Bayer AG
Coupon p.a.: 8.364% | Autocallable | Low Strike | Currency: EUR | Maturity: 09/12/2026%
EUR Nominal
%
EUR Nominal
Spread
Bayer AG: 35.945 EUR|Last Update:
Spread
Bayer AG: 35.945 EUR|Last Update:
Bonus amount per interval | 2.09% (104.55 EUR) |
Call interval (in months) | 3 |
Next Coupon Payment | 2.09% (16/03/2026) |
Next Coupon Ex-Date | 12/03/2026 |
Call Level | 34.99 EUR (09/03/2026) |
Initial Reference Price | 34.99 EUR |
Low Strike | 26.243 EUR (75.00%) |
Ratio | 190.527 |
Callable Reverse Convertibles are characterized by pre-determined coupon payments, regardless of the performance of the underlying asset. The callable attribute allows for early redemption under certain circumstances, which is why the coupon is generally higher than for traditional reverse convertibles.