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La regolamentazione sui PRIIP (PRIIP: Packaged Retail and Insurance-Based Investment Products) entrerà in vigore l’1 gennaio 2018. I PRIIP KIDs (Key Information Documents) per i prodotti Goldman Sachs possono essere scaricati dal sito internet www.gspriips.eu.

Titoli collocati

ISIN
Nome Prodotto
Valuta
Emittente
Data di Emissione
Data di Scadenza
Documenti
GB00BFCJWH07
Issue of up to 300,000 Five-Year Quanto EUR Memory Phoenix Autocallable Certificates linked to the ordinary shares of UBS Group AG, due February 2, 2023
EUR
GSI
31/01/2018
02/02/2023

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

XS1610700764
Issue of Up to USD 50,000,000 Fixed Rate Notes due December 2027
USD
GS Group Inc.
29/12/2017
29/12/2027

Final Terms
Condizioni Definitive
Avviso

GB00BF9GHF70
Issue of up to 400,000 Five-Year EUR Autocallable Certificates linked to the ordinary shares of ENI S.p.A., due November 22, 2022
EUR
GSI
20/11/2017
22/11/2022

Restated Final Terms
Condizioni Definitive Modificate
Avviso 1
Avviso 2
Avviso 3

GB00BF9HBZ89
Issue of up to 5,000 Four-Year EUR Worst of Bonus Certificates on an Index Basket, due November 17, 2021
EUR
GSI
15/11/2017
17/11/2021

Final Terms
Nota di Sintesi
Avviso 1
Avviso 2

XS1610707850
Issue of Up to USD 50,000,000 Fixed Rate Notes due October 2027
USD
GS Group, Inc.
26/10/2017
26/10/2027

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

GB00BF9C0567
Issue of up to 250,000 Five-Year EUR Memory Phoenix Autocallable Certificates linked to the ordinary shares of ENI S.p.A., due October 4, 2022
EUR
GSI
29/09/2017
04/10/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

GB00BF7XH728
Issue of up to 20,000 Four-Year Quanto USD Bonus Certificates linked to an Index Basket, due September 20, 2021
USD
GSI
19/09/2017
20/09/2021

Prospectus
Nota di Sintesi
Avviso

XS1603322550
Issue of 15,000 Six-Year USD Certificates with Capped Participation linked to the S&P GSCI® Agriculture Index Excess Return, due August 11, 2023
USD
GSI
11/08/2017
11/08/2023

Final Terms
Notice of Amended Final Terms
Nota di Sintesi
Avviso
Avviso 2

GB00BF7V7090
Issue of up to 300,000 Five-Year EUR Autocallable Certificates linked to the ordinary shares of Bayer AG, due August 15, 2022
EUR
GSI
10/08/2017
15/08/2022

Final Terms
Condizioni Definitive
Avviso

XS1417274278
Issue of up to USD 25,000,000 Fixed Rate Notes due July 2027
USD
GS Group, Inc.
27/07/2017
27/07/2027

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3
Avviso 4

GB00BDYQF211
Issue of up to 200,000 Four-Year EUR Phoenix Autocallable Certificates linked to the ordinary shares of Intesa Sanpaolo S.p.A., due July 7, 2021
EUR
GSI
30/06/2017
07/07/2021

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

GB00BDWZH022
Issue of up 300,000 Five-Year EUR Autocallable Certificates linked to the ordinary shares of ENI S.p.A., due July 5, 2022
EUR
GSI
30/06/2017
05/07/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

GB00BDWWKW60
Issue of up to 200,000 Five-Year EUR Autocallable Certificates linked to the ordinary shares of AXA S.A., due June 22, 2022
EUR
GSI
22/06/2017
22/06/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

GB00BDWYWG07
Issue of up to 300,000 Five-Year Quanto EUR Autocallable Certificates linked to the ordinary shares of UBS Group AG, due June 20, 2022
EUR
GSI
15/06/2017
20/06/2022

Final Terms
Condizioni Definitive
Avviso 1

GB00BDWYWF99
Issue of up to 300,000 Five-Year EUR Autocallable Certificates linked to the ordinary shares of SAP SE, due June 20, 2022
EUR
GSI
15/06/2017
20/06/2022

Final Terms
Condizioni Definitive
Avviso 1

GB00BDWTYC55
Issue of up to 250,000 Five-Year EUR Autocallable Certificates linked to the FTSE MIB Index, due May 26, 2022
EUR
GSI
26/05/2017
26/05/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

GB00BDW52296
Issue of up to 250,000 Five-Year USD Autocallable Certificates on the ordinary shares of International Business Machines Corporation, due April 4, 2022
USD
GSI
30/03/2017
04/04/2022

