Julius Bär Gruppe AG, Partners Group Holding AG, Swiss Re AG, VAT Group AG
Coupon p.a.: 6.25%CHFLow StrikeMaturity: 13/12/2027
%
CHF Nominal
%
CHF Nominal
Spread
Spread
Coupon (Coupon p.a.) | 12.5174% (6.25%) |
Next Coupon Payment | 1.56% (21/09/2026) |
Accrued Interest | 0.54% (5.382 CHF) |
Yield Max | 13.59% |
Yield Max p.a. | 9.67% |