Strukturált Értékpapírok
Citibank által forgalomba hozott strukturált értékpapírok
Az alábbi listában láthatóak a Citibank által forgalomba hozott strukturált értékpapírok. Amelyik terméknél elérhető PDF formátumú részletes tájákoztató, ott a termék nevére kattintva töltheti le azt.
Megnevezés | ISIN | Devizanem | Kibocsátás dátuma | Lejárat | Kibocsátó | Visszahívható |
---|---|---|---|---|---|---|
SG 4Y USD 80%PP BASKET 201610 | XS1456588703 | USD | 2016.11.15. | 2020.11.17. | Societe Generale | nem |
SG 4Y HUF 80%PP BASKET 201610 | XS1456591913 | HUF | 2016.11.15. | 2020.11.16. | Societe Generale | nem |
CS 5Y 3M USD LIBOR PP 201609 | XS1444088964 | USD | 2016.10.11. | 2021.10.11. | Credit Suisse AG | nem |
CS 4Y USD 90%PP BASKET 201608 | XS1444108150 | USD | 2016.09.15. | 2020.09.09. | Credit Suisse AG | nem |
CS 4Y HUF 90%PP BASKET 201608 | XS1444080987 | HUF | 2016.09.14. | 2020.09.08. | Credit Suisse International | nem |
CS 4Y HUF 90%PP BASKET 201607 | XS1396644772 | HUF | 2016.08.15. | 2020.08.10. | Credit Suisse International | nem |
CS 4Y USD 90%PP BASKET 201607 | XS1396647957 | USD | 2016.08.15. | 2020.08.10. | Credit Suisse AG | nem |
CS 4Y USD 90%PP BASKET 201606 | XS1396703370 | USD | 2016.07.14. | 2020.07.08. | Credit Suisse AG | nem |
CS 4Y HUF 90%PP BASKET 201606 | XS1396699834 | HUF | 2016.07.14. | 2020.07.07. | Credit Suisse International | nem |
CS 4Y HUF 90%PP BASKET 201605 | XS1396723568 | HUF | 2016.06.14. | 2020.06.08. | Credit Suisse International | nem |
CS 4Y USD 90%PP BASKET 201605 | XS1396719020 | USD | 2016.06.14. | 2020.06.08. | Credit Suisse AG | nem |
CS 4Y HUF 90% PP BASKET 201604 | XS1354984830 | HUF | 2016.05.13. | 2020.05.06. | Credit Suisse International | nem |
CS 4Y USD 90% PP BASKET 201604 | XS1354996925 | USD | 2016.05.13. | 2020.05.06. | Credit Suisse AG | nem |
CS 4Y HUF 89%PP BASKET 201603 | XS1355063543 | HUF | 2016.04.14. | 2020.04.07. | Credit Suisse International | nem |
CS 4Y USD 90%PP BASKET 201603 | XS1355064780 | USD | 2016.04.14. | 2020.04.07. | Credit Suisse AG | nem |
CS 3Y EUR AMAZON FACEBOOK AC | XS1396726827 | EUR | 2016.06.14. | 2019.06.14. | Credit Suisse AG | igen |
SG 4Y EUR SX5E 201503 AC | XS1180202787 | EUR | 2015.04.16. | 2019.04.15. | Societe Generale | igen |
SG 3Y EUR SX5E STEPDOWN AC | XS1289612084 | EUR | 2016.03.14. | 2019.03.14. | Societe Generale | igen |
SG 3Y USD ELILILLY BRISTOL AC | XS1290053518 | USD | 2016.03.14. | 2019.03.14. | Societe Generale | igen |
SG 3Y HUF SX5E STEPDOWN AC | XS1289605625 | HUF | 2016.03.16. | 2019.03.14. | Societe Generale | igen |
SG 3Y USD 95%PP SD3E INDEX | XS1289957810 | USD | 2016.02.11. | 2019.02.11. | Societe Generale | nem |
CS 3Y HUF TIMEWARNER WALTDISNEY AC | XS1280019487 | HUF | 2016.02.05. | 2019.02.05. | Credit Suisse International | igen |
