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.

Tipo Producto

Primer día cotización

Vencimiento

Warrants (600)

Primer día cotización Activo Subyacente Tipo Strike Vencimiento Paridad ISIN Código
30/01/2019 OHL Call 0.8 20/12/2019 2/1 LU1896299150 H2442 Warrant OHL Call 0.8
30/01/2019 OHL Call 0.8 20/09/2019 2/1 LU1896299077 H2441 Warrant OHL Call 0.8
07/06/2019 BANCO SABADELL Put 1 20/03/2020 1/1 LU1946237127 H4298 Warrant BANCO SABADELL Put 1
07/06/2019 BANCO SABADELL Call 1 20/03/2020 1/1 LU1946236822 H4296 Warrant BANCO SABADELL Call 1
30/01/2019 BANCO SABADELL Put 1 20/12/2019 1/1 LU1896282420 H2357 Warrant BANCO SABADELL Put 1
30/01/2019 BANCO SABADELL Call 1 20/12/2019 1/1 LU1896282347 H2356 Warrant BANCO SABADELL Call 1
30/01/2019 BANCO SABADELL Put 1 20/09/2019 1/1 LU1896282263 H2355 Warrant BANCO SABADELL Put 1
30/01/2019 BANCO SABADELL Call 1 20/09/2019 1/1 LU1896282180 H2354 Warrant BANCO SABADELL Call 1
19/09/2018 EUR/USD Put 1.05 20/12/2019 1/10 LU1817130542 H0611 Warrant EUR/USD Put 1.05
19/09/2018 EUR/USD Call 1.05 20/12/2019 1/10 LU1817129700 H0604 Warrant EUR/USD Call 1.05
19/09/2018 EUR/USD Call 1.1 20/12/2019 1/10 LU1817129882 H0605 Warrant EUR/USD Call 1.1
19/09/2018 EUR/USD Put 1.1 20/12/2019 1/10 LU1817130625 H0612 Warrant EUR/USD Put 1.1
19/09/2018 EUR/USD Put 1.15 20/12/2019 1/10 LU1817130898 H0613 Warrant EUR/USD Put 1.15
19/09/2018 EUR/USD Call 1.15 20/12/2019 1/10 LU1817130039 H0606 Warrant EUR/USD Call 1.15
07/06/2019 BANCO SABADELL Call 1.2 20/03/2020 1/1 LU1946237044 H4297 Warrant BANCO SABADELL Call 1.2
30/01/2019 PHARMA MAR Put 1.2 20/09/2019 2/1 LU1896299408 H2445 Warrant PHARMA MAR Put 1.2
30/01/2019 PHARMA MAR Put 1.2 20/12/2019 2/1 LU1896299663 H2447 Warrant PHARMA MAR Put 1.2
19/09/2018 EUR/USD Call 1.2 20/12/2019 1/10 LU1817130112 H0607 Warrant EUR/USD Call 1.2
19/09/2018 EUR/USD Call 1.25 20/12/2019 1/10 LU1817130203 H0608 Warrant EUR/USD Call 1.25
19/09/2018 EUR/USD Call 1.3 20/12/2019 1/10 LU1817130385 H0609 Warrant EUR/USD Call 1.3
19/09/2018 EUR/USD Call 1.35 20/12/2019 1/10 LU1817130468 H0610 Warrant EUR/USD Call 1.35
30/01/2019 PHARMA MAR Call 1.4 20/12/2019 2/1 LU1896299580 H2446 Warrant PHARMA MAR Call 1.4
30/01/2019 PHARMA MAR Call 1.4 20/09/2019 2/1 LU1896299317 H2444 Warrant PHARMA MAR Call 1.4
30/01/2019 SACYR Put 1.8 20/12/2019 2/1 LU1896302558 H2465 Warrant SACYR Put 1.8

Multi (21)

