Credit Linked Note5.5% Assicurazioni Generali Spa (EUR) 2047-10-27Coupon p.a.: 4.47% | Currency: EUR | Maturity: 04/05/2028Reference DebtorISIN CH1265125737Valor 126512573%Sell EUR Nominal %Buy EUR Nominal
Product OverviewKey figuresInformationCoupon p.a.4.47%Accrued Interest0.89% (8.94 EUR)Reference bond5.5% Assicurazioni Generali Spa (EUR) 2047-10-27Reference bond issuerAssicuraz Generali1D2D1W1M6M1YMax
Life Cycle04/05/2023Initial Fixing08/05/2023First trading dateToday04/05/2028Last trading date04/05/2028Final fixing11/05/2028Redemption
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