0DS3

Basiswert

USD MODERATE RISK STRATEGY

USD Opus High Tech Performance Bond III 2016 (21)

Title

A2D3N19 - Compartment 48

Kategorie

Equity linked - Private Equity

ISIN

DE000A2D3N19

Fälligkeitstag

22.12.2026

Basiswert

Series A Shares Zsquare Ltd.,Series B Shares Zsquare Ltd.

USD Opus High Tech Performance Bond IV 2017 (22)

Title

A2HKB4 - Compartment 83

Kategorie

Equity linked - Private Equity

ISIN

DE000A2HKB42

Fälligkeitstag

14.12.2027

Basiswert

Halo Digital Ltd. Series A-1,Halo Digital Ltd. Series A-2

USD Opus High Tech Performance Bond IX 2018 (23)

Title

A2TU5S - Compartment 150

Kategorie

Equity linked - Private Equity

ISIN

DE000A2TU5S7

Fälligkeitstag

19.12.2028

Basiswert

Qart Medical Ltd.

USD Opus High Tech Performance Bond IX 2020 (25)

Title

A28DH8 - Compartment 202

Kategorie

Equity linked - Private Equity

ISIN

DE000A28DH89

Fälligkeitstag

23.03.2030

Basiswert

InnerEye Ltd.

USD Opus High Tech Performance Bond V 2017 (22)

Title

A2HLZD - Compartment 84

Kategorie

Equity linked - Private Equity

ISIN

DE000A2HLZD7

Fälligkeitstag

20.12.2027

Basiswert

ContinUse Biometrics Ltd.

USD Opus High Tech Performance Bond VI 2018 (23)

Title

A2MEDJ - Compartment 111

Kategorie

Basket linked - Private Equity

ISIN

DE000A2MEDJ6

Fälligkeitstag

22.06.2028

Basiswert

Cognifiber Ltd.

USD Opus High Tech Performance Bond VII 2018(23)

Title

A2MEDK - Compartment 115

Kategorie

Equity linked - Private Equity

ISIN

DE000A2MEDK4

Fälligkeitstag

22.06.2028

Basiswert

InnerEye Ltd.

USD Opus High Tech Performance Bond VIII 2018 (23)

Title

A2TU5T - Compartment 149

Kategorie

Equity linked - Private Equity

ISIN

DE000A2TU5T5

Fälligkeitstag

19.12.2028

Basiswert

Trobix Innovation Ltd.

USD Opus High Tech Performance Bond XI 2019 (24)

Title

A2UDYP - Compartment 156

Kategorie

Equity linked - Private Equity

ISIN

DE000A2UDYP4

Fälligkeitstag

02.05.2029

Basiswert

Pepticom Ltd.

USD Opus High Tech Performance Bond XII 2019 (24)

Title

A2UDYN - Compartment 157

Kategorie

Basket linked - Private Equity

ISIN

DE000A2UDYN9

Fälligkeitstag

02.05.2029

Basiswert

SolCold Ltd.

USD Opus High Tech Performance Bond XIII 2019 (24)

Title

A2UCSF - Compartment 158

Kategorie

Equity linked - Private Equity

ISIN

DE000A2UCSF9

Fälligkeitstag

02.05.2029

Basiswert

Advanced Amounts Rights Continuse

USD Opus High Tech Performance Bond XIII 2021 (26)

Title

A3GRZ7 - Compartment 301

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GRZ70

Fälligkeitstag

21.05.2031

Basiswert

Zsquare - Advance Investment Amounts

USD Opus High Tech Performance Bond XIV 2021 (26)

Title

A3GSVW - Compartment 310

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GSVW1

Fälligkeitstag

30.06.2031

Basiswert

Zsquare - Advance Investment Amounts

USD Opus High Tech Performance Bond XV 2021 (26)

Title

A3KS56 - Compartment 318

Kategorie

Equity linked - Private Equity

ISIN

DE000A3KS567

Fälligkeitstag

28.07.2026

Basiswert

Halo Digital Ltd. Series A-2

USD Opus High Tech Performance Bond XVII 2021 (XTEND)