Primer día cotización Activo Subyacente Tipo Strike Vencimiento Paridad ISIN Código
13/12/2018 ITX INVERSO X5 Call 0 21/01/2022 1/1 LU1917988641 Z0121 Multi ITX INVERSO X5
13/12/2018 BBVA INVERSO X5 Call 0 21/01/2022 1/1 LU1917988484 Z0119 Multi BBVA INVERSO X5
13/12/2018 BBVA APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988302 Z0118 Multi BBVA APALANCADO X5
13/12/2018 SAN INVERSO X5 Call 0 21/01/2022 1/1 LU1917988997 Z0123 Multi SAN INVERSO X5
13/12/2018 TEF INVERSO X5 Call 0 21/01/2022 1/1 LU1917989292 Z0125 Multi TEF INVERSO X5
13/12/2018 TEF APALANCADO X5 Call 0 21/01/2022 1/1 LU1917989029 Z0124 Multi TEF APALANCADO X5
13/12/2018 SAN APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988724 Z0122 Multi SAN APALANCADO X5
13/12/2018 ITX APALANCADO X5 Call 0 21/01/2022 1/1 LU1917988567 Z0120 Multi ITX APALANCADO X5
22/02/2016 WTI Futures x5 short Leveraged Index Call 0 21/12/2035 91.513788753/0.985529978960205 LU1358925300 Z0043 Multi WTI Futures x5 short Leveraged Index
22/02/2016 WTI Futures x5 Leveraged Index Call 0 21/12/2035 1.588410238/0.985529978960205 LU1358925219 Z0042 Multi WTI Futures x5 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
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 IBEX 35 APALANCADO NETO X5 Call 10 21/01/2022 1/1 LU1917989961 Z0116 Multi IBEX 35 APALANCADO NETO 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 ShortDAX x10 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989888 Z0131 Multi ShortDAX x10 (Total Return) EUR
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 INVERSO X10 Call 10 21/01/2022 1/1 LU1917990209 Z0129 Multi IBEX 35 INVERSO X10
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 LevDAX x5 (Total Return) EUR Call 10 21/01/2022 1/1 LU1917989375 Z0114 Multi LevDAX x5 (Total Return) EUR
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 INVERSO X5 Call 10 21/01/2022 1/1 LU1917990035 Z0117 Multi IBEX 35 INVERSO X5

Turbos (14)

Primer día cotización Activo Subyacente Tipo Strike Barrera Vencimiento Paridad ISIN Código
29/05/2019 IBEX 35 Put 10000 10,000.00 20/12/2019 1000/1 LU1946158927 58023 Turbo IBEX 35 Put 10000
29/05/2019 IBEX 35 Put 10200 10,200.00 20/12/2019 1000/1 LU1946159149 58025 Turbo IBEX 35 Put 10200
07/08/2019 DAX XETRA Call 11200 11,200.00 20/12/2019 1000/1 LU1946155311 58027 Turbo DAX XETRA Call 11200
07/08/2019 DAX XETRA Put 12200 12,200.00 20/12/2019 1000/1 LU1946156046 58032 Turbo DAX XETRA Put 12200
23/05/2019 DAX XETRA Put 12800 12,800.00 20/12/2019 1000/1 LU1946156475 58035 Turbo DAX XETRA Put 12800
24/06/2019 DAX XETRA Put 13000 13,000.00 20/12/2019 1000/1 LU1946156558 58036 Turbo DAX XETRA Put 13000
24/06/2019 DAX XETRA Put 13200 13,200.00 20/12/2019 1000/1 LU1946156632 58037 Turbo DAX XETRA Put 13200
08/08/2019 IBEX 35 Call 7900 7,900.00 20/12/2019 1000/1 LU1946156806 58003 Turbo IBEX 35 Call 7900
23/05/2019 IBEX 35 Call 8100 8,100.00 20/12/2019 1000/1 LU1946157010 58005 Turbo IBEX 35 Call 8100
23/05/2019 IBEX 35 Call 8300 8,300.00 20/12/2019 1000/1 LU1946157283 58007 Turbo IBEX 35 Call 8300
08/08/2019 IBEX 35 Put 9200 9,200.00 20/12/2019 1000/1 LU1946158174 58015 Turbo IBEX 35 Put 9200
06/08/2019 IBEX 35 Put 9400 9,400.00 20/12/2019 1000/1 LU1946158331 58017 Turbo IBEX 35 Put 9400
24/06/2019 IBEX 35 Put 9600 9,600.00 20/12/2019 1000/1 LU1946158505 58019 Turbo IBEX 35 Put 9600
29/05/2019 IBEX 35 Put 9800 9,800.00 20/12/2019 1000/1 LU1946158760 58021 Turbo IBEX 35 Put 9800

Bonus Cap (73)