Final Terms
Nota di Sintesi
Avviso 1
Avviso 2

XS1457462726
Issue of up to U.S.$ 150,000,000 Eight-Year USD Fixed to Floating Rate Notes linked to the 3-Month USD-LIBOR, due February 8, 2025
USD
GSI
08/02/2017
08/02/2025

Final Terms
Nota di Sintesi
Avviso
Avviso 2

XS1417280598
Issue of up to USD 45,000,000 Fixed to Floating Rate Notes due November 2026
USD
GS Group, Inc.
30/11/2016
30/11/2026

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

XS1417282610
Issue of Up to USD 130,000,000 Fixed Rate Notes due September 2024
USD
GS Group Inc
28/09/2016
 28/09/2024

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

XS1417282883
Issue of up to USD 25,000,000 Fixed to Floating Rate Notes due July 2024
USD
GS Group Inc
29/07/2016
29/07/2024

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

XS1317848213
Issue of up to 10,000 Three-Year USD Capped Bonus Certificates linked to the LBMA Gold Price PM, due July 5, 2019
USD
GSI
05/07/2016
 05/07/2019

Final Terms
Nota di Sintesi
Avviso 1

XS1417283691
Issue of up to USD 50,000,000 Fixed to Floating Rate notes due June 2024
USD
GS Group Inc
30/06/2016
 30/06/2024

Final Terms
Condizioni Definitive
Avviso 1

XS1308289146
Issue of up to USD 500,000,000 Fixed Rate notes due November 2022
USD
GS Group Inc
26/05/2016
 26/11/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3

XS1317249859
Issue of up to U.S.$ 10,000,000 Five-Year USD Callable Participation Notes on the S&P 500® Index, due May 6, 2021
USD
GSI
06/05/2016
 06/05/2021

Prospectus
Nota di Sintesi
Avviso

GB00BD1C9V99
Issue of up to 10,000 Four-Year EUR Capped Bonus Certificates linked to the EURO STOXX Banks (Price EUR) Index, due April 16, 2020
EUR
GSI
14/04/2016
 16/04/2020

Final Terms
Nota di Sintesi
Avviso

XS1308291472
Issue of Up to USD 500,000,000 Fixed to Floating Rate notes due April 2022
USD
GS Group Inc
08/04/2016
 08/04/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

XS1267320312
Issue of up to U.S.$ 20,000,000 Five-Year USD Capped and Floored Floater Notes linked to the 3-Month USD-LIBOR, due March 1, 2021
USD
GSI
01/03/2016
 01/03/2021

Final Terms
Nota di Sintesi
Avviso

GB00BD2J4D65
Issue of up to 15,000 Five-Year Autocallable Certificates linked to the EURO STOXX® Select Dividend 30 Index (Price EUR), due March 8, 2021
EUR
GSI
29/02/2016
 08/03/2021

Final Terms
Condizioni Definitive
Avviso

XS1308293254
Issue of Up to EUR 100,000,000 Fixed to Floating Rate notes due February 2026
EUR
GS Group Inc
17/02/2016
 17/02/2026

Final Terms
Condizioni Definitive
Avviso
Avviso 1

GB00BD1RXS91
Issue of 5,000 Nine-Month EUR Autocallable Certificates linked to the ordinary shares of Intesa Sanpaolo S.p.A., due September 9, 2016
EUR
GSI
16/12/2015
 09/09/2016

Final Terms
Nota di Sintesi

Issue of NZD 50,000,000 Six-Year NZD 4.00% p.a. Fixed Rate Notes, due July 13, 2021
NZD
GSI
13/07/2015
13/07/2021
Issue of EUR 100,000,000 Nine-Year EUR 1.75 % p.a. Fixed Rate Notes, due May 29, 2024
EUR
GSI
29/05/2015
29/05/2024
Issue of AUD 50,000,000 Eight -Year AUD 3.50% p.a. Fixed Rate Notes, due April 28, 2023
AUD
GSI
28/04/2015
28/04/2023
Issue of U.S.$ 100,000,000 Ten-Year USD 3.00% p.a. Fixed Rate Notes, due January 23, 2025
USD
GSI
23/01/2015
23/01/2025
GB00BX9T1387
Issue of up to 20,000 Three-Year EUR Memory Worst of Autocallable Certificates on a Share Basket, due November 6, 2018
EUR
GSI
6/11/2015
 6/11/2018

Final Terms
Nota di Sintesi
Avviso

GB00BX9T0W09
Issue of up to 10,000 Three-Year Autocallable Certificates linked to the FTSE MIB Index, due November 6, 2018
EUR
GSI
30/10/2015
 6/11/2018

