Nuevas Emisiones

Societe Generale le ofrece una amplia oferta de Productos Cotizados emitidos sobre diferentes Activos.

Consulte las últimas nuevas emisiones de Productos Cotizados de Societe Generale utilizando 2 criterios de búsqueda: el Primer día de Cotización en Bolsa y la Fecha de Vencimiento.

Familia

Primer día cotización

Vencimiento

Warrants (537)

Primer día cotización Activo Subyacente Tipo Strike Vencimiento Paridad ISIN Código
30/01/2019 ACCIONA Call 85 20/12/2019 10/1 LU1896273197 H2305 Warrant ACCIONA Call 85
30/01/2019 ACCIONA Put 70 20/12/2019 10/1 LU1896273270 H2306 Warrant ACCIONA Put 70
30/01/2019 ACCIONA Call 75 20/09/2019 10/1 LU1896272546 H2301 Warrant ACCIONA Call 75
30/01/2019 ACCIONA Call 85 20/09/2019 10/1 LU1896272629 H2302 Warrant ACCIONA Call 85
30/01/2019 ACCIONA Put 70 20/09/2019 10/1 LU1896272892 H2303 Warrant ACCIONA Put 70
30/01/2019 ACCIONA Call 75 20/12/2019 10/1 LU1896272975 H2304 Warrant ACCIONA Call 75
30/01/2019 ACERINOX Put 8 20/09/2019 2/1 LU1896273601 H2310 Warrant ACERINOX Put 8
30/01/2019 ACERINOX Call 9 20/12/2019 2/1 LU1896273783 H2311 Warrant ACERINOX Call 9
30/01/2019 ACERINOX Call 9 20/09/2019 2/1 LU1896273437 H2308 Warrant ACERINOX Call 9
30/01/2019 ACERINOX Call 10 20/09/2019 2/1 LU1896273510 H2309 Warrant ACERINOX Call 10
30/01/2019 ACERINOX Call 10 20/12/2019 2/1 LU1896273866 H2312 Warrant ACERINOX Call 10
30/01/2019 ACERINOX Put 8 20/12/2019 2/1 LU1896273940 H2313 Warrant ACERINOX Put 8
30/01/2019 ACERINOX Call 9 21/06/2019 2/1 LU1896273353 H2307 Warrant ACERINOX Call 9
30/01/2019 ACS Call 36 20/09/2019 5/1 LU1896274245 H2316 Warrant ACS Call 36
30/01/2019 ACS Put 30 20/09/2019 5/1 LU1896274328 H2317 Warrant ACS Put 30
30/01/2019 ACS Call 33 21/06/2019 5/1 LU1896274088 H2314 Warrant ACS Call 33
30/01/2019 ACS Call 33 20/09/2019 5/1 LU1896274161 H2315 Warrant ACS Call 33
30/01/2019 ACS Put 30 20/12/2019 5/1 LU1896274757 H2320 Warrant ACS Put 30
30/01/2019 ACS Call 39 20/12/2019 5/1 LU1896274674 H2319 Warrant ACS Call 39
30/01/2019 ACS Call 36 20/12/2019 5/1 LU1896274591 H2318 Warrant ACS Call 36
30/01/2019 AENA SA Put 125 20/12/2019 20/1 LU1896275481 H2327 Warrant AENA SA Put 125
30/01/2019 AENA SA Call 160 20/12/2019 20/1 LU1896275309 H2326 Warrant AENA SA Call 160
30/01/2019 AENA SA Call 140 20/12/2019 20/1 LU1896275218 H2325 Warrant AENA SA Call 140
30/01/2019 AENA SA Put 125 20/09/2019 20/1 LU1896275135 H2324 Warrant AENA SA Put 125

Multi (21)

