In exceptional market situations or in the event of technical disruptions, the availability of electronic trading systems may be restricted or discontinued. In exceptional market conditions or in the event of extreme price fluctuations on the securities markets, no buying or selling prices are regularly quoted. Therefore, you must expect that you will not be able to sell your security in the market at an appropriate price in every situation.
Products Information
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Cash Collect Protection 100% su 3 Months Euribor with base Act/360
- ISIN IT0005668931
- WKN A2J1PK
- Issuer UniCredit S.p.A
- Product type Floating RateNote
- Issue date 11.12.2025
- Final payment date 17.12.2029
- Redemption mind. 100,00 %
- Subscription period 17.11.2025 - 05.12.2025
- Initial selling price 1000,00 EUR
- Redemption method Cash
- Payment currency EUR
- Sustainability preference -
Historical considerations do not give reliable indications for future performances.
Productdetails
Trading Hours
| Exchange | Trading hours | Trading start date | Trading end date | Minimum Lot | |
|---|---|---|---|---|---|
| EuroTLX | 09:05 - 17:30 | 18.12.2025 | 10.12.2029 | 1 |
Risk indicator
The risk indicator assumes you keep the product until maturity. The actual risk can vary significantly if you cash in at an early stage and you may get back less. The summary risk indicator is a guide to the level of risk of this product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you.
| Observation Date | Payment Date | Type | Amount | Status | Paid Amount | |
|---|---|---|---|---|---|---|
|
11.03.2026
|
16.03.2026
|
Conditional Earning
|
5,25 EUR
|
Paid
|
5,25 EUR
|
|
|
11.06.2026
|
16.06.2026
|
Conditional Earning
|
5,25 EUR
|
Next
|
|
|
|
11.09.2026
|
16.09.2026
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.12.2026
|
16.12.2026
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.03.2027
|
16.03.2027
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.06.2027
|
16.06.2027
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
13.09.2027
|
20.09.2027
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
13.12.2027
|
20.12.2027
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
13.03.2028
|
20.03.2028
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
12.06.2028
|
19.06.2028
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.09.2028
|
18.09.2028
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.12.2028
|
18.12.2028
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
12.03.2029
|
19.03.2029
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.06.2029
|
18.06.2029
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.09.2029
|
17.09.2029
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
11.12.2029
|
17.12.2029
|
Conditional Earning
|
5,25 EUR
|
Open
|
|
|
|
|
17.12.2029
|
Final Redemption
|
Min. 100,00 %
Cash settlement.
|
Open
|
|













