Credit Linked NoteUSD 2.98814% Goldman Sachs Group Inc. 28.10.2027Coupon p.a.: 2.15% | Currency: CHF | Maturity: 13/01/2025QuantoReference DebtorISIN CH1233973481Valor 123397348Symbol YGOMAV
Product OverviewKey figuresView MoreCoupon p.a.2.15%Accrued Interest0.00% (0.000 CHF)Reference bondUSD 2.98814% Goldman Sachs Group Inc. 28.10.2027Reference bond issuerGoldman Sachs Group Inc.Life Cycle13/01/2023Initial Fixing17/01/2023First trading date13/01/2025Last trading date13/01/2025Final fixing20/01/2025Redemption
Life Cycle13/01/2023Initial Fixing17/01/2023First trading date13/01/2025Last trading date13/01/2025Final fixing20/01/2025Redemption