Produkte

0.64% (9.73% p.a.) Reverse Convertible on Siemens AG

Title

CH1548142897 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548142897

Fälligkeitstag

07.08.2026

Basiswert

Siemens AG

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

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

1.26% (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

1.31% (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

1.32% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1476903146 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903146

Fälligkeitstag

13.08.2026

Basiswert

Nestlé SA, Novartis AG, Roche Holding AG - CH1476903146

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

1.45% (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

1.50% (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

1.58% 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% (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

1.82% (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

1.90% (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

1.90% (7.61% p.a.) Reverse Convertible on Microsoft Corp.

Title

CH1548129308 - Compartment P100

Kategorie

Structured Products - Equities

ISIN

CH1548129308

Fälligkeitstag

29.07.2026

Basiswert

Microsoft Corp.

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 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 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 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 Airbus, Schneider Electric

Title

CH1548126148 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1548126148

Fälligkeitstag

16.04.2027

Basiswert

Airbus SE, Schneider Electric SE - CH1548126148

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. 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. 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 Alphabet, Meta Platforms, NVIDIA

Title

CH1476903559 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903559

Fälligkeitstag

17.08.2026

Basiswert

NVIDIA Corp., Meta Platforms Inc., Alphabet, Inc. - CH1476903559

10.00% p.a. Reverse Convertible on Amazon.com, Apple, Microsoft

Title

CH1476903542 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903542

Fälligkeitstag

17.08.2026

Basiswert

Amazon.com Inc., Microsoft Corp., Apple Inc. - CH1476903542

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 Bristol-Myers Squibb, Pfizer, Visa

Title

CH1476903567 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1476903567

Fälligkeitstag

17.08.2026

Basiswert

Pfizer Inc., Bristol-Myers Squibb Co., Visa Inc. - CH1476903567

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

10.02% (20.04% p.a.) Barrier Reverse Convertible on Air France-KLM, Lufthansa

Title

CH1492035782 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492035782

Fälligkeitstag

18.08.2026

Basiswert

Deutsche Lufthansa AG, Air France-KLM - CH1492035782

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% 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 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% p.a. Autocallable Barrier Reverse Convertible on Bachem, Galderma Group, Logitech, VAT

Title

CH1492032888 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492032888

Fälligkeitstag

08.02.2027

Basiswert

VAT Group AG, Bachem Holding AG, Logitech International SA, Galderma Group Ltd - CH1492032888

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% (20.15% p.a.) Barrier Reverse Convertible on Adyen , Cellnex Telecom S.A., Prysmian

Title

CH1492034686 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1492034686

Fälligkeitstag

13.08.2026

Basiswert

Adyen N.V., Cellnex Telecom S.A., Prysmian SpA - CH1492034686

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

10.07% p.a. Barrier Reverse Convertible on Amazon.com, Coca-Cola, McDonalds

Title

CH1314936605 - Compartment P100

Kategorie

Structured Products - Basket

ISIN

CH1314936605

Fälligkeitstag

04.08.2026

Basiswert

Amazon.com Inc., McDonalds Corp., Coca-Cola Company - CH1314936605

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 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. 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