Primer día cotización Activo Subyacente Tipo Strike Vencimiento Paridad ISIN Código
13/12/2018 BBVA APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988302 Z0118 Multi BBVA APALANCADO X5
13/12/2018 BBVA INVERSO X5 Call 0 21/01/2022 1/1 LU1917988484 Z0119 Multi BBVA INVERSO X5
13/12/2018 Euro STOXX 50 Daily Leverage 8 EUR Net Return Call 10 21/01/2022 1/1 LU1917989532 Z0126 Multi Euro STOXX 50 Daily Leverage 8 EUR Net Return
13/12/2018 Euro STOXX 50 Daily Short 8 EUR Gross Return Call 10 21/01/2022 1/1 LU1917989615 Z0127 Multi Euro STOXX 50 Daily Short 8 EUR Gross Return
13/12/2018 IBEX 35 APALANCADO NETO X10 Call 10 21/01/2022 1/1 LU1917990118 Z0128 Multi IBEX 35 APALANCADO NETO X10
13/12/2018 IBEX 35 APALANCADO NETO X5 Call 10 21/01/2022 1/1 LU1917989961 Z0116 Multi IBEX 35 APALANCADO NETO X5
13/12/2018 IBEX 35 INVERSO X10 Call 10 21/01/2022 1/1 LU1917990209 Z0129 Multi IBEX 35 INVERSO X10
13/12/2018 IBEX 35 INVERSO X5 Call 10 21/01/2022 1/1 LU1917990035 Z0117 Multi IBEX 35 INVERSO X5
13/12/2018 ITX APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988567 Z0120 Multi ITX APALANCADO X5
13/12/2018 ITX INVERSO X5 Call 0 21/01/2022 1/1 LU1917988641 Z0121 Multi ITX INVERSO X5
13/12/2018 LevDAX x10 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989706 Z0130 Multi LevDAX x10 (Total Return) EUR
13/12/2018 LevDAX x5 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989375 Z0114 Multi LevDAX x5 (Total Return) EUR
13/12/2018 SAN APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988724 Z0122 Multi SAN APALANCADO X5
13/12/2018 SAN INVERSO X5 Call 0 21/01/2022 1/1 LU1917988997 Z0123 Multi SAN INVERSO X5
13/12/2018 ShortDAX x10 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989888 Z0131 Multi ShortDAX x10 (Total Return) EUR
13/12/2018 ShortDAX x5 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989458 Z0115 Multi ShortDAX x5 (Total Return) EUR
13/12/2018 TEF APALANCADO X5 Call 0 21/01/2022 1/1 LU1917989029 Z0124 Multi TEF APALANCADO X5
13/12/2018 TEF INVERSO X5 Call 0 21/01/2022 1/1 LU1917989292 Z0125 Multi TEF INVERSO X5
22/02/2016 WTI Futures x5 Leveraged Index Call 0 21/12/2035 1.588410238/0.995462250269696 LU1358925219 Z0042 Multi WTI Futures x5 Leveraged Index
22/02/2016 WTI Futures x5 short Leveraged Index Call 0 21/12/2035 91.513788753/0.995462250269696 LU1358925300 Z0043 Multi WTI Futures x5 short Leveraged Index
12/08/2015 Solactive X5 Daily Short USD and Long EUR Call 0.00 14/09/2035 1/1 DE000SG7YCG9 Z0030 Multi Solactive X5 Daily Short USD and Long EUR

inLine (17)

Primer día cotización Activo Subyacente Rango Vencimiento LI % LS % Paridad ISIN Código
20/02/2019 BANCO SANTANDER 3.5-4.75 20/09/2019 -15.62 14.51 1/1 LU1910408308 I0304 inLine BANCO SANTANDER 3.5-4.75
20/02/2019 BANCO SANTANDER 3-5 20/09/2019 -27.69 20.51 1/1 LU1910408480 I0305 inLine BANCO SANTANDER 3-5
20/02/2019 BBVA 4-6.5 20/09/2019 -22.68 25.65 1/1 LU1910408217 I0303 inLine BBVA 4-6.5
20/02/2019 BBVA 4.5-6 20/09/2019 -13.01 15.99 1/1 LU1910408134 I0302 inLine BBVA 4.5-6
20/02/2019 EUR/USD 1.1-1.24 20/09/2019 -2.57 9.83 1/1 LU1919155181 I0316 inLine EUR/USD 1.1-1.24
20/02/2019 EUR/USD 1.05-1.2 20/09/2019 -7.00 6.28 1/1 LU1919155264 I0318 inLine EUR/USD 1.05-1.2
20/02/2019 EUR/USD 1.05-1.2 21/06/2019 -7.00 6.28 1/1 LU1919155694 I0315 inLine EUR/USD 1.05-1.2
20/02/2019 EUR/USD 1.1-1.2 21/06/2019 -2.57 6.28 1/1 LU1919155777 I0313 inLine EUR/USD 1.1-1.2
20/02/2019 EUR/USD 1-1.2 20/09/2019 -11.43 6.29 1/1 LU1919155348 I0317 inLine EUR/USD 1-1.2
20/02/2019 EUR/USD 1.1-1.22 21/06/2019 -2.57 8.06 1/1 LU1919155421 I0314 inLine EUR/USD 1.1-1.22
20/02/2019 IBEX 35 8000-10100 20/09/2019 -12.99 9.85 1/1 LU1910408720 I0311 inLine IBEX 35 8000-10100
20/02/2019 IBEX 35 7700-10400 20/09/2019 -16.25 13.11 1/1 LU1910408647 I0312 inLine IBEX 35 7700-10400
20/02/2019 IBEX 35 8200-9900 20/09/2019 -10.82 7.67 1/1 LU1910408563 I0310 inLine IBEX 35 8200-9900
20/02/2019 INDITEX 21-28 20/09/2019 -20.02 6.64 1/1 LU1910408993 I0306 inLine INDITEX 21-28
20/02/2019 INDITEX 20-29 20/09/2019 -23.83 10.45 1/1 LU1910409025 I0307 inLine INDITEX 20-29
20/02/2019 TELEFONICA 6.5-8.5 20/09/2019 -14.53 11.77 1/1 LU1910409298 I0308 inLine TELEFONICA 6.5-8.5
20/02/2019 TELEFONICA 6-9 20/09/2019 -21.10 18.34 1/1 LU1910409371 I0309 inLine TELEFONICA 6-9

