Products

0.64% (9.73% p.a.) Reverse Convertible on Siemens AG

Title

CH1548142897 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142897

Maturity Date

07.08.2026

Underlying

Siemens AG

0.67% (2.65% p.a.) Barrier Reverse Convertible on Helvetia Baloise, Swiss Re, Zurich Insurance

Title

CH1548141428 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141428

Maturity Date

05.10.2026

Underlying

Zurich Insurance Group Ltd, Swiss Re AG, Helvetia Baloise Holding AG - CH1548141428

1.12% (4.50% p.a.) Reverse Convertible on Dassault Aviation SA (Quanto CHF)

Title

CH1548142145 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142145

Maturity Date

08.10.2026

Underlying

Dassault Aviation SA

1.18% (4.72% p.a.) Reverse Convertible on DKSH, Novartis, Zurich Insurance

Title

CH1548136840 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136840

Maturity Date

09.09.2026

Underlying

DKSH Holding Ltd., Novartis AG, Zurich Insurance Group Ltd - CH1548136840

1.22% (4.90% p.a.) Barrier Reverse Convertible on Volkswagen AG

Title

CH1548137392 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137392

Maturity Date

11.09.2026

Underlying

Volkswagen AG

1.26% (5.07% p.a.) Barrier Reverse Convertible on L´Oréal International

Title

CH1548137426 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137426

Maturity Date

11.09.2026

Underlying

L´Oréal International

1.31% (5.24% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548137418 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137418

Maturity Date

11.09.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE

1.32% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1476903146 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903146

Maturity Date

13.08.2026

Underlying

Nestlé SA, Novartis AG, Roche Holding AG - CH1476903146

1.35% (5.40% p.a.) Reverse Convertible on Banque CA Vaudoise, Cembra Money Bank, Sunrise Communications AG

Title

CH1548136832 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136832

Maturity Date

09.09.2026

Underlying

Banque Cantonale Vaudoise, Cembra Money Bank AG, Sunrise Communications AG - CH1548136832

1.37% (5.39% p.a.) Reverse Convertible on Rheinmetall AG

Title

CH1548142418 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142418

Maturity Date

12.10.2026

Underlying

Rheinmetall AG

1.45% (6.02% p.a.) Reverse Convertible on Zurich Insurance Group Ltd

Title

CH1548136998 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136998

Maturity Date

07.09.2026

Underlying

Zurich Insurance Group Ltd

1.50% (6.22% p.a.) Reverse Convertible on Nestlé SA

Title

CH1548135875 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135875

Maturity Date

01.09.2026

Underlying

Nestlé SA

1.54% (6.18% p.a.) Barrier Reverse Convertible on Schneider Electric SE

Title

CH1548137400 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137400

Maturity Date

11.09.2026

Underlying

Schneider Electric SE

1.58% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492030007 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030007

Maturity Date

25.01.2027

Underlying

Nestlé SA, Novartis AG, Roche Holding AG - CH1492030007

1.62% (6.48% p.a.) Reverse Convertible on VAT Group AG

Title

CH1548141873 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141873

Maturity Date

07.10.2026

Underlying

VAT Group AG

1.77% (5.38% p.a.) Reverse Convertible on Airbnb, Salesforce (Quanto CHF)

Title

CH1548141584 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141584

Maturity Date

05.11.2026

Underlying

Airbnb Inc., Salesforce, Inc. - CH1548141584

1.82% (7.29% p.a.) Reverse Convertible on Sandoz Group AG

Title

CH1548141881 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141881

Maturity Date

07.10.2026

Underlying

Sandoz Group AG

1.90% (5.71% p.a.) Reverse Convertible on Swiss Life Holding AG

Title

CH1548143531 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143531

Maturity Date

17.11.2026

Underlying

Swiss Life Holding AG

1.90% (7.61% p.a.) Reverse Convertible on Microsoft Corp.

Title

CH1548129308 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129308

Maturity Date

29.07.2026

Underlying

Microsoft Corp.

1.95% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1492029983 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029983

Maturity Date

25.01.2027

Underlying

Nestlé SA, Novartis AG, Roche Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1492029983

10.00% (10.00% p.a.) Barrier Reverse Convertible on Alcon, ING, Straumann (Quanto CHF)

Title

CH1492024679 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024679

Maturity Date

16.12.2026

Underlying

Straumann Holding AG, ING Groep N.V., Alcon Inc. - CH1492024679

10.00% (10.00% p.a.) Barrier Reverse Convertible on Geberit, Sandoz Group, Swisscom

Title

CH1532247017 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247017

Maturity Date

14.04.2027

Underlying

Sandoz Group AG, Swisscom AG, Geberit AG - CH1532247017

10.00% (10.00% p.a.) Reverse Convertible on Airbus, Safran, Vinci

Title

CH1548140768 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140768

Maturity Date

01.07.2027

Underlying

Vinci SA, Airbus SE, Safran SA - CH1548140768

10.00% (13.39% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1548131940 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131940

Maturity Date

11.02.2027

Underlying

Netflix Inc.

10.00% (13.68% p.a.) Barrier Reverse Convertible on SAP, Vonovia

Title

CH1492031203 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031203

Maturity Date

22.10.2026

Underlying

Vonovia SE, SAP SE - CH1492031203

10.00% (13.69% p.a.) Barrier Reverse Convertible on SAP, Vonovia

Title

CH1492031245 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031245

Maturity Date

22.10.2026

Underlying

SAP SE, Vonovia SE - CH1492031245

10.00% (5.47% p.a.) Reverse Convertible on ABB, Givaudan, Lonza

Title

CH1468579722 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579722

Maturity Date

27.05.2027

Underlying

ABB Ltd, Lonza Group AG, Givaudan SA - CH1468579722

10.00% p.a. Autocallable Barrier Reverse Convertible on Anheuser-Busch InBev, Heineken NV, Pernod-Ricard

Title

CH1492028985 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028985

Maturity Date

19.10.2026

Underlying

Anheuser-Busch InBev NV, Pernod-Ricard SA, Heineken NV - CH1492028985

10.00% p.a. Autocallable Barrier Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1418949637 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418949637

Maturity Date

26.10.2026

Underlying

Compagnie Financière Richemont SA, Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1418949637

10.00% p.a. Autocallable Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto USD)

Title

CH1548142509 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142509

Maturity Date

12.07.2027

Underlying

ABB Ltd, Siemens AG, Schneider Electric SE - CH1548142509

10.00% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548143606 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143606

Maturity Date

14.01.2027

Underlying

Alphabet, Inc., NVIDIA Corp., Microsoft Corp. - CH1548143606

10.00% p.a. Autocallable Reverse Convertible on Commerzbank, Hochtief, Novo Nordisk (Quanto EUR)

Title

CH1548139083 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139083

Maturity Date

21.12.2026

Underlying

Hochtief AG, Novo Nordisk A/S, Commerzbank AG - CH1548139083

10.00% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548130728 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130728

Maturity Date

05.11.2026

Underlying

Costco Wholesale Corp., Walmart Inc., Corning Inc. - CH1548130728

10.00% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548144463 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144463

Maturity Date

22.07.2027

Underlying

Costco Wholesale Corp., Walmart Inc., Corning Inc. - CH1548144463

10.00% p.a. Autocallable Reverse Convertible on RENK Group AG, Rheinmetall, Thales

Title

CH1532246506 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246506

Maturity Date

06.10.2026

Underlying

Rheinmetall AG, RENK Group AG, Thales SA - CH1532246506

10.00% p.a. Barrier Reverse Convertible on Accenture PLC

Title

CH1532239469 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532239469

Maturity Date

26.02.2027

Underlying

Accenture PLC

10.00% p.a. Barrier Reverse Convertible on Barry Callebaut, Partners Group Holding, VAT

Title

CH1492028001 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028001

Maturity Date

14.01.2027

Underlying

Barry Callebaut AG, Partners Group Holding AG, VAT Group AG - CH1492028001

10.00% p.a. Callable Barrier Reverse Convertible on Coca-Cola, McDonalds, Starbucks

Title

CH1492035501 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035501

Maturity Date

19.02.2027

Underlying

Coca-Cola Company, McDonalds Corp., Starbucks Corp. - CH1492035501

10.00% p.a. Callable Reverse Convertible on Airbus, Schneider Electric

Title

CH1548126148 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126148

Maturity Date

16.04.2027

Underlying

Airbus SE, Schneider Electric SE - CH1548126148

10.00% p.a. Callable Reverse Convertible on Beiersdorf, Fresenius, Merck KGaA

Title

CH1492031302 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031302

Maturity Date

29.10.2026

Underlying

Beiersdorf AG, Fresenius SE & Co. KGaA, Merck KGaA - CH1492031302

10.00% p.a. Callable Reverse Convertible on Beiersdorf, Fresenius, Merck KGaA

Title

CH1492031393 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031393

Maturity Date

30.10.2026

Underlying

Merck KGaA, Fresenius SE & Co. KGaA, Beiersdorf AG - CH1492031393

10.00% p.a. Reverse Convertible on ASML, Infineon

Title

CH1492031740 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031740

Maturity Date

01.02.2027

Underlying

ASML Holding NV, Infineon Technologies AG - CH1492031740

10.00% p.a. Reverse Convertible on Abbott Labs, Bank of America, Colgate-Palmolive

Title

CH1492034041 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034041

Maturity Date

11.02.2027

Underlying

Abbott Laboratories, Bank of America Corporation, Colgate-Palmolive Company - CH1492034041

10.00% p.a. Reverse Convertible on Air Liquide, BASF, Bayer

Title

CH1492031757 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031757

Maturity Date

01.02.2027

Underlying

Air Liquide SA, BASF SE, Bayer AG - CH1492031757

10.00% p.a. Reverse Convertible on Alphabet, Meta Platforms, NVIDIA

Title

CH1476903559 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903559

Maturity Date

17.08.2026

Underlying

NVIDIA Corp., Meta Platforms Inc., Alphabet, Inc. - CH1476903559

10.00% p.a. Reverse Convertible on Amazon.com, Apple, Microsoft

Title

CH1476903542 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903542

Maturity Date

17.08.2026

Underlying

Amazon.com Inc., Microsoft Corp., Apple Inc. - CH1476903542

10.00% p.a. Reverse Convertible on Amazon.com, NVIDIA, Palantir

Title

CH1548130165 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130165

Maturity Date

04.05.2027

Underlying

NVIDIA Corp., Amazon.com Inc., Palantir Technologies Inc. - CH1548130165

10.00% p.a. Reverse Convertible on Bristol-Myers Squibb, Pfizer, Visa

Title

CH1476903567 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903567

Maturity Date

17.08.2026

Underlying

Pfizer Inc., Bristol-Myers Squibb Co., Visa Inc. - CH1476903567

10.00% p.a. Reverse Convertible on Givaudan, Siegfried, Straumann

Title

CH1476912048 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912048

Maturity Date

14.10.2026

Underlying

Straumann Holding AG, Siegfried Holding AG, Givaudan SA - CH1476912048

10.00% p.a. Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1492031765 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031765

Maturity Date

01.02.2027

Underlying

Leonardo S.p.a., Rheinmetall AG, Thales SA - CH1492031765

10.00% p.a. Reverse Convertible on NVIDIA Corp.

Title

CH1492029710 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492029710

Maturity Date

22.10.2026

Underlying

NVIDIA Corp.

10.00% p.a. Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1492031732 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031732

Maturity Date

01.02.2027

Underlying

Siemens Energy AG, Schneider Electric SE - CH1492031732

10.01% (10.01% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492028217 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492028217

Maturity Date

15.01.2027

Underlying

Logitech International SA

10.01% (10.50% p.a.) Barrier Reverse Convertible on Alcon, Geberit, Logitech

Title

CH1492028118 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028118

Maturity Date

28.12.2026

Underlying

Logitech International SA, Alcon Inc., Geberit AG - CH1492028118

10.01% p.a. Autocallable Barrier Reverse Convertible on Allianz, ASML, LVMH Moët Hennessy Louis Vuitton, Siemens (Quanto CHF)

Title

CH1532237307 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237307

Maturity Date

24.02.2027

Underlying

Allianz SE, Siemens AG, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1532237307

10.01% p.a. Autocallable Reverse Convertible on Allianz, ASML, Deutsche Telekom

Title

CH1492035345 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035345

Maturity Date

17.02.2027

Underlying

Allianz SE, ASML Holding NV, Deutsche Telekom AG - CH1492035345

10.02% (20.04% p.a.) Barrier Reverse Convertible on Air France-KLM, Lufthansa

Title

CH1492035782 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035782

Maturity Date

18.08.2026

Underlying

Deutsche Lufthansa AG, Air France-KLM - CH1492035782

10.02% (22.13% p.a.) Barrier Reverse Convertible on Adecco, Alcon, Clariant

Title

CH1548143317 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143317

Maturity Date

29.12.2026

Underlying

Adecco Group AG, Alcon Inc., Clariant AG - CH1548143317

10.02% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Lonza, Swiss Re

Title

CH1492027466 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027466

Maturity Date

12.07.2027

Underlying

Lonza Group AG, Alcon Inc., Swiss Re AG, Givaudan SA - CH1492027466

10.02% p.a. Autocallable Reverse Convertible on ASML, Dassault, SAP

Title

CH1548143200 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143200

Maturity Date

16.07.2027

Underlying

SAP SE, ASML Holding NV, Dassault Systèmes S.A. - CH1548143200

10.02% p.a. Autocallable Reverse Convertible on Alphabet, Microsoft

Title

CH1532245045 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245045

Maturity Date

01.04.2027

Underlying

Microsoft Corp., Alphabet, Inc. - CH1532245045

10.02% p.a. Barrier Reverse Convertible on Bank of America, Goldman Sachs, Visa

Title

CH1492016659 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492016659

Maturity Date

21.10.2026

Underlying

Visa Inc., Bank of America Corporation, The Goldman Sachs Group, Inc. - CH1492016659

10.02% p.a. Reverse Convertible on L3Harris Technologies, Lockheed Martin, RTX Corporation (Quanto CHF)

Title

CH1532245912 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245912

Maturity Date

05.10.2026

Underlying

Lockheed Martin Corp, RTX Corporation, L3Harris Technologies Inc. - CH1532245912

10.03% p.a. Autocallable Barrier Reverse Convertible on Siemens Energy AG

Title

CH1548139554 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139554

Maturity Date

24.06.2027

Underlying

Siemens Energy AG

10.03% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1476904847 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476904847

Maturity Date

01.03.2027

Underlying

Palantir Technologies Inc.

10.03% p.a. Barrier Reverse Convertible on ASML, Novartis, Swiss Re, VAT (Quanto CHF)

Title

CH1492019620 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019620

Maturity Date

09.11.2026

Underlying

Swiss Re AG, VAT Group AG, Novartis AG, ASML Holding NV - CH1492019620

10.04% (10.04% p.a.) Barrier Reverse Convertible on ASML, SAP, Unilever PLC

Title

CH1476910570 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910570

Maturity Date

02.10.2026

Underlying

ASML Holding NV, Unilever PLC, SAP SE - CH1476910570

10.04% (20.08% p.a.) Reverse Convertible on Broadcom, NVIDIA

Title

CH1532242406 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242406

Maturity Date

17.09.2026

Underlying

NVIDIA Corp., Broadcom Inc. - CH1532242406

10.04% p.a. Autocallable Reverse Convertible on Airbnb, Take-Two Interactive (Quanto EUR)

Title

CH1548144745 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144745

Maturity Date

23.07.2027

Underlying

Airbnb Inc., Take-Two Interactive Software Inc. - CH1548144745

10.04% p.a. Autocallable Reverse Convertible on Nike Inc.

Title

CH1548131056 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131056

Maturity Date

07.05.2027

Underlying

Nike Inc.

10.04% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Munich Re

Title

CH1548129811 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129811

Maturity Date

03.05.2027

Underlying

ABN AMRO Bank N.V, Banco Santander SA, Münchener Rückversicherungs AG - CH1548129811

10.04% p.a. Barrier Reverse Convertible on Amgen, Coca-Cola, Verizon Communications

Title

CH1476905661 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476905661

Maturity Date

01.09.2026

Underlying

Verizon Communications Inc., Coca-Cola Company, Amgen Inc. - CH1476905661

10.05% (10.05% p.a.) Barrier Reverse Convertible on Lonza, LVMH Moët Hennessy Louis Vuitton, Swiss Life (Quanto CHF)

Title

CH1532247157 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247157

Maturity Date

15.04.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Lonza Group AG, Swiss Life Holding AG - CH1532247157

10.05% p.a. Autocallable Barrier Reverse Convertible on Holcim, Sandoz Group, Sulzer

Title

CH1492033555 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033555

Maturity Date

10.02.2027

Underlying

Sandoz Group AG, Sulzer AG, Holcim Ltd - CH1492033555

10.05% p.a. Barrier Reverse Convertible on Alcon, Roche, Sandoz Group

Title

CH1532238669 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238669

Maturity Date

26.02.2027

Underlying

Alcon Inc., Roche Holding AG, Sandoz Group AG - CH1532238669

10.05% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Straumann

Title

CH1548144257 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144257

Maturity Date

21.07.2027

Underlying

Straumann Holding AG, Logitech International SA, Kuehne + Nagel International AG - CH1548144257

10.05% p.a. Reverse Convertible on Eli Lilly, Novartis, Roche (Quanto CHF)

Title

CH1532245920 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245920

Maturity Date

05.10.2026

Underlying

Eli Lilly & Co., Roche Holding AG, Novartis AG - CH1532245920

10.05% p.a. Reverse Convertible on EssilorLuxottica, Hermes, L´Oréal

Title

CH1532237679 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237679

Maturity Date

25.02.2027

Underlying

EssilorLuxottica SA, Hermes International, L´Oréal International - CH1532237679

10.06% (10.06% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1548129449 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129449

Maturity Date

30.04.2027

Underlying

ASML Holding NV

10.06% p.a. Autocallable Barrier Reverse Convertible on Bachem, Galderma Group, Logitech, VAT

Title

CH1492032888 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032888

Maturity Date

08.02.2027

Underlying

VAT Group AG, Bachem Holding AG, Logitech International SA, Galderma Group Ltd - CH1492032888

10.06% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1548145007 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145007

Maturity Date

25.01.2028

Underlying

Tesla Inc.

10.06% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Partners Group Holding

Title

CH1548126528 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126528

Maturity Date

19.04.2027

Underlying

Logitech International SA, Julius Bär Gruppe AG, Partners Group Holding AG - CH1548126528

10.06% p.a. Callable Barrier Reverse Convertible on Alcon, Givaudan, Logitech

Title

CH1492030460 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030460

Maturity Date

27.07.2027

Underlying

Logitech International SA, Alcon Inc., Givaudan SA - CH1492030460

10.06% p.a. Callable Barrier Reverse Convertible on Bachem, Sandoz Group, Siegfried

Title

CH1548140479 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140479

Maturity Date

28.06.2027

Underlying

Bachem Holding AG, Siegfried Holding AG, Sandoz Group AG - CH1548140479

10.06% p.a. Callable Barrier Reverse Convertible on Deutsche Bank, ING, SAP, Siemens (Quanto CHF)

Title

CH1492021352 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021352

Maturity Date

19.11.2026

Underlying

ING Groep N.V., SAP SE, Siemens AG, Deutsche Bank AG - CH1492021352

10.07% (20.15% p.a.) Barrier Reverse Convertible on Adyen , Cellnex Telecom S.A., Prysmian

Title

CH1492034686 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034686

Maturity Date

13.08.2026

Underlying

Adyen N.V., Cellnex Telecom S.A., Prysmian SpA - CH1492034686

10.07% p.a. Autocallable Barrier Reverse Convertible on Allianz, AXA

Title

CH1548140552 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140552

Maturity Date

31.12.2026

Underlying

AXA SA, Allianz SE - CH1548140552

10.07% p.a. Autocallable Reverse Convertible on Bank of America, JPMorgan Chase, Wells Fargo

Title

CH1548143937 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143937

Maturity Date

21.01.2027

Underlying

JPMorgan Chase & Co., Bank of America Corporation, Wells Fargo & Company - CH1548143937

10.07% p.a. Autocallable Reverse Convertible on Microsoft, Netflix (Quanto EUR)

Title

CH1532241440 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241440

Maturity Date

11.03.2027

Underlying

Microsoft Corp., Netflix Inc. - CH1532241440

10.07% p.a. Barrier Reverse Convertible on Amazon.com, Coca-Cola, McDonalds

Title

CH1314936605 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1314936605

Maturity Date

04.08.2026

Underlying

Amazon.com Inc., McDonalds Corp., Coca-Cola Company - CH1314936605

10.08% (10.08% p.a.) Reverse Convertible on Airbnb Inc.

Title

CH1548131288 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131288

Maturity Date

07.05.2027

Underlying

Airbnb Inc.

10.08% p.a. Autocallable Barrier Reverse Convertible on BASF, Daimler Truck, Deutsche Post, Heidelberg Materials (Quanto CHF)

Title

CH1532237851 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237851

Maturity Date

25.02.2027

Underlying

Heidelberg Materials AG, Daimler Truck Holding AG, BASF SE, Deutsche Post AG - CH1532237851

10.08% p.a. Autocallable Barrier Reverse Convertible on Barry Callebaut AG

Title

CH1492035139 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492035139

Maturity Date

17.02.2027

Underlying

Barry Callebaut AG

10.08% p.a. Barrier Reverse Convertible on Adidas, Givaudan, Holcim, Microsoft, Palo Alto Networks, Partners Group Holding (Quanto CHF)

Title

CH1492019646 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019646

Maturity Date

09.11.2026

Underlying

Givaudan SA, Holcim Ltd, Adidas AG, Microsoft Corp., Partners Group Holding AG, Palo Alto Networks, Inc. - CH1492019646

10.08% p.a. Barrier Reverse Convertible on Alibaba Group, Byd Co, Tencent (Quanto USD)

Title

CH1492025197 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025197

Maturity Date

18.12.2026

Underlying

Alibaba Group Holding Limited, BYD Company Limited, Tencent Holdings Limited - CH1492025197

10.08% p.a. Barrier Reverse Convertible on Deutsche Telekom, SAP, Siemens

Title

CH1532242521 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242521

Maturity Date

17.03.2028

Underlying

SAP SE, Deutsche Telekom AG, Siemens AG - CH1532242521

10.08% p.a. Reverse Convertible on Tui, Unilever PLC

Title

CH1476911891 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911891

Maturity Date

13.10.2026

Underlying

Tui AG, Unilever PLC - CH1476911891

10.09% (10.09% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Sandoz Group

Title

CH1548135727 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135727

Maturity Date

04.06.2027

Underlying

Kuehne + Nagel International AG, Logitech International SA, Sandoz Group AG - CH1548135727

10.09% p.a. Autocallable Barrier Reverse Convertible on ASML, Siemens Healthineers, Symrise

Title

CH1492028043 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028043

Maturity Date

15.09.2026

Underlying

ASML Holding NV, Symrise AG, Siemens Healthineers AG - CH1492028043

10.09% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding AG

Title

CH1548138127 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138127

Maturity Date

16.06.2027

Underlying

Partners Group Holding AG

10.09% p.a. Autocallable Reverse Convertible on Broadcom Inc.

Title

CH1548138119 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138119

Maturity Date

16.06.2027

Underlying

Broadcom Inc.