Final Terms
Condizioni Definitive
Avviso

XS1291167226
Issue of Up to EUR 250,000,000 Fixed to Floating Rate notes due October 2025
EUR
GS Group INC
22/10/2015
22/10/2025

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

XS1269079825
Euro Medium-Term Notes, Series F, Up to EUR 250,000,000 Fixed to Floating Rate notes due September 2025
EUR
GS Group INC
18/09/2015
18/09/2025

Final Terms
Condizioni Definitive
Avviso

XS1252389983
Euro Medium-Term Notes, Series F, Up to EUR 250,000,000 Fixed to Floating Rate notes due August 2025
EUR
GS Group INC
12/08/2015
12/08/2025

Final Terms
Condizioni Definitive
Avviso
Avviso 2

GB00BWBNS300
Issue of up to 20,000 Three-Year Quanto EUR Memory Worst of Autocallable Certificates on a Share Basket, due July 10, 2018
EUR
GSI
10/07/2015
10/07/2018

Final Terms
Nota di Sintesi
Avviso

XS1230358019
Issue of up to EUR 250,000,000 Fixed/Floating Rate Notes due July 2025
EUR
GS Group INC
06/07/2015
06/07/2025

Prospectus
Traduzione
Nota di Sintesi
Avviso

GB00BT3ZQD91
Issue of up to 20,000 Four-Year Autocallable
Certificates linked to the FTSE MIB Index,
due June 5, 2019
EUR
GSI
29/05/2015
05/06/2019

Final Terms
Condizioni Definitive
Avviso

GB00BT3ZTQ36
Issue of up to 5,000 Two-Year Capped Certificates linked to the EURO STOXX 50® Index (Price EUR), due May 8, 2017
EUR
GSI
04/05/2015
08/05/2017

Final Terms
Nota di Sintesi
Avviso

XS1210360456
Euro Medium-Term Notes, Series F, Issue of up to USD 150,000,000 Indexed Notes due May 2022 (Linked to S&P GSCI® Crude Oil Index Excess Return)
USD
GS Group INC
19/05/2015
19/05/2022

Prospectus
Traduzione
Nota di Sintesi
Supplement 1
Avviso 1
Supplement 2
Avviso 2
Avviso 3

GB00BT3ZDM79
Issue of up to 20,000 Three-Year Memory Autocallable Certificates linked to the EURO STOXX 50® Index (Price EUR), due May 8, 2018
EUR
GSI
08/05/2015
08/05/2018

Final Terms
Nota di Sintesi
Avviso

GB00BT3X6335
Issue of up to 20,000 Four-Year Autocallable Certificates linked to the FTSE MIB Index, due April 8, 2019
EUR
GSI
31/03/2015
08/04/2019

Final Terms
Nota di Sintesi
Avviso

GB00BT3VTY97
Issue of up to 20,000 Two-Year Sprint Bonus Certificates linked to the S&P GSCI® Crude Oil Index Excess Return, due March 2, 2017
USD
GSI
02/03/2015
02/03/2017

Final Terms
Nota di Sintesi
Avviso

XS1013006090
Issue of U.S.$ 100,000,000 Ten-Year USD 3.00% p.a. Fixed Rate Notes, due January 23, 2025
USD
GSI
23/01/2015
23/01/2025

Prospectus
Nota di Sintesi

GB00BRVY6906
Issue of up to 20,000 Four-Year Bonus Certificates linked to the S&P Global Oil Index Price Return Index (USD), due February 13, 2019
USD
GSI
13/02/2015
13/02/2019

Final Terms
Nota di Sintesi
Avviso

GB00BH6D5408

Listing of 10,000 4-Year EUR Bonus Certificates on the EURO STOXX 50® Index (Price EUR), due February 7, 2018

EUR
GSI
28/01/2014
07/02/2018

Prospectus

GB00BKNF1Y23

Issue of up to 10,000 Five-Year Capped Bonus Certificates with Digital Coupon linked to the S&P 500® Index, due August 19, 2019

USD
GSI
11/08/2014
19/08/2019

Prospectus
Avviso

GB00BKNHDB99

Issue of up to 20,000 Five-Year Capped Bonus Certificates with Digital Coupon linked to the NASDAQ-100 Index®, due September 25, 2019

USD
GSI
18/09/2014
25/09/2019

Prospectus
Supplement
Avviso

XS1156175595
Euro Medium-Term Notes, Series F Issue of up to USD 200,000,000 Indexed Notes due January 2022 (Linked to the EuroStoxx 50 Index (Price EUR))
USD
GS Group INC
30/01/2015
31/01/2022

Prospectus
Traduzione
Nota di Sintesi
Supplement
Avviso 1
Avviso 2

XS1156175249
Euro Medium-Term Notes, Series F, Up to USD 300,000,000 Fixed Rate notes due January 2022
USD
GS Group INC
30/01/2015
01/02/2022

