| ISSUE NAME
Front Eurooppa Luottokori 2 2022 |
ISIN XS2348173027 |
ISSUE DATE
27.04.2022 |
MATURITY DATE
05.07.2027 |
DAILY BID
105.16 % |
| ISSUE NAME
Front Optimiajoitus Suomi 2022 |
ISIN XS2354903150 |
ISSUE DATE
27.04.2022 |
MATURITY DATE
20.07.2027 |
DAILY BID
114.28 % |
| ISSUE NAME
Front Eurooppa Luottokori 3 2022 |
ISIN XS2372833256 |
ISSUE DATE
25.05.2022 |
MATURITY DATE
05.07.2027 |
DAILY BID
107.43 % |
| ISSUE NAME
Front Eurooppa Luottokori 4 2022 |
ISIN XS2379658847 |
ISSUE DATE
08.06.2022 |
MATURITY DATE
05.07.2027 |
DAILY BID
110.70 % |
| ISSUE NAME
Front Eurooppa Luottokori 5 2022 |
ISIN XS2380278965 |
ISSUE DATE
05.07.2022 |
MATURITY DATE
05.07.2027 |
DAILY BID
105.92 % |
| ISSUE NAME
Front Eurooppa Luottokori 6 2022 |
ISIN XS2422045067 |
ISSUE DATE
28.09.2022 |
MATURITY DATE
05.07.2027 |
DAILY BID
100.17 % |
| ISSUE NAME
Front Pohjoismaat Autocall USD 2025 |
ISIN XS3183495509 |
ISSUE DATE
25.11.2025 |
MATURITY DATE
25.11.2032 |
DAILY BID
90.60 % |
| ISSUE NAME
Front Pohjoismaat Autocall 2 2025 |
ISIN XS3218427980 |
ISSUE DATE
29.12.2025 |
MATURITY DATE
27.12.2032 |
DAILY BID
81.34 % |
| ISSUE NAME
Front Pohjoismaat Autocall 2025 |
ISIN XS3191972143 |
ISSUE DATE
29.12.2025 |
MATURITY DATE
30.12.2032 |
DAILY BID
77.14 % |
| ISSUE NAME
Front Pohjoismaat Autocall USD 2026 |
ISIN XS3261332483 |
ISSUE DATE
12.02.2026 |
MATURITY DATE
14.02.2033 |
DAILY BID
85.55 % |
| ISSUE NAME
Front Eurooppa Laatuyhtiöt Luottokori 1 2022 |
ISIN XS2354891710 |
ISSUE DATE
23.03.2022 |
MATURITY DATE
07.01.2027 |
DAILY BID
97.04 % |
| ISSUE NAME
Front Eurooppa Luottokori 1 2022 |
ISIN XS2039415521 |
ISSUE DATE
23.03.2022 |
MATURITY DATE
07.01.2027 |
DAILY BID
102.19 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall 3 2024 |
ISIN XS2784216355 |
ISSUE DATE
17.07.2024 |
MATURITY DATE
17.07.2031 |
DAILY BID
101.34 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall 4 2024 |
ISIN XS2804843261 |
ISSUE DATE
17.07.2024 |
MATURITY DATE
21.07.2031 |
DAILY BID
112.49 % |
| ISSUE NAME
Front Suomi Laatuyhtiöt Recovery 2024 |
ISIN XS2821109035 |
ISSUE DATE
15.11.2024 |
MATURITY DATE
29.11.2029 |
DAILY BID
146.89 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall 1 2025 |
ISIN XS2931446640 |
ISSUE DATE
29.01.2025 |
MATURITY DATE
02.02.2032 |
DAILY BID
118.28 % |
| ISSUE NAME
Front Eurooppa IG-Luottokori USD 1 2025 |
ISIN XS2931403161 |
ISSUE DATE
12.02.2025 |
MATURITY DATE
08.01.2030 |
DAILY BID
107.22 % |
| ISSUE NAME
Front Novo Nordisk 4.5 X Booster 2025 |
ISIN XS3138142461 |
ISSUE DATE
29.10.2025 |
MATURITY DATE
05.11.2030 |
DAILY BID
62.62 % |
| ISSUE NAME
Front Optimiajoitus Suomi 3 2022 |
ISIN XS2442998220 |
ISSUE DATE
07.12.2022 |
MATURITY DATE
05.01.2028 |
DAILY BID
108.27 % |
| ISSUE NAME
Front Eurooppa Luottokori 1 2023 |
ISIN XS2638616123 |
ISSUE DATE
29.11.2023 |
MATURITY DATE
08.01.2029 |
DAILY BID
110.66 % |
| ISSUE NAME
Front Nordea ja Elisa Autocall 2024 |
ISIN XS2680109555 |
ISSUE DATE
31.01.2024 |
MATURITY DATE
07.02.2031 |
DAILY BID
120.97 % |
| ISSUE NAME
Front Eurooppa Yhdistelmä Luottokori 2024 |
ISIN XS2123758026 |
ISSUE DATE
14.02.2024 |
MATURITY DATE
09.01.2029 |
DAILY BID
100.06 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall 2024 |
ISIN XS2712394910 |
ISSUE DATE
13.03.2024 |
MATURITY DATE
20.03.2031 |
DAILY BID
118.85 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall 2 2024 |