10.09% p.a. Autocallable Reverse Convertible on Deutsche Telekom, Orange, Stellantis

Title

CH1548138721 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138721

Maturity Date

19.06.2029

Underlying

Stellantis N.V., Orange S.A., Deutsche Telekom AG - CH1548138721

10.09% p.a. Barrier Reverse Convertible on Alcon, Givaudan, Logitech

Title

CH1532244410 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244410

Maturity Date

30.03.2027

Underlying

Logitech International SA, Alcon Inc., Givaudan SA - CH1532244410

10.10% p.a. Autocallable Barrier Reverse Convertible on ASML, ENI, Mercedes-Benz Group

Title

CH1476904383 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904383

Maturity Date

25.02.2027

Underlying

ENI SpA, ASML Holding NV, Mercedes-Benz Group AG - CH1476904383

10.10% p.a. Autocallable Barrier Reverse Convertible on Lonza, Sandoz Group, Straumann, Swissquote

Title

CH1492021477 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021477

Maturity Date

20.11.2026

Underlying

Straumann Holding AG, Sandoz Group AG, Lonza Group AG, Swissquote Group Holding SA - CH1492021477

10.10% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com

Title

CH1548131890 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131890

Maturity Date

12.05.2027

Underlying

Amazon.com Inc., Alphabet, Inc. - CH1548131890

10.10% p.a. Barrier Reverse Convertible on Dow Inc

Title

CH1492032359 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492032359

Maturity Date

04.02.2027

Underlying

Dow Inc

10.10% p.a. Barrier Reverse Convertible on Eli Lilly, Novo Nordisk, UnitedHealth

Title

CH1476906008 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906008

Maturity Date

03.09.2026

Underlying

Eli Lilly & Co., Novo Nordisk A/S, UnitedHealth Group Inc. - CH1476906008

10.11% (10.05% p.a.) Barrier Reverse Convertible on Geberit, Givaudan, UBS Group

Title

CH1532244931 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244931

Maturity Date

02.04.2027

Underlying

Geberit AG, Givaudan SA, UBS Group AG - CH1532244931

10.11% (10.11% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika, VAT

Title

CH1492021402 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021402

Maturity Date

19.11.2026

Underlying

VAT Group AG, Sika AG, Partners Group Holding AG, Kuehne + Nagel International AG - CH1492021402

10.11% p.a. Autocallable Barrier Reverse Convertible on Heidelberg Materials, Holcim, Partners Group Holding, Sika (Quanto CHF)

Title

CH1548128649 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128649

Maturity Date

28.04.2027

Underlying

Partners Group Holding AG, Sika AG, Holcim Ltd, Heidelberg Materials AG - CH1548128649

10.11% p.a. Autocallable Barrier Reverse Convertible on Tesla, Uber Technologies

Title

CH1492017087 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017087

Maturity Date

23.10.2026

Underlying

Uber Technologies Inc., Tesla Inc. - CH1492017087

10.11% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1532245532 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532245532

Maturity Date

05.04.2027

Underlying

NVIDIA Corp.

10.11% p.a. Barrier Reverse Convertible on ABB, Givaudan, Holcim

Title

CH1532246464 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246464

Maturity Date

08.03.2027

Underlying

Givaudan SA, ABB Ltd, Holcim Ltd - CH1532246464

10.11% p.a. Barrier Reverse Convertible on Adecco, Barry Callebaut, Givaudan

Title

CH1492022848 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022848

Maturity Date

02.12.2026

Underlying

Barry Callebaut AG, Adecco Group AG, Givaudan SA - CH1492022848

10.11% p.a. Callable Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1492023291 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492023291

Maturity Date

04.09.2026

Underlying

Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1492023291

10.12% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Straumann, Swiss Life

Title

CH1492036111 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036111

Maturity Date

22.02.2027

Underlying

Straumann Holding AG, Swiss Life Holding AG, Alcon Inc. - CH1492036111

10.12% (13.44% p.a.) Reverse Convertible on Comet, Inficon, VAT

Title

CH1548129514 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129514

Maturity Date

01.02.2027

Underlying

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548129514

10.12% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Lonza, Sandoz Group

Title

CH1548134373 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134373

Maturity Date

26.05.2027

Underlying

Galderma Group Ltd, Sandoz Group AG, Lonza Group AG - CH1548134373

10.12% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, UBS Group

Title

CH1476910372 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910372

Maturity Date

01.10.2026

Underlying

Swiss Life Holding AG, Swiss Re AG, Partners Group Holding AG, UBS Group AG - CH1476910372

10.12% p.a. Autocallable Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1476903252 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476903252

Maturity Date

16.02.2027

Underlying

Marvell Technology Group Ltd.

10.12% p.a. Barrier Reverse Convertible on Georg Fischer, Nestlé, Schneider Electric, VAT (Quanto CHF)

Title

CH1548130538 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130538

Maturity Date

05.05.2027

Underlying

Nestlé SA, VAT Group AG, Georg Fischer AG, Schneider Electric SE - CH1548130538

10.12% p.a. Callable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1548145072 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145072

Maturity Date

27.07.2027

Underlying

Rheinmetall AG

10.12% p.a. Callable Reverse Convertible on GE Aerospace, Honeywell, Northrop Grumman

Title

CH1532244352 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244352

Maturity Date

29.03.2027

Underlying

GE Aerospace, Honeywell International Inc., Northrop Grumman Corp - CH1532244352

10.13% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Partners Group Holding, Sika

Title

CH1548136246 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136246

Maturity Date

07.06.2027

Underlying

Alcon Inc., Sika AG, Partners Group Holding AG - CH1548136246

10.13% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Fresenius, RWE

Title

CH1548141659 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141659

Maturity Date

06.07.2027

Underlying

Deutsche Telekom AG, Fresenius SE & Co. KGaA, RWE AG - CH1548141659

10.13% p.a. Autocallable Barrier Reverse Convertible on Richemont, Straumann, Swissquote, Ypsomed

Title

CH1492028928 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028928

Maturity Date

19.01.2027

Underlying

Ypsomed Holding AG, Swissquote Group Holding SA, Straumann Holding AG, Compagnie Financière Richemont SA - CH1492028928

10.14% p.a. Autocallable Reverse Convertible on MercadoLibre Inc.

Title

CH1548144091 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144091

Maturity Date

20.07.2027

Underlying

MercadoLibre Inc.

10.14% p.a. Autocallable Reverse Convertible on Meta Platforms Inc.

Title

CH1476909978 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476909978

Maturity Date

29.09.2026

Underlying

Meta Platforms Inc.

10.14% p.a. Barrier Reverse Convertible on ASM International, Siemens, STMicroelectronics

Title

CH1492018374 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018374

Maturity Date

01.11.2027

Underlying

Siemens AG, STMicroelectronics NV, ASM International NV - CH1492018374

10.14% p.a. Barrier Reverse Convertible on Holcim, Logitech, Sika

Title

CH1548131981 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131981

Maturity Date

13.05.2027

Underlying

Holcim Ltd, Logitech International SA, Sika AG - CH1548131981

10.14% p.a. Barrier Reverse Convertible on The Walt Disney Company

Title

CH1532237489 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532237489

Maturity Date

24.02.2027

Underlying

The Walt Disney Company

10.15% (10.07% p.a.) Barrier Reverse Convertible on Alcon, Julius Bär, Lonza

Title

CH1532245425 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245425

Maturity Date

05.04.2027

Underlying

Alcon Inc., Julius Bär Gruppe AG, Lonza Group AG - CH1532245425

10.15% p.a. Autocallable Barrier Reverse Convertible on Hermes, Netflix, Procter & Gamble (Quanto EUR)

Title

CH1492028365 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028365

Maturity Date

19.01.2027

Underlying

Netflix Inc., The Procter & Gamble Company, Hermes International - CH1492028365

10.15% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms, Moncler (Quanto EUR)

Title

CH1548142954 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142954

Maturity Date

15.07.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Moncler SpA, Meta Platforms Inc. - CH1548142954

10.15% p.a. Barrier Reverse Convertible on Novartis, Roche, UBS Group

Title

CH1548126619 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126619

Maturity Date

19.04.2027

Underlying

UBS Group AG, Novartis AG, Roche Holding AG - CH1548126619

10.15% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika

Title

CH1532243974 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243974

Maturity Date

24.03.2027

Underlying

Partners Group Holding AG, Sika AG - CH1532243974

10.16% p.a. Autocallable Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548132773 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132773

Maturity Date

17.05.2027

Underlying

Apple Inc., NVIDIA Corp., Microsoft Corp. - CH1548132773

10.17% (10.17% p.a.) Barrier Reverse Convertible on Alcon, Givaudan, UBS Group

Title

CH1548141501 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141501

Maturity Date

06.07.2027

Underlying

Alcon Inc., UBS Group AG, Givaudan SA - CH1548141501

10.17% (10.20% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Straumann

Title

CH1548134142 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134142

Maturity Date

26.05.2027

Underlying

Straumann Holding AG, Julius Bär Gruppe AG, Partners Group Holding AG - CH1548134142

10.17% (4.69% p.a.) Reverse Convertible on Nestlé, Roche

Title

CH1476909531 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909531

Maturity Date

25.11.2027

Underlying

Roche Holding AG, Nestlé SA - CH1476909531

10.17% (40.71% p.a.) Reverse Convertible on Accenture, IBM, Salesforce

Title

CH1548144687 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144687

Maturity Date

23.10.2026

Underlying

International Business Machines Corp., Accenture PLC, Salesforce, Inc. - CH1548144687

10.17% p.a. Autocallable Barrier Reverse Convertible on ETF Invesco QQQ Trust Series I, iShares China Large-Cap ETF, iShares Russell 2000 Index Fund

Title

CH1548145106 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145106

Maturity Date

27.01.2028

Underlying

ETF Invesco QQQ Trust Series I, iShares Russell 2000 Index Fund, iShares China Large-Cap ETF - CH1548145106

10.17% p.a. Autocallable Barrier Reverse Convertible on Prysmian, Sanofi, Symrise, TotalEnergies

Title

CH1468579078 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579078

Maturity Date

23.07.2027

Underlying

Prysmian SpA, TotalEnergies SE , Sanofi SA, Symrise AG - CH1468579078

10.17% p.a. Barrier Reverse Convertible on Allianz, Rheinmetall, Siemens Energy (Quanto CHF)

Title

CH1468580472 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580472

Maturity Date

04.08.2026

Underlying

Rheinmetall AG, Allianz SE, Siemens Energy AG - CH1468580472

10.17% p.a. Callable Reverse Convertible on L3Harris Technologies, Northrop Grumman, Palantir

Title

CH1468579755 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579755

Maturity Date

29.07.2027

Underlying

Palantir Technologies Inc., Northrop Grumman Corp, L3Harris Technologies Inc. - CH1468579755

10.18% (10.12% p.a.) Barrier Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1492022392 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022392

Maturity Date

30.11.2026

Underlying

Alphabet, Inc., Apple Inc., NVIDIA Corp. - CH1492022392

10.18% (20.36% p.a.) Barrier Reverse Convertible on BASF, K+S

Title

CH1492035832 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035832

Maturity Date

18.08.2026

Underlying

K+S AG, BASF SE - CH1492035832

10.18% p.a. Barrier Reverse Convertible on ENI, Intesa Sanpaolo, Stellantis (Quanto CHF)

Title

CH1492026260 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026260

Maturity Date

28.12.2026

Underlying

ENI SpA, Intesa Sanpaolo SpA, Stellantis N.V. - CH1492026260

10.18% p.a. Barrier Reverse Convertible on Givaudan, Lonza, Swiss Re

Title

CH1548130280 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130280

Maturity Date

04.05.2027

Underlying

Givaudan SA, Swiss Re AG, Lonza Group AG - CH1548130280

10.18% p.a. Reverse Convertible on Roche Holding AG

Title

CH1548143036 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143036

Maturity Date

15.10.2026

Underlying

Roche Holding AG

10.19% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Société Générale, UBS Group (Quanto USD)

Title

CH1492028506 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028506

Maturity Date

16.04.2027

Underlying

Deutsche Bank AG, Société Générale, UBS Group AG - CH1492028506

10.19% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart (Quanto EUR)

Title

CH1548130579 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130579

Maturity Date

05.05.2027

Underlying

Walmart Inc., Costco Wholesale Corp., Corning Inc. - CH1548130579

10.19% p.a. Autocallable Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1548143101 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143101

Maturity Date

17.01.2028

Underlying

Rheinmetall AG, Leonardo S.p.a., Thales SA - CH1548143101

10.19% p.a. Callable Barrier Reverse Convertible on Alphabet, Halliburton, Microsoft, SLB Ltd (Quanto CHF)

Title

CH1492032383 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032383

Maturity Date

04.02.2027

Underlying

Halliburton Co., Alphabet, Inc., Microsoft Corp., SLB Ltd - CH1492032383

10.19% p.a. Reverse Convertible on Beiersdorf, Henkel, L´Oréal

Title

CH1492035261 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035261

Maturity Date

17.08.2026

Underlying

Beiersdorf AG, Henkel AG & Co. KGaA, L´Oréal International - CH1492035261

10.19% p.a. Reverse Convertible on Givaudan, VAT

Title

CH1492022632 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022632

Maturity Date

30.11.2026

Underlying

Givaudan SA, VAT Group AG - CH1492022632

10.20% (10.20% p.a.) Barrier Reverse Convertible on AXA, LVMH Moët Hennessy Louis Vuitton, Munich Re, Vonovia

Title

CH1492035196 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035196

Maturity Date

17.02.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Vonovia SE, AXA SA, Münchener Rückversicherungs AG - CH1492035196

10.20% (10.20% p.a.) Reverse Convertible on NVIDIA Corp.

Title

CH1548127666 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548127666

Maturity Date

22.04.2027

Underlying

NVIDIA Corp.

10.20% p.a. Autocallable Barrier Reverse Convertible on Allianz, Deutsche Börse, Deutsche Post, Deutsche Telekom

Title

CH1548136899 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136899

Maturity Date

10.06.2027

Underlying

Allianz SE, Deutsche Post AG, Deutsche Telekom AG, Deutsche Börse AG - CH1548136899

10.20% p.a. Callable Barrier Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532243388 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243388

Maturity Date

19.03.2027

Underlying

Alcon Inc., Sandoz Group AG, Galderma Group Ltd - CH1532243388

10.21% (20.42% p.a.) Barrier Reverse Convertible on NVIDIA Corp.

Title

CH1532238495 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238495

Maturity Date

27.08.2026

Underlying

NVIDIA Corp.

10.21% p.a. Barrier Reverse Convertible on Deutsche Telekom, Lonza, Novartis, Partners Group Holding, Roche, Straumann (Quanto EUR)

Title

CH1548143226 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143226

Maturity Date

16.07.2027

Underlying

Lonza Group AG, Straumann Holding AG, Novartis AG, Roche Holding AG, Partners Group Holding AG, Deutsche Telekom AG - CH15481...

10.21% p.a. Barrier Reverse Convertible on Givaudan, Holcim, Kardex, Sandoz Group, Sika

Title

CH1492027342 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027342

Maturity Date

07.01.2027

Underlying

Givaudan SA, Sika AG, Kardex AG, Sandoz Group AG, Holcim Ltd - CH1492027342

10.21% p.a. Barrier Reverse Convertible on Logitech, Swiss Re, UBS Group

Title

CH1548130504 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130504

Maturity Date

05.05.2027

Underlying

Logitech International SA, UBS Group AG, Swiss Re AG - CH1548130504

10.21% p.a. Callable Barrier Reverse Convertible on Kuehne + Nagel, Logitech, Tecan

Title

CH1476903583 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903583

Maturity Date

16.08.2027

Underlying

Tecan Group Ltd., Kuehne + Nagel International AG, Logitech International SA - CH1476903583

10.22% (10.22% p.a.) Reverse Convertible on Alphabet, Amazon.com, Meta Platforms

Title

CH1548144133 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144133

Maturity Date

20.07.2027

Underlying

Meta Platforms Inc., Amazon.com Inc., Alphabet, Inc. - CH1548144133

10.22% (11.36% p.a.) Reverse Convertible on Deutsche Telekom AG

Title

CH1492019513 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492019513

Maturity Date

30.09.2026

Underlying

Deutsche Telekom AG

10.22% (20.23% p.a.) Barrier Reverse Convertible on BASF, K+S

Title

CH1548126650 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126650

Maturity Date

19.10.2026

Underlying

BASF SE, K+S AG - CH1548126650

10.22% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto CHF)

Title

CH1548143507 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143507

Maturity Date

19.07.2027

Underlying

Rheinmetall AG, BAE Systems PLC, Leonardo S.p.a. - CH1548143507

10.22% p.a. Autocallable Barrier Reverse Convertible on Bank of America, JPMorgan Chase, Morgan Stanley, UBS Group (Quanto EUR)

Title

CH1548141642 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141642

Maturity Date

07.07.2027

Underlying

UBS Group AG, Morgan Stanley, JPMorgan Chase & Co., Bank of America Corporation - CH1548141642

10.22% p.a. Autocallable Reverse Convertible on Netflix Inc.

Title

CH1532239410 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532239410

Maturity Date

03.03.2027

Underlying

Netflix Inc.

10.23% p.a. Barrier Reverse Convertible on ABB, Siemens Energy (Quanto CHF)

Title

CH1548127468 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127468

Maturity Date

23.04.2029

Underlying

ABB Ltd, Siemens Energy AG - CH1548127468

10.23% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Swissquote, VAT

Title

CH1532237364 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237364

Maturity Date

24.02.2027

Underlying

VAT Group AG, Swissquote Group Holding SA, Kuehne + Nagel International AG - CH1532237364

10.24% (20.25% p.a.) Barrier Reverse Convertible on Adobe, Salesforce, SAP (Quanto EUR)

Title

CH1548132906 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132906

Maturity Date

17.11.2026

Underlying

Salesforce, Inc., SAP SE, Adobe Systems Inc. - CH1548132906

10.24% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492017251 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017251

Maturity Date

26.10.2026

Underlying

NVIDIA Corp., Apple Inc., Microsoft Corp. - CH1492017251

10.25% p.a. Autocallable Barrier Reverse Convertible on Sensirion Holding AG

Title

CH1548128805 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128805

Maturity Date

28.04.2027

Underlying

Sensirion Holding AG

10.25% p.a. Barrier Reverse Convertible on Alcon, Novo Nordisk, Sika (Quanto CHF)

Title

CH1468580498 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580498

Maturity Date

05.08.2026

Underlying

Sika AG, Novo Nordisk A/S, Alcon Inc. - CH1468580498

10.25% p.a. Barrier Reverse Convertible on Allianz, Danone, Infineon, SAP

Title

CH1492016683 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492016683

Maturity Date

22.10.2026

Underlying

Allianz SE, Danone SA, Infineon Technologies AG, SAP SE - CH1492016683

10.25% p.a. Barrier Reverse Convertible on Alstom, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto EUR)

Title

CH1548131957 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131957

Maturity Date

13.05.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA, Alstom SA - CH1548131957

10.25% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1548144216 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144216

Maturity Date

21.07.2028

Underlying

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1548144216

10.25% p.a. Reverse Convertible on Meta Platforms, NVIDIA (Quanto GBP)

Title

CH1548134886 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134886

Maturity Date

28.05.2027

Underlying

NVIDIA Corp., Meta Platforms Inc. - CH1548134886

10.26% (10.26% p.a.) Barrier Reverse Convertible on Barry Callebaut, Nestlé, Straumann

Title

CH1548141519 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141519

Maturity Date

06.07.2027

Underlying

Barry Callebaut AG, Nestlé SA, Straumann Holding AG - CH1548141519

10.26% p.a. Autocallable Barrier Reverse Convertible on Adobe, AMD, Broadcom

Title

CH1492028126 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028126

Maturity Date

15.01.2027

Underlying

Broadcom Inc., Advanced Micro Devices Inc., Adobe Systems Inc. - CH1492028126

10.26% p.a. Barrier Reverse Convertible on Adidas, ASML, Pfizer, Richemont, Siemens Healthineers (Quanto CHF)

Title

CH1492032656 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032656

Maturity Date

05.02.2027

Underlying

Pfizer Inc., Siemens Healthineers AG, Compagnie Financière Richemont SA, Adidas AG, ASML Holding NV - CH1492032656

10.26% p.a. Barrier Reverse Convertible on Givaudan, Richemont, UBS Group

Title

CH1548126502 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126502

Maturity Date

19.04.2027

Underlying

Givaudan SA, UBS Group AG, Compagnie Financière Richemont SA - CH1548126502

10.27% (10.21% p.a.) Barrier Reverse Convertible on Amrize Ltd, Partners Group Holding, SAP (Quanto CHF)

Title

CH1492034462 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034462

Maturity Date

15.02.2027

Underlying

Amrize Ltd, SAP SE, Partners Group Holding AG - CH1492034462

10.27% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis (Quanto CHF)

Title

CH1492024950 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024950

Maturity Date

17.12.2026

Underlying

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024950

10.27% p.a. Barrier Reverse Convertible on Allianz, Amazon.com, Helvetia, Richemont, SAP (Quanto EUR)

Title

CH1476908863 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908863

Maturity Date

22.09.2026

Underlying

Allianz SE, SAP SE, Amazon.com Inc., Compagnie Financière Richemont SA, Helvetia Holding AG - CH1476908863

10.28% (10.28% p.a.) Barrier Reverse Convertible on ASML, SAP, Unilever PLC

Title

CH1476911180 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911180

Maturity Date

09.10.2026

Underlying

ASML Holding NV, Unilever PLC, SAP SE - CH1476911180

10.28% (10.28% p.a.) Reverse Convertible on BP, Reckitt Benckiser , Rio Tinto

Title

CH1548140750 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140750

Maturity Date

01.07.2027

Underlying

Rio Tinto PLC, BP PLC, Reckitt Benckiser Group PLC - CH1548140750

10.28% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis (Quanto CHF)

Title

CH1492024935 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024935

Maturity Date

17.12.2026

Underlying

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024935

10.28% p.a. Autocallable Barrier Reverse Convertible on KraneShares CSI China Internet ETF

Title

CH1492023499 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492023499

Maturity Date

07.12.2026

Underlying

KraneShares CSI China Internet ETF

10.28% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft

Title

CH1532245722 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245722

Maturity Date

05.04.2027

Underlying

Amazon.com Inc., Microsoft Corp. - CH1532245722

10.29% p.a. Autocallable Barrier Reverse Convertible on Comet, Galderma Group, Kardex

Title

CH1476906107 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906107

Maturity Date

04.09.2026

Underlying

Comet Holding AG, Galderma Group Ltd, Kardex AG - CH1476906107

10.29% p.a. Barrier Reverse Convertible on Kering, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492033480 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033480

Maturity Date

09.02.2027

Underlying

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492033480

10.29% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Roche, UBS Group

Title

CH1548134324 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134324

Maturity Date

28.09.2026

Underlying

Novartis AG, Roche Holding AG, Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1548134324

10.30% (10.24% p.a.) Barrier Reverse Convertible on Accor, ASML, Shell

Title

CH1492020586 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020586

Maturity Date

16.11.2026

Underlying

Accor SA, ASML Holding NV, Shell PLC - CH1492020586

10.30% (13.59% p.a.) Barrier Reverse Convertible on Lonza, VAT

Title

CH1532243578 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243578

Maturity Date

23.12.2026

Underlying

VAT Group AG, Lonza Group AG - CH1532243578

10.30% p.a. Autocallable Barrier Reverse Convertible on AXA, Orange, Schneider Electric, St-Gobain

Title

CH1492035485 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035485

Maturity Date

18.02.2027

Underlying

Schneider Electric SE, Compagnie de St-Gobain, Orange S.A., AXA SA - CH1492035485

10.30% p.a. Autocallable Barrier Reverse Convertible on Carlsberg, Netflix, Nike (Quanto EUR)

Title

CH1492031880 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031880

Maturity Date

02.02.2027

Underlying

Carlsberg A/S, Netflix Inc., Nike Inc. - CH1492031880

10.30% p.a. Autocallable Reverse Convertible on ING, LVMH Moët Hennessy Louis Vuitton

Title

CH1532241432 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241432

Maturity Date

11.03.2027

Underlying

ING Groep N.V., LVMH Moët Hennessy Louis Vuitton SE - CH1532241432

10.30% p.a. Barrier Reverse Convertible on Charles Schwab, Citigroup, Visa

Title

CH1532242737 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242737

Maturity Date

17.03.2027

Underlying

Citigroup Inc., Charles Schwab Corp., Visa Inc. - CH1532242737

10.30% p.a. Barrier Reverse Convertible on Danone, EssilorLuxottica, L´Oréal

Title

CH1532242943 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242943

Maturity Date

20.09.2027

Underlying

Danone SA, EssilorLuxottica SA, L´Oréal International - CH1532242943

10.31% (10.31% p.a.) Barrier Reverse Convertible on Bachem, Barry Callebaut, Logitech

Title

CH1492017095 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017095

Maturity Date

23.10.2026

Underlying

Logitech International SA, Bachem Holding AG, Barry Callebaut AG - CH1492017095

10.31% (13.70% p.a.) Reverse Convertible on Amazon.com Inc.