CS 3Y USD TIMEWARNER WALTDISNEY AC | XS1280020733 | USD | 2016.02.05. | 2019.02.05. | Credit Suisse AG | igen |
CS 3Y EUR SPX SX5E NKY 201601 AC | XS1280023596 | EUR | 2016.02.11. | 2019.02.04. | Credit Suisse AG | igen |
CS 3Y HUF ALIBABA TENCENT AC | XS1280058386 | HUF | 2015.12.31. | 2019.01.03. | Credit Suisse International | igen |
CS 3Y EUR SPX SX5E NKY AC | XS1280048155 | EUR | 2016.01.07. | 2019.01.02. | Credit Suisse AG | igen |
CS 3Y USD SPX SX5E NKY AC | XS1280042208 | USD | 2016.01.07. | 2019.01.02. | Credit Suisse AG | igen |
SG 3Y EUR APPLE SAP AC | XS1266703468 | EUR | 2015.12.14. | 2018.12.14. | Societe Generale | igen |
SG 3Y HUF MONSTER DIAGEO | XS1266689535 | HUF | 2015.12.14. | 2018.12.14. | Societe Generale | igen |
SG 3Y USD APPLE SAP AC | XS1266699765 | USD | 2015.12.14. | 2018.12.14. | Societe Generale | igen |
RBC 3Y EUR MULTILOCKER | XS1289578558 | EUR | 2015.11.16. | 2018.11.14. | Royal Bank of Canada | igen |
SG 3Y HUF KERING HEINEKEN AC | XS1265896628 | HUF | 2015.11.16. | 2018.11.14. | Societe Generale | igen |
RBC 3Y USD MULTILOCKER | XS1289576933 | USD | 2015.11.16. | 2018.11.14. | Royal Bank of Canada | igen |
CS 3Y USD 5 STOCKS BASKET | XS1237072654 | USD | 2015.11.12. | 2018.11.06. | Credit Suisse AG | nem |
CS 3Y USD ABI BAT AC | XS1237069866 | USD | 2015.10.07. | 2018.10.09. | Credit Suisse AG | igen |
CS 3Y EUR ABI BAT AC | XS1237072571 | EUR | 2015.10.07. | 2018.10.08. | Credit Suisse AG | igen |
CS 3Y HUF ABI BAT AC | XS1237075087 | HUF | 2015.10.07. | 2018.10.08. | Credit Suisse International | igen |
CITI 4Y HUF TWINWIN SX5E | XS1092176970 | HUF | 2014.09.05. | 2018.09.05. | Citigroup Inc | nem |
CITI 4Y USD TWINWIN SX5E | XS1092178083 | USD | 2014.09.05. | 2018.09.05. | Citigroup Inc | nem |
CS 3Y USD GOOGLE HP AC | XS1237105769 | USD | 2015.09.14. | 2018.09.05. | Credit Suisse AG | igen |
CS 3Y EUR GOOGLE HP AC | XS1237112971 | EUR | 2015.09.11. | 2018.09.04. | Credit Suisse AG | igen |
CS 3Y HUF GOOGLE HP AC | XS1237106148 | HUF | 2015.09.11. | 2018.09.04. | Credit Suisse International | igen |
SG 3Y EUR COCA-COLA NESTLE AC | XS1212150558 | EUR | 2015.08.14. | 2018.08.14. | Societe Generale | igen |
SG 3Y HUF COCA-COLA NESTLE AC | XS1212148651 | HUF | 2015.08.14. | 2018.08.14. | Societe Generale | igen |
SG 3Y USD COCA-COLA NESTLE AC | XS1212140088 | USD | 2015.08.14. | 2018.08.14. | Societe Generale | igen |
CITI 3Y EUR APPLE NESTLE AC | XS1255520055 | EUR | 2015.08.07. | 2018.08.07. | Citigroup Inc | igen |
RBC 3Y AEGON AVIVA AC | XS1227283667 | EUR | 2015.07.15. | 2018.07.16. | Royal Bank of Canada | igen |
CS 3Y USD BIOGEN NOVO NORDISK AC | XS1193847610 | USD | 2015.07.02. | 2018.07.10. | Credit Suisse AG | igen |
CS 3Y HUF BIOGEN NOVO NORDISK AC | XS1193845838 | HUF | 2015.07.02. | 2018.07.09. | Credit Suisse International | igen |
