Creating Investment Solutions - We’re delighted to announce that both the Transatlantic ESG Bond 5 & iEdge ESG Transatlantic Kick-Out Bond 2 matured on the 21st of September 2026, delivering an impressive gross return of 15.75% over 18 months and 25.08% over 2 years respectively. Click here for further details. Creating Investment Solutions - We’re delighted to announce that both the Transatlantic ESG Bond 5 & iEdge ESG Transatlantic Kick-Out Bond 2 matured on the 21st of September 2026, delivering an impressive gross return of 15.75% over 18 months and 25.08% over 2 years respectively. Click here for further details.
Creating Investment Solutions - We’re delighted to announce that both the Transatlantic ESG Bond 5 & iEdge ESG Transatlantic Kick-Out Bond 2 matured on the 21st of September 2026, delivering an impressive gross return of 15.75% over 18 months and 25.08% over 2 years respectively. Click here for further details. Creating Investment Solutions - We’re delighted to announce that both the Transatlantic ESG Bond 5 & iEdge ESG Transatlantic Kick-Out Bond 2 matured on the 21st of September 2026, delivering an impressive gross return of 15.75% over 18 months and 25.08% over 2 years respectively. Click here for further details.

Structured Product Maturities

ESG Transatlantic Kick-Out Bond thumbnail

iEdge ESG Transatlantic Kick-Out Bond 2: 25.08% Gross return for our clients over 2 years equating to 12.54% per annum

The iEdge ESG Transatlantic Kick-Out Bond 2 was an equity based investment strategy. This strategy focused on the performance of 20 US and 35 Eurozone companies. These companies aligned with the most representative UN Sustainable Development Goals of the economy, while incorporating conditional capital protection features. Counterparty/Guarantor: NatixisCredit Ratings: A+(Fitch), A2 (Moody’s) and A+ (S&P)

iEdge ESG Transatlantic Kick-Out Bond 2: 25.08% Gross return for our clients over 2 years equating to 12.54% per annum Read More »

Transatlantic ESG Bond thumbnail

Transatlantic ESG Bond 5: 15.75% Gross return for our clients over 1.5 years equating to 10.50% per annum

Transatlantic ESG Bond 5 was an equity-based investment strategy. This strategy focused on the performance of 100 large companies in the United States and the Eurozone with the highest ESG scores, incorporating conditional capital protection features. Counterparty/Guarantor: BNP ParibasCredit Ratings: A+(Fitch), Aa3 (Moody’s) and A+ (S&P) Find out more about the Transatlantic ESG Bond 5

Transatlantic ESG Bond 5: 15.75% Gross return for our clients over 1.5 years equating to 10.50% per annum Read More »

iEdge Transatlantic Leaders Bond

iEdge Transatlantic Leaders Bond 2: 20.25% Gross return for our clients over 1.5 years equating to 13.50% per annum

iEdge Transatlantic Leaders Bond 2 was an equity based investment strategy. This strategy selected 10 U.S. companies and 10 European companies that were among the 50 largest by market capitalisations from both the Eurozone and the United States, while incorporating conditional capital protection features. Counterparty/Guarantor: NatixisCredit Ratings: A+(Fitch), A2 (Moody’s) and A+ (S&P) Find out

iEdge Transatlantic Leaders Bond 2: 20.25% Gross return for our clients over 1.5 years equating to 13.50% per annum Read More »

iEdge Transatlantic Leaders Bond

iEdge Transatlantic Leaders Bond 1: 17.262% Gross return for our clients over 1.5 years equating to 11.508% per annum

The iEdge Transatlantic Leaders Bond 1 is an equity based investment strategy. This strategy selected 10 U.S. companies and 10 European companies that were among the 50 largest by market capitalisations from both the Eurozone and the United States, while incorporating conditional capital protection features. Counterparty/Guarantor: NatixisCredit Ratings: A+(Fitch), A2 (Moody’s) and A+ (S&P) Find

iEdge Transatlantic Leaders Bond 1: 17.262% Gross return for our clients over 1.5 years equating to 11.508% per annum Read More »

Transatlantic ESG Bond thumbnail

Transatlantic ESG Bond 6: 14.625% Gross return for our clients over 1.5 years equating to 9.75% per annum

The Transatlantic ESG Bond 6 was an equity-based investment strategy. This strategy focused on the performance of 100 large companies in the United States and the Eurozone with the highest ESG scores, incorporating conditional capital protection features. Counterparty/Guarantor: BNP ParibasCredit Ratings: A+(Fitch), Aa3 (Moody’s) and A+ (S&P) Find out more about the Transatlantic ESG Bond