Title

CH1532242547 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532242547

Maturity Date

18.12.2026

Underlying

Amazon.com Inc.

10.31% (20.51% p.a.) Barrier Reverse Convertible on Sartorius AG

Title

CH1548143556 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143556

Maturity Date

18.01.2027

Underlying

Sartorius AG

10.31% (30.95% p.a.) Barrier Reverse Convertible on Carnival, Norwegian Cruise Line, Royal Caribbean Cruises (Quanto AUD)

Title

CH1548129324 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129324

Maturity Date

31.08.2026

Underlying

Norwegian Cruise Line Holdings Ltd., Carnival Corp., Royal Caribbean Cruises Ltd. - CH1548129324

10.31% p.a. Reverse Convertible on Adobe, AMD, NVIDIA (Quanto CHF)

Title

CH1492029702 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029702

Maturity Date

25.01.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Adobe Systems Inc. - CH1492029702

10.32% p.a. Autocallable Barrier Reverse Convertible on Munich Re, RWE, SAP, Volkswagen

Title

CH1476903674 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903674

Maturity Date

18.08.2026

Underlying

RWE AG, Münchener Rückversicherungs AG, Volkswagen AG, SAP SE - CH1476903674

10.32% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Commerzbank

Title

CH1532241465 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241465

Maturity Date

13.09.2027

Underlying

Banco Santander SA, Commerzbank AG, ABN AMRO Bank N.V - CH1532241465

10.32% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1492020206 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020206

Maturity Date

12.11.2027

Underlying

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1492020206

10.32% p.a. Barrier Reverse Convertible on Deutsche Telekom, Galderma Group, Georg Fischer, Givaudan, Roche, Straumann (Quanto CHF)

Title

CH1548143275 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143275

Maturity Date

16.07.2027

Underlying

Givaudan SA, Deutsche Telekom AG, Roche Holding AG, Straumann Holding AG, Georg Fischer AG, Galderma Group Ltd - CH1548143275

10.33% (10.25% p.a.) Reverse Convertible on Broadcom, Microsoft, Salesforce (Quanto CHF)

Title

CH1532245789 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245789

Maturity Date

05.04.2027

Underlying

Microsoft Corp., Broadcom Inc., Salesforce, Inc. - CH1532245789

10.33% (20.33% p.a.) Barrier Reverse Convertible on Allianz, ASML, SAP

Title

CH1548139869 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139869

Maturity Date

28.12.2026

Underlying

ASML Holding NV, SAP SE, Allianz SE - CH1548139869

10.33% (20.55% p.a.) Barrier Reverse Convertible on Lufthansa, Tui

Title

CH1532242026 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242026

Maturity Date

14.09.2026

Underlying

Deutsche Lufthansa AG, Tui AG - CH1532242026

10.33% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Rolls-Royce, Saab AB (Quanto EUR)

Title

CH1492034827 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034827

Maturity Date

16.02.2027

Underlying

Hensoldt AG, Rolls-Royce Holdings PLC, Saab AB - CH1492034827

10.33% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft

Title

CH1532239428 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239428

Maturity Date

03.03.2027

Underlying

Microsoft Corp., Meta Platforms Inc. - CH1532239428

10.33% p.a. Callable Barrier Reverse Convertible on ABB, Galderma Group, Richemont, Ypsomed

Title

CH1548141709 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141709

Maturity Date

06.07.2027

Underlying

ABB Ltd, Ypsomed Holding AG, Galderma Group Ltd, Compagnie Financière Richemont SA - CH1548141709

10.34% (10.22% p.a.) Reverse Convertible on Georg Fischer, Lonza, Partners Group Holding

Title

CH1532245771 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245771

Maturity Date

06.04.2027

Underlying

Georg Fischer AG, Partners Group Holding AG, Lonza Group AG - CH1532245771

10.34% (20.02% p.a.) Barrier Reverse Convertible on iShares Expand.Tech-Software Sector ETF, Sportradar Group

Title

CH1548127526 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127526

Maturity Date

03.11.2026

Underlying

Sportradar Group AG, iShares Expanded Tech-Software Sector ETF - CH1548127526

10.34% p.a. Autocallable Barrier Reverse Convertible on Porsche, Volkswagen, Zalando (Quanto USD)

Title

CH1548127864 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127864

Maturity Date

25.04.2028

Underlying

Volkswagen AG, Zalando SE, Porsche Automobil Holding SE - CH1548127864

10.34% p.a. Barrier Reverse Convertible on Alibaba Group, Microsoft, Walt Disney (Quanto CHF)

Title

CH1532245847 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245847

Maturity Date

05.04.2027

Underlying

Microsoft Corp., Alibaba Group Holding Limited, The Walt Disney Company - CH1532245847

10.34% p.a. Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532242224 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242224

Maturity Date

16.03.2027

Underlying

Alcon Inc., Sandoz Group AG, Galderma Group Ltd - CH1532242224

10.35% p.a. Autocallable Barrier Reverse Convertible on Apollo Global, Goldman Sachs, Palo Alto Networks

Title

CH1492033092 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033092

Maturity Date

06.08.2027

Underlying

Apollo Global Management Inc., The Goldman Sachs Group, Inc., Palo Alto Networks, Inc. - CH1492033092

10.35% p.a. Autocallable Reverse Convertible on Anglo American, BHP Group

Title

CH1548143366 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143366

Maturity Date

14.01.2027

Underlying

BHP Group Limited, Anglo American PLC - CH1548143366

10.35% p.a. Callable Barrier Reverse Convertible on Bayer, SAP

Title

CH1548143887 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143887

Maturity Date

20.04.2027

Underlying

Bayer AG, SAP SE - CH1548143887

10.36% p.a. Autocallable Reverse Convertible on Amazon.com Inc.

Title

CH1532239790 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532239790

Maturity Date

04.03.2027

Underlying

Amazon.com Inc.

10.36% p.a. Barrier Reverse Convertible on Galderma Group, Galenica, Sandoz Group

Title

CH1548142392 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142392

Maturity Date

09.07.2027

Underlying

Galenica AG, Sandoz Group AG, Galderma Group Ltd - CH1548142392

10.37% (10.37% p.a.) Barrier Reverse Convertible on Amazon.com, Meta Platforms, NVIDIA (Quanto CHF)

Title

CH1492028837 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028837

Maturity Date

19.01.2027

Underlying

Amazon.com Inc., Meta Platforms Inc., NVIDIA Corp. - CH1492028837

10.37% (10.49% p.a.) Reverse Convertible on AstraZeneca, Moderna (Quanto EUR)

Title

CH1548145023 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145023

Maturity Date

23.07.2027

Underlying

AstraZeneca Group PLC, Moderna Inc. - CH1548145023

10.37% p.a. Autocallable Barrier Reverse Convertible on Alphabet, MercadoLibre, Microsoft (Quanto CHF)

Title

CH1532238610 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238610

Maturity Date

27.05.2027

Underlying

Microsoft Corp., Alphabet, Inc., MercadoLibre Inc. - CH1532238610

10.37% p.a. Autocallable Barrier Reverse Convertible on Swiss Life, Swisscom, Zurich Insurance

Title

CH1532244170 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244170

Maturity Date

25.03.2027

Underlying

Zurich Insurance Group Ltd, Swiss Life Holding AG, Swisscom AG - CH1532244170

10.37% p.a. Autocallable Reverse Convertible on Apollo Global, Citigroup, Visa

Title

CH1492030734 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030734

Maturity Date

24.07.2026

Underlying

Visa Inc., Citigroup Inc., Apollo Global Management Inc. - CH1492030734

10.37% p.a. Barrier Reverse Convertible on Amazon.com, Apple, Palo Alto Networks

Title

CH1492022491 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022491

Maturity Date

01.12.2026

Underlying

Amazon.com Inc., Palo Alto Networks, Inc., Apple Inc. - CH1492022491

10.38% p.a. Autocallable Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1548143119 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143119

Maturity Date

18.01.2028

Underlying

Amazon.com Inc., Meta Platforms Inc., Microsoft Corp. - CH1548143119

10.38% p.a. Barrier Reverse Convertible on Logitech, Lonza, VAT (Quanto EUR)

Title

CH1476909275 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909275

Maturity Date

24.09.2026

Underlying

Logitech International SA, Lonza Group AG, VAT Group AG - CH1476909275

10.39% p.a. Callable Barrier Reverse Convertible on ASML, SAP, Siemens

Title

CH1548127872 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127872

Maturity Date

23.04.2027

Underlying

SAP SE, Siemens AG, ASML Holding NV - CH1548127872

10.40% p.a. Autocallable Reverse Convertible on Banque CA Vaudoise, Zurich Insurance

Title

CH1548132211 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132211

Maturity Date

13.11.2026

Underlying

Banque Cantonale Vaudoise, Zurich Insurance Group Ltd - CH1548132211

10.40% p.a. Callable Reverse Convertible on Alibaba Group Holding Limited

Title

CH1446050531 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1446050531

Maturity Date

23.11.2026

Underlying

Alibaba Group Holding Limited

10.40% p.a. Reverse Convertible on Holcim Ltd

Title

CH1548128441 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128441

Maturity Date

27.04.2027

Underlying

Holcim Ltd

10.41% (20.61% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1532244303 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532244303

Maturity Date

28.09.2026

Underlying

Heidelberg Materials AG

10.41% p.a. Autocallable Barrier Reverse Convertible on American Express, Crowdstrike Holdings, MasterCard

Title

CH1492033100 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033100

Maturity Date

06.08.2027

Underlying

American Express Company, Crowdstrike Holdings Inc., MasterCard Inc - CH1492033100

10.41% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Siemens Energy

Title

CH1492035089 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035089

Maturity Date

17.02.2027

Underlying

Siemens Energy AG, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1492035089

10.41% p.a. Barrier Reverse Convertible on Richemont, Swatch, UBS Group

Title

CH1532245854 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245854

Maturity Date

06.04.2027

Underlying

UBS Group AG, The Swatch Group AG, Compagnie Financière Richemont SA - CH1532245854

10.41% p.a. Barrier Reverse Convertible on Straumann, Swatch, VAT

Title

CH1548138804 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138804

Maturity Date

21.06.2027

Underlying

VAT Group AG, Straumann Holding AG, The Swatch Group AG - CH1548138804

10.42% p.a. Callable Barrier Reverse Convertible on Enel, ENGIE, Iberdrola, RWE

Title

CH1548130439 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130439

Maturity Date

05.05.2027

Underlying

Iberdrola SA, Enel SpA, ENGIE SA, RWE AG - CH1548130439

10.42% p.a. Callable Barrier Reverse Convertible on Geberit, Nestlé, Novartis, Roche, Sandoz Group, Sika

Title

CH1532237398 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237398

Maturity Date

24.11.2026

Underlying

Roche Holding AG, Novartis AG, Sika AG, Nestlé SA, Geberit AG, Sandoz Group AG - CH1532237398

10.42% p.a. Reverse Convertible on Givaudan, Kuehne + Nagel, SGS

Title

CH1548132427 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132427

Maturity Date

14.05.2027

Underlying

Givaudan SA, Kuehne + Nagel International AG, SGS SA - CH1548132427

10.43% p.a. Autocallable Barrier Reverse Convertible on Logitech, Novartis, Partners Group Holding, Swiss Re

Title

CH1446051497 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446051497

Maturity Date

28.07.2026

Underlying

Partners Group Holding AG, Logitech International SA, Novartis AG, Swiss Re AG - CH1446051497

10.44% (10.44% p.a.) Barrier Reverse Convertible on Logitech International SA

Title

CH1492024380 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492024380

Maturity Date

15.12.2026

Underlying

Logitech International SA

10.44% p.a. Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492026401 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026401

Maturity Date

29.12.2026

Underlying

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1492026401

10.45% (10.39% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Swiss Re

Title

CH1492034728 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034728

Maturity Date

15.02.2027

Underlying

Straumann Holding AG, Swiss Re AG, Lonza Group AG - CH1492034728

10.45% (10.45% p.a.) Barrier Reverse Convertible on Amazon.com, Halliburton, Microsoft

Title

CH1468579912 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579912

Maturity Date

30.07.2026

Underlying

Halliburton Co., Amazon.com Inc., Microsoft Corp. - CH1468579912

10.45% (10.45% p.a.) Barrier Reverse Convertible on Eli Lilly, Microsoft, Pfizer, SLB Ltd

Title

CH1492027953 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027953

Maturity Date

14.01.2027

Underlying

Pfizer Inc., Eli Lilly & Co., SLB Ltd, Microsoft Corp. - CH1492027953

10.45% (10.45% p.a.) Barrier Reverse Convertible on dormakaba, Givaudan, Richemont

Title

CH1532241234 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241234

Maturity Date

11.03.2027

Underlying

dormakaba Holding AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532241234

10.45% (10.45% p.a.) Barrier Reverse Convertible on dormakaba, Givaudan, Richemont

Title

CH1532241259 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241259

Maturity Date

11.03.2027

Underlying

dormakaba Holding AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532241259

10.45% (20.91% p.a.) Barrier Reverse Convertible on Coinbase Global, Palantir, Robinhood Markets (Quanto CHF)

Title

CH1532238578 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238578

Maturity Date

27.08.2026

Underlying

Palantir Technologies Inc., Robinhood Markets Inc., Coinbase Global Inc. - CH1532238578

10.45% p.a. Autocallable Barrier Reverse Convertible on ABB, Galderma Group, Sika, UBS Group

Title

CH1476910257 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910257

Maturity Date

01.10.2026

Underlying

Sika AG, UBS Group AG, ABB Ltd, Galderma Group Ltd - CH1476910257

10.45% p.a. Autocallable Barrier Reverse Convertible on Adecco, Geberit, Kuehne + Nagel

Title

CH1418946377 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418946377

Maturity Date

28.09.2026

Underlying

Adecco Group AG, Geberit AG, Kuehne + Nagel International AG - CH1418946377

10.45% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Intesa Sanpaolo, Société Générale, UBS Group (Quanto CHF)

Title

CH1548128789 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128789

Maturity Date

28.04.2027

Underlying

UBS Group AG, BNP Paribas, Intesa Sanpaolo SpA, Société Générale - CH1548128789

10.45% p.a. Barrier Reverse Convertible on Fresenius, Lonza, Partners Group Holding, Richemont, Siemens Healthineers (Quanto CHF)

Title

CH1532240129 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240129

Maturity Date

02.09.2026

Underlying

Lonza Group AG, Partners Group Holding AG, Compagnie Financière Richemont SA, Siemens Healthineers AG, Fresenius SE & Co. KGa...

10.46% (10.49% p.a.) Barrier Reverse Convertible on Julius Bär, Logitech, Zurich Insurance

Title

CH1548130496 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130496

Maturity Date

05.05.2027

Underlying

Zurich Insurance Group Ltd, Julius Bär Gruppe AG, Logitech International SA - CH1548130496

10.46% p.a. Autocallable Barrier Reverse Convertible on Airbnb, Palo Alto Networks, ServiceNow

Title

CH1446053923 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446053923

Maturity Date

17.06.2027

Underlying

ServiceNow Inc, Palo Alto Networks, Inc., Airbnb Inc. - CH1446053923

10.46% p.a. Barrier Reverse Convertible on BASF, Merck KGaA, SAP

Title

CH1476906651 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906651

Maturity Date

08.09.2026

Underlying

BASF SE, SAP SE, Merck KGaA - CH1476906651

10.47% p.a. Autocallable Barrier Reverse Convertible on DSV Panalpina, LVMH Moët Hennessy Louis Vuitton, Ørsted (Quanto EUR)

Title

CH1492036616 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036616

Maturity Date

23.02.2027

Underlying

Ørsted A/S, LVMH Moët Hennessy Louis Vuitton SE, DSV Panalpina A/S - CH1492036616

10.47% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Sika, Ypsomed

Title

CH1492025064 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025064

Maturity Date

18.12.2026

Underlying

Ypsomed Holding AG, Sika AG, Sandoz Group AG, Partners Group Holding AG - CH1492025064

10.48% (20.63% p.a.) Reverse Convertible on Meta Platforms, Microsoft, Tesla

Title

CH1548132195 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132195

Maturity Date

16.11.2026

Underlying

Microsoft Corp., Meta Platforms Inc., Tesla Inc. - CH1548132195

10.48% p.a. Autocallable Reverse Convertible on Zalando SE

Title

CH1548142707 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142707

Maturity Date

14.07.2027

Underlying

Zalando SE

10.48% p.a. Callable Barrier Reverse Convertible on ABB, Alcon, Novartis, Zurich Insurance

Title

CH1548136006 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136006

Maturity Date

04.06.2027

Underlying

ABB Ltd, Novartis AG, Zurich Insurance Group Ltd, Alcon Inc. - CH1548136006

10.50% (10.50% p.a.) Barrier Reverse Convertible on Alcon Inc.

Title

CH1548141907 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141907

Maturity Date

07.07.2027

Underlying

Alcon Inc.

10.50% (10.53% p.a.) Barrier Reverse Convertible on Landis+Gyr, Mobilezone, Stadler Rail

Title

CH1548132500 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132500

Maturity Date

14.05.2027

Underlying

Landis+Gyr Group AG, Mobilezone Holding AG, Stadler Rail AG - CH1548132500

10.50% p.a. Autocallable Barrier Reverse Convertible on ASML, Banco Santander, BNP Paribas, Siemens (Quanto CHF)

Title

CH1492032342 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032342

Maturity Date

04.08.2026

Underlying

ASML Holding NV, Siemens AG, Banco Santander SA, BNP Paribas - CH1492032342

10.50% p.a. Autocallable Reverse Convertible on Amazon.com, Robinhood Markets, Tesla

Title

CH1492035816 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035816

Maturity Date

19.02.2027

Underlying

Amazon.com Inc., Robinhood Markets Inc., Tesla Inc. - CH1492035816

10.50% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1476908343 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908343

Maturity Date

20.09.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1476908343

10.50% p.a. Barrier Reverse Convertible on Galenica, Mobilezone, Swissquote

Title

CH1492026773 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026773

Maturity Date

30.12.2026

Underlying

Mobilezone Holding AG, Swissquote Group Holding SA, Galenica AG - CH1492026773

10.50% p.a. Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Swiss Life

Title

CH1492034348 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034348

Maturity Date

12.02.2027

Underlying

Swiss Life Holding AG, Partners Group Holding AG, Julius Bär Gruppe AG - CH1492034348

10.50% p.a. Reverse Convertible on Meta Platforms Inc. (Quanto CHF)

Title

CH1532245813 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532245813

Maturity Date

05.03.2027

Underlying

Meta Platforms Inc.

10.51% (10.48% p.a.) Barrier Reverse Convertible on Geberit, Partners Group Holding, Sika, VAT

Title

CH1492031500 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031500

Maturity Date

01.02.2027

Underlying

Sika AG, VAT Group AG, Geberit AG, Partners Group Holding AG - CH1492031500

10.51% (10.51% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, UBS Group

Title

CH1548128466 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128466

Maturity Date

27.04.2027

Underlying

Julius Bär Gruppe AG, Givaudan SA, UBS Group AG - CH1548128466

10.51% p.a. Autocallable Barrier Reverse Convertible on Allianz, Enel, Intesa Sanpaolo (Quanto CHF)

Title

CH1548137921 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137921

Maturity Date

15.06.2027

Underlying

Allianz SE, Intesa Sanpaolo SpA, Enel SpA - CH1548137921

10.51% p.a. Barrier Reverse Convertible on Intel, Johnson & Johnson, Pfizer

Title

CH1476908178 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908178

Maturity Date

17.09.2026

Underlying

Pfizer Inc., Johnson & Johnson, Intel Corp. - CH1476908178

10.51% p.a. Barrier Reverse Convertible on PSP Swiss Property, Swiss Prime Site, VAT

Title

CH1548131239 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131239

Maturity Date

10.05.2027

Underlying

VAT Group AG, Swiss Prime Site AG, PSP Swiss Property AG - CH1548131239

10.51% p.a. Barrier Reverse Convertible on easyJet PLC

Title

CH1492023739 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492023739

Maturity Date

09.12.2026

Underlying

easyJet PLC

10.52% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Straumann

Title

CH1476904284 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904284

Maturity Date

21.08.2026

Underlying

Julius Bär Gruppe AG, Logitech International SA, Straumann Holding AG - CH1476904284

10.52% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont (Quanto EUR)

Title

CH1492017590 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017590

Maturity Date

28.10.2026

Underlying

Compagnie Financière Richemont SA, Logitech International SA, Lonza Group AG - CH1492017590

10.52% p.a. Reverse Convertible on ASML, Evonik Industries, Vonovia

Title

CH1548138184 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138184

Maturity Date

16.06.2027

Underlying

Evonik Industries AG, ASML Holding NV, Vonovia SE - CH1548138184

10.53% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Logitech

Title

CH1532238420 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238420

Maturity Date

26.02.2027

Underlying

Logitech International SA, Kuehne + Nagel International AG - CH1532238420

10.54% (14.06% p.a.) Barrier Reverse Convertible on Booking Holdings, PepsiCo, Visa

Title

CH1548143051 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143051

Maturity Date

15.04.2027

Underlying

PepsiCo Inc., Booking Holdings Inc., Visa Inc. - CH1548143051

10.54% p.a. Autocallable Reverse Convertible on Adobe Systems Inc.

Title

CH1548129019 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129019

Maturity Date

29.04.2027

Underlying

Adobe Systems Inc.