Código Activo Subyacente Bonus Barrera Vencimiento Paridad Bid Ask Rentabilidad al Bonus % Distancia a Barrera % Activo
U0280 Air France-Klm 10.13 € 6.09 20/12/2019 1/1 9.73€ 9.81€ 3.26% -32.91% ???active.true??? Capped Bonus Air France-Klm Call 10.13
U0319 TELEFONICA 10.23 € 5.80 18/12/2020 1/1 7.90€ 7.91€ 29.33% -15.57% ???active.true??? Capped Bonus TELEFONICA Put 10.23
U0279 Air France-Klm 10.85 € 6.96 20/12/2019 1/1 10.05€ 10.10€ 7.43% -23.33% ???active.true??? Capped Bonus Air France-Klm Call 10.85
U0283 Air France-Klm 10.96 € 5.65 18/12/2020 1/1 9.53€ 9.61€ 14.05% -37.76% ???active.true??? Capped Bonus Air France-Klm Put 10.96
U0301 Renault SA 101.00 € 68.10 20/12/2019 10/1 5.64€ 5.65€ -- -- ???active.false??? Capped Bonus Renault SA Call 101
U0322 IBEX 35 10,105.00 7,612.00 20/12/2019 100/1 100.21€ 100.23€ 0.82% -16.96% ???active.true??? Capped Bonus IBEX 35 Call 10105
U0325 IBEX 35 10,125.00 6,185.00 18/12/2020 100/1 99.95€ 99.97€ 1.28% -32.53% ???active.true??? Capped Bonus IBEX 35 Put 10125
U0268 IBEX 35 10,400.00 5,790.00 20/12/2019 100/1 103.97€ 103.99€ 0.01% -36.84% ???active.true??? Capped Bonus IBEX 35 Call 10400
U0324 IBEX 35 10,791.00 7,136.00 18/12/2020 100/1 102.51€ 102.53€ 5.25% -22.16% ???active.true??? Capped Bonus IBEX 35 Call 10791
U0297 DEUTSCHE BANK 11.76 € 7.31 20/12/2019 1/1 7.26€ 7.28€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Put 11.76
U0278 Air France-Klm 11.85 € 7.86 20/12/2019 1/1 8.98€ 9.05€ -- -- ???active.false??? Capped Bonus Air France-Klm Call 11.85
U0282 Air France-Klm 11.87 € 6.52 18/12/2020 1/1 9.60€ 9.68€ 22.62% -28.18% ???active.true??? Capped Bonus Air France-Klm Put 11.87
U0269 IBEX 35 11,100.00 6,755.00 20/12/2019 100/1 110.79€ 110.81€ 0.17% -26.31% ???active.true??? Capped Bonus IBEX 35 Call 11100
U0304 Renault SA 115.49 € 64.21 18/12/2020 10/1 5.39€ 5.40€ -- -- ???active.false??? Capped Bonus Renault SA Call 115.49
U0296 DEUTSCHE BANK 12.48 € 8.35 20/12/2019 1/1 7.27€ 7.29€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Call 12.48
U0300 DEUTSCHE BANK 12.69 € 6.78 18/12/2020 1/1 7.17€ 7.19€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Call 12.69
U0270 IBEX 35 12,000.00 8,203.00 20/12/2019 100/1 115.89€ 115.92€ 3.52% -10.52% ???active.true??? Capped Bonus IBEX 35 Call 12000
U0323 IBEX 35 12,001.00 8,088.00 18/12/2020 100/1 101.84€ 101.86€ 17.82% -11.77% ???active.true??? Capped Bonus IBEX 35 Call 12001
U0281 Air France-Klm 13.05 € 7.40 18/12/2020 1/1 9.58€ 9.65€ 35.23% -18.48% ???active.true??? Capped Bonus Air France-Klm Call 13.05
U0295 DEUTSCHE BANK 13.54 € 9.44 20/12/2019 1/1 7.32€ 7.34€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Call 13.54
U0299 DEUTSCHE BANK 13.67 € 7.83 18/12/2020 1/1 7.20€ 7.22€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Put 13.67
U0298 DEUTSCHE BANK 14.98 € 8.87 18/12/2020 1/1 7.24€ 7.26€ -- -- ???active.false??? Capped Bonus DEUTSCHE BANK Call 14.98
U0274 Adidas AG 222.00 € 145.00 20/12/2019 10/1 22.17€ 22.20€ 0% -47.19% ???active.true??? Capped Bonus Adidas AG Call 222
U0273 Adidas AG 235.00 € 166.00 20/12/2019 10/1 23.47€ 23.50€ 0% -39.54% ???active.true??? Capped Bonus Adidas AG Call 235