Product Overview
Key figures
Bonus amount per interval | 2.13% (21.317 EUR) |
Call interval (in months) | 3 |
Life Cycle
- Initial Fixing
- First trading date
- Today
- Last trading date
- Final fixing
- Redemption
Spread
Bonus amount per interval | 2.13% (21.317 EUR) |
Call interval (in months) | 3 |
Coupon Level | 24.4295 EUR (29/04/2025) |
Call Level | 48.859 EUR (29/04/2025) |
Initial Reference Price | 48.859 EUR |
Low Strike | 34.2013 EUR (70.00%) |
Ratio | 29.23865 |
Coupon Level | 7.6525 EUR (29/04/2025) |
Call Level | 15.305 EUR (29/04/2025) |
Initial Reference Price | 15.305 EUR |
Low Strike | 10.7135 EUR (70.00%) |
Ratio | 93.34018 |
Coupon Level | 32.41 EUR (29/04/2025) |
Call Level | 64.82 EUR (29/04/2025) |
Initial Reference Price | 64.82 EUR |
Low Strike | 45.374 EUR (70.00%) |
Ratio | 22.03905 |