10.54% p.a. Barrier Reverse Convertible on BELIMO Holding, Richemont, VAT

Title

CH1548127484 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127484

Maturity Date

23.04.2029

Underlying

BELIMO Holding AG, Compagnie Financière Richemont SA, VAT Group AG - CH1548127484

10.54% p.a. Barrier Reverse Convertible on Givaudan, Logitech, Swiss Re

Title

CH1548133110 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133110

Maturity Date

19.05.2027

Underlying

Givaudan SA, Logitech International SA, Swiss Re AG - CH1548133110

10.55% (10.55% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Straumann

Title

CH1492033134 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033134

Maturity Date

09.02.2027

Underlying

Alcon Inc., Holcim Ltd, Straumann Holding AG - CH1492033134

10.55% (10.55% p.a.) Barrier Reverse Convertible on Geberit, Nestlé, Partners Group Holding, Roche

Title

CH1492028688 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028688

Maturity Date

19.01.2027

Underlying

Nestlé SA, Roche Holding AG, Partners Group Holding AG, Geberit AG - CH1492028688

10.55% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, ENGIE

Title

CH1492030817 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030817

Maturity Date

28.07.2027

Underlying

Adidas AG, Deutsche Telekom AG, ENGIE SA - CH1492030817

10.56% (10.68% p.a.) Reverse Convertible on Allianz, Generali, Swiss Re (Quanto GBP)

Title

CH1548139216 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139216

Maturity Date

18.06.2027

Underlying

Allianz SE, Swiss Re AG, Assicurazioni Generali SpA - CH1548139216

10.56% (14.19% p.a.) Reverse Convertible on SAP, Siemens Energy, Siemens Healthineers

Title

CH1492026534 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026534

Maturity Date

28.09.2026

Underlying

Siemens Healthineers AG, Siemens Energy AG, SAP SE - CH1492026534

10.56% p.a. Barrier Reverse Convertible on Logitech, Lonza, Richemont

Title

CH1548139885 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139885

Maturity Date

25.06.2027

Underlying

Lonza Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1548139885

10.56% p.a. Barrier Reverse Convertible on Microsoft, Qualcomm, Visa

Title

CH1532238487 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238487

Maturity Date

26.02.2027

Underlying

Microsoft Corp., Qualcomm Inc., Visa Inc. - CH1532238487

10.57% (10.57% p.a.) Barrier Reverse Convertible on Air Liquide, Airbus, Henkel

Title

CH1548132518 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132518

Maturity Date

14.05.2027

Underlying

Airbus SE, Air Liquide SA, Henkel AG & Co. KGaA - CH1548132518

10.57% (10.57% p.a.) Barrier Reverse Convertible on Coca-Cola, NVIDIA, Visa

Title

CH1532242935 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242935

Maturity Date

18.03.2027

Underlying

NVIDIA Corp., Coca-Cola Company, Visa Inc. - CH1532242935

10.57% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1492036277 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036277

Maturity Date

20.11.2026

Underlying

Alibaba Group Holding Limited, JD.com, Inc. - CH1492036277

10.57% p.a. Autocallable Reverse Convertible on Amazon.com, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1532245078 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245078

Maturity Date

02.04.2027

Underlying

Amazon.com Inc., LVMH Moët Hennessy Louis Vuitton SE - CH1532245078

10.57% p.a. Barrier Reverse Convertible on Adidas, Julius Bär, Straumann (Quanto CHF)

Title

CH1548126452 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126452

Maturity Date

19.04.2027

Underlying

Straumann Holding AG, Julius Bär Gruppe AG, Adidas AG - CH1548126452

10.58% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1532241580 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241580

Maturity Date

11.06.2027

Underlying

Amazon.com Inc., Meta Platforms Inc., Microsoft Corp. - CH1532241580

10.58% p.a. Callable Reverse Convertible on NVIDIA, Salesforce, Taiwan Semiconductor Manufacturing

Title

CH1418946526 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418946526

Maturity Date

30.03.2027

Underlying

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Salesforce, Inc. - CH1418946526

10.59% (21.07% p.a.) Barrier Reverse Convertible on BASF, Bayer, ThyssenKrupp (Quanto CHF)

Title

CH1492033191 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033191

Maturity Date

10.08.2026

Underlying

ThyssenKrupp AG, Bayer AG, BASF SE - CH1492033191

10.59% p.a. Autocallable Barrier Reverse Convertible on ASML, Visa, Walmart (Quanto CHF)

Title

CH1492033688 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033688

Maturity Date

10.02.2027

Underlying

Walmart Inc., Visa Inc., ASML Holding NV - CH1492033688

10.59% p.a. Autocallable Reverse Convertible on Adecco, Julius Bär, Richemont

Title

CH1492019315 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019315

Maturity Date

05.08.2026

Underlying

Adecco Group AG, Compagnie Financière Richemont SA, Julius Bär Gruppe AG - CH1492019315

10.59% p.a. Callable Barrier Reverse Convertible on BASF, Orange, Sanofi

Title

CH1532242885 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242885

Maturity Date

18.03.2027

Underlying

Sanofi SA, Orange S.A., BASF SE - CH1532242885

10.59% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Veolia

Title

CH1548138630 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138630

Maturity Date

20.12.2027

Underlying

Adidas AG, Deutsche Telekom AG, Veolia Environnement - CH1548138630

10.60% (10.52% p.a.) Barrier Reverse Convertible on Telefonica, Vestas (Quanto EUR)

Title

CH1492020941 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020941

Maturity Date

20.11.2026

Underlying

Telefonica SA, Vestas Wind Systems A/S - CH1492020941

10.60% (10.63% p.a.) Barrier Reverse Convertible on Deutsche Telekom, SAP, Unilever PLC, Veolia

Title

CH1492020958 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020958

Maturity Date

18.11.2026

Underlying

SAP SE, Deutsche Telekom AG, Veolia Environnement, Unilever PLC - CH1492020958

10.60% (7.03% p.a.) Barrier Reverse Convertible on BASF, Nestlé, Roche (Quanto CHF)

Title

CH1418947250 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418947250

Maturity Date

05.10.2026

Underlying

BASF SE, Roche Holding AG, Nestlé SA - CH1418947250

10.60% p.a. Barrier Reverse Convertible on ABB, Julius Bär, Siemens Energy (Quanto CHF)

Title

CH1492022863 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022863

Maturity Date

02.12.2026

Underlying

ABB Ltd, Siemens Energy AG, Julius Bär Gruppe AG - CH1492022863

10.61% (10.61% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Richemont

Title

CH1532243735 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243735

Maturity Date

23.03.2027

Underlying

Logitech International SA, Compagnie Financière Richemont SA, Alcon Inc. - CH1532243735

10.62% (10.56% p.a.) Barrier Reverse Convertible on EssilorLuxottica, ING, TotalEnergies

Title

CH1548136089 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136089

Maturity Date

07.06.2027

Underlying

EssilorLuxottica SA, TotalEnergies SE, ING Groep N.V. - CH1548136089

10.62% (10.62% p.a.) Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1492036582 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036582

Maturity Date

23.02.2027

Underlying

Alcon Inc., Sonova Holding AG, Straumann Holding AG - CH1492036582

10.62% p.a. Autocallable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Ferrari, Mercedes-Benz Group (Quanto USD)

Title

CH1492026120 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026120

Maturity Date

28.12.2026

Underlying

Mercedes-Benz Group AG, Ferrari N.V., Dr. Ing. H.c. F. Porsche AG - CH1492026120

10.62% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Netflix (Quanto GBP)

Title

CH1492034751 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034751

Maturity Date

14.02.2028

Underlying

Microsoft Corp., Netflix Inc. - CH1492034751

10.62% p.a. Barrier Reverse Convertible on Amazon.com, Meta Platforms, Netflix (Quanto CHF)

Title

CH1532245797 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245797

Maturity Date

03.04.2028

Underlying

Meta Platforms Inc., Netflix Inc., Amazon.com Inc. - CH1532245797

10.62% p.a. Reverse Convertible on Sunrise Communications AG, Swisscom

Title

CH1548127278 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127278

Maturity Date

21.10.2026

Underlying

Swisscom AG, Sunrise Communications AG - CH1548127278

10.63% p.a. Callable Barrier Reverse Convertible on ASML, Deutsche Telekom, SAP

Title

CH1548132807 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132807

Maturity Date

17.05.2027

Underlying

ASML Holding NV, Deutsche Telekom AG, SAP SE - CH1548132807

10.63% p.a. Callable Reverse Convertible on Adidas, Deutsche Telekom, Veolia

Title

CH1548135586 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135586

Maturity Date

06.12.2027

Underlying

Adidas AG, Deutsche Telekom AG, Veolia Environnement - CH1548135586

10.64% (10.64% p.a.) Barrier Reverse Convertible on Lonza, Partners Group Holding, Straumann

Title

CH1492033613 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033613

Maturity Date

10.02.2027

Underlying

Partners Group Holding AG, Straumann Holding AG, Lonza Group AG - CH1492033613

10.64% (14.19% p.a.) Reverse Convertible on Siemens Energy, Siemens Healthineers

Title

CH1492034132 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034132

Maturity Date

12.11.2026

Underlying

Siemens Energy AG, Siemens Healthineers AG - CH1492034132

10.64% p.a. Autocallable Barrier Reverse Convertible on Adyen , Prysmian, Symrise (Quanto CHF)

Title

CH1492027862 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027862

Maturity Date

15.02.2027

Underlying

Symrise AG, Prysmian SpA, Adyen N.V. - CH1492027862

10.64% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, NVIDIA (Quanto CHF)

Title

CH1492028159 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028159

Maturity Date

15.01.2027

Underlying

NVIDIA Corp., Amazon.com Inc., Alibaba Group Holding Limited - CH1492028159

10.64% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Galderma Group, Intesa Sanpaolo, UBS Group (Quanto CHF)

Title

CH1548135099 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135099

Maturity Date

31.05.2027

Underlying

BNP Paribas, UBS Group AG, Intesa Sanpaolo SpA, Galderma Group Ltd - CH1548135099

10.64% p.a. Autocallable Reverse Convertible on Salesforce, Inc.

Title

CH1548133466 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133466

Maturity Date

19.05.2027

Underlying

Salesforce, Inc.

10.65% (10.65% p.a.) Barrier Reverse Convertible on Ferrari, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1492032458 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032458

Maturity Date

04.02.2027

Underlying

Ferrari N.V., LVMH Moët Hennessy Louis Vuitton SE, L´Oréal International - CH1492032458

10.65% (42.60% p.a.) Reverse Convertible on Broadcom, NVIDIA, ServiceNow

Title

CH1548133748 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133748

Maturity Date

21.08.2026

Underlying

NVIDIA Corp., Broadcom Inc., ServiceNow Inc - CH1548133748

10.65% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Microsoft, NVIDIA (Quanto CHF)

Title

CH1548131403 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131403

Maturity Date

11.05.2027

Underlying

NVIDIA Corp., Microsoft Corp., Apple Inc., Amazon.com Inc. - CH1548131403

10.65% p.a. Autocallable Barrier Reverse Convertible on Barry Callebaut, Comet

Title

CH1548143234 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143234

Maturity Date

18.01.2027

Underlying

Barry Callebaut AG, Comet Holding AG - CH1548143234

10.65% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Shell, STMicroelectronics (Quanto USD)

Title

CH1532237513 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237513

Maturity Date

25.08.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Shell PLC, STMicroelectronics NV - CH1532237513

10.66% p.a. Autocallable Barrier Reverse Convertible on Citigroup, Coca-Cola, Microsoft

Title

CH1476904839 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904839

Maturity Date

27.08.2026

Underlying

Microsoft Corp., Citigroup Inc., Coca-Cola Company - CH1476904839

10.66% p.a. Callable Barrier Reverse Convertible on Alcon, Geberit, Straumann

Title

CH1476912808 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912808

Maturity Date

20.01.2027

Underlying

Alcon Inc., Geberit AG, Straumann Holding AG - CH1476912808

10.66% p.a. Callable Barrier Reverse Convertible on Allianz, AXA, Partners Group Holding, UBS Group (Quanto CHF)

Title

CH1492030494 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030494

Maturity Date

27.10.2026

Underlying

UBS Group AG, AXA SA, Partners Group Holding AG, Allianz SE - CH1492030494

10.66% p.a. Callable Reverse Convertible on ASML, Infineon (Quanto USD)

Title

CH1548129399 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129399

Maturity Date

02.05.2028

Underlying

Infineon Technologies AG, ASML Holding NV - CH1548129399

10.67% p.a. Callable Reverse Convertible on Alcon, Galderma Group, Sandoz Group

Title

CH1532243099 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243099

Maturity Date

19.03.2027

Underlying

Sandoz Group AG, Galderma Group Ltd, Alcon Inc. - CH1532243099

10.67% p.a. Reverse Convertible on Galderma Group, Sandoz Group, Straumann

Title

CH1492035279 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035279

Maturity Date

17.02.2027

Underlying

Straumann Holding AG, Sandoz Group AG, Galderma Group Ltd - CH1492035279

10.68% (10.62% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1548138705 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138705

Maturity Date

21.06.2027

Underlying

Straumann Holding AG, Lonza Group AG, Alcon Inc. - CH1548138705

10.68% (10.68% p.a.) Barrier Reverse Convertible on Chevron, Exxon Mobil, SLB Ltd

Title

CH1492028894 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028894

Maturity Date

20.01.2027

Underlying

SLB Ltd, Chevron Corp., Exxon Mobil Corp. - CH1492028894

10.68% (21.13% p.a.) Barrier Reverse Convertible on Dow Inc, Johnson & Johnson

Title

CH1548126668 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126668

Maturity Date

19.10.2026

Underlying

Johnson & Johnson, Dow Inc - CH1548126668

10.68% p.a. Barrier Reverse Convertible on Partners Group Holding, Richemont, Straumann (Quanto EUR)

Title

CH1548133904 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133904

Maturity Date

22.05.2028

Underlying

Compagnie Financière Richemont SA, Partners Group Holding AG, Straumann Holding AG - CH1548133904

10.69% (10.63% p.a.) Barrier Reverse Convertible on Barry Callebaut, Galderma Group, Nestlé, Zurich Insurance

Title

CH1548131247 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131247

Maturity Date

10.05.2027

Underlying

Barry Callebaut AG, Galderma Group Ltd, Nestlé SA, Zurich Insurance Group Ltd - CH1548131247

10.69% p.a. Autocallable Barrier Reverse Convertible on AMD, Broadcom

Title

CH1548131627 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131627

Maturity Date

12.11.2027

Underlying

Broadcom Inc., Advanced Micro Devices Inc. - CH1548131627

10.69% p.a. Autocallable Reverse Convertible on Alphabet, Meta Platforms (Quanto GBP)

Title

CH1476912824 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912824

Maturity Date

20.10.2026

Underlying

Alphabet, Inc., Meta Platforms Inc. - CH1476912824

10.70% (10.53% p.a.) Reverse Convertible on Cameco, Constellation Energy, Vistra Energy

Title

CH1492029231 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029231

Maturity Date

27.01.2027

Underlying

Cameco Corp., Constellation Energy Corp., Vistra Energy Corp. - CH1492029231

10.70% (10.64% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, Apple, NVIDIA

Title

CH1476909549 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909549

Maturity Date

25.09.2026

Underlying

Alphabet, Inc., NVIDIA Corp., Apple Inc., Amazon.com Inc. - CH1476909549

10.70% (10.70% p.a.) Reverse Convertible on EssilorLuxottica, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492022707 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022707

Maturity Date

01.12.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, EssilorLuxottica SA, L´Oréal International - CH1492022707

10.71% (10.71% p.a.) Barrier Reverse Convertible on Bayer AG (Quanto CHF)

Title

CH1476912709 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476912709

Maturity Date

20.10.2026

Underlying

Bayer AG

10.72% (10.66% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, Straumann

Title

CH1492021691 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021691

Maturity Date

23.11.2026

Underlying

Julius Bär Gruppe AG, Straumann Holding AG, Partners Group Holding AG - CH1492021691

10.72% p.a. Barrier Reverse Convertible on Georg Fischer, Microsoft, Nestlé, Novartis, NVIDIA (Quanto CHF)

Title

CH1492027359 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027359

Maturity Date

07.01.2027

Underlying

Georg Fischer AG, Novartis AG, Nestlé SA, Microsoft Corp., NVIDIA Corp. - CH1492027359

10.73% (10.73% p.a.) Barrier Reverse Convertible on Huber + Suhner, Kuehne + Nagel, Partners Group Holding, VAT

Title

CH1492035204 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035204

Maturity Date

17.02.2027

Underlying

Huber + Suhner AG, Kuehne + Nagel International AG, Partners Group Holding AG, VAT Group AG - CH1492035204

10.73% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., Newmont (Quanto CHF)

Title

CH1548143135 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143135

Maturity Date

16.08.2027

Underlying

Eli Lilly & Co., Freeport-McMoRan Inc., Newmont Corp. - CH1548143135

10.73% p.a. Autocallable Reverse Convertible on Microsoft, Oracle, Palantir

Title

CH1476910778 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910778

Maturity Date

05.04.2027

Underlying

Palantir Technologies Inc., Oracle Corp., Microsoft Corp. - CH1476910778

10.73% p.a. Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1548128342 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128342

Maturity Date

27.04.2027

Underlying

Comet Holding AG, VAT Group AG, Inficon Holding AG - CH1548128342

10.74% (10.74% p.a.) Barrier Reverse Convertible on ASML, Schneider Electric, Siemens Healthineers

Title

CH1476907089 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907089

Maturity Date

10.09.2026

Underlying

Schneider Electric SE, ASML Holding NV, Siemens Healthineers AG - CH1476907089

10.74% p.a. Callable Barrier Reverse Convertible on Bachem, Inficon, Sulzer

Title

CH1548139463 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139463

Maturity Date

23.06.2027

Underlying

Bachem Holding AG, Inficon Holding AG, Sulzer AG - CH1548139463

10.75% (10.69% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding

Title

CH1492036368 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036368

Maturity Date

22.02.2027

Underlying

Kuehne + Nagel International AG, Partners Group Holding AG - CH1492036368

10.75% p.a. Autocallable Barrier Reverse Convertible on Byd Co, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1548135636 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135636

Maturity Date

04.06.2027

Underlying

Ferrari N.V., Mercedes-Benz Group AG, BYD Company Limited - CH1548135636

10.75% p.a. Autocallable Reverse Convertible on Danaher, NXP Semiconductors

Title

CH1492032862 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032862

Maturity Date

08.02.2027

Underlying

NXP Semiconductors NV, Danaher Corporation - CH1492032862

10.76% p.a. Autocallable Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1532240483 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240483

Maturity Date

08.03.2027

Underlying

Norwegian Cruise Line Holdings Ltd.

10.76% p.a. Reverse Convertible on ASML, Hermes, Leonardo

Title

CH1418944505 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418944505

Maturity Date

14.09.2026

Underlying

ASML Holding NV, Hermes International, Leonardo S.p.a. - CH1418944505

10.77% p.a. Barrier Reverse Convertible on Delivery Hero SE (Quanto CHF)

Title

CH1492021113 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492021113

Maturity Date

18.11.2026

Underlying

Delivery Hero SE

10.78% (10.69% p.a.) Reverse Convertible on RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1532244436 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244436

Maturity Date

31.03.2027

Underlying

Rheinmetall AG, RENK Group AG - CH1532244436

10.78% p.a. Autocallable Barrier Reverse Convertible on Bouygues, Eiffage, Taylor Wimpey, Vinci (Quanto USD)

Title

CH1532246456 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246456

Maturity Date

08.10.2026

Underlying

Bouygues SA, Eiffage SA, Vinci SA, Taylor Wimpey PLC - CH1532246456

10.78% p.a. Barrier Reverse Convertible on Givaudan, Partners Group Holding, PSP Swiss Property

Title

CH1548134464 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134464

Maturity Date

27.05.2027

Underlying

Partners Group Holding AG, Givaudan SA, PSP Swiss Property AG - CH1548134464

10.79% (10.79% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA (Quanto EUR)

Title

CH1532237422 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237422

Maturity Date

24.02.2027

Underlying

NVIDIA Corp., Microsoft Corp., Apple Inc. - CH1532237422

10.79% p.a. Autocallable Barrier Reverse Convertible on Infineon, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492028399 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028399

Maturity Date

18.01.2027

Underlying

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, Infineon Technologies AG - CH1492028399

10.80% (10.80% p.a.) Barrier Reverse Convertible on Energy Select Sector SPDR Fund, iShares Hang Seng TECH ETF (Quanto USD)

Title

CH1492021147 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021147

Maturity Date

18.11.2026

Underlying

iShares Hang Seng TECH ETF, Energy Select Sector SPDR Fund - CH1492021147

10.80% (11.05% p.a.) Barrier Reverse Convertible on Microsoft, Qualcomm, Visa

Title

CH1492034355 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034355

Maturity Date

12.02.2027

Underlying

Microsoft Corp., Qualcomm Inc., Visa Inc. - CH1492034355

10.80% p.a. Autocallable Barrier Reverse Convertible on Bachem, Lonza, Novartis, Sandoz Group

Title

CH1548130702 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130702

Maturity Date

07.05.2027

Underlying

Novartis AG, Sandoz Group AG, Lonza Group AG, Bachem Holding AG - CH1548130702

10.80% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Schneider Electric

Title

CH1548129605 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129605

Maturity Date

30.04.2027

Underlying

EssilorLuxottica SA, Schneider Electric SE - CH1548129605

10.80% p.a. Barrier Reverse Convertible on Adobe, Coca-Cola, Palo Alto Networks (Quanto CHF)

Title

CH1418948225 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418948225

Maturity Date

12.04.2027

Underlying

Palo Alto Networks, Inc., Adobe Systems Inc., Coca-Cola Company - CH1418948225

10.81% (10.75% p.a.) Barrier Reverse Convertible on Alcon, Holcim, Richemont

Title

CH1492034421 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034421

Maturity Date

15.02.2027

Underlying

Holcim Ltd, Compagnie Financière Richemont SA, Alcon Inc. - CH1492034421

10.81% (10.81% p.a.) Barrier Reverse Convertible on Julius Bär, Partners Group Holding, UBS Group

Title

CH1548127435 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127435

Maturity Date

22.04.2027

Underlying

Julius Bär Gruppe AG, Partners Group Holding AG, UBS Group AG - CH1548127435

10.81% p.a. Autocallable Barrier Reverse Convertible on Adyen , LVMH Moët Hennessy Louis Vuitton, Schneider Electric

Title

CH1532242851 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242851

Maturity Date

18.03.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Schneider Electric SE, Adyen N.V. - CH1532242851

10.81% p.a. Barrier Reverse Convertible on Logitech, Richemont, Sika

Title

CH1548131148 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131148

Maturity Date

10.05.2027

Underlying

Logitech International SA, Compagnie Financière Richemont SA, Sika AG - CH1548131148

10.82% p.a. Autocallable Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1476903732 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903732

Maturity Date

19.02.2027

Underlying

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1476903732

10.83% p.a. Autocallable Barrier Reverse Convertible on AT&T, Exxon Mobil, Pfizer

Title

CH1468580191 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580191

Maturity Date

03.08.2026

Underlying

AT&T Inc., Pfizer Inc., Exxon Mobil Corp. - CH1468580191

10.83% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Deutsche Bank

Title

CH1548140156 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140156

Maturity Date

25.06.2027

Underlying

ABN AMRO Bank N.V, Banco Santander SA, Deutsche Bank AG - CH1548140156

10.84% p.a. Autocallable Reverse Convertible on Freeport-McMoRan Inc.

Title

CH1548134399 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548134399

Maturity Date

27.05.2027

Underlying

Freeport-McMoRan Inc.

10.84% p.a. Barrier Reverse Convertible on Microsoft, Palo Alto Networks, Salesforce

Title

CH1476906859 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906859

Maturity Date

10.09.2026

Underlying

Microsoft Corp., Palo Alto Networks, Inc., Salesforce, Inc. - CH1476906859

10.85% (10.79% p.a.) Barrier Reverse Convertible on Givaudan, Julius Bär, Sika

Title

CH1548126825 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126825

Maturity Date

19.04.2027

Underlying

Julius Bär Gruppe AG, Givaudan SA, Sika AG - CH1548126825

10.85% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Ferrari, LVMH Moët Hennessy Louis Vuitton, Société Générale (Quanto CHF)

Title

CH1476912840 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912840

Maturity Date

20.10.2026

Underlying

BNP Paribas, LVMH Moët Hennessy Louis Vuitton SE, Ferrari N.V., Société Générale - CH1476912840

10.86% (10.86% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Sika (Quanto USD)

Title

CH1492036640 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036640

Maturity Date

23.02.2027

Underlying

Logitech International SA, Partners Group Holding AG, Sika AG - CH1492036640

10.87% (10.87% p.a.) Barrier Reverse Convertible on AXA, SAP, Siemens

Title

CH1532241861 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241861

Maturity Date

12.03.2027

Underlying

AXA SA, Siemens AG, SAP SE - CH1532241861

10.87% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1548128193 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128193

Maturity Date

26.04.2027

Underlying

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1548128193

10.88% (10.88% p.a.) Barrier Reverse Convertible on Clariant, Huber + Suhner, Logitech, Sika

Title

CH1492034942 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034942

Maturity Date

16.02.2027

Underlying

Clariant AG, Sika AG, Huber + Suhner AG, Logitech International SA - CH1492034942

10.88% (10.88% p.a.) Barrier Reverse Convertible on Netflix Inc.

Title

CH1548131551 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131551

Maturity Date

11.05.2027

Underlying

Netflix Inc.

