First trading day scheduled for 23/12/2025
Oracle Corp.
Coupon p.a.: 12.366% | Issuercallable | Memory | Low Strike | Currency: USD | Maturity: 21/12/2026Product Overview
Key figures
Bonus amount per interval | 1.03% (10.305 USD) |
Call interval (in months) | 1 |
Next Coupon Payment | – |
Next Coupon Ex-Date | 23/01/2026 |
Coupon Level | 144.03 USD (22/01/2026) |
Initial Reference Price | 192.04 USD |
Low Strike | 134.43 USD (70.00%) |
Ratio | 7.43882 |
Life Cycle
- Initial Fixing
- Today
- First trading day
- Last trading date
- Final fixing
- Redemption