RBC 3Y USD BMW DAIMLER AC | XS1222323526 | USD | 2015.06.12. | 2018.06.18. | Royal Bank of Canada | igen |
CS 3Y EUR AIRBUS BOEING AC | XS1193876718 | EUR | 2015.06.12. | 2018.06.05. | Credit Suisse AG | igen |
CS 3Y HUF AIRBUS BOEING AC | XS1193886949 | HUF | 2015.06.12. | 2018.06.05. | Credit Suisse AG | igen |
RBC 3Y EUR QUALCOMM APPLIED MAT AC | XS1203912677 | EUR | 2015.05.15. | 2018.05.15. | Royal Bank of Canada | igen |
SG 3Y HUF TEVA PFIZER AC | XS1202893225 | HUF | 2015.05.15. | 2018.05.15. | Societe Generale | igen |
RBC 3Y USD TEVA PFIZER AC | XS1203929648 | USD | 2015.05.15. | 2018.05.15. | Royal Bank of Canada | igen |
SG 3Y HUFADOBE SEAGATE AC | XS1180198068 | HUF | 2015.04.16. | 2018.04.17. | Societe Generale | igen |
SG 3Y USD ADOBE SEAGATE AC | XS1180238971 | USD | 2015.04.15. | 2018.04.16. | Societe Generale | igen |
RBC 4Y EUR TWINWIN | XS0988243910 | EUR | 2014.03.14. | 2018.03.14. | Royal Bank of Canada | nem |
RBC 3Y EUR MULTILOCKER 201502 | XS1169785638 | EUR | 2015.03.13. | 2018.03.13. | Royal Bank of Canada | nem |
SG 3Y HUF ESTEELAUDER RALPLAUREN AC | XS1143960109 | HUF | 2015.03.13. | 2018.03.13. | Societe Generale | igen |
SG 3Y USD ESTEELAUDER RALPLAUREN AC | XS1143965595 | USD | 2015.03.13. | 2018.03.13. | Societe Generale | igen |
SG 3Y USD GILEAD PFIZER CELEGNE AC | XS1143838305 | USD | 2015.03.12. | 2018.03.12. | Societe Generale | nem |
CITI 3Y EUR SG AND CA AC | XS1162239708 | EUR | 2015.02.13. | 2018.02.13. | Citigroup Inc | igen |
CITI 3Y HUF SG AND CA AC | XS1162223702 | HUF | 2015.02.13. | 2018.02.13. | Citigroup Inc | igen |
RBC 3Y USD MULTILOCKER 201501 | XS1143673116 | USD | 2015.02.12. | 2018.02.13. | Royal Bank of Canada | nem |
CITI 4Y EUR FASHION | XS1009852093 | EUR | 2014.02.11. | 2018.02.12. | Citigroup Inc | igen |
CITI 4Y HUF FASHION | XS1009853737 | HUF | 2014.02.11. | 2018.02.12. | Citigroup Inc | igen |
CITI 4Y USD FASHION | XS1009854388 | USD | 2014.02.11. | 2018.02.12. | Citigroup Inc | igen |
SG 1Y HUF AUTOBASKET 201611 | XS1490935670 | HUF | 2017.01.09. | 2018.01.11. | Societe Generale | igen |
SG 1Y EUR AUTOBASKET 201611 | XS1490897052 | EUR | 2017.01.09. | 2018.01.11. | Societe Generale | igen |
SG 3Y HUF SAP AND WESTDIG AC | XS1119038674 | HUF | 2015.01.07. | 2018.01.10. | Societe Generale | igen |
SG 1Y USD AUTOBASKET 201611 | XS1490904015 | USD | 2017.01.10. | 2018.01.10. | Societe Generale | igen |
SG 3Y USD SAP AND WESTDIG AC | XS1119038245 | USD | 2015.01.06. | 2018.01.09. | Societe Generale | igen |
SG 3Y EUR HALLIB AND WEATHERF AC | XS1119038088 | EUR | 2015.01.06. | 2018.01.08. | Societe Generale | igen |
6Y USD CFI STEPUP 20180105 | XS0707396825 | USD | 2012.01.05. | 2018.01.05. | Citigroup Funding Inc | nem |
