Funds | Products |
Bond Funds | 8 |
Balanced Funds | 18 |
Equity Funds | 17 |
Real Estate Funds | 2 |
Bonds | Products |
Bonds | 3 |
Premium Deposits | Products |
Premium deposits FX | 3 |
Certificates | Products |
Turbo certificates | 8 |
Name ISIN |
Product type | Currency | Issue date | |
Reverse Convertible ČEZ 05/2025 II XS2773269498 |
Reverse convertibles | CZK | 2024/05/20 | |
Prémiový dluhový cenný papír PACIFIC AUTOCALL DE000VD3E4D3 |
Structured bonds and notes | CZK | 2024/05/21 |
Category | Number | ||
Index/Participation Certificates | 6 | ||
Turbo long/short | 101 |
Category | Number | ||
Premium deposits FX | 39 |
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