Promotional and regulatory communication
Structured products can contribute to portfolio diversification. Depending on their structure and market conditions, structured products may incorporate return and capital protection mechanisms, allowing a specific participation in market dynamics.
Structured products carry the risk of partial or total capital loss both during their term and at maturity.
Structured products can contribute to portfolio diversification. Depending on their structure and market conditions, structured products may incorporate return and capital protection mechanisms, allowing a specific participation in market dynamics.
Structured products carry the risk of partial or total capital loss both during their term and at maturity.
Before investing in this type of product, potential investors are strongly advised to carefully review the full legal documentation of the concerned product, paying particular attention to the section on risks. It is also essential to review the Key Investor Information Document (KID) in full to make a well-informed investment decision.
Below you will find the Prospectuses and all the legal documents relating to all the structured issues offered by Degroof Petercam.
Below you will find the Prospectuses and all the legal documents relating to all the structured issues offered by Degroof Petercam.
Issue from 1 January 2025
CACIB FS (FR) EUR Fixed Rate Callable Note 2030
Product with right to redemption of the capital at maturity issued by Crédit Agricole CIB Financial Solutions and distributed by Degroof Petercam Bank in Belgium.
Subscription period: from 01/09/2025 to 19/09/2025
ISIN code: XS2980187210
Useful documents
Subscription period: from 01/09/2025 to 19/09/2025
ISIN code: XS2980187210
Useful documents
- Brochures: in English, Dutch, French
- Base prospectus: in English
- Summary: in English, Dutch, French
- Final terms: in English
BNP Paribas Issuance B.V. (NL) Lock-in Certificate MSCI World 2030 in USD
Structured debt instrument with the right to repayment of principal at maturity, issued by BNP Paribas Issuance B.V. and guaranteed by BNP Paribas S.A.
Subscription period: from 03/02/2025 to 21/02/2025 inclusive (except in case of early closure)
ISIN code: XS2940950632
Subscription period: from 03/02/2025 to 21/02/2025 inclusive (except in case of early closure)
ISIN code: XS2940950632
Useful documents
- Brochures: in English, French, Dutch
- KID: in English, French, Dutch
- Base Prospectus: in English
- Supplements to the Base Prospectus (in English) : supplement 1, supplement 2, supplement 3, supplement 4
- Issue-Specific summaries: in English, French, , Dutch
- Final terms: in English