Data DEBUG
Request:
https://api.data.payoff.ch/v2/strproducts/en?type=products&keyword=Commerzbank+AG+SUB&categories=14
Response:
{
    "meta": {
        "totalRecords": 2,
        "page": 1,
        "numRecords": 2,
        "requestQuery": "en_type=products&keyword=Commerzbank+AG+SUB&categories=14",
        "cacheHit": true,
        "cacheHitCount": 2,
        "cacheMem": "8.39M",
        "readAt": {
            "date": "2026-04-18 20:01:00.081226",
            "timezone_type": 3,
            "timezone": "Europe\/Zurich"
        }
    },
    "counters": {
        "categories": [
            {
                "ref": "13",
                "name": "Participation",
                "num": "1"
            },
            {
                "ref": "14",
                "name": "Products with Additional Credit Risk",
                "num": "2"
            }
        ],
        "subcategories": [
            {
                "ref": "1300",
                "name": "Tracker Certificate",
                "num": "1"
            },
            {
                "ref": "1410",
                "name": "Conditional Capital Protection Note with Additional Credit Risk",
                "num": "2"
            }
        ],
        "exchanges": [
            {
                "ref": "XQMH",
                "name": "SIX Structured Products | XQMH",
                "num": "3"
            }
        ],
        "assetclasses": [
            {
                "ref": "equities",
                "name": "Equities",
                "num": "2"
            }
        ],
        "marketexpectations": [
            {
                "ref": "unknown",
                "name": "unknown",
                "num": "2"
            }
        ],
        "maturities": [
            {
                "ref": "1jp",
                "name": "> 1J",
                "num": "2"
            }
        ],
        "callables": [
            {
                "ref": "callable",
                "name": "callable",
                "num": "2"
            }
        ],
        "currencies": [
            {
                "ref": "EUR",
                "name": "EUR",
                "num": "1"
            },
            {
                "ref": "USD",
                "name": "USD",
                "num": "1"
            }
        ],
        "issuers": [
            {
                "ref": "LEON",
                "name": "Leonteq",
                "num": "2"
            }
        ],
        "guarantors": [
        ],
        "multipleunderlyings": [
            {
                "ref": "1",
                "name": "Multiple",
                "num": "2"
            }
        ]
    },
    "list": [
        {
            "id": 30709055,
            "isin": "CH1484587485",
            "symbol": "AFWATQ",
            "name": "Conditional Capital Protection Note with Additional Credit Risk on BNP Paribas SA SUB \/ Commerzbank AG SUB \/ Deutsche Bank AG SUB \/ Goldman Sachs Group Inc\/The \/ HSBC Bank PLC SUB \/ Leonteq Italian Equity TR Dec 4.5% Index \/ Leonteq Single Index on S",
            "issuerId": null,
            "isAd": false,
            "issuerName": "Leonteq",
            "categoryName": "Products with Additional Credit Risk",
            "tradingCurrencyCode": "EUR",
            "lastTradingDate": "20.12.2030",
            "ask": "98.84"
        },
        {
            "id": 30709056,
            "isin": "CH1484587477",
            "symbol": "AFVZTQ",
            "name": "Conditional Capital Protection Note with Additional Credit Risk on BNP Paribas SA SUB \/ Commerzbank AG SUB \/ Deutsche Bank AG SUB \/ Goldman Sachs Group Inc\/The \/ HSBC Bank PLC SUB \/ Leonteq Italian Equity TR Dec 4.5% Index \/ Leonteq Single Index on S",
            "issuerId": null,
            "isAd": false,
            "issuerName": "Leonteq",
            "categoryName": "Products with Additional Credit Risk",
            "tradingCurrencyCode": "USD",
            "lastTradingDate": "20.12.2030",
            "ask": "99.53"
        }
    ]
}

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