Credit Linked NoteAssicurazioni Generali SpaCoupon p.a.: 2.00% | Currency: EUR | Maturity: 28/04/2025Reference DebtorISIN CH0469755943Valor 46975594Symbol YGENIV
Product OverviewKey figuresView MoreCoupon p.a.2.00%Accrued Interest0.00% (0.000 EUR)Reference bond4.125% Assicurazioni Generali Spa (EUR) 2026-05-04Reference bond issuerAssicurazioni Generali SpALife Cycle26/04/2019Initial Fixing03/05/2019First trading day28/04/2025Last trading date28/04/2025Final fixing06/05/2025Redemption
Life Cycle26/04/2019Initial Fixing03/05/2019First trading day28/04/2025Last trading date28/04/2025Final fixing06/05/2025Redemption