Credit Linked NoteAssicurazioni Generali SpaCoupon p.a.: 1.50% | Currency: CHF | Maturity: 23/06/2025QuantoReference DebtorISIN CH0480386470Valor 48038647Symbol YGENAV
Product OverviewKey figuresView MoreCoupon p.a.1.50%Accrued Interest0.00% (0.000 CHF)Reference bond4.125% Assicurazioni Generali Spa (EUR) 2026-05-04Reference bond issuerAssicurazioni Generali SpALife Cycle21/06/2019Initial Fixing27/06/2019First trading date23/06/2025Last trading date23/06/2025Final fixing30/06/2025Redemption
Life Cycle21/06/2019Initial Fixing27/06/2019First trading date23/06/2025Last trading date23/06/2025Final fixing30/06/2025Redemption