ISIN XS2518254672 |
ISSUE DATE
10.04.2024 |
MATURITY DATE
17.04.2031 |
DAILY BID
115.08 % |
| ISSUE NAME
Front Teräsyhtiöt Autocall 2021 |
ISIN CH0599562045 |
ISSUE DATE
21.04.2021 |
MATURITY DATE
21.04.2026 |
DAILY BID
173.61 % |
| ISSUE NAME
Front Pääomaturvattu HY-rahastokori 2023 |
ISIN CH1246019595 |
ISSUE DATE
08.03.2023 |
MATURITY DATE
08.03.2028 |
DAILY BID
114.12 % |
| ISSUE NAME
Front Kajam Puskuri IX SEK Sijoituslaina |
ISIN XS2043056501 |
ISSUE DATE
12.11.2019 |
MATURITY DATE
20.01.2027 |
DAILY BID
94.12 % |
| ISSUE NAME
Front Suomi Autocall II Puskuri 2021 USD |
ISIN XS2313904992 |
ISSUE DATE
14.07.2021 |
MATURITY DATE
14.07.2026 |
DAILY BID
38.69 % |
| ISSUE NAME
Front Kiina Teknologia Booster USD 2021 |
ISIN XS2347998606 |
ISSUE DATE
01.10.2021 |
MATURITY DATE
02.04.2027 |
DAILY BID
69.51 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall Kuponki 2023 |
ISIN XS2558176124 |
ISSUE DATE
15.02.2023 |
MATURITY DATE
15.02.2028 |
DAILY BID
101.30 % |
| ISSUE NAME
Front Pääomaturvattu HY-rahastokori 2 2023 |
ISIN CH1251798117 |
ISSUE DATE
05.04.2023 |
MATURITY DATE
05.04.2028 |
DAILY BID
116.21 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall Magneetti 2 2023 |
ISIN XS2593379923 |
ISSUE DATE
31.05.2023 |
MATURITY DATE
31.05.2028 |
DAILY BID
79.83 % |
| ISSUE NAME
Front Suomi-yhtiöt Autocall Magneetti 3 2023 |
ISIN XS2659545706 |
ISSUE DATE
27.09.2023 |
MATURITY DATE
27.09.2028 |
DAILY BID
83.37 % |
| ISSUE NAME
Front Tietoturva Rescue 2023 |
ISIN XS2699506841 |
ISSUE DATE
31.10.2023 |
MATURITY DATE
02.11.2026 |
DAILY BID
194.15 % |
| ISSUE NAME
Front Pääomaturvattu HY-rahastokori 2024 |
ISIN CH1336236935 |
ISSUE DATE
03.05.2024 |
MATURITY DATE
03.05.2029 |
DAILY BID
106.18 % |
| ISSUE NAME
Front Suomi-yhtiöt Booster 2024 |
ISIN CH1349979810 |
ISSUE DATE
19.06.2024 |
MATURITY DATE
20.06.2029 |
DAILY BID
130.18 % |
| ISSUE NAME
Front Some-yhtiöt Rescue 2024 |
ISIN XS2845845119 |
ISSUE DATE
17.07.2024 |
MATURITY DATE
19.07.2027 |
DAILY BID
22.13 % |
| ISSUE NAME
Front Nokia ja Nordea Bonus 2024 |
ISIN XS2881837590 |
ISSUE DATE
11.09.2024 |
MATURITY DATE
13.09.2027 |
DAILY BID
115.36 % |
| ISSUE NAME
Front Pääomaturvattu HY-rahastokori 2 2024 |
ISIN CH1390858863 |
ISSUE DATE
05.12.2024 |
MATURITY DATE
05.12.2029 |
DAILY BID
91.37 % |
| ISSUE NAME
Front Pääomaturvattu HY-rahastokori kuponki USD 2025 |
ISIN CH1409710626 |
ISSUE DATE
13.02.2025 |
MATURITY DATE
13.02.2030 |
DAILY BID
92.28 % |
| ISSUE NAME
Front Kesko ja Neste Rescue 2025 |
ISIN XS3011478131 |
ISSUE DATE
12.03.2025 |
MATURITY DATE
12.02.2030 |
DAILY BID
135.62 % |
| ISSUE NAME
Front Pohjoismaat Booster Sijoituslaina 2025 |
ISIN CH1453356334 |
ISSUE DATE
11.06.2025 |
MATURITY DATE
11.06.2030 |
DAILY BID
117.97 % |
| ISSUE NAME
Front Pohjoismaat Booster 2 2025 |
ISIN CH1476723767 |
ISSUE DATE
24.09.2025 |
MATURITY DATE
24.09.2030 |
DAILY BID
109.89 % |
| ISSUE NAME
Front Suomikori Autocall 2025 |
ISIN XS3200970963 |
ISSUE DATE
26.11.2025 |
MATURITY DATE
26.11.2030 |
DAILY BID
96.79 % |
| ISSUE NAME
Front Pääomaturvattu Puolustusteollisuus USD 2025 |
ISIN CH1423918627 |
ISSUE DATE
09.04.2025 |
MATURITY DATE
12.09.2030 |
DAILY BID
97.72 % |
| ISSUE NAME
Front Suomikori Bonus 2024 |
ISIN CH1381828511 |
ISSUE DATE
09.10.2024 |
MATURITY DATE
09.10.2029 |
DAILY BID
154.05 % |