10.88% (10.91% p.a.) Barrier Reverse Convertible on Avolta, Julius Bär, Straumann (Quanto USD)

Title

CH1476906172 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906172

Maturity Date

04.09.2026

Underlying

Straumann Holding AG, Julius Bär Gruppe AG, Avolta AG - CH1476906172

10.88% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Helvetia, Partners Group Holding, UBS Group

Title

CH1468579037 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579037

Maturity Date

23.09.2026

Underlying

Partners Group Holding AG, Galderma Group Ltd, Helvetia Holding AG, UBS Group AG - CH1468579037

10.89% p.a. Barrier Reverse Convertible on Alibaba Group, Amgen, Copart (Quanto CHF)

Title

CH1548133896 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133896

Maturity Date

24.05.2027

Underlying

Copart Inc., Alibaba Group Holding Limited, Amgen Inc. - CH1548133896

10.89% p.a. Callable Barrier Reverse Convertible on Sandoz Group, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548128961 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128961

Maturity Date

29.01.2027

Underlying

Sandoz Group AG, Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1548128961

10.91% (10.85% p.a.) Reverse Convertible on Alphabet, IBM

Title

CH1492035857 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035857

Maturity Date

22.02.2027

Underlying

Alphabet, Inc., International Business Machines Corp. - CH1492035857

10.92% (10.92% p.a.) Barrier Reverse Convertible on Julius Bär, Logitech, UBS Group

Title

CH1532244220 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244220

Maturity Date

25.03.2027

Underlying

UBS Group AG, Julius Bär Gruppe AG, Logitech International SA - CH1532244220

10.92% (10.92% p.a.) Barrier Reverse Convertible on Microsoft, Newmont, Palo Alto Networks

Title

CH1548130835 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130835

Maturity Date

06.05.2027

Underlying

Microsoft Corp., Palo Alto Networks, Inc., Newmont Corp. - CH1548130835

10.94% p.a. Callable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Richemont, Swatch (Quanto GBP)

Title

CH1492021469 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021469

Maturity Date

20.11.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, The Swatch Group AG, Compagnie Financière Richemont SA - CH1492021469

10.95% (10.95% p.a.) Barrier Reverse Convertible on Alcon, Lonza, Straumann

Title

CH1548138333 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138333

Maturity Date

17.06.2027

Underlying

Alcon Inc., Lonza Group AG, Straumann Holding AG - CH1548138333

10.95% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Broadcom, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492030668 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030668

Maturity Date

27.01.2027

Underlying

NVIDIA Corp., Microsoft Corp., Broadcom Inc., Alphabet, Inc. - CH1492030668

10.95% p.a. Autocallable Barrier Reverse Convertible on Bayer, Daimler Truck, Rheinmetall (Quanto CHF)

Title

CH1548136469 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136469

Maturity Date

09.06.2028

Underlying

Bayer AG, Rheinmetall AG, Daimler Truck Holding AG - CH1548136469

10.95% p.a. Autocallable Barrier Reverse Convertible on Crédit Agricole, Generali, TotalEnergies

Title

CH1492027292 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027292

Maturity Date

07.01.2027

Underlying

Crédit Agricole SA, Assicurazioni Generali SpA, TotalEnergies SE - CH1492027292

10.95% p.a. Autocallable Reverse Convertible on Electronic Arts, Marvell Technology , Walt Disney

Title

CH1476903435 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903435

Maturity Date

16.02.2027

Underlying

The Walt Disney Company, Electronic Arts Inc., Marvell Technology Group Ltd. - CH1476903435

10.95% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, Partners Group Holding

Title

CH1548141840 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141840

Maturity Date

07.07.2027

Underlying

Alcon Inc., Partners Group Holding AG, Kuehne + Nagel International AG - CH1548141840

10.96% (21.92% p.a.) Barrier Reverse Convertible on Infineon Technologies AG

Title

CH1548126338 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548126338

Maturity Date

16.10.2026

Underlying

Infineon Technologies AG

10.96% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1476906669 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906669

Maturity Date

08.09.2026

Underlying

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476906669

10.96% p.a. Reverse Convertible on Alphabet, Microsoft

Title

CH1532237471 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237471

Maturity Date

24.02.2027

Underlying

Microsoft Corp., Alphabet, Inc. - CH1532237471

10.97% (10.97% p.a.) Barrier Reverse Convertible on Alcon, Sonova, Straumann

Title

CH1548127708 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127708

Maturity Date

23.04.2027

Underlying

Sonova Holding AG, Straumann Holding AG, Alcon Inc. - CH1548127708

10.97% p.a. Autocallable Reverse Convertible on Netflix, Uber Technologies (Quanto EUR)

Title

CH1548139455 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139455

Maturity Date

24.06.2027

Underlying

Netflix Inc., Uber Technologies Inc. - CH1548139455

10.97% p.a. Reverse Convertible on Medacta Group Ltd

Title

CH1548145080 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145080

Maturity Date

27.10.2026

Underlying

Medacta Group Ltd

10.98% p.a. Autocallable Barrier Reverse Convertible on Dätwyler, Huber + Suhner, Komax

Title

CH1532244592 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244592

Maturity Date

31.03.2027

Underlying

Huber + Suhner AG, Komax Holding AG, Dätwyler Holding AG - CH1532244592

10.98% p.a. Barrier Reverse Convertible on Carl Zeiss Meditec AG

Title

CH1532237778 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532237778

Maturity Date

25.02.2027

Underlying

Carl Zeiss Meditec AG

10.99% (10.93% p.a.) Reverse Convertible on Delta Air Lines Inc.

Title

CH1532240558 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240558

Maturity Date

08.03.2027

Underlying

Delta Air Lines Inc.

10.99% p.a. Autocallable Barrier Reverse Convertible on Byd Co, Ferrari, Mercedes-Benz Group (Quanto CHF)

Title

CH1548135495 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135495

Maturity Date

03.06.2027

Underlying

Ferrari N.V., Mercedes-Benz Group AG, BYD Company Limited - CH1548135495

10.99% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Novo Nordisk (Quanto CHF)

Title

CH1476910760 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910760

Maturity Date

06.04.2027

Underlying

Novo Nordisk A/S, Eli Lilly & Co. - CH1476910760

10.99% p.a. Autocallable Barrier Reverse Convertible on Kuehne + Nagel, Lonza, VAT

Title

CH1532243438 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243438

Maturity Date

19.03.2027

Underlying

Lonza Group AG, VAT Group AG, Kuehne + Nagel International AG - CH1532243438

10.99% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto EUR)

Title

CH1548131908 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131908

Maturity Date

12.05.2027

Underlying

NVIDIA Corp.

10.99% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1476905257 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476905257

Maturity Date

01.03.2027

Underlying

Palantir Technologies Inc.

10.99% p.a. Barrier Reverse Convertible on BAE Systems, Lockheed Martin, MTU Aero Engines, Rheinmetall, Rolls-Royce (Quanto CHF)

Title

CH1492020305 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020305

Maturity Date

12.11.2026

Underlying

MTU Aero Engines Holdings AG, BAE Systems PLC, Rolls-Royce Holdings PLC, Lockheed Martin Corp, Rheinmetall AG - CH1492020305

10.99% p.a. Barrier Reverse Convertible on Logitech, Sika, Stellantis (Quanto CHF)

Title

CH1532240301 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240301

Maturity Date

08.03.2027

Underlying

Stellantis N.V., Sika AG, Logitech International SA - CH1532240301

108 Asymmetry Alpha Index Tracker

Title

CHA0DG - Compartment 1037

Category

Instifolio - Liquid

ISIN

DE000CHA0DG8

Underlying

108 Asymmetry Alpha Index

11.00% (11.00% p.a.) Barrier Reverse Convertible on Delivery Hero SE (Quanto CHF)

Title

CH1492022590 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492022590

Maturity Date

26.11.2026

Underlying

Delivery Hero SE

11.00% (11.03% p.a.) Barrier Reverse Convertible on Adidas, Richemont, Swiss Re (Quanto CHF)

Title

CH1548130488 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130488

Maturity Date

05.05.2027

Underlying

Swiss Re AG, Compagnie Financière Richemont SA, Adidas AG - CH1548130488

11.00% p.a. Autocallable Barrier Reverse Convertible on Alcon, Straumann, VAT

Title

CH1492029918 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029918

Maturity Date

25.01.2027

Underlying

VAT Group AG, Straumann Holding AG, Alcon Inc. - CH1492029918

11.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1476906610 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476906610

Maturity Date

08.09.2026

Underlying

Novo Nordisk A/S

11.00% p.a. Autocallable Reverse Convertible on Bayer AG

Title

CH1532242505 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532242505

Maturity Date

17.03.2027

Underlying

Bayer AG

11.00% p.a. Autocallable Reverse Convertible on Boston Scientific, Thermo Fisher Scientific

Title

CH1548126163 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126163

Maturity Date

16.04.2027

Underlying

Thermo Fisher Scientific Inc., Boston Scientific Corporation - CH1548126163

11.00% p.a. Autocallable Reverse Convertible on Intel Corp. (Quanto CHF)

Title

CH1548145155 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145155

Maturity Date

27.07.2027

Underlying

Intel Corp.

11.00% p.a. Autocallable Reverse Convertible on JPMorgan Chase, Microsoft, Uber Technologies

Title

CH1492024083 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024083

Maturity Date

11.03.2027

Underlying

Microsoft Corp., Uber Technologies Inc., JPMorgan Chase & Co. - CH1492024083

11.00% p.a. Autocallable Reverse Convertible on Sea, Taiwan Semiconductor Manufacturing, Walmart

Title

CH1548134928 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134928

Maturity Date

30.08.2027

Underlying

Walmart Inc., Taiwan Semiconductor Manufacturing Co. Ltd, Sea Ltd - CH1548134928

11.00% p.a. Barrier Reverse Convertible on Barry Callebaut, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492032524 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032524

Maturity Date

04.02.2027

Underlying

L´Oréal International, LVMH Moët Hennessy Louis Vuitton SE, Barry Callebaut AG - CH1492032524

11.00% p.a. Barrier Reverse Convertible on Meta Platforms, Micron Technology, Palantir (Quanto CHF)

Title

CH1492021055 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021055

Maturity Date

18.11.2026

Underlying

Meta Platforms Inc., Palantir Technologies Inc., Micron Technology Inc. - CH1492021055

11.00% p.a. Reverse Convertible on Bâloise, Sonova, Straumann

Title

CH1492022616 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022616

Maturity Date

30.11.2026

Underlying

Bâloise Holding AG, Sonova Holding AG, Straumann Holding AG - CH1492022616

11.01% (11.01% p.a.) Barrier Reverse Convertible on ABB, Galenica, Sandoz Group, Sunrise Communications AG

Title

CH1548141972 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141972

Maturity Date

07.07.2027

Underlying

Sunrise Communications AG, Galenica AG, Sandoz Group AG, ABB Ltd - CH1548141972

11.01% (11.01% p.a.) Barrier Reverse Convertible on Huber + Suhner, Lonza, Swiss Re, VAT

Title

CH1532239196 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239196

Maturity Date

03.03.2027

Underlying

Lonza Group AG, Swiss Re AG, VAT Group AG, Huber + Suhner AG - CH1532239196

11.01% p.a. Barrier Reverse Convertible on Adecco, Geberit, Swiss Re

Title

CH1492021659 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021659

Maturity Date

23.11.2026

Underlying

Geberit AG, Swiss Re AG, Adecco Group AG - CH1492021659

11.01% p.a. Barrier Reverse Convertible on Alcon, Logitech, Swisscom

Title

CH1548132799 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132799

Maturity Date

14.05.2027

Underlying

Alcon Inc., Logitech International SA, Swisscom AG - CH1548132799

11.02% p.a. Autocallable Barrier Reverse Convertible on Adidas, LVMH Moët Hennessy Louis Vuitton, Valeo

Title

CH1418942079 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418942079

Maturity Date

24.02.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Valeo SE, Adidas AG - CH1418942079

11.02% p.a. Callable Reverse Convertible on Lockheed Martin, Palantir, Palo Alto Networks

Title

CH1446053279 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446053279

Maturity Date

11.06.2027

Underlying

Palo Alto Networks, Inc., Lockheed Martin Corp, Palantir Technologies Inc. - CH1446053279

11.03% p.a. Autocallable Barrier Reverse Convertible on Julius Bär, Kardex, Partners Group Holding, Sandoz Group

Title

CH1532237943 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237943

Maturity Date

25.02.2027

Underlying

Partners Group Holding AG, Sandoz Group AG, Julius Bär Gruppe AG, Kardex AG - CH1532237943

11.03% p.a. Barrier Reverse Convertible on Deutsche Lufthansa AG

Title

CH1476911651 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476911651

Maturity Date

12.10.2026

Underlying

Deutsche Lufthansa AG

11.04% (11.07% p.a.) Reverse Convertible on Infineon, Micron Technology, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548129753 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129753

Maturity Date

03.05.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, Micron Technology Inc., Infineon Technologies AG - CH1548129753

11.04% p.a. Autocallable Barrier Reverse Convertible on Adidas, Continental, Valeo

Title

CH1548134555 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134555

Maturity Date

29.05.2028

Underlying

Valeo SE, Adidas AG, Continental AG - CH1548134555

11.04% p.a. Autocallable Reverse Convertible on AMD, Micron Technology

Title

CH1468579615 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579615

Maturity Date

28.01.2027

Underlying

Micron Technology Inc., Advanced Micro Devices Inc. - CH1468579615

11.04% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548140644 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140644

Maturity Date

31.12.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE

11.04% p.a. Barrier Reverse Convertible on Amazon.com, Berkshire Hathaway, Microsoft (Quanto EUR)

Title

CH1532239766 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239766

Maturity Date

04.03.2027

Underlying

Microsoft Corp., Amazon.com Inc., Berkshire Hathaway Inc. - CH1532239766

11.04% p.a. Barrier Reverse Convertible on Partners Group Holding, UBS Group, Zurich Insurance

Title

CH1532245128 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245128

Maturity Date

05.04.2027

Underlying

Zurich Insurance Group Ltd, UBS Group AG, Partners Group Holding AG - CH1532245128

11.05% (21.86% p.a.) Barrier Reverse Convertible on IBM, Oracle (Quanto CHF)

Title

CH1548141345 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141345

Maturity Date

05.01.2027

Underlying

International Business Machines Corp., Oracle Corp. - CH1548141345

11.05% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft

Title

CH1548142582 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142582

Maturity Date

13.07.2027

Underlying

Alphabet, Inc., Amazon.com Inc., Microsoft Corp. - CH1548142582

11.05% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548128235 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128235

Maturity Date

26.04.2027

Underlying

Logitech International SA, UBS Group AG, Compagnie Financière Richemont SA - CH1548128235

11.05% p.a. Barrier Reverse Convertible on Oracle Corp. (Quanto EUR)

Title

CH1548129712 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129712

Maturity Date

03.05.2027

Underlying

Oracle Corp.

11.07% (11.08% p.a.) Barrier Reverse Convertible on ABB, Accelleron Industries, Huber + Suhner, Lonza

Title

CH1548130843 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130843

Maturity Date

07.05.2027

Underlying

ABB Ltd, Accelleron Industries AG, Huber + Suhner AG, Lonza Group AG - CH1548130843

11.07% p.a. Autocallable Barrier Reverse Convertible on BMW, Mercedes-Benz Group, Volkswagen

Title

CH1492027219 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027219

Maturity Date

06.01.2027

Underlying

Bayerische Motoren Werke AG, Mercedes-Benz Group AG, Volkswagen AG - CH1492027219

11.07% p.a. Barrier Reverse Convertible on Sandoz Group, Sika, VAT

Title

CH1548136220 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136220

Maturity Date

05.06.2029

Underlying

Sandoz Group AG, Sika AG, VAT Group AG - CH1548136220

11.08% (11.08% p.a.) Barrier Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1492023010 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492023010

Maturity Date

03.12.2026

Underlying

Compagnie Financière Richemont SA

11.08% p.a. Barrier Reverse Convertible on Procter & Gamble, Waste Management, Zoetis

Title

CH1548130140 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130140

Maturity Date

01.11.2027

Underlying

Waste Management, Inc., The Procter & Gamble Company, Zoetis Inc - CH1548130140

11.09% p.a. Autocallable Reverse Convertible on Leonardo, Rheinmetall, Thales (Quanto USD)

Title

CH1548143093 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143093

Maturity Date

18.01.2028

Underlying

Rheinmetall AG, Leonardo S.p.a., Thales SA - CH1548143093

11.09% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1548136626 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136626

Maturity Date

08.06.2027

Underlying

NVIDIA Corp.

11.09% p.a. Barrier Reverse Convertible on ABB, Partners Group Holding, Sika

Title

CH1548127187 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127187

Maturity Date

21.04.2027

Underlying

ABB Ltd, Sika AG, Partners Group Holding AG - CH1548127187

11.09% p.a. Barrier Reverse Convertible on Alcon, Logitech, Straumann

Title

CH1548139125 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139125

Maturity Date

22.06.2027

Underlying

Logitech International SA, Straumann Holding AG, Alcon Inc. - CH1548139125

11.09% p.a. Reverse Convertible on Banco Santander, BNP Paribas, Deutsche Bank

Title

CH1532243123 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243123

Maturity Date

19.03.2027

Underlying

BNP Paribas, Deutsche Bank AG, Banco Santander SA - CH1532243123

11.10% (11.01% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1532244485 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532244485

Maturity Date

31.03.2027

Underlying

ASML Holding NV

11.10% p.a. Autocallable Barrier Reverse Convertible on Adidas, DSM-Firmenich, SAP (Quanto CHF)

Title

CH1492030569 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030569

Maturity Date

01.03.2027

Underlying

SAP SE, DSM-Firmenich AG, Adidas AG - CH1492030569

11.10% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton SE

Title

CH1548130389 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130389

Maturity Date

03.11.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE

11.10% p.a. Callable Barrier Reverse Convertible on Amrize Ltd, Holcim, Richemont, Straumann

Title

CH1532240079 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240079

Maturity Date

02.06.2027

Underlying

Amrize Ltd, Holcim Ltd, Straumann Holding AG, Compagnie Financière Richemont SA - CH1532240079

11.11% p.a. Autocallable Barrier Reverse Convertible on Adecco, Lonza, VAT

Title

CH1476903690 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903690

Maturity Date

18.08.2026

Underlying

VAT Group AG, Lonza Group AG, Adecco Group AG - CH1476903690

11.11% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1492030825 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030825

Maturity Date

28.07.2027

Underlying

Logitech International SA, Comet Holding AG - CH1492030825

11.11% p.a. Reverse Convertible on Coca-Cola, Johnson & Johnson, Oracle

Title

CH1476910406 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910406

Maturity Date

02.10.2026

Underlying

Coca-Cola Company, Johnson & Johnson, Oracle Corp. - CH1476910406

11.12% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492022723 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022723

Maturity Date

02.12.2026

Underlying

Microsoft Corp., Alphabet, Inc., NVIDIA Corp. - CH1492022723

11.12% p.a. Reverse Convertible on VAT Group AG

Title

CH1476905067 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476905067

Maturity Date

28.08.2026

Underlying

VAT Group AG

11.13% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, NVIDIA, Tesla

Title

CH1492027508 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027508

Maturity Date

13.07.2027

Underlying

Amazon.com Inc., NVIDIA Corp., Tesla Inc. - CH1492027508

11.13% p.a. Barrier Reverse Convertible on Galderma Group, Georg Fischer, Givaudan, Richemont, Sika

Title

CH1532238354 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238354

Maturity Date

26.02.2027

Underlying

Sika AG, Givaudan SA, Georg Fischer AG, Galderma Group Ltd, Compagnie Financière Richemont SA - CH1532238354

11.14% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, SAP (Quanto EUR)

Title

CH1492034397 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034397

Maturity Date

13.08.2027

Underlying

Partners Group Holding AG, SAP SE - CH1492034397

11.14% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, UBS Group

Title

CH1532241598 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241598

Maturity Date

11.03.2027

Underlying

Logitech International SA, Partners Group Holding AG, UBS Group AG - CH1532241598

11.15% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Intesa Sanpaolo, Morgan Stanley, UBS Group (Quanto CHF)

Title

CH1548131197 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131197

Maturity Date

10.05.2027

Underlying

Morgan Stanley, BNP Paribas, UBS Group AG, Intesa Sanpaolo SpA - CH1548131197

11.16% (11.16% p.a.) Barrier Reverse Convertible on Amrize Ltd, Richemont, Sandoz Group

Title

CH1492030932 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030932

Maturity Date

29.01.2027

Underlying

Amrize Ltd, Compagnie Financière Richemont SA, Sandoz Group AG - CH1492030932

11.16% (22.58% p.a.) Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548130298 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130298

Maturity Date

03.11.2026

Underlying

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548130298

11.16% p.a. Autocallable Barrier Reverse Convertible on Burckhardt Compression, Logitech, Partners Group Holding

Title

CH1548137939 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137939

Maturity Date

15.06.2027

Underlying

Partners Group Holding AG, Logitech International SA, Burckhardt Compression Holding Ltd. - CH1548137939

11.17% (11.11% p.a.) Barrier Reverse Convertible on E.ON, ENGIE, RWE

Title

CH1476907584 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907584

Maturity Date

14.09.2026

Underlying

RWE AG, ENGIE SA, E.ON SE - CH1476907584

11.17% (11.24% p.a.) Barrier Reverse Convertible on Alcon, Richemont, Swiss Re

Title

CH1532246118 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246118

Maturity Date

06.04.2027

Underlying

Compagnie Financière Richemont SA, Alcon Inc., Swiss Re AG - CH1532246118

11.17% p.a. Autocallable Barrier Reverse Convertible on Adobe, Alphabet, Apple

Title

CH1476908681 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908681

Maturity Date

21.09.2026

Underlying

Apple Inc., Alphabet, Inc., Adobe Systems Inc. - CH1476908681

11.17% p.a. Autocallable Barrier Reverse Convertible on Galenica, Kardex, Richemont, VAT

Title

CH1532239634 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239634

Maturity Date

04.03.2027

Underlying

Galenica AG, Kardex AG, Compagnie Financière Richemont SA, VAT Group AG - CH1532239634

11.17% p.a. Autocallable Reverse Convertible on Apple, Eli Lilly, NVIDIA

Title

CH1548136725 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136725

Maturity Date

09.06.2027

Underlying

Eli Lilly & Co., NVIDIA Corp., Apple Inc. - CH1548136725

11.17% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1476909390 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476909390

Maturity Date

24.03.2027

Underlying

Robinhood Markets Inc.

11.18% (11.18% p.a.) Barrier Reverse Convertible on Allianz, Heidelberg Materials, Munich Re, Unilever PLC

Title

CH1532239808 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239808

Maturity Date

04.03.2027

Underlying

Münchener Rückversicherungs AG, Unilever PLC, Heidelberg Materials AG, Allianz SE - CH1532239808

11.18% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft

Title

CH1532243008 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243008

Maturity Date

18.03.2027

Underlying

Microsoft Corp., Amazon.com Inc. - CH1532243008

11.18% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com, NVIDIA

Title

CH1492021832 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021832

Maturity Date

24.11.2026

Underlying

Amazon.com Inc., NVIDIA Corp., Alphabet, Inc. - CH1492021832

11.19% p.a. Autocallable Barrier Reverse Convertible on Microsoft Corp.

Title

CH1548137483 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137483

Maturity Date

14.12.2026

Underlying

Microsoft Corp.

11.19% p.a. Barrier Reverse Convertible on ABB, Siemens Energy (Quanto EUR)

Title

CH1548139208 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139208

Maturity Date

22.06.2028

Underlying

Siemens Energy AG, ABB Ltd - CH1548139208

11.19% p.a. Barrier Reverse Convertible on ASML, AXA, Infineon

Title

CH1314936977 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1314936977

Maturity Date

06.08.2026

Underlying

Infineon Technologies AG, ASML Holding NV, AXA SA - CH1314936977

11.19% p.a. Barrier Reverse Convertible on Logitech, Sika, Straumann

Title

CH1532239691 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239691

Maturity Date

03.03.2028

Underlying

Logitech International SA, Straumann Holding AG, Sika AG - CH1532239691

11.19% p.a. Callable Barrier Reverse Convertible on Nike, Walmart

Title

CH1548142830 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142830

Maturity Date

14.07.2027

Underlying

Nike Inc., Walmart Inc. - CH1548142830

11.20% (11.14% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1548126478 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126478

Maturity Date

19.04.2027

Underlying

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1548126478

11.20% p.a. Autocallable Barrier Reverse Convertible on ABN AMRO Bank, Fresenius (Quanto USD)

Title

CH1548136956 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136956

Maturity Date

10.06.2027

Underlying

Fresenius SE & Co. KGaA, ABN AMRO Bank N.V - CH1548136956

11.20% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Nextera Energy, NVIDIA (Quanto CHF)

Title

CH1532245433 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245433

Maturity Date

05.04.2027

Underlying

NVIDIA Corp., Alphabet, Inc., Nextera Energy Inc. - CH1532245433

11.20% p.a. Callable Barrier Reverse Convertible on Banco Santander, Deutsche Bank, UBS Group (Quanto CHF)

Title

CH1532237380 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237380

Maturity Date

24.02.2027

Underlying

Banco Santander SA, UBS Group AG, Deutsche Bank AG - CH1532237380

11.20% p.a. Callable Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Sika (Quanto EUR)

Title

CH1532246241 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246241

Maturity Date

07.10.2027

Underlying

Holcim Ltd, Sika AG, Kuehne + Nagel International AG - CH1532246241

11.21% (11.18% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT

Title

CH1492031518 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031518

Maturity Date

01.02.2027

Underlying

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492031518

11.21% p.a. Barrier Reverse Convertible on ENGIE, Helvetia Baloise, Infineon, Roche, Sika (Quanto CHF)

Title

CH1532240145 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240145

Maturity Date

02.09.2026

Underlying

Helvetia Baloise Holding AG, Roche Holding AG, ENGIE SA, Infineon Technologies AG, Sika AG - CH1532240145

11.22% (11.23% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1548126387 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126387

Maturity Date

16.04.2027

Underlying

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1548126387

11.22% (14.80% p.a.) Barrier Reverse Convertible on Air Liquide, Heidelberg Materials, Stora Enso

Title

CH1548134795 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134795

Maturity Date

01.03.2027

Underlying

Heidelberg Materials AG, Air Liquide SA, Stora Enso OYJ - CH1548134795

11.22% p.a. Autocallable Barrier Reverse Convertible on Allianz, Munich Re, Novo Nordisk (Quanto EUR)

Title

CH1548143770 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143770

Maturity Date

20.07.2028

Underlying

Allianz SE, Novo Nordisk A/S, Münchener Rückversicherungs AG - CH1548143770

11.23% (14.98% p.a.) Reverse Convertible on Schneider Electric, Siemens Energy, Siemens Healthineers

Title

CH1492022541 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022541

Maturity Date

28.08.2026

Underlying

Siemens Energy AG, Siemens Healthineers AG, Schneider Electric SE - CH1492022541

11.23% p.a. Autocallable Barrier Reverse Convertible on Ferrari N.V. (Quanto EUR)

Title

CH1548145049 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145049

Maturity Date

27.01.2027

Underlying

Ferrari N.V.