6Y EUR CFI STEPUP COUPON20180105 | XS0707397476 | EUR | 2012.01.05. | 2018.01.05. | Citigroup Funding Inc | nem |
CITI 3Y USD PEPSI AND APPLE AC | XS1130524819 | USD | 2014.12.12. | 2017.12.12. | Citigroup Inc | igen |
SG 3Y EUR DEUTCHEB AND UNICREDIT AC | XS1119154315 | EUR | 2014.12.12. | 2017.12.12. | Societe Generale | igen |
SG 3YHUF DEUTCHEB AND UNICREDIT AC | XS1119153853 | HUF | 2014.12.12. | 2017.12.12. | Societe Generale | igen |
BNP 5Y EUR SX5E NPP | XS0774321912 | EUR | 2012.12.10. | 2017.12.11. | BNP Arbitrage Issuance BV | igen |
SG 3Y HUF STARBUCKS AND MCD AC | XS1101776588 | HUF | 2014.11.14. | 2017.11.14. | Societe Generale | igen |
SG 3Y USD STARBUCKS AND MCD AC | XS1101776828 | USD | 2014.11.14. | 2017.11.14. | Societe Generale | igen |
SG 3Y EUR BOEING AND SEADRILL AC | XS1101777479 | EUR | 2014.11.14. | 2017.11.14. | Societe Generale | igen |
6 EVES T. VED. USD 2017 | XS0669588849 | USD | 2011.10.11. | 2017.10.11. | Citigroup Funding Inc | nem |
6 EVES EUR 2017 | XS0669589060 | EUR | 2011.10.11. | 2017.10.11. | Citigroup Funding Inc | nem |
CS 3Y USD PFIZER AND PROCTER AC | XS1093389150 | USD | 2014.10.07. | 2017.10.10. | Credit Suisse AG | igen |
CS 3Y EUR BG AND RIOTINTO AC | XS1093362892 | EUR | 2014.10.07. | 2017.10.09. | Credit Suisse AG | igen |
CS 3Y HUF PFIZER AND PROCTER AC | XS1093362975 | HUF | 2014.10.07. | 2017.10.09. | Credit Suisse International | igen |
RBC 3Y EUR APPLE AND EBAY AC | XS1092545331 | EUR | 2014.09.12. | 2017.09.13. | Royal Bank of Canada | igen |
6YR USD 100%PP RANGE ACC 20170908 | XS0653624816 | USD | 2011.09.08. | 2017.09.08. | Citigroup Funding Inc | nem |
6YR EUR 100%PP RANGE ACC 20170908 | XS0653835354 | EUR | 2011.09.08. | 2017.09.08. | Citigroup Funding Inc | nem |
SG 3Y EUR GOODYEAR GENERAL MOTORS | XS1039639668 | EUR | 2014.08.14. | 2017.08.14. | Societe Generale | igen |
SG 3Y USD GOODYEAR GENERAL MOTORS | XS1039639742 | USD | 2014.08.14. | 2017.08.14. | Societe Generale | igen |
SG 3Y GOODYEAR GENERAL MOTORS | XS1039640088 | HUF | 2014.08.14. | 2017.08.14. | Societe Generale | igen |
6YR 100% EUR PP RANGE ACCRUAL | XS0642180003 | EUR | 2011.08.05. | 2017.08.07. | Citigroup Funding Inc | nem |
SG 3Y USD BRISTOL AND GILEAD | XS1037629109 | USD | 2014.07.14. | 2017.07.17. | Societe Generale | igen |
SG3Y HUF BRISTOL AND GILEAD | XS1037629018 | HUF | 2014.07.14. | 2017.07.14. | Societe Generale | igen |
SG 3Y EUR BRISTOL AND GILEAD | XS1037629281 | EUR | 2014.07.14. | 2017.07.14. | Societe Generale | igen |
6YR USD 100% PP RANGE ACCRUAL | XS0629857557 | USD | 2011.07.11. | 2017.07.11. | Citigroup Funding Inc | nem |
6YR EUR 100% PP RANGE ACCRUAL | XS0629859090 | EUR | 2011.07.11. | 2017.07.11. | Citigroup Funding Inc | nem |
CITI 3Y USD MICHELIN AND RENAULT | XS1063690975 | USD | 2014.06.09. | 2017.06.09. | Citigroup Inc | igen |