Title

A3GV12 - Compartment 357

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GV122

Fälligkeitstag

21.12.2026

USD Savings Index Tracker

Title

A3G8WW - Compartment 610

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8WW6

Basiswert

USD Savings Index

USD Savings Tokens

Title

LU2705737547 - Compartment 610 InstiToken Series

Kategorie

Instifolio - Liquid

ISIN

LU2705737547

Basiswert

USD Savings Index

USD Technology High Performance Bond

Title

A2M2WS - Compartment 136

Kategorie

Equity linked - Private Equity

ISIN

DE000A2M2WS0

Fälligkeitstag

02.11.2026

Basiswert

Bitfury Group Ltd. (UK)

USD Yield Optimization Index Tracker

Title

CHA0AG - Compartment 889

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AG4

Basiswert

USD Yield Optimization Index

USS ANTIFRAGILE

Title

XS3060223180 - Compartment 938

Kategorie

Instifolio - Liquid

ISIN

XS3060223180

Basiswert

USS Antifragile Index

VEREENIGDE EFFECTEN COMPAGNIE FIDUCIAM REPACK

Title

CHA0A1 - Compartment 934

Kategorie

Loan linked - Real Estate

ISIN

DE000CHA0A13

Fälligkeitstag

31.05.2030

Basiswert

Fiduciam Basket Vereenigde Effecten Compagnie

Valor FX Strategy Index Tracker II

Title

A3G826 - Compartment 671

Kategorie

Instifolio - Liquid

ISIN

DE000A3G8265

Basiswert

Valor FX Index II Index

Valor FX Strategy Tracker

Title

A3GXCQ - Compartment 396

Kategorie

Instifolio - Liquid

ISIN

DE000A3GXCQ3

Basiswert

Valor FX Index

Valuanalysis Fiduciam

Title

CHA0A2 - Compartment 935

ISIN

DE000CHA0A21

Fälligkeitstag

27.06.2032

Basiswert

Fiduciam Valuanalysis Portfolio

Value Based Income Generation Index Tracker

Title

A3GVMB - Compartment 354

Kategorie

Instifolio - Liquid

ISIN

DE000A3GVMB8

Basiswert

Value Based Income Generation Index

Value Investing

Title

CHA0C3 - Compartment 5001

ISIN

DE000CHA0C37

Basiswert

TEST INDEX 5001 (DO NOT DELETE)

