October 20, 2021

Trading Online Summit


Societe Generale è uno dei principali gruppi di servizi finanziari in Europa. Il gruppo si fonda su un modello di banca diversificato e bilanciato che combina la solidità finanziaria e capacità di innovazione con una strategia di crescita sostenibile e responsabile.
Con più di 133.000 dipendenti in 61 Paesi, il Gruppo ogni giorno serve 30 milioni di clienti individuali, imprese e investitori istituzionali nel mondo, offrendo una vasta gamma di servizi di consulenza e soluzioni finanziarie personalizzate.
In Italia, Societe Generale è presente con un team dedicato ai prodotti finanziari quotati, tra cui:

– Certificati di Investimento: una molteplicità di sottostanti e strutture su azioni, indici e tassi di cambio.
– Certificati di Trading: Societe Generale è leader di mercato sul segmento dei Certificati a Leva Fissa. La gamma di trading certificates comprende inoltre le strutture Corridor, StayUP, StayDOWN e Covered Warrant.
– ETC/ETN: sul mercato ETFplus sono quotati 44 SG ETC e ETN Collateralizzati Long (+1x), Short (-1x) o con Leva Fissa (2x, ±3x e ±5x) su indici, tassi di cambio e Commodity Future.
Tutte le informazioni sulla gamma di prodotti di Societe Generale sono disponibili sul sito internet prodotti.societegenerale.it o chiamando il numero 02 89 63 2569.


virtual place

All conferences of SOCIETE GENERALE

Tuesday 12 October    17:00 - 17:50   

Your shares, times 5: opportunities and considerations with daily leveraged trading on Individual stocks

With the vaccination campaign entering its final phase in the main developed countries, the markets are now awaiting confirmation of the effective strong recovery of the global economy. With the gradual reduction of the substantial supports of central banks, we can expect a market scenario characterized by greater dispersion of equity returns, "cherry picking" between winners and losers in the post-pandemic world as well as episodes of short-term and localized volatility peaks. In this market context, Lorenzo Pirovano, Exchange Traded Products Sales at Societe Generale and Enrico Lanati, trader at Investire.biz, will explain, with concrete examples, the opportunities offered and the considerations to keep in mind when leveraging exposure on single shares.


Monday 18 October    17:00 - 17:50   

The three levers to create a high yield world with investment certificates

The vaccination campaign and the huge resources at monetary level (extraordinary central bank support programs) and at fiscal level (Next Generation EU and Biden's recovery plan in particular) have been the engine of the strong rise observed in the last year on the markets equity. Despite the encouraging growth prospects, with the reduction (albeit very gradual according to the consensus) of the stimuli provided by central banks, we can expect a period potentially marked by less directionality and greater focus on equity fundamentals (ability to generate cash, debt,. ..). Extracting a return from equity can be more complex in this context, and it is where certificates can help create a high-yielding offer by exploiting three levers: volatility, correlation and selective mechanisms (the so-called "worst-of" mechanism for example). Pierpaolo Scandurra, CEO at Certificates and Derivatives, and André Cipolla, head of product marketing at Societe Generale, will deepen these concepts thanks to analysis and concrete examples.



We use first and third party cookies to ensure the functionality of the site, to collect statistical information about how many users access the site. For more information about our use of cookies you can view our cookie policy and you can consent or refure to each individual cookie by clicking on "Choose cookies".
If you click on the "X" to close the banner, no cookies will be installed on your device except for those necessary for the proper functioning of the site.