CITI 3Y EUR MICHELIN AND RENAULT | XS1063691353 | EUR | 2014.06.09. | 2017.06.09. | Citigroup Inc | igen |
CITI 3Y HUF MICHELIN AND RENAULT | XS1063692088 | HUF | 2014.06.09. | 2017.06.09. | Citigroup Inc | igen |
SG 3Y USD AB AND CARREFOUR | XS0998188329 | USD | 2014.05.14. | 2017.05.15. | Societe Generale | igen |
SG 3Y EUR AB AND CARREFOUR | XS0998188592 | EUR | 2014.05.14. | 2017.05.15. | Societe Generale | igen |
SG 3Y HUF AB AND CARREFOUR | XS0998188675 | HUF | 2014.05.14. | 2017.05.15. | Societe Generale | igen |
6Y USD FIXFLOATING4 NOTE | XS0608721550 | USD | 2011.05.05. | 2017.05.05. | Citigroup Funding Inc | nem |
6Y USD FIXFLOATING3 NOTE | XS0596216373 | USD | 2011.04.08. | 2017.04.10. | Citigroup Funding Inc | nem |
CITI 5Y EUR 100% PROTECTED EURSTOXX50 | XS1039694929 | EUR | 2014.04.08. | 2019.04.08. | Citigroup Inc | nem |
CITI 3Y HUF IT STOCKS | XS1039966194 | HUF | 2014.04.08. | 2017.04.10. | Citigroup Inc | igen |
CITI 3Y USD IT STOCKS | XS1039967168 | USD | 2014.04.08. | 2017.04.10. | Citigroup Inc | igen |
CITI 3Y HUF AUTO STOCKS | XS1026236650 | HUF | 2014.03.17. | 2017.03.17. | Citigroup Inc | igen |
CITI 3Y USD AUTO STOCKS | XS1026245214 | USD | 2014.03.17. | 2017.03.17. | Citigroup Inc | igen |
6Y USD FIXFLOATING2 NOTE | XS0585197311 | USD | 2011.03.07. | 2017.03.07. | Citigroup Funding Inc | nem |
5Y CFI FIXFLOAT EUR5 20170307 | XS0740242549 | EUR | 2012.03.07. | 2017.03.07. | Citigroup Funding Inc | nem |
6Y USD FIX TO FLOATING COUPON | XS0571267441 | USD | 2011.02.07. | 2017.02.07. | Citigroup Funding Inc | nem |
RBC 3Y EUR PHOENIX AUTOCALL | XS0988279864 | EUR | 2014.01.14. | 2017.01.17. | Royal Bank of Canada | igen |
RBC 3Y USD PHOENIX AUTOCALL | XS0988279435 | USD | 2014.01.14. | 2017.01.17. | Royal Bank of Canada | igen |
C 3Y HUF ING BNP AUTOCALL | XS1003212542 | HUF | 2014.01.10. | 2017.01.10. | Citigroup Inc | igen |
RBC 3Y USD MULTI LOCKER | XS0972449796 | USD | 2013.12.13. | 2016.12.13. | Royal Bank of Canada | nem |
RBC 3Y EUR MULTI LOCKER | XS0972452154 | EUR | 2013.12.13. | 2016.12.13. | Royal Bank of Canada | nem |
BNP 4Y USD SX5E NPP | XS0774322134 | USD | 2012.12.10. | 2016.12.12. | BNP Arbitrage Issuance BV | igen |
CITI 3Y HUF J&J AND P&G | XS0987343414 | HUF | 2013.12.12. | 2016.12.12. | Citigroup Inc | igen |
CFI 4Y HUF 3 EQUITY | XS0838827433 | HUF | 2012.11.09. | 2016.11.10. | Citigroup Funding Inc | nem |
6Y EUR CAPPED FLOORED FLOATER3 | XS0543637457 | EUR | 2010.11.08. | 2016.11.08. | Citigroup Funding Inc | nem |
CITI 3Y HUF FINANCIAL | XS0968698430 | HUF | 2013.09.24. | 2016.09.26. | Citigroup Inc | igen |
CITI 3Y USD FINANCIAL | XS0968699917 | USD | 2013.09.24. | 2016.09.26. | Citigroup Inc | igen |
4Y SPX 5.5% DEEP USD | XS0810520931 | USD | 2012.09.10. | 2016.09.12. | Citigroup Funding Inc | nem |
