This product has been repaid
Repayment day: 28/06/2024
Repayment: 64.57 CHF

    Cembra Money Bank AG

    Strike: 64.57 CHF  |  Maturity: 21/06/2024

    Product Overview

    Key figures

    Strike
    64.57 CHF (100.00%)
    Distance to Strike
    Discount
    Yield Max

    Life Cycle

    • Initial Fixing
    • First trading day
    • Last trading date
    • Final fixing
    • Redemption
    Product performance (1D):
    GraphUnderlyingPrice (indicative)Last Closing Price (indicative)Performance
    -
    Cembra Money Bank AG
    Price (indicative)
    Last Closing Price (indicative)98.53 CHFPerformance+0.16%

    Product Information

    About this product

    Discount certificates offer a discount on the current price of the underlying asset. This "discount" cushions possible price losses of the underlying asset. In return, the participation in a price increase is limited by the strike price and the investor forgoes a possible dividend payment. If the final fixing is at or above the strike price, you will receive the strike price on the redemption date. If the Final Fixing Level is below the Strike Price, you will receive the Underlying at the Conversion Ratio.