This product has been repaid
Repayment day: 08/07/2025

    The Goldman Sachs Group, Inc.

    Coupon p.a.: 2.10%  |  Currency: CHF  |  Maturity: 01/07/2025

    Product Overview

    Key figures

    Coupon p.a.
    2.10%
    Accrued Interest
    0.00% (0.000 CHF)
    Reference bond
    USD 2.98814% Goldman Sachs Group Inc. 28.10.2027
    Reference bond issuer
    Goldman Sachs Group Inc.

    Life Cycle

    • Initial Fixing
    • First trading day
    • Last trading date
    • Final fixing
    • Redemption

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