Vanilla Horizon Index Tracker

Title

XS2799472159 - Compartment 632

Kategorie

Instifolio - Liquid

ISIN

XS2799472159

Basiswert

Vanila Horizon Flexible EUR Index

Vauraus Fintech Lending Note

Title

A4MGVJ - Compartment E165

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGVJ9

Fälligkeitstag

29.04.2031

Basiswert

Vauraus Platform Lending

Ver Capital Fund Repack

Title

A4AHQY - Compartment 788

Kategorie

Basket linked - AIF

ISIN

DE000A4AHQY1

Fälligkeitstag

02.09.2034

Basiswert

Ver Capital Credit Partners Fund Basket

VintEdge Private Debt Secondaries 25

Title

A4MGU8 - Compartment E169

Kategorie

Basket linked - Private Debt

ISIN

DE000A4MGU87

Fälligkeitstag

10.01.2033

Basiswert

VintEdge Private Debt Secondaries 25 Basket

VintEdge Secondaries 25

Title

A4MGUR - Compartment E154

Kategorie

Basket linked - Private Equity

ISIN

DE000A4MGUR4

Fälligkeitstag

23.09.2035

Basiswert

VintEdge Secondaries 25 Basket

Voltea Opportunity Basket Tracker Note II

Title

A3GY9P - Compartment 441

Kategorie

Basket linked - Private Equity

ISIN

DE000A3GY9P5

Fälligkeitstag

18.05.2028

Basiswert

Voltea Opportunity Basket II

Voltea Opportunity Basket Tracker Notes

Title

A3GTR8 - Compartment 326

Kategorie

Basket linked - Bonds listed

ISIN

DE000A3GTR86

Fälligkeitstag

17.08.2028

Basiswert

Voltea Opportunity Basket

W & S Sondersituation Index Partizipationszertifikate

Title

A2FTXP - Compartment 59

Kategorie

Instifolio - Liquid

ISIN

DE000A2FTXP3

Fälligkeitstag

27.04.2030

Basiswert

W & S Sondersituationen Index

Wasser Infrastruktur Anleihe II

Title

A2EH0R - Compartment 53

Kategorie

Basket linked - Private Debt

ISIN

DE000A2EH0R4

Fälligkeitstag

31.12.2026

Basiswert

North America Water Infrastructure Basket (R) II Referenzkorb

Wasser Infrastruktur Anleihe IV

Title

A2MVF8 - Compartment 125

Kategorie

Basket linked - Private Debt

ISIN

DE000A2MVF89

Fälligkeitstag

31.12.2026

Basiswert

North America Water Infrastructure Basket (R) IV Referenzkorb

Wasser Infrastruktur Anleihe V

Title

A28NZ4 - Compartment 210

Kategorie

Basket linked - Private Debt

ISIN

DE000A28NZ44

Fälligkeitstag

23.07.2027

Basiswert

North America Water Infrastructure Basket (R) V Referenzkorb

Wasserinfrastruktur - Anleihe Nordamerika R 2016(23)

Title

A2A336 - Compartment 32

Kategorie

Basket linked - Private Debt

ISIN

DE000A2A3362

Fälligkeitstag

08.08.2023

Basiswert

PP EUR Wasser Infrastruktur Projekt Korb (R)

Wasserinfrastruktur-Anleihe Nordamerika R 2016(23)

Title

A185L8 - Compartment 40

Kategorie

Basket linked - Private Debt

ISIN

DE000A185L83

Fälligkeitstag

30.08.2024

Basiswert

North America Water Infrastructure Basket (R) Referenzkorb

Water Infrastructure Bonds VI

Title

A3GRXU - Compartment 285

Kategorie

Basket linked - Private Debt

ISIN

DE000A3GRXU3

Fälligkeitstag

23.07.2027

Basiswert

Water Infrastructure Investment Basket

Water Infrastructure Bonds VII

Title

A3GZC1 - Compartment 420

Kategorie

Basket linked - Private Debt

ISIN

DE000A3GZC10

Fälligkeitstag

17.08.2028

Basiswert

North America Water Infrastructure Basket VII

Water Infrastructure Bonds VIII

Title

A3G4VY-Compartment 592

Kategorie

Basket linked - Private Debt

ISIN

DE000A3G4VY3

Fälligkeitstag

17.08.2028

Basiswert

North America Water Infrastructure Basket VIIplus

Water Infrastructure Investment Basket Tracker

Title

A3GL64 - Compartment 242

Kategorie

Basket linked - Private Debt

ISIN

DE000A3GL644

Fälligkeitstag

30.10.2027

Basiswert

Water Infrastructure Investment Basket

White Knight Multistrategy Index Tracker

Title

A3G78Y - Compartment E75

Kategorie

Instifolio - Liquid

ISIN

DE000A3G78Y7

Basiswert

White Knight Multistrategy Index

Wincent Market Making Fund Basket Tracker

Title

Compartment A3HAA2 - E83

Kategorie

Basket linked - AIF

ISIN

DE000A3HAA28

Fälligkeitstag

08.01.2034

Basiswert

Wincent Market Making Fund Basket

Wonder 11 Basket Tracker

Title

CHA0BT-Compartment 983

Kategorie

Basket linked - Private Debt

ISIN

DE000CHA0BT5

Fälligkeitstag

30.11.2026

World Islamic Equity Index Tracker

Title

A|3|G|X|9|V - Compartment 3|6|6

Kategorie

Instifolio - Liquid

ISIN

D|E|0|0|0|A|3|G|X|9|V|4

Basiswert

World Islamic Equity Index

World Multi Reverse

Title

CHA0D4 - Compartment 1098

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0D44

Basiswert

World Multi Reverse

Xerys Basket Tracker Bonds

Title

A2HPGK - Compartment 94

Kategorie

Basket linked - AIF

ISIN

DE000A2HPGK3

Fälligkeitstag

05.12.2026

Xtend-series B

Title

A4AGZW - Compartment 771

Kategorie

Basket linked - Private Equity

ISIN

DE000A4AGZW8

Fälligkeitstag

29.05.2029

Basiswert

Xtend-series B

YAD Iteram Note

Title

A3GT11 - Compartment 327

Kategorie

Basket linked - Real Estate

ISIN

DE000A3GT118

Fälligkeitstag

06.01.2027

Basiswert

YAD Iteram Note

YDS Strategic Income Tracker

Title

A3G24V - Compartment 512

Kategorie

Basket linked - UCIT

ISIN

DE000A3G24V7

Fälligkeitstag

25.01.2033

Basiswert

YDS Strategic Income Basket

Yield Enhancing Strategy

Title

A3GX24 - Compartment 409

Kategorie

Instifolio - Liquid

ISIN

DE000A3GX243

Basiswert

Yield Enhancing Strategy Index

Yield Strategy Europe (CHF)