11.23% p.a. Autocallable Barrier Reverse Convertible on First Solar, Oracle, Uber Technologies (Quanto CHF)

Title

CH1476903757 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903757

Maturity Date

18.08.2027

Underlying

First Solar Inc., Oracle Corp., Uber Technologies Inc. - CH1476903757

11.23% p.a. Autocallable Reverse Convertible on Alphabet, Netflix

Title

CH1492035774 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035774

Maturity Date

19.02.2027

Underlying

Netflix Inc., Alphabet, Inc. - CH1492035774

11.23% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492017079 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017079

Maturity Date

23.10.2026

Underlying

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, Kering SA - CH1492017079

11.23% p.a. Barrier Reverse Convertible on Lonza, Roche, SGS

Title

CH1548138382 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138382

Maturity Date

17.06.2027

Underlying

Lonza Group AG, Roche Holding AG, SGS SA - CH1548138382

11.24% p.a. Autocallable Barrier Reverse Convertible on Leonardo, RENK Group AG, Rheinmetall

Title

CH1492034835 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034835

Maturity Date

16.02.2027

Underlying

Leonardo S.p.a., Rheinmetall AG, RENK Group AG - CH1492034835

11.24% p.a. Autocallable Reverse Convertible on AstraZeneca, Moderna (Quanto EUR)

Title

CH1548145031 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145031

Maturity Date

27.07.2027

Underlying

Moderna Inc., AstraZeneca Group PLC - CH1548145031

11.24% p.a. Barrier Reverse Convertible on Hewlett-Packard Enterprise, LVMH Moët Hennessy Louis Vuitton, Microsoft (Quanto CHF)

Title

CH1532240327 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240327

Maturity Date

08.03.2027

Underlying

Microsoft Corp., Hewlett-Packard Enterprise Company, LVMH Moët Hennessy Louis Vuitton SE - CH1532240327

11.25% (11.25% p.a.) Reverse Convertible on Amazon.com, NVIDIA (Quanto EUR)

Title

CH1548129431 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129431

Maturity Date

30.04.2027

Underlying

NVIDIA Corp., Amazon.com Inc. - CH1548129431

11.25% (5.60% p.a.) Reverse Convertible on EURO STOXX 50®️ Index, Nikkei 225 Index, S&P 500®️ Index (Quanto EUR)

Title

CH1548139638 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139638

Maturity Date

27.06.2028

Underlying

EURO STOXX 50®️ Index, S&P 500®️ Index, Nikkei 225 Index - CH1548139638

11.25% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1548144117 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144117

Maturity Date

20.07.2027

Underlying

Alibaba Group Holding Limited, JD.com, Inc. - CH1548144117

11.25% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548128201 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128201

Maturity Date

26.04.2027

Underlying

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1548128201

11.26% p.a. Autocallable Reverse Convertible on Berkshire Hathaway, NVIDIA

Title

CH1532242984 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242984

Maturity Date

18.03.2027

Underlying

NVIDIA Corp., Berkshire Hathaway Inc. - CH1532242984

11.26% p.a. Barrier Reverse Convertible on AMD, Microsoft, Netflix

Title

CH1476910786 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910786

Maturity Date

06.10.2027

Underlying

Microsoft Corp., Netflix Inc., Advanced Micro Devices Inc. - CH1476910786

11.26% p.a. Barrier Reverse Convertible on Petroleo Brasileiro SA (Quanto CHF)

Title

CH1548135362 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135362

Maturity Date

30.11.2026

Underlying

Petroleo Brasileiro SA

11.26% p.a. Callable Barrier Reverse Convertible on Givaudan, SGS, VAT

Title

CH1548141253 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141253

Maturity Date

06.04.2027

Underlying

Givaudan SA, VAT Group AG, SGS SA - CH1548141253

11.27% p.a. Callable Reverse Convertible on Givaudan, Nestlé, Partners Group Holding, Sonova, Swiss Re

Title

CH1492030676 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030676

Maturity Date

28.01.2027

Underlying

Partners Group Holding AG, Swiss Re AG, Givaudan SA, Sonova Holding AG, Nestlé SA - CH1492030676

11.28% (11.31% p.a.) Barrier Reverse Convertible on Accor, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton

Title

CH1548129878 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129878

Maturity Date

03.05.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, EssilorLuxottica SA, Accor SA - CH1548129878

11.28% p.a. Autocallable Barrier Reverse Convertible on Adyen , Prosus, Sartorius (Quanto CHF)

Title

CH1548131569 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131569

Maturity Date

12.05.2027

Underlying

Adyen N.V., Sartorius AG, Prosus NV - CH1548131569

11.28% p.a. Autocallable Barrier Reverse Convertible on Halliburton, Netflix, Uber Technologies

Title

CH1492026252 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026252

Maturity Date

28.12.2027

Underlying

Halliburton Co., Netflix Inc., Uber Technologies Inc. - CH1492026252

11.28% p.a. Autocallable Reverse Convertible on Merck KGaA, Novartis, Pfizer, Sanofi (Quanto EUR)

Title

CH1548141477 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141477

Maturity Date

06.07.2027

Underlying

Pfizer Inc., Merck KGaA, Novartis AG, Sanofi SA - CH1548141477

11.29% (15.52% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy (Quanto CHF)

Title

CH1532245102 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245102

Maturity Date

29.12.2026

Underlying

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245102

11.29% p.a. Autocallable Barrier Reverse Convertible on Allianz, Commerzbank, Deutsche Telekom

Title

CH1492034009 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034009

Maturity Date

11.02.2027

Underlying

Allianz SE, Deutsche Telekom AG, Commerzbank AG - CH1492034009

11.29% p.a. Callable Barrier Reverse Convertible on Givaudan, Partners Group Holding, Richemont

Title

CH1548134761 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134761

Maturity Date

01.03.2027

Underlying

Compagnie Financière Richemont SA, Partners Group Holding AG, Givaudan SA - CH1548134761

11.29% p.a. Callable Reverse Convertible on Chevron, ConocoPhillips, Exxon Mobil, Shell (Quanto USD)

Title

CH1548131775 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131775

Maturity Date

12.05.2027

Underlying

Exxon Mobil Corp., Chevron Corp., Shell PLC, ConocoPhillips - CH1548131775

11.30% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, Swatch

Title

CH1492035626 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035626

Maturity Date

18.02.2027

Underlying

Logitech International SA, Compagnie Financière Richemont SA, The Swatch Group AG - CH1492035626

11.30% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, Swatch

Title

CH1492035634 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035634

Maturity Date

18.02.2027

Underlying

Logitech International SA, Compagnie Financière Richemont SA, The Swatch Group AG - CH1492035634

11.30% p.a. Barrier Reverse Convertible on Anglo American, Antofagasta

Title

CH1548127807 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127807

Maturity Date

30.11.2026

Underlying

Antofagasta PLC, Anglo American PLC - CH1548127807

11.30% p.a. Barrier Reverse Convertible on Holcim, Richemont, VAT

Title

CH1548137467 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137467

Maturity Date

24.09.2027

Underlying

Holcim Ltd, Compagnie Financière Richemont SA, VAT Group AG - CH1548137467

11.30% p.a. Reverse Convertible on Alphabet, Amazon.com, Tesla (Quanto CHF)

Title

CH1418950403 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418950403

Maturity Date

03.05.2027

Underlying

Amazon.com Inc., Tesla Inc., Alphabet, Inc. - CH1418950403

11.31% (11.31% p.a.) Reverse Convertible on Chipotle, Coca-Cola, McDonalds, PepsiCo

Title

CH1548139349 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139349

Maturity Date

24.06.2027

Underlying

McDonalds Corp., Coca-Cola Company, PepsiCo Inc., Chipotle Mexican Grill Inc. - CH1548139349

11.31% p.a. Reverse Convertible on Heidelberg Materials, Holcim, Newmont (Quanto CHF)

Title

CH1532245938 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245938

Maturity Date

05.10.2026

Underlying

Heidelberg Materials AG, Holcim Ltd, Newmont Corp. - CH1532245938

11.32% (11.29% p.a.) Barrier Reverse Convertible on Logitech, Novartis

Title

CH1548131510 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131510

Maturity Date

12.05.2027

Underlying

Logitech International SA, Novartis AG - CH1548131510

11.32% p.a. Autocallable Barrier Reverse Convertible on Citigroup, JPMorgan Chase, Wells Fargo

Title

CH1314928057 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1314928057

Maturity Date

03.09.2025

Underlying

Citigroup Inc., JPMorgan Chase & Co., Wells Fargo & Company - CH1314928057

11.32% p.a. Autocallable Barrier Reverse Convertible on Merck, Meta Platforms, Visa

Title

CH1548142574 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142574

Maturity Date

13.07.2027

Underlying

Visa Inc., Meta Platforms Inc., Merck & Co. Inc. - CH1548142574

11.32% p.a. Barrier Reverse Convertible on Straumann, Sunrise Communications AG, VAT

Title

CH1548135446 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135446

Maturity Date

02.06.2027

Underlying

Sunrise Communications AG, VAT Group AG, Straumann Holding AG - CH1548135446

11.32% p.a. Callable Barrier Reverse Convertible on Heidelberg Materials, Holcim, Sika, Wienerberger (Quanto CHF)

Title

CH1492027763 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027763

Maturity Date

13.01.2027

Underlying

Sika AG, Heidelberg Materials AG, Holcim Ltd, Wienerberger AG - CH1492027763

11.33% (11.21% p.a.) Barrier Reverse Convertible on Galderma Group, Lonza, Partners Group Holding, Swiss Re

Title

CH1532238511 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238511

Maturity Date

01.03.2027

Underlying

Galderma Group Ltd, Partners Group Holding AG, Swiss Re AG, Lonza Group AG - CH1532238511

11.33% (11.21% p.a.) Reverse Convertible on Partners Group Holding, Sika

Title

CH1532245599 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245599

Maturity Date

06.04.2027

Underlying

Sika AG, Partners Group Holding AG - CH1532245599

11.33% (15.17% p.a.) Barrier Reverse Convertible on Cheniere Energy, Diamondback Energy, Valero Energy

Title

CH1492020487 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020487

Maturity Date

13.08.2026

Underlying

Valero Energy Corp., Diamondback Energy Inc., Cheniere Energy Inc. - CH1492020487

11.33% (22.80% p.a.) Barrier Reverse Convertible on Eli Lilly, Pfizer

Title

CH1492035824 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035824

Maturity Date

18.08.2026

Underlying

Eli Lilly & Co., Pfizer Inc. - CH1492035824

11.33% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1476909119 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476909119

Maturity Date

23.09.2026

Underlying

Robinhood Markets Inc.

11.34% (11.28% p.a.) Barrier Reverse Convertible on Holcim, Julius Bär, Swiss Re

Title

CH1532244923 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244923

Maturity Date

02.04.2027

Underlying

Julius Bär Gruppe AG, Swiss Re AG, Holcim Ltd - CH1532244923

11.34% p.a. Barrier Reverse Convertible on Charles Schwab, Cognizant Technology, On Holding (Quanto CHF)

Title

CH1548133912 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133912

Maturity Date

24.05.2027

Underlying

Charles Schwab Corp., On Holding Ltd, Cognizant Technology Solutions Corp. - CH1548133912

11.34% p.a. Callable Barrier Reverse Convertible on BASF, Dassault, Rheinmetall (Quanto USD)

Title

CH1476904755 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904755

Maturity Date

26.08.2026

Underlying

Rheinmetall AG, Dassault Systèmes S.A., BASF SE - CH1476904755

11.35% (11.29% p.a.) Barrier Reverse Convertible on ENGIE, TotalEnergies, Vinci

Title

CH1548140123 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140123

Maturity Date

28.06.2027

Underlying

ENGIE SA, TotalEnergies SE, Vinci SA - CH1548140123

11.35% p.a. Autocallable Reverse Convertible on Anglo American, BHP Group

Title

CH1548128946 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128946

Maturity Date

29.01.2027

Underlying

Anglo American PLC, BHP Group Limited - CH1548128946

11.36% (11.42% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA

Title

CH1548134100 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134100

Maturity Date

25.05.2027

Underlying

Amazon.com Inc., Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1548134100

11.36% p.a. Autocallable Barrier Reverse Convertible on Galderma Group, Sonova, UBS Group

Title

CH1548143473 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143473

Maturity Date

19.07.2027

Underlying

Sonova Holding AG, UBS Group AG, Galderma Group Ltd - CH1548143473

11.37% (15.17% p.a.) Barrier Reverse Convertible on Alcon, Kardex, Partners Group Holding

Title

CH1492033373 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033373

Maturity Date

09.11.2026

Underlying

Partners Group Holding AG, Kardex AG, Alcon Inc. - CH1492033373

11.37% p.a. Callable Barrier Reverse Convertible on Adidas, Hugo Boss, Nike (Quanto CHF)

Title

CH1532239345 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239345

Maturity Date

03.03.2027

Underlying

Adidas AG, Hugo Boss AG, Nike Inc. - CH1532239345

11.38% (11.38% p.a.) Barrier Reverse Convertible on Home Depot Inc.

Title

CH1548137301 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137301

Maturity Date

11.06.2027

Underlying

Home Depot Inc.

11.38% (11.45% p.a.) Barrier Reverse Convertible on Adecco, Adidas, Visa (Quanto CHF)

Title

CH1532246308 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246308

Maturity Date

07.04.2027

Underlying

Adidas AG, Adecco Group AG, Visa Inc. - CH1532246308

11.38% p.a. Autocallable Reverse Convertible on Constellation Energy, ENGIE, Nextera Energy (Quanto USD)

Title

CH1548143747 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143747

Maturity Date

18.01.2028

Underlying

Constellation Energy Corp., ENGIE SA, Nextera Energy Inc. - CH1548143747

11.38% p.a. Barrier Reverse Convertible on Alcon, Julius Bär, UBS Group

Title

CH1548142517 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142517

Maturity Date

12.07.2027

Underlying

UBS Group AG, Julius Bär Gruppe AG, Alcon Inc. - CH1548142517

11.38% p.a. Callable Barrier Reverse Convertible on State Street Financial Select Sector SPDR ETF, State Street Industrial Select Sector SPDR ETF, State Street Technology Select Sector SPDR ETF

Title

CH1548139067 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139067

Maturity Date

20.01.2027

Underlying

State Street Industrial Select Sector SPDR ETF, State Street Financial Select Sector SPDR ETF, State Street Technology Select...

11.39% (11.39% p.a.) Barrier Reverse Convertible on UBS Group AG

Title

CH1548141899 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141899

Maturity Date

07.07.2027

Underlying

UBS Group AG

11.39% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, BNP Paribas, ING, UBS Group (Quanto CHF)

Title

CH1532241382 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241382

Maturity Date

11.03.2027

Underlying

BNP Paribas, Banco Santander SA, UBS Group AG, ING Groep N.V. - CH1532241382

11.39% p.a. Autocallable Barrier Reverse Convertible on FedEx, Home Depot, On Holding (Quanto CHF)

Title

CH1468579292 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579292

Maturity Date

27.07.2026

Underlying

FedEx Corp., Home Depot Inc., On Holding Ltd - CH1468579292

11.39% p.a. Barrier Reverse Convertible on Accor, Danone, Schneider Electric

Title

CH1532246688 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246688

Maturity Date

08.04.2027

Underlying

Accor SA, Schneider Electric SE, Danone SA - CH1532246688

11.39% p.a. Barrier Reverse Convertible on Alphabet, Tesla (Quanto CHF)

Title

CH1492032789 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032789

Maturity Date

05.02.2029

Underlying

Tesla Inc., Alphabet, Inc. - CH1492032789

11.40% (11.40% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1532247009 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247009

Maturity Date

14.04.2027

Underlying

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1532247009

11.40% (11.40% p.a.) Reverse Convertible on Alphabet, Microsoft, NVIDIA

Title

CH1532243040 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243040

Maturity Date

19.03.2027

Underlying

Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1532243040

11.41% (11.41% p.a.) Barrier Reverse Convertible on Givaudan, Richemont, Sika

Title

CH1532247124 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247124

Maturity Date

15.04.2027

Underlying

Givaudan SA, Compagnie Financière Richemont SA, Sika AG - CH1532247124

11.41% p.a. Autocallable Barrier Reverse Convertible on BlackRock, Meta Platforms, Robinhood Markets

Title

CH1492029249 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029249

Maturity Date

20.07.2027

Underlying

BlackRock, Inc., Meta Platforms Inc., Robinhood Markets Inc. - CH1492029249

11.41% p.a. Barrier Reverse Convertible on BMW, Mercedes-Benz Group

Title

CH1492021550 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021550

Maturity Date

23.11.2026

Underlying

Bayerische Motoren Werke AG, Mercedes-Benz Group AG - CH1492021550

11.42% (11.42% p.a.) Barrier Reverse Convertible on BNP Paribas, Commerzbank, UniCredit

Title

CH1492036566 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036566

Maturity Date

23.02.2027

Underlying

UniCredit SpA, BNP Paribas, Commerzbank AG - CH1492036566

11.42% (22.48% p.a.) Barrier Reverse Convertible on K+S, Lufthansa

Title

CH1532245805 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245805

Maturity Date

05.10.2026

Underlying

K+S AG, Deutsche Lufthansa AG - CH1532245805

11.42% p.a. Reverse Convertible on L´Oréal, SAP, Sea (Quanto USD)

Title

CH1548134233 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134233

Maturity Date

26.08.2027

Underlying

L´Oréal International, SAP SE, Sea Ltd - CH1548134233

11.43% (22.86% p.a.) Barrier Reverse Convertible on Humana Inc

Title

CH1548134209 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548134209

Maturity Date

27.11.2026

Underlying

Humana Inc

11.43% (22.86% p.a.) Reverse Convertible on SoftBank Group Corp. (Quanto USD)

Title

CH1548126957 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548126957

Maturity Date

20.10.2026

Underlying

SoftBank Group Corp.

11.44% p.a. Autocallable Barrier Reverse Convertible on Daimler Truck, Hapag-Lloyd AG , Rheinmetall (Quanto USD)

Title

CH1476907436 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907436

Maturity Date

14.09.2026

Underlying

Hapag-Lloyd AG , Daimler Truck Holding AG, Rheinmetall AG - CH1476907436

11.44% p.a. Autocallable Barrier Reverse Convertible on EMS-Chemie, Geberit, UBS Group

Title

CH1492035162 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035162

Maturity Date

17.02.2027

Underlying

UBS Group AG, EMS-Chemie Holding AG, Geberit AG - CH1492035162

11.44% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re

Title

CH1548137632 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137632

Maturity Date

14.06.2027

Underlying

Swiss Re AG, Novartis AG, Nestlé SA - CH1548137632

11.44% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548141667 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141667

Maturity Date

06.07.2027

Underlying

Sonova Holding AG, Partners Group Holding AG, Kuehne + Nagel International AG - CH1548141667

11.45% p.a. Barrier Reverse Convertible on ASML, Sanofi, Volkswagen

Title

CH1476906792 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906792

Maturity Date

09.12.2026

Underlying

ASML Holding NV, Sanofi SA, Volkswagen AG - CH1476906792

11.46% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft, Oracle

Title

CH1548137319 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137319

Maturity Date

13.12.2027

Underlying

Amazon.com Inc., Microsoft Corp., Oracle Corp. - CH1548137319

11.47% (22.94% p.a.) Barrier Reverse Convertible on Lufthansa, Volkswagen

Title

CH1548127005 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127005

Maturity Date

20.10.2026

Underlying

Deutsche Lufthansa AG, Volkswagen AG - CH1548127005

11.47% p.a. Autocallable Barrier Reverse Convertible on Infineon, SAP, St-Gobain

Title

CH1492026807 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026807

Maturity Date

30.12.2026

Underlying

Infineon Technologies AG, Compagnie de St-Gobain, SAP SE - CH1492026807

11.48% p.a. Autocallable Reverse Convertible on Holcim, Sika, UBS Group

Title

CH1548143911 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143911

Maturity Date

20.01.2027

Underlying

Holcim Ltd, Sika AG, UBS Group AG - CH1548143911

11.48% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Straumann

Title

CH1532238545 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238545

Maturity Date

01.03.2027

Underlying

Partners Group Holding AG, Straumann Holding AG, Kuehne + Nagel International AG - CH1532238545

11.49% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Alphabet, SLB Ltd

Title

CH1492026153 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026153

Maturity Date

28.12.2026

Underlying

SLB Ltd, Alphabet, Inc., Alibaba Group Holding Limited - CH1492026153

11.50% (11.50% p.a.) Barrier Reverse Convertible on Alstom, Geberit, Richemont (Quanto CHF)

Title

CH1548144307 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144307

Maturity Date

21.07.2027

Underlying

Compagnie Financière Richemont SA, Geberit AG, Alstom SA - CH1548144307

11.50% (11.50% p.a.) Reverse Convertible on Amazon.com, Microsoft, Palo Alto Networks

Title

CH1532246662 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246662

Maturity Date

08.04.2027

Underlying

Microsoft Corp., Amazon.com Inc., Palo Alto Networks, Inc. - CH1532246662

11.50% p.a. Barrier Reverse Convertible on Geberit, Holcim, Lonza

Title

CH1532242315 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242315

Maturity Date

16.03.2027

Underlying

Holcim Ltd, Lonza Group AG, Geberit AG - CH1532242315

11.50% p.a. Barrier Reverse Convertible on Givaudan, Swisscom, UBS Group

Title

CH1492029520 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029520

Maturity Date

22.01.2027

Underlying

UBS Group AG, Givaudan SA, Swisscom AG - CH1492029520

11.51% (11.45% p.a.) Barrier Reverse Convertible on Coca-Cola, General Mills, Kraft Heinz

Title

CH1548132922 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132922

Maturity Date

17.05.2027

Underlying

Coca-Cola Company, The Kraft Heinz Company, General Mills Inc. - CH1548132922

11.51% (11.54% p.a.) Barrier Reverse Convertible on Holcim Ltd

Title

CH1548133987 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133987

Maturity Date

25.05.2027

Underlying

Holcim Ltd

11.51% (23.28% p.a.) Barrier Reverse Convertible on Nutanix Inc. (Quanto CHF)

Title

CH1548130041 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130041

Maturity Date

02.11.2026

Underlying

Nutanix Inc.