4Y SPX 4.7% DEEP EUR | XS0810521079 | EUR | 2012.09.10. | 2016.09.12. | Citigroup Funding Inc | nem |
4Y USD MASTR INDEX20150810 | XS0799653919 | USD | 2012.08.10. | 2016.08.10. | Citigroup Funding Inc | nem |
4Y EUR MASTR INDEX 20150810 | XS0801630962 | EUR | 2012.08.10. | 2016.08.10. | Citigroup Funding Inc | nem |
6Y EUR CAPPED FLOORED FL.2 NOTE | XS0518883243 | EUR | 2010.08.06. | 2016.08.08. | Citigroup Funding Inc | nem |
5YR HUF CFI ASIAN BASKET | XS0646582048 | HUF | 2011.08.05. | 2016.08.05. | Citigroup Funding Inc | nem |
6Y EUR CAPPED FLOORED FL. NOTE | XS0511276684 | EUR | 2010.06.29. | 2016.06.29. | Citigroup Funding Inc | nem |
4Y EUR S&P500 DEEP B 20160628 | XS0787773463 | EUR | 2012.06.28. | 2016.06.28. | Citigroup Funding Inc | nem |
4Y USD S&P500 DEEP BARR.20160628 | XS0789274882 | USD | 2012.06.28. | 2016.06.28. | Citigroup Funding Inc | nem |
CITI 3Y EUR 2 STOCKS | XS0925526674 | EUR | 2013.06.10. | 2016.06.10. | Citigroup Inc | igen |
CITI 3Y HUF 2 STOCKS | XS0925525940 | HUF | 2013.06.10. | 2016.06.10. | Citigroup Inc | igen |
CITI 3Y USD 2 STOCKS | XS0925579798 | USD | 2013.06.10. | 2016.06.10. | Citigroup Inc | igen |
5Y EUR FIXFLOATING4% NOTE | XS0617193692 | EUR | 2011.06.07. | 2016.06.07. | Citigroup Funding Inc | nem |
4Y EUR FIXFLOATER6 20160607 | XS0778071448 | EUR | 2012.06.07. | 2016.06.07. | Citigroup Funding Inc | nem |
4Y USD HIGH DIVIDEND STOCK20160510 | XS0766161755 | USD | 2012.05.10. | 2016.05.10. | Citigroup Funding Inc | nem |
4Y EUR HIGHDIVIDEND STOCK20160510 | XS0766165152 | EUR | 2012.05.10. | 2016.05.10. | Citigroup Funding Inc | nem |
6Y EUR FIX FLOATER NOTE | XS0497875889 | EUR | 2010.05.06. | 2016.05.06. | Citigroup Funding Inc | nem |
5Y EUR FIX 3% COUPON NOTE | XS0600795446 | EUR | 2011.05.04. | 2016.05.04. | Citigroup Funding Inc | nem |
5Y FUND BASKET HUF | XS0598879392 | HUF | 2011.04.08. | 2016.04.08. | Citigroup Funding Inc | nem |
5Y FUND BASKET EUR | XS0598880648 | EUR | 2011.04.08. | 2016.04.08. | Citigroup Funding Inc | nem |
5Y EUR SX5E SWITHCER NOTE | XS0585202095 | EUR | 2011.03.07. | 2016.03.07. | Citigroup Funding Inc | nem |
4Y CFI USD FIX 3% 20160307 | XS0739779915 | USD | 2012.03.07. | 2016.03.07. | Citigroup Funding Inc | nem |
CITI 3Y USD SX5E NPP | XS0882256356 | USD | 2013.03.07. | 2016.03.07. | Citigroup Inc | nem |
CITI 3Y HUF SX5E NPP | XS0882839292 | HUF | 2013.03.07. | 2016.03.07. | Citigroup Inc | nem |
5Y10M ALLEGRO EUR STEPUP | XS0494807091 | EUR | 2010.04.09. | 2016.02.09. | Allegro | nem |
5Y EUR CLIQUET NOTE | XS0568124746 | EUR | 2011.02.08. | 2016.02.08. | Citigroup Funding Inc | nem |
5Y HUF CLIQUET NOTE | XS0568127335 | HUF | 2011.02.08. | 2016.02.08. | Citigroup Funding Inc | nem |
5Y EUR OASIS NOTE | XS0558064621 | EUR | 2011.01.07. | 2016.01.07. | Citigroup Funding Inc | nem |