Title

CHA0AZ - Compartment 925_S2

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AZ4

Basiswert

Yield Strategy Europe Index

Yield Strategy Europe (EUR)

Title

CHA0AY - Compartment 925_S1

Kategorie

Instifolio - Liquid

ISIN

DE000CHA0AY7

Basiswert

Yield Strategy Europe Index

Yield Strategy US

Title

CHA0BR - Compartment 976

Kategorie

Instifolio - Liquid

ISIN

XS3120113520

Basiswert

Yield Strategy US Index

Z Square Venture Opportunity Crypto Security

Title

A3GV7N - Compartment 365

Kategorie

Equity linked - Private Equity

ISIN

LU2459467168

Fälligkeitstag

30.06.2031

Basiswert

Zsquare - Advance Investment Amounts

ZLTY Melon Lending Platform Basket Tracker

Title

A3K0P8 - Compartment 388

Kategorie

Credit linked - Receivable

ISIN

DE000A3K0P88

Fälligkeitstag

08.04.2029

Basiswert

Zlty Melon Lending Platform Basket

Zertifikat Renditekonzepte

Title

A3GVC6 - Compartment 333

Kategorie

Equity linked - Private Equity

ISIN

DE000A3GVC63

Fälligkeitstag

31.10.2024

Basiswert

Renditekonzepte Index

Zukunft Bildung 2023/2026 Anleihe Serie I

Title

A3LQ9F-Compartment E74 Serie I

Kategorie

Credit linked - Receivable

ISIN

DE000A3LQ9F9

Fälligkeitstag

15.12.2026

Basiswert

Deutsche Bildung Studienfonds II Loan

Zukunft Bildung 2023/2026 Zertifikat Serie II

Title

A3G9FU-Compartment E74 Serie II

Kategorie

Credit linked - Receivable

ISIN

DE000A3G9FU3

Fälligkeitstag

15.12.2026

Basiswert

Deutsche Bildung Studienfonds II Loan

iGravity Impact Investment Index Tracker Certificates Series I

Title

A28A78 - Compartment 193

Kategorie

Instifolio - Alternative

ISIN

DE000A28A784

Basiswert

iGravity Impact Investment Index

iGravity Impact Investment Index Tracker Certificates Series II

Title

A28PH5 - Compartment 193

Kategorie

Instifolio - Alternative

ISIN

DE000A28PH51

Basiswert

iGravity Impact Investment Index

iGravity Impact Yield Index Certificate

Title

A3G2EQ - Compartment 463

Kategorie

Instifolio - Alternative

ISIN

DE000A3G2EQ9

Basiswert

iGravity Impact Yield Index

m3 Leasing Financing Notes (Series 1)

Title

A3GSZ9 - Compartment 306

Kategorie

Loan linked - Corporate

ISIN

DE000A3GSZ95

Fälligkeitstag

09.07.2029

Basiswert

Loan to Calvin SA (306) CHF

m3 Leasing Financing Notes (Series 2)

Title

A3GS0A - Compartment 306

Kategorie

Loan linked - Corporate

ISIN

DE000A3GS0A4

Fälligkeitstag

09.07.2029

Basiswert

Loan to Calvin SA (306) EUR

nordIX ECCF Tracker Note

Title

A3G10F - Compartment 510

Kategorie

Structured Products - Funds

ISIN

DE000A3G10F9

Fälligkeitstag

15.11.2049

rwc CHF 1

Title

A22C42 - Compartment E1

Kategorie

Basket linked - Private Debt

ISIN

XS2053910530

Basiswert

ruver working capital CHF basket

rwc CHF 3

Title

A2R87C - Compartment E3

Kategorie

Loan linked - Corporate

ISIN

XS2066705687

Fälligkeitstag

22.10.2024

Basiswert

Loan to Hafag AG