11.51% p.a. Autocallable Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1532239063 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532239063

Maturity Date

30.07.2026

Underlying

Heidelberg Materials AG

11.52% p.a. Barrier Reverse Convertible on Julius Bär, Logitech, Richemont

Title

CH1532243719 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243719

Maturity Date

23.03.2027

Underlying

Julius Bär Gruppe AG, Logitech International SA, Compagnie Financière Richemont SA - CH1532243719

11.52% p.a. Reverse Convertible on Allianz, AXA, Generali

Title

CH1548129969 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129969

Maturity Date

03.05.2027

Underlying

Assicurazioni Generali SpA, Allianz SE, AXA SA - CH1548129969

11.53% p.a. Autocallable Reverse Convertible on Adobe, Amazon.com

Title

CH1492031252 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031252

Maturity Date

29.01.2027

Underlying

Amazon.com Inc., Adobe Systems Inc. - CH1492031252

11.53% p.a. Callable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP, Veolia

Title

CH1548133375 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133375

Maturity Date

19.11.2027

Underlying

Veolia Environnement, SAP SE, LVMH Moët Hennessy Louis Vuitton SE - CH1548133375

11.54% (11.54% p.a.) Barrier Reverse Convertible on Comet, Kuehne + Nagel, Sika, VAT

Title

CH1532244063 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244063

Maturity Date

24.03.2027

Underlying

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Comet Holding AG - CH1532244063

11.54% p.a. Autocallable Reverse Convertible on Apple, Microsoft, Taiwan Semiconductor Manufacturing

Title

CH1476912295 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912295

Maturity Date

16.10.2026

Underlying

Microsoft Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Apple Inc. - CH1476912295

11.54% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1532241416 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241416

Maturity Date

13.03.2028

Underlying

NVIDIA Corp., Advanced Micro Devices Inc., Qualcomm Inc. - CH1532241416

11.55% p.a. Barrier Reverse Convertible on Givaudan, Logitech, Lonza

Title

CH1548130447 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130447

Maturity Date

05.05.2027

Underlying

Logitech International SA, Lonza Group AG, Givaudan SA - CH1548130447

11.56% p.a. Autocallable Barrier Reverse Convertible on Adidas, Deutsche Bank, SAP

Title

CH1492025429 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025429

Maturity Date

21.12.2026

Underlying

Adidas AG, SAP SE, Deutsche Bank AG - CH1492025429

11.57% p.a. Autocallable Barrier Reverse Convertible on Alcon, Givaudan, Huber + Suhner, Straumann

Title

CH1532246969 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246969

Maturity Date

14.04.2027

Underlying

Alcon Inc., Huber + Suhner AG, Straumann Holding AG, Givaudan SA - CH1532246969

11.57% p.a. Autocallable Barrier Reverse Convertible on Nestlé, Novartis, Swiss Re

Title

CH1532244188 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244188

Maturity Date

25.03.2027

Underlying

Nestlé SA, Novartis AG, Swiss Re AG - CH1532244188

11.58% (23.43% p.a.) Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548130926 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130926

Maturity Date

05.11.2026

Underlying

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548130926

11.58% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1548131296 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131296

Maturity Date

07.05.2027

Underlying

Alphabet, Inc., Amazon.com Inc., Apple Inc. - CH1548131296

11.58% p.a. Autocallable Barrier Reverse Convertible on Nike, Salesforce, Snap (Quanto CHF)

Title

CH1476907923 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907923

Maturity Date

16.09.2027

Underlying

Nike Inc., Snap Inc., Salesforce, Inc. - CH1476907923

11.58% p.a. Autocallable Reverse Convertible on Corning, Costco, Walmart

Title

CH1548144778 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144778

Maturity Date

23.07.2027

Underlying

Corning Inc., Walmart Inc., Costco Wholesale Corp. - CH1548144778

11.59% p.a. Autocallable Reverse Convertible on Airbnb, Costco, Roku

Title

CH1492029462 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029462

Maturity Date

21.07.2027

Underlying

Airbnb Inc., Costco Wholesale Corp., Roku Inc. - CH1492029462

11.59% p.a. Autocallable Reverse Convertible on MercadoLibre Inc.

Title

CH1548143515 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143515

Maturity Date

19.07.2027

Underlying

MercadoLibre Inc.

11.59% p.a. Autocallable Reverse Convertible on SAP SE (Quanto USD)

Title

CH1548133458 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133458

Maturity Date

19.05.2027

Underlying

SAP SE

11.59% p.a. Autocallable Reverse Convertible on UBS Group AG

Title

CH1492033944 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492033944

Maturity Date

11.08.2026

Underlying

UBS Group AG

11.59% p.a. Barrier Reverse Convertible on Amazon.com, Deutsche Telekom, Georg Fischer, Givaudan, Lonza, Schneider Electric (Quanto CHF)

Title

CH1548138341 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138341

Maturity Date

17.06.2027

Underlying

Georg Fischer AG, Lonza Group AG, Givaudan SA, Deutsche Telekom AG, Amazon.com Inc., Schneider Electric SE - CH1548138341

11.60% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1492031260 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031260

Maturity Date

29.01.2027

Underlying

NVIDIA Corp.

11.61% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Deutsche Bank, UniCredit (Quanto CHF)

Title

CH1476904946 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904946

Maturity Date

28.08.2026

Underlying

BNP Paribas, Deutsche Bank AG, UniCredit SpA - CH1476904946

11.62% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548133482 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133482

Maturity Date

21.05.2027

Underlying

Partners Group Holding AG, Zurich Insurance Group Ltd, Swiss Re AG, Swiss Life Holding AG - CH1548133482

11.63% (11.63% p.a.) Barrier Reverse Convertible on Logitech, Straumann, UBS Group

Title

CH1548129332 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129332

Maturity Date

30.04.2027

Underlying

Logitech International SA, UBS Group AG, Straumann Holding AG - CH1548129332

11.63% (23.27% p.a.) Barrier Reverse Convertible on AMD, Meta Platforms, NVIDIA, Tesla

Title

CH1548136394 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136394

Maturity Date

08.12.2026

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Tesla Inc., Meta Platforms Inc. - CH1548136394

11.63% p.a. Barrier Reverse Convertible on Partners Group Holding, Sika, VAT (Quanto EUR)

Title

CH1532245011 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245011

Maturity Date

02.04.2027

Underlying

VAT Group AG, Sika AG, Partners Group Holding AG - CH1532245011

11.63% p.a. Callable Reverse Convertible on Munich Re, SAP, Vinci

Title

CH1548142483 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142483

Maturity Date

10.01.2028

Underlying

SAP SE, Vinci SA, Münchener Rückversicherungs AG - CH1548142483

11.64% (11.64% p.a.) Barrier Reverse Convertible on Bank of America, Logitech, Nestlé (Quanto CHF)

Title

CH1492030544 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030544

Maturity Date

27.01.2027

Underlying

Bank of America Corporation, Logitech International SA, Nestlé SA - CH1492030544

11.64% (11.64% p.a.) Barrier Reverse Convertible on Evonik Industries, Philips

Title

CH1532239741 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239741

Maturity Date

04.03.2027

Underlying

Koninklijke Philips N.V., Evonik Industries AG - CH1532239741

11.64% p.a. Barrier Reverse Convertible on Commerzbank, ING, Rheinmetall, Unilever PLC

Title

CH1476911008 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911008

Maturity Date

08.10.2026

Underlying

ING Groep N.V., Rheinmetall AG, Commerzbank AG, Unilever PLC - CH1476911008

11.65% p.a. Autocallable Reverse Convertible on Meta Platforms, Microsoft

Title

CH1548132096 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132096

Maturity Date

12.05.2027

Underlying

Meta Platforms Inc., Microsoft Corp. - CH1548132096

11.67% (15.98% p.a.) Barrier Reverse Convertible on ASML, Nokia, Prysmian, Siemens

Title

CH1492029603 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029603

Maturity Date

22.10.2026

Underlying

Nokia OYJ, Siemens AG, ASML Holding NV, Prysmian SpA - CH1492029603

11.67% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, SAP (Quanto EUR)

Title

CH1492035865 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035865

Maturity Date

19.08.2027

Underlying

Partners Group Holding AG, SAP SE - CH1492035865

11.67% p.a. Callable Barrier Reverse Convertible on Nextera Energy, NVIDIA, VAT (Quanto CHF)

Title

CH1548126742 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126742

Maturity Date

17.12.2026

Underlying

Nextera Energy Inc., NVIDIA Corp., VAT Group AG - CH1548126742

11.68% (11.55% p.a.) Barrier Reverse Convertible on Logitech, Sika, Straumann, Sunrise Communications AG

Title

CH1532238552 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238552

Maturity Date

01.03.2027

Underlying

Sika AG, Straumann Holding AG, Logitech International SA, Sunrise Communications AG - CH1532238552

11.68% p.a. Autocallable Reverse Convertible on Ferrari, Hermes, Moncler (Quanto EUR)

Title

CH1548127104 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127104

Maturity Date

21.04.2027

Underlying

Moncler SpA, Ferrari N.V., Hermes International - CH1548127104

11.68% p.a. Reverse Convertible on Applovin Corporation

Title

CH1548135818 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135818

Maturity Date

07.06.2027

Underlying

Applovin Corporation

11.69% (23.38% p.a.) Barrier Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1532238503 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238503

Maturity Date

27.08.2026

Underlying

Advanced Micro Devices Inc.

11.69% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Tesla

Title

CH1492025445 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025445

Maturity Date

20.12.2027

Underlying

Amazon.com Inc., Tesla Inc., Apple Inc. - CH1492025445

11.69% p.a. Barrier Reverse Convertible on Logitech, Straumann, Swatch

Title

CH1532239949 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239949

Maturity Date

05.03.2027

Underlying

Straumann Holding AG, The Swatch Group AG, Logitech International SA - CH1532239949

11.70% (11.70% p.a.) Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont (Quanto EUR)

Title

CH1476909044 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909044

Maturity Date

23.09.2026

Underlying

Partners Group Holding AG, Compagnie Financière Richemont SA, Logitech International SA - CH1476909044

11.71% (23.44% p.a.) Reverse Convertible on Palo Alto Networks, SanDisk Corp Registered

Title

CH1548138689 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138689

Maturity Date

18.12.2026

Underlying

Palo Alto Networks, Inc., SanDisk Corp Registered - CH1548138689

11.71% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1548138739 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138739

Maturity Date

21.06.2027

Underlying

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1548138739

11.73% (11.73% p.a.) Barrier Reverse Convertible on Givaudan, Kuehne + Nagel, Richemont

Title

CH1532247066 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247066

Maturity Date

15.04.2027

Underlying

Kuehne + Nagel International AG, Compagnie Financière Richemont SA, Givaudan SA - CH1532247066

11.74% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Robinhood Markets, Visa

Title

CH1492032425 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032425

Maturity Date

04.02.2027

Underlying

Robinhood Markets Inc., Visa Inc., Microsoft Corp. - CH1492032425

11.74% p.a. Barrier Reverse Convertible on Adidas, Lonza, Swiss Life (Quanto CHF)

Title

CH1532244949 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244949

Maturity Date

02.04.2027

Underlying

Lonza Group AG, Adidas AG, Swiss Life Holding AG - CH1532244949

11.75% (7.83% p.a.) Barrier Reverse Convertible on ABB, Nestlé, Roche

Title

CH1532242414 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242414

Maturity Date

17.09.2027

Underlying

ABB Ltd, Nestlé SA, Roche Holding AG - CH1532242414

11.75% p.a. Barrier Reverse Convertible on Galderma Group, Lonza, Straumann

Title

CH1532238438 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238438

Maturity Date

26.02.2027

Underlying

Galderma Group Ltd, Lonza Group AG, Straumann Holding AG - CH1532238438

11.75% p.a. Barrier Reverse Convertible on Straumann, VAT

Title

CH1492025825 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025825

Maturity Date

23.12.2026

Underlying

Straumann Holding AG, VAT Group AG - CH1492025825

11.75% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1492026930 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026930

Maturity Date

30.10.2026

Underlying

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, Roche Holding AG, The Swatch Group AG - CH1492026930

11.76% (11.76% p.a.) Reverse Convertible on Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto USD)

Title

CH1548133672 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133672

Maturity Date

20.05.2027

Underlying

Hermes International, LVMH Moët Hennessy Louis Vuitton SE - CH1548133672

11.76% p.a. Autocallable Barrier Reverse Convertible on Bachem, Logitech, Straumann, VAT

Title

CH1468580928 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580928

Maturity Date

07.08.2026

Underlying

Logitech International SA, VAT Group AG, Bachem Holding AG, Straumann Holding AG - CH1468580928

11.78% (11.71% p.a.) Barrier Reverse Convertible on Accor, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1532242075 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242075

Maturity Date

15.03.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Accor SA, SAP SE - CH1532242075

11.78% (11.71% p.a.) Barrier Reverse Convertible on Accor, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1532242075 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242075

Maturity Date

15.03.2027

11.78% (23.56% p.a.) Reverse Convertible on ServiceNow Inc

Title

CH1548137103 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137103

Maturity Date

10.12.2026

Underlying

ServiceNow Inc

11.78% p.a. Barrier Reverse Convertible on Bank of America, Citigroup, Goldman Sachs

Title

CH1532242125 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242125

Maturity Date

15.03.2027

Underlying

Citigroup Inc., The Goldman Sachs Group, Inc., Bank of America Corporation - CH1532242125

11.78% p.a. Barrier Reverse Convertible on Geberit, Logitech, UBS Group

Title

CH1532246944 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246944

Maturity Date

07.04.2027

Underlying

Logitech International SA, Geberit AG, UBS Group AG - CH1532246944

11.78% p.a. Barrier Reverse Convertible on Meta Platforms, NVIDIA, Oracle (Quanto EUR)

Title

CH1492026989 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026989

Maturity Date

03.01.2029

Underlying

NVIDIA Corp., Oracle Corp., Meta Platforms Inc. - CH1492026989

11.78% p.a. Barrier Reverse Convertible on Meta Platforms, NVIDIA, Oracle (Quanto EUR)

Title

CH1492026971 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026971

Maturity Date

03.01.2029

Underlying

NVIDIA Corp., Oracle Corp., Meta Platforms Inc. - CH1492026971

11.78% p.a. Barrier Reverse Convertible on Whirlpool Corp.

Title

CH1492027037 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492027037

Maturity Date

31.12.2026

Underlying

Whirlpool Corp.

11.79% (23.59% p.a.) Barrier Reverse Convertible on Airbus, Bayer, Heidelberg Materials, Safran

Title

CH1532247173 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247173

Maturity Date

15.10.2026

Underlying

Airbus SE, Heidelberg Materials AG, Bayer AG, Safran SA - CH1532247173

11.79% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548141675 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141675

Maturity Date

06.07.2027

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548141675

11.80% p.a. Reverse Convertible on Bouygues, Caterpillar, MP Materials Corp (Quanto USD)

Title

CH1548134258 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134258

Maturity Date

26.08.2027

Underlying

MP Materials Corp, Bouygues SA, Caterpillar Inc. - CH1548134258

11.83% p.a. Barrier Reverse Convertible on Allianz, Deutsche Telekom, Ferrari, Infineon, Lonza (Quanto CHF)

Title

CH1476911917 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911917

Maturity Date

14.10.2026

Underlying

Lonza Group AG, Infineon Technologies AG, Ferrari N.V., Allianz SE, Deutsche Telekom AG - CH1476911917

11.83% p.a. Callable Barrier Reverse Convertible on BAE Systems, Lockheed Martin, Rheinmetall (Quanto EUR)

Title

CH1476904136 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904136

Maturity Date

20.11.2026

Underlying

Rheinmetall AG, BAE Systems PLC, Lockheed Martin Corp - CH1476904136

11.83% p.a. Callable Barrier Reverse Convertible on Julius Bär, Logitech, Lonza, Richemont, Straumann

Title

CH1418941865 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418941865

Maturity Date

21.08.2026

Underlying

Julius Bär Gruppe AG, Logitech International SA, Lonza Group AG, Compagnie Financière Richemont SA, Straumann Holding AG - CH...

11.84% p.a. Autocallable Barrier Reverse Convertible on Boeing, Novo Nordisk, Rheinmetall (Quanto USD)

Title

CH1492029769 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029769

Maturity Date

26.01.2027

Underlying

Boeing Company, Rheinmetall AG, Novo Nordisk A/S - CH1492029769

11.84% p.a. Autocallable Barrier Reverse Convertible on Logitech International SA

Title

CH1548136402 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136402

Maturity Date

08.12.2026

Underlying

Logitech International SA

11.84% p.a. Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Newmont

Title

CH1492020099 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020099

Maturity Date

12.11.2026

Underlying

Barrick Mining Corporation, Newmont Corp., AngloGold Ashanti plc - CH1492020099

11.85% (11.85% p.a.) Barrier Reverse Convertible on ABB, Holcim, Logitech

Title

CH1548141790 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141790

Maturity Date

07.07.2027

Underlying

Logitech International SA, ABB Ltd, Holcim Ltd - CH1548141790

11.85% p.a. Autocallable Barrier Reverse Convertible on Holcim, St-Gobain, Vinci (Quanto EUR)

Title

CH1548142715 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142715

Maturity Date

14.07.2027

Underlying

Compagnie de St-Gobain, Vinci SA, Holcim Ltd - CH1548142715

11.85% p.a. Reverse Convertible on Citigroup, Netflix, Oracle

Title

CH1548134241 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134241

Maturity Date

26.08.2027

Underlying

Netflix Inc., Citigroup Inc., Oracle Corp. - CH1548134241

11.86% p.a. Callable Barrier Reverse Convertible on Bachem, Julius Bär, Nestlé, Roche

Title

CH1548142475 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142475

Maturity Date

10.12.2026

Underlying

Roche Holding AG, Nestlé SA, Julius Bär Gruppe AG, Bachem Holding AG - CH1548142475

11.87% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Richemont

Title

CH1548135206 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135206

Maturity Date

31.05.2027

Underlying

Partners Group Holding AG, Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1548135206

11.88% (11.91% p.a.) Barrier Reverse Convertible on Holcim, Richemont, UBS Group

Title

CH1548129886 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129886

Maturity Date

03.05.2027

Underlying

Compagnie Financière Richemont SA, UBS Group AG, Holcim Ltd - CH1548129886

11.89% (11.89% p.a.) Barrier Reverse Convertible on McDonalds, Microsoft, Nike

Title

CH1492018937 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018937

Maturity Date

04.11.2026

Underlying

Microsoft Corp., McDonalds Corp., Nike Inc. - CH1492018937

11.90% (11.90% p.a.) Barrier Reverse Convertible on Fresenius, Hannover Rück, Schneider Electric, Siemens Energy

Title

CH1532239816 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239816

Maturity Date

04.03.2027

Underlying

Hannover Rück SE, Siemens Energy AG, Schneider Electric SE, Fresenius SE & Co. KGaA - CH1532239816

11.91% (11.92% p.a.) Barrier Reverse Convertible on Adidas, AXA, TotalEnergies

Title

CH1548134654 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134654

Maturity Date

27.05.2027

Underlying

Adidas AG, AXA SA, TotalEnergies SE - CH1548134654

11.91% (3.96% p.a.) Barrier Reverse Convertible on The Swatch Group AG

Title

CH1548130256 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130256

Maturity Date

07.05.2029

Underlying

The Swatch Group AG

11.91% p.a. Callable Reverse Convertible on Deutsche Telekom, Enel, Vinci

Title

CH1548131783 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131783

Maturity Date

12.05.2027

Underlying

Enel SpA, Deutsche Telekom AG, Vinci SA - CH1548131783

11.92% (11.86% p.a.) Barrier Reverse Convertible on AXA, ING, Shell (Quanto CHF)

Title

CH1548126486 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126486

Maturity Date

19.04.2027

Underlying

AXA SA, ING Groep N.V., Shell PLC - CH1548126486

11.93% p.a. Autocallable Barrier Reverse Convertible on Alcon, ARYZTA, DKSH, Sandoz Group (Quanto EUR)

Title

CH1548143457 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143457

Maturity Date

19.07.2027

Underlying

ARYZTA AG, Sandoz Group AG, Alcon Inc., DKSH Holding Ltd. - CH1548143457

11.93% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Rolls-Royce (Quanto GBP)

Title

CH1532239303 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239303

Maturity Date

02.03.2028

Underlying

Amazon.com Inc., Rolls-Royce Holdings PLC - CH1532239303

11.93% p.a. Autocallable Barrier Reverse Convertible on BELIMO Holding, Huber + Suhner

Title

CH1548144208 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144208

Maturity Date

21.07.2027

Underlying

Huber + Suhner AG, BELIMO Holding AG - CH1548144208

11.94% (11.87% p.a.) Barrier Reverse Convertible on Cembra Money Bank, Julius Bär, Swissquote

Title

CH1492034512 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034512

Maturity Date

15.02.2027

Underlying

Cembra Money Bank AG, Julius Bär Gruppe AG, Swissquote Group Holding SA - CH1492034512

11.94% p.a. Autocallable Barrier Reverse Convertible on iShares MSCI India ETF, iShares MSCI South Korea Index Fund, Nikkei 225 ETF (Quanto GBP)

Title

CH1532239329 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239329

Maturity Date

02.03.2028

Underlying

iShares MSCI India ETF, Nikkei 225 Exchange Traded Fund, iShares MSCI South Korea Index Fund - CH1532239329

11.96% (12.09% p.a.) Barrier Reverse Convertible on Leonardo, Rheinmetall, Thales

Title

CH1532246845 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246845

Maturity Date

09.04.2027

Underlying

Leonardo S.p.a., Thales SA, Rheinmetall AG - CH1532246845

11.96% p.a. Autocallable Barrier Reverse Convertible on Alcon, Roche, Straumann

Title

CH1446054616 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446054616

Maturity Date

21.12.2026

Underlying

Alcon Inc., Straumann Holding AG, Roche Holding AG - CH1446054616

11.96% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Microsoft, NVIDIA

Title

CH1548128102 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128102

Maturity Date

26.07.2027

Underlying

Amazon.com Inc., Microsoft Corp., NVIDIA Corp. - CH1548128102

11.96% p.a. Autocallable Reverse Convertible on Alphabet, Apple, NVIDIA (Quanto EUR)

Title

CH1532246365 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246365

Maturity Date

07.04.2027

Underlying

Apple Inc., Alphabet, Inc., NVIDIA Corp. - CH1532246365

11.96% p.a. Barrier Reverse Convertible on Alcon, Partners Group Holding, Straumann

Title

CH1548139489 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139489

Maturity Date

23.06.2027

Underlying

Partners Group Holding AG, Straumann Holding AG, Alcon Inc. - CH1548139489

11.96% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1548141634 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141634

Maturity Date

05.01.2028

Underlying

Logitech International SA, Comet Holding AG - CH1548141634

11.97% (11.97% p.a.) Barrier Reverse Convertible on Georg Fischer, Lonza, Sika

Title

CH1492031856 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031856

Maturity Date

02.02.2027

Underlying

Lonza Group AG, Georg Fischer AG, Sika AG - CH1492031856

11.98% (15.97% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Orange, Vivendi

Title

CH1492028589 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028589

Maturity Date

16.10.2026

Underlying

Orange S.A., Deutsche Telekom AG, Vivendi SE - CH1492028589

11.98% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, JPMorgan Chase, UBS Group (Quanto CHF)

Title

CH1548130801 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130801

Maturity Date

07.05.2027

Underlying

UBS Group AG, Banco Santander SA, JPMorgan Chase & Co. - CH1548130801

11.99% p.a. Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1418949694 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418949694

Maturity Date

26.10.2026

Underlying

Microsoft Corp., Alphabet, Inc., Meta Platforms Inc. - CH1418949694

11.99% p.a. Callable Reverse Convertible on AMD, NVIDIA, Palantir

Title

CH1492021964 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021964

Maturity Date

26.11.2027

Underlying

NVIDIA Corp., Advanced Micro Devices Inc., Palantir Technologies Inc. - CH1492021964

12.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto USD)

Title

CH1476906735 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476906735

Maturity Date

09.09.2026

Underlying

Novo Nordisk A/S

12.00% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto USD)

Title

CH1476907063 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476907063

Maturity Date

10.09.2026

Underlying

Novo Nordisk A/S

12.00% p.a. Autocallable Multi FCN on Adobe, Microsoft, Synopsys Inc

Title

CH1492030981 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030981

Maturity Date

09.11.2026

Underlying

Microsoft Corp., Synopsys Inc, Adobe Systems Inc. - CH1492030981

12.00% p.a. Autocallable Multi FCN on Broadcom, MasterCard, Netflix

Title

CH1492026922 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026922

Maturity Date

08.10.2026

Underlying

MasterCard Inc, Netflix Inc., Broadcom Inc. - CH1492026922

12.00% p.a. Autocallable Multi FCN on Fair Isaac, MasterCard, S&P Global, Taiwan Semiconductor Manufacturing

Title

CH1548136675 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136675

Maturity Date

18.03.2027

Underlying

Fair Isaac Corp., Taiwan Semiconductor Manufacturing Co. Ltd, S&P Global Inc., MasterCard Inc - CH1548136675

12.00% p.a. Autocallable Multi FCN on Meta Platforms, Palantir, UnitedHealth

Title

CH1492019521 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019521

Maturity Date

18.08.2026

Underlying

UnitedHealth Group Inc., Meta Platforms Inc., Palantir Technologies Inc. - CH1492019521

12.00% p.a. Autocallable Multi FCN on Nintendo, SCREEN Holdings, Softbank

Title

CH1492025684 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025684

Maturity Date

02.10.2026

Underlying

SoftBank Group Corp., Nintendo Co Ltd., SCREEN Holdings Co Ltd - CH1492025684

12.00% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com

Title

CH1548135511 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135511

Maturity Date

04.12.2026

Underlying

Amazon.com Inc., Alphabet, Inc. - CH1548135511

12.00% p.a. Autocallable Reverse Convertible on BHP Group, Rio Tinto

Title

CH1548136436 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136436

Maturity Date

08.12.2026

Underlying

BHP Group Limited, Rio Tinto PLC - CH1548136436

12.00% p.a. Autocallable Reverse Convertible on BHP Group, Rio Tinto

Title

CH1548130454 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130454

Maturity Date

04.11.2026

Underlying

Rio Tinto PLC, BHP Group Limited - CH1548130454

12.00% p.a. Autocallable Reverse Convertible on Cameco Corp.