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2

XS1013011413
Issue of up to U.S.$ 20,000,000 Five-Year USD Capped and Floored Floater Notes linked to the 3-Month, USD-LIBOR due December 4, 2019
USD
GSI
04/12/2014
04/12/2019

Final Terms
Nota di Sintesi
Avviso

XS1132798429
Issue of up to EUR 80,000,000 Indexed Notes due December 2021 (Linked to the EUR/USD FX Rate)® Index
EUR
GS Group INC
19/12/2014
20/12/2021

Prospectus
Traduzione
Nota di Sintesi
Avviso

XS1132428845
Issue of up to EUR 80,000,000 Indexed Notes due December 2021 (Linked to the EuroStoxx 50 Index)® Index
EUR
GS Group INC
17/12/2014
17/12/2021

Prospectus
Traduzione
Nota di Sintesi
Avviso

XS1130058743Euro Medium-Term Notes, Series F, Up to USD 240,000,000 Fixed Rate notes due December 2021USD
GS Group INC
02/12/2014
02/12/2021

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3
Avviso 4

GB00BP2YGW82
Issue of up to 20,000 Five-Year Capped Bonus Certificates with Digital Coupon linked to the MSCI Emerging Markets Index
USD
GSI
04/12/2014
04/12/2019
XS1012980436
4.75% p.a. Early Redemption Barrier Reverse Convertible Certificates linked to the EURO STOXX 50® Index (Price EUR)
EUR
GSI
24/10/2014
24/10/2016

Final Terms
Nota di Sintesi
Supplement

XS1112823155Seven-Year USD Step Up NotesUSD
GS Group INC
12/11/2014
12/11/2021

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3
Avviso 4

XS1113247784Seven-Year USD Fixed Rate NotesUSD
GS Group INC
12/11/2014
12/11/2021

Final Terms
Condizioni Definitive
Avviso 1
Avviso 2
Avviso 3
Avviso 4

XS1112822181
Indexed Notes linked to the EUR/USD FX Rate
EUR
GS Group INC
31/10/2014
29/10/2021

Prospectus
Traduzione
Nota di Sintesi
Avviso

XS1068130787
Six-Year EUR Digital Coupon Notes Linked to the FTSE MIB® Index and EURO STOXX 50® Index
EUR
GS Group INC
12/06/2014
12/06/2020

Prospectus
Traduzione
Nota di Sintesi

XS1026366861
Six-Year EUR Digital Coupon Notes Linked to the FTSE MIB® Index and EURO STOXX 50® Index
EUR
GS Group INC
31/03/2014
31/03/2020

Prospectus
Traduzione
Nota di Sintesi
Avviso

GB00B9D09795
Five-Year Bonus Certificates with Digital Coupon
on the EURO STOXX 50® Index (Price EUR)
EUR
GSI
06/02/2013
07/03/2018
GB00B9KXYM10
Five-Year EUR Bonus Certificates with Digital Coupon
on the EURO STOXX 50® Index (Price EUR)
EUR
GSI
13/03/2013
19/04/2018
GB00BDPGYM32
Four-Year Quanto USD Bonus Certificates on the
Hang Seng China Enterprises® Index
USD
GSI
04/12/2013
24/01/2018

Supplement

GB00BD4W9275
Issue of up to 10,000 Three-Year EUR Memory Worst of Autocallable Certificates on a Share Basket, due June 7, 2019
EUR
GSI
07/06/2016
 07/06/2019

Final Terms
Nota di Sintesi
Avviso 1
Avviso 2

XS1308291639
Issue of Up to EUR 20,000,000 Fixed to Floating Rate notes due April 2024
EUR
GS Group Inc
04/04/2016
 04/04/2024

Final Terms
Condizioni Definitive
Avviso

GB00BD9LT411
Issue of up to 10,000 Five-Year USD Capped Bonus Certificates linked to the S&P Global Oil Index, due June 24, 2021
USD
GSI
24/06/2016
 24/06/2021

Final Terms
Nota di Sintesi
Avviso 1

XS1308290664
Issue of Up to EUR 200,000,000 Fixed to Indexed (Digital) notes due April 2024 (Linked to the EURO STOXX 50® Index (Price EUR))
EUR
GS Group Inc
04/04/2016
 04/04/2024

Final Terms
Condizioni Definitive
Avviso

GB00BD147B12
Issue of up to 15,000 Five-Year Autocallable Certificates linked to the FTSE MIB Index, due April 9, 2021
EUR
GSI
31/03/2016
 09/04/2021

Final Terms
Condizioni Definitive
Avviso


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