Turbos (16)

Primer día cotización Activo Subyacente Tipo Strike Barrera Vencimiento Paridad ISIN Código
20/02/2019 DAX XETRA Put 11800 11,800.00 21/06/2019 1000/1 LU1910407755 57998 Turbo DAX XETRA Put 11800
20/02/2019 DAX XETRA Put 12000 12,000.00 21/06/2019 1000/1 LU1910407839 57999 Turbo DAX XETRA Put 12000
20/02/2019 DAX XETRA Put 12200 12,200.00 21/06/2019 1000/1 LU1910407912 58000 Turbo DAX XETRA Put 12200
20/02/2019 DAX XETRA Call 10400 10,400.00 21/06/2019 1000/1 LU1910406948 57991 Turbo DAX XETRA Call 10400
20/02/2019 DAX XETRA Call 10600 10,600.00 21/06/2019 1000/1 LU1910407086 57992 Turbo DAX XETRA Call 10600
20/02/2019 DAX XETRA Call 10000 10,000.00 21/06/2019 1000/1 LU1910406781 57989 Turbo DAX XETRA Call 10000
20/02/2019 DAX XETRA Call 10200 10,200.00 21/06/2019 1000/1 LU1910406864 57990 Turbo DAX XETRA Call 10200
20/02/2019 DAX XETRA Call 10800 10,800.00 21/06/2019 1000/1 LU1910407169 57993 Turbo DAX XETRA Call 10800
20/02/2019 IBEX 35 Call 8000 8,000.00 21/06/2019 1000/1 LU1910404810 57972 Turbo IBEX 35 Call 8000
20/02/2019 IBEX 35 Put 9500 9,500.00 21/06/2019 1000/1 LU1910405544 57979 Turbo IBEX 35 Put 9500
20/02/2019 IBEX 35 Put 10100 10,100.00 21/06/2019 1000/1 LU1910406351 57985 Turbo IBEX 35 Put 10100
20/02/2019 IBEX 35 Put 9900 9,900.00 21/06/2019 1000/1 LU1910406195 57983 Turbo IBEX 35 Put 9900
20/02/2019 IBEX 35 Put 9700 9,700.00 21/06/2019 1000/1 LU1910405890 57981 Turbo IBEX 35 Put 9700
10/10/2018 IBEX 35 Call 8700 8,700.00 21/06/2019 1000/1 LU1840413246 57935 Turbo IBEX 35 Call 8700
10/10/2018 IBEX 35 Call 8500 8,500.00 21/06/2019 1000/1 LU1840413089 57933 Turbo IBEX 35 Call 8500
10/10/2018 IBEX 35 Call 8200 8,200.00 21/06/2019 1000/1 LU1840412784 57930 Turbo IBEX 35 Call 8200

Bonus Cap (73)

