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Glossary
Principal Protected Note Binary Coupon Autocall
Conditional coupon distributed at regular intervals with a principal protected note
The investor receives a coupon on each observation if the underlying is above the coupon level. If the underlying is above the early redemption level, the automatic early redemption mechanism is then activated and the product stops. Capital is guaranteed at maturity (except in the event of issuer default).
NameIsinUnderlyingsCurrencyIssuerMaturity
Phoenix Taux E12M Semestriel Décembre 2025 (Rappel ↓2.15% | Coupon ↓2.50%)FR0014012ZK5Euribor 12 moisEURBNP ParibasInvalid DateTime
Rendement Taux E12M Février 2026 (Rappel ↓2.00% | Coupon ↓2.70%)FR00140134F7Euribor 12 moisEURSociété Générale (SG Issuer)Invalid DateTime
Rendement Taux E12M Trimestriel Décembre 2025 (Rappel ↓2.00% | Coupon ↓2.65%)FR0014013264Euribor 12 moisEURBNP ParibasInvalid DateTime
Phoenix Taux E12M Trimestrielle Janvier 2026 (Rappel ↓2.00% | Coupon ↓2.70%)FR0014013LB2Euribor 12 moisEURNatixis Structured Issuance SAInvalid DateTime
Rendement Taux E12M Semestriel Distribué Janvier 2026 (Rappel ↓2.10% | Coupon ↓2.65%)FR0014013L93Euribor 12 moisEURNatixis Structured Issuance SAInvalid DateTime

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