Credit Linked NoteThe Goldman Sachs Group, Inc.Coupon p.a.: 2.10% | Currency: CHF | Maturity: 01/07/2025QuantoReference DebtorISIN CH1182989165Valor 118298916Symbol YGOLDV
Product OverviewKey figuresView MoreCoupon p.a.2.10%Accrued Interest0.00% (0.000 CHF)Reference bondUSD 2.98814% Goldman Sachs Group Inc. 28.10.2027Reference bond issuerGoldman Sachs Group Inc.Life Cycle01/07/2022Initial Fixing07/07/2022First trading day01/07/2025Last trading date01/07/2025Final fixing08/07/2025Redemption
Life Cycle01/07/2022Initial Fixing07/07/2022First trading day01/07/2025Last trading date01/07/2025Final fixing08/07/2025Redemption