5Y HUF OASIS NOTE | XS0558065784 | HUF | 2011.01.07. | 2016.01.07. | Citigroup Funding Inc | nem |
BNP 3Y HUF SX5E NPP 20151231 | XS0843588780 | HUF | 2012.12.30. | 2015.12.31. | BNP Arbitrage Issuance BV | igen |
CFI 3Y HUF GOLD PP | XS0851927367 | HUF | 2012.12.10. | 2015.12.10. | Citigroup Funding Inc | nem |
4Y USD CFI SPX SNOWBALL20140915 | XS0683073174 | USD | 2011.11.09. | 2015.11.09. | Citigroup Funding Inc | nem |
4 EVES,FELT.TOKEVED,KOT 20151007 | XS0668574766 | EUR | 2011.10.13. | 2015.10.07. | Citigroup Funding Inc | nem |
3Y HUF 2.MASTR 20150810 | XS0801631184 | HUF | 2012.08.10. | 2015.08.10. | Citigroup Funding Inc | nem |
5Y USD FIX TO FLOATER4 NOTE | XS0513072594 | USD | 2010.07.07. | 2015.07.07. | Citigroup Funding Inc | nem |
3Y USD DAX 20150608 | XS0778078880 | USD | 2012.06.08. | 2015.06.08. | Citigroup Funding Inc | nem |
3Y HUF DAX 20150608 | XS0778079342 | HUF | 2012.06.08. | 2015.06.08. | Citigroup Funding Inc | nem |
5Y USD FIX FLOATER3 NOTE | XS0505892348 | USD | 2010.06.04. | 2015.06.04. | Citigroup Funding Inc | nem |
5Y EUR CAPEX EQUITY BASKET NOTE | XS0507114394 | EUR | 2010.06.04. | 2015.06.04. | Citigroup Funding Inc | nem |
5Y HUF CAPEX EQUITY BASKET NOTE | XS0507800588 | HUF | 2010.06.04. | 2015.06.04. | Citigroup Funding Inc | nem |
3Y HUF MASTR INDEX CFI20150410 | XS0733115355 | HUF | 2012.04.10. | 2015.04.10. | Citigroup Funding Inc | nem |
3Y USD ASIAN FX BASKET 20150410 | XS0752240100 | USD | 2012.04.10. | 2015.04.10. | Citigroup Funding Inc | nem |
5Y USD FIX FLOATER NOTE | XS0491170352 | USD | 2010.04.09. | 2015.04.09. | Citigroup Funding Inc | nem |
5Y EUR SWITCHER NOTE | XS0490320644 | EUR | 2010.04.07. | 2015.04.07. | Citigroup Funding Inc | nem |
3Y CFI 3Y BESTPROF320150309 | XS0740625123 | HUF | 2012.03.09. | 2015.03.09. | Citigroup Funding Inc | nem |
5Y EUR STEPUP COUPON NOTE 2 | XS0467361332 | EUR | 2010.03.05. | 2015.03.05. | Citigroup Funding Inc | nem |
5Y USD STEPUP COUPON NOTE | XS0467361688 | USD | 2010.03.05. | 2015.03.05. | Citigroup Funding Inc | nem |
3Y CFI EUR3% FIX COUPON20150209 | XS0724581508 | EUR | 2012.02.09. | 2015.02.09. | Citigroup Funding Inc | nem |
3Y CFI USD FX BASKET 20150207 | XS0708694038 | USD | 2012.02.07. | 2015.02.07. | Citigroup Funding Inc | nem |
3Y CFI HUF FX BASKET 20150207 | XS0708694111 | HUF | 2012.02.07. | 2015.02.07. | Citigroup Funding Inc | nem |
5Y EUR FIX TO FLOATING COUPON NOTE | XS0474647491 | EUR | 2010.02.05. | 2015.02.05. | Citigroup Funding Inc | nem |
5Y USD FIX TO FLOATING COUPON NOTE | XS0474647731 | USD | 2010.02.05. | 2015.02.05. | Citigroup Funding Inc | nem |
6Y EUR FIX 4.2% COUPON NOTE | XS0405100792 | EUR | 2009.01.28. | 2015.01.28. | Citigroup Funding Inc | nem |
5Y EUR STEPUP DIGITAL NOTE | XS0467795331 | EUR | 2010.01.11. | 2015.01.11. | Citigroup Funding Inc | nem |