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Titoli collocati

ISIN
Nome Prodotto
Valuta
Emittente
Data di Emissione
Data di Scadenza
Documenti
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

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

GB00BDWLXG84
Issue of up to 15,000 One-Year EUR Memory Phoenix Autocallable Certificates linked to the ordinary shares of Enel S.p.A., due March 22, 2018
EUR
GSI
22/03/2017
22/03/2018

Final Terms
Nota di Sintesi
Avviso

GB00BDTF4P98
Issue of up to 20,000 Three-Year EUR Memory Phoenix Worse of Autocallable Certificates on a Share Basket, due February 10, 2020
EUR
GSI
10/02/2017
10/02/2020

Final Terms
Nota di Sintesi
Avviso

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

GB00BZM8KD94
Issue of up to 10,000 Three-Year EUR Memory Worst of Autocallable Certificates on a Share Basket, due December 5, 2019, Guaranteed by The Goldman Sachs Group, Inc.
EUR
GSI
05/12/2016
05/12/2019

Final Terms
Nota di Sintesi
Avviso 1
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

GB00BD950Z10
Issue of up to 20,000 Three-Year EUR Worse of Autocallable Certificates linked to the IBEX 35® Index and FTSE MIB Index, due November 11, 2019
EUR
GSI
04/11/2016
11/11/2019

Prospectus
Nota di Sintesi
Avviso 1

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

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

XS0482725339

EUR 60,000,000 Goldman Sachs Floating Rate Notes with Minimum and Maximum due February 2015

EUR
GS Group INC
26/02/2010
26/02/2015

Final Terms

GB00B9PXZ902

Issue of 20'000 Six-Year EUR Callable Participation Certificates on the EURO STOXX 50® Index (Price EUR), due June 21, 2019

EUR
GSI
22/05/2013
21/06/2019

Final Terms

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

GB00BKNFFN95

Issue of 100 One-Year USD Autocallable Certificates on the NYMEX Light, Sweet Crude Oil Future (Generic Front Month Future), due July 31, 2015

USD
GSI
18.07.2014
31/07/2015

Final Terms

GB00BJZH7521

Issue of up to 10,000 One-Year USD Autocallable Certificates on the NYMEX Light, Sweet Crude Oil Futures, due July 7, 2015

USD
GSI
21/05/2014
07/07/2015

Prospectus
Avviso

GB00B9Q05L27

Issue of up to 10,000 Three-Year USD Bonus Certificates on the MSCI Emerging Markets Index, due October 18, 2016

USD
GSI
09/09/2013
18/10/2016

Prospectus
Supplement
Avviso

GB00B9PXZQ77

Listing of 10,000 18-Month Quanto EUR Outperformance Certificates on the EUR/TRY FX Rate (ECB Fixing), due March 24, 2015

EUR
GSI
20/09/2013
24/03/2015

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

XS1013013385
Issue of up to U.S.$ 10,000,000 Three-Year USD Capped and Floored Floater Notes Linked to the 3-Month USD-LIBOR
USD
GSI
25/11/2014
24/11/2017

Final Terms
Final Terms Tranche2
Condizioni Definitive
Avviso
Avviso Tranche2

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
GB00B9D3PZ80
Four-Year Bonus Certificates on the MSCI Brazil Index Fund
EUR
GSI
28/02/2013
05/04/2017
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
GB00B9PWMM93
Four-Year Bonus Certificates on the S&P MidCap 400® Index
USD
GSI
08/07/2013
15/08/2017
GB00B9Q04152
Four-Year EUR Bonus Certificates on the
EURO STOXX 50® Index (Price EUR)
EUR
GSI
21/08/2013
04/10/2017
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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