Transatlantic ESG Bond 6: 14.625% Gross return for our clients over 1.5 years equating to 9.75% per annum Read More »

BNP Global Equity Bond, sustainable investment ireland

BNP Global Equity Bond 3: 20.16% Gross return for our clients over 2 years equating to 10.08% per annum

BNP Global Equity Bond 3 was an equity based investment strategy. This strategy combined the performance of 100 large companies from the United States, the Eurozone and Japan. While incorporating specific objectives related to greenhouse gas emission reductions and the transition to a low-carbon economy, in line with the Paris agreement with conditional capital protection

BNP Global Equity Bond 3: 20.16% Gross return for our clients over 2 years equating to 10.08% per annum Read More »

Bloomberg Titans Kick Out Bond

Bloomberg Titans Kick-Out Bond: 20.016% Gross return for our clients over 2 years equating to 10.008% per annum

Bloomberg Titans Kick-Out Bond is an equity based investment strategy that tracked the performance of the largest companies within the Eurozone by market capitalisation, excluding any defensive stocks. The Bloomberg Titans Kick-Out Bond provided a return linked to the performance of these companies with conditional capital protection features. Counterparty/Guarantor: BNP ParibasCredit Ratings: A+(Fitch), Aa3 (Moody’s)

Bloomberg Titans Kick-Out Bond: 20.016% Gross return for our clients over 2 years equating to 10.008% per annum Read More »

Morningstar Large Cap Transatlantic Kick-Out Bond

Morningstar Large Cap Transatlantic Kick-Out Bond: 18.00% Gross return for our clients over 1.5 years equating to 12.00% per annum

Morningstar Large Cap Transatlantic Kick-Out Bond is an equity based investment strategy that provided exposure to the largest 25 stocks in the U.S. and the largest 25 stocks in the Eurozone by market capitalisation. The Morningstar Large Cap Transatlantic Kick-Out Bond provided a return linked to the performance of these companies with conditional capital protection

Morningstar Large Cap Transatlantic Kick-Out Bond: 18.00% Gross return for our clients over 1.5 years equating to 12.00% per annum Read More »

Bloomberg Artificial Intelligence (AI) Bond

Bloomberg Artificial Intelligence (AI) Bond 3: 18.90% Gross return for our clients over 1.5 years equating to 12.60% per annum

Bloomberg Artificial Intelligence (AI) Bond 3 is an equity based investment strategy that offered exposure to a worldwide selection of companies. These companies developed, facilitated and used artificial intelligence solutions such as Deep Learning, Machine Learning and Natural Language Processing. The Bloomberg Artificial Intelligence (AI) Bond 3 provided a return linked to the performance of

Bloomberg Artificial Intelligence (AI) Bond 3: 18.90% Gross return for our clients over 1.5 years equating to 12.60% per annum Read More »

Bloomberg Artificial Intelligence (AI) Bond

Bloomberg Artificial Intelligence (AI) Bond 4: 22.50% Gross return for our clients over 1.5 years equating to 15.00% per annum

Bloomberg Artificial Intelligence (AI) Bond 4 is an equity based investment strategy. The strategy offered exposure to a worldwide selection of companies that developed, facilitated and used artificial intelligence solutions such as Deep Learning, Machine Learning and Natural Language Processing. The Bloomberg Artificial Intelligence (AI) Bond 4 provided a return linked to the performance of

Bloomberg Artificial Intelligence (AI) Bond 4: 22.50% Gross return for our clients over 1.5 years equating to 15.00% per annum Read More »

BNP Global Equity Bond, sustainable investment ireland

BNP Global Equity Bond 2: 15.525% Gross return for our clients over 1.5 years equating to 10.35% per annum

BNP Global Equity Bond 2 is an equity based investment strategy. This strategy combined the performance of 100 large companies from the United States, the Eurozone and Japan. The BNP Global Equity Bond 2 also incorporates specific objectives related to greenhouse gas emission reductions and the transition to a low-carbon economy, in line with the

BNP Global Equity Bond 2: 15.525% Gross return for our clients over 1.5 years equating to 10.35% per annum Read More »

Global Semiconductor Bond: 14.25% Gross return for our clients over 1.5 years equating to 9.50% per annum

The Global Semiconductor Bond is an equity based investment strategy. This structured product investment strategy tracked the performance of the 30 largest U.S.-listed semiconductor companies. The Global Semiconductor Bond provided a return linked to the performance of these companies with conditional capital protection features. Counterparty/Guarantor: Société GénéraleCredit Ratings: A (Fitch), A1 (Moody’s) and A (S&P)

Global Semiconductor Bond: 14.25% Gross return for our clients over 1.5 years equating to 9.50% per annum Read More »