Código Activo Subyacente Bonus Barrera Vencimiento Paridad Bid Ask Rentabilidad al Bonus % Distancia a Barrera % Activo
U0329 EURO STOXX 50 3,577.00 2,216.00 18/12/2020 100/1 33.80€ 33.82€ 5.77% -32.89% ???active.true??? Capped Bonus EURO STOXX 50 Call 3577
U0328 EURO STOXX 50 3,760.00 2,557.00 18/12/2020 100/1 33.82€ 33.84€ 11.11% -22.57% ???active.true??? Capped Bonus EURO STOXX 50 Put 3760
U0327 EURO STOXX 50 4,103.00 2,898.00 18/12/2020 100/1 33.35€ 33.37€ 22.95% -12.24% ???active.true??? Capped Bonus EURO STOXX 50 Call 4103
U0326 EURO STOXX 50 3,781.00 3,068.00 20/12/2019 100/1 31.94€ 31.96€ -- -- ???active.false??? Capped Bonus EURO STOXX 50 Put 3781
U0325 IBEX 35 10,125.00 6,185.00 18/12/2020 100/1 97.84€ 97.86€ 3.46% -32.73% ???active.true??? Capped Bonus IBEX 35 Put 10125
U0324 IBEX 35 10,791.00 7,136.00 18/12/2020 100/1 98.00€ 98.02€ 10.09% -22.39% ???active.true??? Capped Bonus IBEX 35 Call 10791
U0323 IBEX 35 12,001.00 8,088.00 18/12/2020 100/1 95.65€ 95.67€ 25.44% -12.03% ???active.true??? Capped Bonus IBEX 35 Call 12001
U0322 IBEX 35 10,105.00 7,612.00 20/12/2019 100/1 96.01€ 96.03€ 5.23% -17.21% ???active.true??? Capped Bonus IBEX 35 Call 10105
U0321 TELEFONICA 7.77 € 4.43 18/12/2020 1/1 7.61€ 7.63€ 1.83% -41.75% ???active.true??? Capped Bonus TELEFONICA Call 7.77
U0320 TELEFONICA 8.59 € 5.11 18/12/2020 1/1 8.08€ 8.10€ 6.05% -32.81% ???active.true??? Capped Bonus TELEFONICA Call 8.59
U0319 TELEFONICA 10.23 € 5.80 18/12/2020 1/1 8.76€ 8.79€ 16.38% -23.73% ???active.true??? Capped Bonus TELEFONICA Put 10.23
U0318 SOCIETE GENERALE 43.98 € 24.58 18/12/2020 5/1 4.39€ 4.40€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Put 43.98
U0317 SOCIETE GENERALE 48.19 € 28.37 18/12/2020 5/1 4.39€ 4.41€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Put 48.19
U0316 SOCIETE GENERALE 55.56 € 32.15 18/12/2020 5/1 4.41€ 4.42€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Call 55.56
U0315 SOCIETE GENERALE 40.70 € 26.48 20/12/2019 5/1 4.69€ 4.70€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Call 40.7
U0314 SOCIETE GENERALE 43.31 € 30.26 20/12/2019 5/1 4.69€ 4.70€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Call 43.31
U0313 SOCIETE GENERALE 47.90 € 34.03 20/12/2019 5/1 4.70€ 4.71€ -- -- ???active.false??? Capped Bonus SOCIETE GENERALE Call 47.9
U0312 BANCO SANTANDER 5.26 € 2.90 18/12/2020 1/1 4.42€ 4.43€ 18.74% -30.1% ???active.true??? Capped Bonus BANCO SANTANDER Call 5.26
U0311 BANCO SANTANDER 5.73 € 3.35 18/12/2020 1/1 4.33€ 4.34€ 32.03% -19.26% ???active.true??? Capped Bonus BANCO SANTANDER Call 5.73
U0310 BANCO SANTANDER 6.54 € 3.80 18/12/2020 1/1 3.80€ 3.81€ -- -- ???active.false??? Capped Bonus BANCO SANTANDER Call 6.54
U0309 BANCO SANTANDER 4.86 € 3.13 20/12/2019 1/1 4.42€ 4.43€ 9.71% -24.56% ???active.true??? Capped Bonus BANCO SANTANDER Call 4.86
U0308 BANCO SANTANDER 5.16 € 3.57 20/12/2019 1/1 4.32€ 4.33€ 19.17% -13.96% ???active.true??? Capped Bonus BANCO SANTANDER Call 5.16
U0307 BANCO SANTANDER 5.70 € 4.03 20/12/2019 1/1 4.00€ 4.01€ -- -- ???active.false??? Capped Bonus BANCO SANTANDER Put 5.7
U0306 Renault SA 90.17 € 49.10 18/12/2020 10/1 5.80€ 5.82€ 54.93% -14.95% ???active.true??? Capped Bonus Renault SA Call 90.17