Title

CH1532243446 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532243446

Maturity Date

21.09.2026

Underlying

Cameco Corp.

12.00% p.a. Autocallable Reverse Convertible on Caterpillar, United Rentals

Title

CH1548133698 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133698

Maturity Date

20.11.2026

Underlying

United Rentals Inc., Caterpillar Inc. - CH1548133698

12.00% p.a. Autocallable Reverse Convertible on CoreWeave Inc.

Title

CH1548139919 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139919

Maturity Date

28.12.2026

Underlying

CoreWeave Inc.

12.00% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548135453 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135453

Maturity Date

04.12.2026

Underlying

NVIDIA Corp., Meta Platforms Inc. - CH1548135453

12.00% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548136428 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136428

Maturity Date

08.12.2026

Underlying

NVIDIA Corp., Meta Platforms Inc. - CH1548136428

12.00% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548129845 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129845

Maturity Date

02.11.2026

Underlying

Micron Technology Inc.

12.00% p.a. Autocallable Reverse Convertible on iShares MSCI South Korea Index Fund

Title

CH1532243917 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532243917

Maturity Date

24.03.2027

Underlying

iShares MSCI South Korea Index Fund

12.00% p.a. Barrier Reverse Convertible on Alphabet, Apple, Microsoft

Title

CH1548127997 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127997

Maturity Date

23.04.2027

Underlying

Alphabet, Inc., Apple Inc., Microsoft Corp. - CH1548127997

12.00% p.a. Barrier Reverse Convertible on Kering, NVIDIA, TotalEnergies (Quanto USD)

Title

CH1476907790 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907790

Maturity Date

15.09.2026

Underlying

Kering SA, NVIDIA Corp., TotalEnergies SE - CH1476907790

12.00% p.a. Callable Reverse Convertible on Meta Platforms Inc.

Title

CH1492028068 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492028068

Maturity Date

15.01.2027

Underlying

Meta Platforms Inc.

12.00% p.a. Reverse Convertible on Alphabet, Amazon.com, NVIDIA (Quanto CHF)

Title

CH1532246100 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246100

Maturity Date

05.04.2027

Underlying

NVIDIA Corp., Alphabet, Inc., Amazon.com Inc. - CH1532246100

12.00% p.a. Reverse Convertible on Alphabet, Meta Platforms, Uber Technologies (Quanto EUR)

Title

CH1548139042 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139042

Maturity Date

22.06.2027

Underlying

Alphabet, Inc., Meta Platforms Inc., Uber Technologies Inc. - CH1548139042

12.00% p.a. Reverse Convertible on Hitachi, Sony Group (Quanto USD)

Title

CH1548136337 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136337

Maturity Date

08.09.2026

Underlying

Sony Group Corporation, Hitachi Ltd. - CH1548136337

12.00% p.a. Reverse Convertible on Intel Corp. (Quanto EUR)

Title

CH1548139026 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139026

Maturity Date

22.06.2027

Underlying

Intel Corp.

12.00% p.a. Reverse Convertible on Microsoft, NVIDIA, Oracle

Title

CH1548132914 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132914

Maturity Date

15.05.2028

Underlying

NVIDIA Corp., Microsoft Corp., Oracle Corp. - CH1548132914

12.00% p.a. Reverse Convertible on Tesla Inc.

Title

CH1548136329 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136329

Maturity Date

08.09.2026

Underlying

Tesla Inc.

12.02% (12.02% p.a.) Barrier Reverse Convertible on EssilorLuxottica, Richemont, Sika (Quanto CHF)

Title

CH1548132740 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132740

Maturity Date

18.05.2027

Underlying

Compagnie Financière Richemont SA, Sika AG, EssilorLuxottica SA - CH1548132740

12.02% p.a. Barrier Reverse Convertible on Carl Zeiss Meditec AG

Title

CH1532240723 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240723

Maturity Date

09.03.2027

Underlying

Carl Zeiss Meditec AG

12.02% p.a. Callable Reverse Convertible on Oracle Corp.

Title

CH1532245367 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532245367

Maturity Date

03.04.2028

Underlying

Oracle Corp.

12.03% (12.03% p.a.) Barrier Reverse Convertible on Adecco, Straumann, UBS Group

Title

CH1476903021 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903021

Maturity Date

13.08.2026

Underlying

UBS Group AG, Straumann Holding AG, Adecco Group AG - CH1476903021

12.03% (12.03% p.a.) Barrier Reverse Convertible on Avolta, VAT

Title

CH1548139158 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139158

Maturity Date

22.06.2027

Underlying

Avolta AG, VAT Group AG - CH1548139158

12.03% p.a. Callable Reverse Convertible on Comet, Logitech

Title

CH1548141956 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141956

Maturity Date

06.01.2028

Underlying

Logitech International SA, Comet Holding AG - CH1548141956

12.04% p.a. Autocallable Barrier Reverse Convertible on AXA, ING, L´Oréal, Munich Re (Quanto CHF)

Title

CH1548131494 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131494

Maturity Date

12.05.2027

Underlying

Münchener Rückversicherungs AG, ING Groep N.V., AXA SA, L´Oréal International - CH1548131494

12.05% (11.99% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Straumann

Title

CH1548128169 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128169

Maturity Date

26.04.2027

Underlying

Lonza Group AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1548128169

12.05% p.a. Autocallable Barrier Reverse Convertible on Constellation Brands, Kraft Heinz

Title

CH1532239253 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239253

Maturity Date

01.03.2027

Underlying

Constellation Brands, Inc., The Kraft Heinz Company - CH1532239253

12.05% p.a. Autocallable Reverse Convertible on SAP, Schneider Electric, Siemens Energy

Title

CH1476903260 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903260

Maturity Date

13.08.2026

Underlying

SAP SE, Siemens Energy AG, Schneider Electric SE - CH1476903260

12.05% p.a. Barrier Reverse Convertible on AMD, Uber Technologies, Visa

Title

CH1492019919 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019919

Maturity Date

10.11.2026

Underlying

Uber Technologies Inc., Visa Inc., Advanced Micro Devices Inc. - CH1492019919

12.06% (24.00% p.a.) Reverse Convertible on Rigetti Computing Inc.

Title

CH1548131650 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131650

Maturity Date

12.11.2026

Underlying

Rigetti Computing Inc.

12.06% (48.81% p.a.) Reverse Convertible on AMD, Broadcom, NVIDIA

Title

CH1548140081 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140081

Maturity Date

25.09.2026

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Broadcom Inc. - CH1548140081

12.06% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, EQT, Svenska Handelsbanken (Quanto USD)

Title

CH1548128763 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128763

Maturity Date

28.04.2027

Underlying

Svenska Handelsbanken AB, EQT AB, Commerzbank AG - CH1548128763

12.06% p.a. Autocallable Barrier Reverse Convertible on Danone, Mondelez Intl., PepsiCo, Tyson Foods (Quanto EUR)

Title

CH1548144224 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144224

Maturity Date

22.01.2027

Underlying

Mondelez International, Danone SA, PepsiCo Inc., Tyson Foods, Inc. - CH1548144224

12.07% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, UniCredit

Title

CH1532238024 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238024

Maturity Date

25.02.2027

Underlying

Deutsche Bank AG, UniCredit SpA - CH1532238024

12.08% (16.11% p.a.) Barrier Reverse Convertible on Lonza, Straumann, Sunrise Communications AG

Title

CH1492033381 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033381

Maturity Date

09.11.2026

Underlying

Sunrise Communications AG, Straumann Holding AG, Lonza Group AG - CH1492033381

12.08% p.a. Autocallable Barrier Reverse Convertible on ASML, RWE, SAP, St-Gobain

Title

CH1476906180 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906180

Maturity Date

04.09.2026

Underlying

ASML Holding NV, Compagnie de St-Gobain, SAP SE, RWE AG - CH1476906180

12.08% p.a. Autocallable Barrier Reverse Convertible on Alphabet, United Rentals (Quanto GBP)

Title

CH1492034744 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034744

Maturity Date

14.02.2028

Underlying

Alphabet, Inc., United Rentals Inc. - CH1492034744

12.09% p.a. Callable Barrier Reverse Convertible on Huber + Suhner, VAT

Title

CH1548141527 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141527

Maturity Date

06.04.2027

Underlying

Huber + Suhner AG, VAT Group AG - CH1548141527

12.09% p.a. Callable Barrier Reverse Convertible on Straumann Holding AG

Title

CH1468580118 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1468580118

Maturity Date

31.07.2026

Underlying

Straumann Holding AG

12.10% (12.10% p.a.) Barrier Reverse Convertible on Adidas, Lululemon Athletica, Nike (Quanto CHF)

Title

CH1476908319 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908319

Maturity Date

18.09.2026

Underlying

Lululemon Athletica Inc., Adidas AG, Nike Inc. - CH1476908319

12.10% (12.14% p.a.) Barrier Reverse Convertible on Holcim, Kuehne + Nagel, Lonza, VAT

Title

CH1532245904 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245904

Maturity Date

06.04.2027

Underlying

Lonza Group AG, Holcim Ltd, VAT Group AG, Kuehne + Nagel International AG - CH1532245904

12.10% p.a. Autocallable Reverse Convertible on Tesla Inc.

Title

CH1548138283 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138283

Maturity Date

17.06.2027

Underlying

Tesla Inc.

12.10% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont (Quanto USD)

Title

CH1468581025 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468581025

Maturity Date

11.08.2026

Underlying

Compagnie Financière Richemont SA, Logitech International SA, Partners Group Holding AG - CH1468581025

12.10% p.a. Barrier Reverse Convertible on Lonza, Nestlé, Partners Group Holding

Title

CH1532241713 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241713

Maturity Date

12.03.2027

Underlying

Partners Group Holding AG, Lonza Group AG, Nestlé SA - CH1532241713

12.11% (12.11% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT (Quanto EUR)

Title

CH1492033589 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033589

Maturity Date

10.02.2027

Underlying

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492033589

12.11% (24.22% p.a.) Barrier Reverse Convertible on BASF, K+S

Title

CH1532247264 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247264

Maturity Date

16.10.2026

Underlying

BASF SE, K+S AG - CH1532247264

12.11% p.a. Reverse Convertible on Albemarle Corp

Title

CH1492020685 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492020685

Maturity Date

14.05.2027

Underlying

Albemarle Corp

12.13% (12.14% p.a.) Barrier Reverse Convertible on Logitech, Richemont, VAT (Quanto EUR)

Title

CH1492026740 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026740

Maturity Date

30.12.2026

Underlying

VAT Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1492026740

12.14% (12.08% p.a.) Barrier Reverse Convertible on Lonza, Richemont, Swiss Re, UBS Group

Title

CH1492020677 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020677

Maturity Date

16.11.2026

Underlying

Compagnie Financière Richemont SA, Lonza Group AG, Swiss Re AG, UBS Group AG - CH1492020677

12.14% p.a. Autocallable Barrier Reverse Convertible on A2A, Republic Services, Waste Management, Xylem Inc. (Quanto USD)

Title

CH1532241655 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241655

Maturity Date

14.09.2026

Underlying

Xylem Inc., Waste Management, Inc., Republic Services Inc., A2A SpA - CH1532241655

12.14% p.a. Autocallable Reverse Convertible on Sea Ltd

Title

CH1548135693 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135693

Maturity Date

07.06.2027

Underlying

Sea Ltd

12.14% p.a. Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1548129126 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129126

Maturity Date

29.01.2027

Underlying

Microsoft Corp., Alphabet, Inc., Meta Platforms Inc. - CH1548129126

12.14% p.a. Reverse Convertible on Logitech International SA

Title

CH1532240418 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240418

Maturity Date

03.02.2027

Underlying

Logitech International SA

12.15% (13.50% p.a.) Barrier Reverse Convertible on Logitech, Lonza

Title

CH1492032839 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032839

Maturity Date

29.12.2026

Underlying

Logitech International SA, Lonza Group AG - CH1492032839

12.15% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto EUR)

Title

CH1548126635 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126635

Maturity Date

19.04.2027

Underlying

BAE Systems PLC, Rheinmetall AG, Leonardo S.p.a. - CH1548126635

12.15% p.a. Autocallable Barrier Reverse Convertible on Kering, Mercedes-Benz Group, Stellantis

Title

CH1492024901 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024901

Maturity Date

17.12.2026

Underlying

Mercedes-Benz Group AG, Stellantis N.V., Kering SA - CH1492024901

12.15% p.a. Autocallable Reverse Convertible on Constellation Energy, Nextera Energy, Vistra Energy

Title

CH1548138663 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138663

Maturity Date

20.12.2027

Underlying

Constellation Energy Corp., Nextera Energy Inc., Vistra Energy Corp. - CH1548138663

12.15% p.a. Barrier Reverse Convertible on Julius Bär, UBS Group

Title

CH1532245318 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245318

Maturity Date

05.04.2027

Underlying

UBS Group AG, Julius Bär Gruppe AG - CH1532245318

12.16% (24.06% p.a.) Barrier Reverse Convertible on Siemens Energy AG

Title

CH1532244311 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532244311

Maturity Date

28.09.2026

Underlying

Siemens Energy AG

12.16% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548141154 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141154

Maturity Date

02.07.2027

Underlying

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548141154

12.18% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548129027 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129027

Maturity Date

29.04.2027

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548129027

12.18% p.a. Autocallable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548129050 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129050

Maturity Date

29.04.2027

Underlying

Logitech International SA, Compagnie Financière Richemont SA, UBS Group AG - CH1548129050

12.18% p.a. Autocallable Reverse Convertible on Airbus, Leonardo, Rheinmetall

Title

CH1532243313 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243313

Maturity Date

20.09.2027

Underlying

Rheinmetall AG, Leonardo S.p.a., Airbus SE - CH1532243313

12.19% (16.26% p.a.) Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1532244014 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244014

Maturity Date

24.12.2026

Underlying

Siemens Energy AG, Schneider Electric SE - CH1532244014

12.19% p.a. Autocallable Barrier Reverse Convertible on Adyen , JD.com, Meta Platforms (Quanto EUR)

Title

CH1532237554 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237554

Maturity Date

25.05.2027

Underlying

Adyen N.V., JD.com, Inc., Meta Platforms Inc. - CH1532237554

12.19% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika (Quanto USD)

Title

CH1492019786 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019786

Maturity Date

10.11.2026

Underlying

Kuehne + Nagel International AG, Partners Group Holding AG, Sika AG - CH1492019786

12.20% (12.20% p.a.) Barrier Reverse Convertible on Bouygues, Orange, Safran

Title

CH1548135768 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135768

Maturity Date

04.06.2027

Underlying

Orange S.A., Safran SA, Bouygues SA - CH1548135768

12.20% p.a. Barrier Reverse Convertible on Alcon, ALSO Holding, Partners Group Holding

Title

CH1548138895 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138895

Maturity Date

21.06.2027

Underlying

Partners Group Holding AG, ALSO Holding AG, Alcon Inc. - CH1548138895

12.20% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce (Quanto CHF)

Title

CH1532244246 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244246

Maturity Date

25.09.2026

Underlying

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244246

12.21% (13.61% p.a.) Barrier Reverse Convertible on Accor, Booking Holdings, Expedia Group (Quanto CHF)

Title

CH1532241622 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241622

Maturity Date

11.02.2027

Underlying

Booking Holdings Inc., Expedia Group Inc., Accor SA - CH1532241622

12.21% p.a. Autocallable Reverse Convertible on ConocoPhillips, Sea

Title

CH1492028308 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028308

Maturity Date

19.01.2027

Underlying

Sea Ltd, ConocoPhillips - CH1492028308

12.23% p.a. Autocallable Barrier Reverse Convertible on Ørsted, Siemens Energy (Quanto CHF)

Title

CH1532246613 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246613

Maturity Date

08.07.2027

Underlying

Ørsted A/S, Siemens Energy AG - CH1532246613

12.24% p.a. Autocallable Reverse Convertible on Caterpillar, United Rentals

Title

CH1548133805 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133805

Maturity Date

23.11.2026

Underlying

United Rentals Inc., Caterpillar Inc. - CH1548133805

12.24% p.a. Callable Barrier Reverse Convertible on Byd Co, Dr. Ing. H.c. F. Porsche AG, Mercedes-Benz Group (Quanto CHF)

Title

CH1532239352 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239352

Maturity Date

03.03.2027

Underlying

BYD Company Limited, Mercedes-Benz Group AG, Dr. Ing. H.c. F. Porsche AG - CH1532239352

12.25% p.a. Autocallable Barrier Reverse Convertible on Anglo American, Barrick Mining, Newmont (Quanto GBP)

Title

CH1492032748 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032748

Maturity Date

05.08.2027

Underlying

Anglo American PLC, Barrick Mining Corporation, Newmont Corp. - CH1492032748

12.25% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Leonardo, Rheinmetall

Title

CH1492017103 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017103

Maturity Date

23.10.2026

Underlying

Rheinmetall AG, Leonardo S.p.a., Hensoldt AG - CH1492017103

12.25% p.a. Reverse Convertible on AMD, Palantir, Salesforce (Quanto CHF)

Title

CH1532239204 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239204

Maturity Date

03.03.2027

Underlying

Palantir Technologies Inc., Salesforce, Inc., Advanced Micro Devices Inc. - CH1532239204

12.26% (12.29% p.a.) Barrier Reverse Convertible on Alphabet, Amazon.com, AMD

Title

CH1532238081 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238081

Maturity Date

25.02.2027

Underlying

Advanced Micro Devices Inc., Amazon.com Inc., Alphabet, Inc. - CH1532238081

12.26% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Microsoft, NVIDIA (Quanto CHF)

Title

CH1532241325 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241325

Maturity Date

11.06.2027

Underlying

Alphabet, Inc., Microsoft Corp., NVIDIA Corp. - CH1532241325

12.26% p.a. Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1492017186 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017186

Maturity Date

26.10.2026

Underlying

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, Compagnie Financière Richemont SA - CH1492017186

12.27% p.a. Autocallable Reverse Convertible on Straumann, Tecan

Title

CH1548138408 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138408

Maturity Date

15.12.2026

Underlying

Straumann Holding AG, Tecan Group Ltd. - CH1548138408

12.29% (24.18% p.a.) Barrier Reverse Convertible on Fresenius Medical Care, Kering

Title

CH1532245631 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245631

Maturity Date

05.10.2026

Underlying

Kering SA, Fresenius Medical Care AG - CH1532245631

12.29% p.a. Barrier Reverse Convertible on Adidas, EssilorLuxottica, LVMH Moët Hennessy Louis Vuitton

Title

CH1532245417 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245417

Maturity Date

06.04.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Adidas AG, EssilorLuxottica SA - CH1532245417

12.30% (12.24% p.a.) Barrier Reverse Convertible on Partners Group Holding, VAT, Zurich Insurance

Title

CH1492021683 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021683

Maturity Date

23.11.2026

Underlying

VAT Group AG, Zurich Insurance Group Ltd, Partners Group Holding AG - CH1492021683

12.30% p.a. Barrier Reverse Convertible on Align Technology Inc (Quanto CHF)

Title

CH1492031724 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031724

Maturity Date

30.07.2026

Underlying

Align Technology Inc

12.30% p.a. Barrier Reverse Convertible on Dow Inc

Title

CH1492023044 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492023044

Maturity Date

04.12.2026

Underlying

Dow Inc

12.31% (12.31% p.a.) Barrier Reverse Convertible on BAE Systems, Rheinmetall, Safran (Quanto EUR)

Title

CH1532242372 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242372

Maturity Date

16.03.2027

Underlying

BAE Systems PLC, Rheinmetall AG, Safran SA - CH1532242372

12.32% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Baidu, NetEase

Title

CH1492032136 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032136

Maturity Date

03.02.2027

Underlying

Alibaba Group Holding Limited, Baidu, Inc., NetEase, Inc. - CH1492032136

12.32% p.a. Autocallable Reverse Convertible on Apple, Netflix

Title

CH1532242992 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242992

Maturity Date

18.03.2027

Underlying

Apple Inc., Netflix Inc. - CH1532242992

12.32% p.a. Callable Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1476909192 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909192

Maturity Date

23.12.2026

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1476909192

12.33% (21.04% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1492029884 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029884

Maturity Date

24.08.2026

Underlying

RENK Group AG, Hensoldt AG, Rheinmetall AG - CH1492029884

12.33% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548137848 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137848

Maturity Date

15.06.2027

Underlying

Meta Platforms Inc., NVIDIA Corp. - CH1548137848

12.33% p.a. Callable Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks

Title

CH1548136527 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136527

Maturity Date

08.06.2028

Underlying

Datadog Inc., Palo Alto Networks, Inc., Crowdstrike Holdings Inc. - CH1548136527

12.34% (12.27% p.a.) Barrier Reverse Convertible on Alcon, Julius Bär, Logitech

Title

CH1548136154 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136154

Maturity Date

07.06.2027

Underlying

Alcon Inc., Logitech International SA, Julius Bär Gruppe AG - CH1548136154

12.34% p.a. Autocallable Reverse Convertible on Infineon, Rheinmetall

Title

CH1492028456 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028456

Maturity Date

18.01.2027

Underlying

Infineon Technologies AG, Rheinmetall AG - CH1492028456

12.34% p.a. Barrier Reverse Convertible on Arista Networks, Inc. (Quanto EUR)

Title

CH1548139794 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139794

Maturity Date

25.06.2027

Underlying

Arista Networks, Inc.

12.34% p.a. Barrier Reverse Convertible on SIG Group, Straumann, Swatch

Title

CH1548136576 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136576

Maturity Date

08.06.2027

Underlying

Straumann Holding AG, The Swatch Group AG, SIG Group AG - CH1548136576

12.35% p.a. Autocallable Barrier Reverse Convertible on Amrize Ltd, Bilfinger, Georg Fischer, Sika (Quanto CHF)

Title

CH1492023812 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492023812

Maturity Date

10.12.2026

Underlying

Bilfinger SE, Sika AG, Georg Fischer AG, Amrize Ltd - CH1492023812

12.35% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., Newmont (Quanto CHF)

Title

CH1548144034 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144034

Maturity Date

20.07.2027

Underlying

Freeport-McMoRan Inc., Newmont Corp., Eli Lilly & Co. - CH1548144034

12.35% p.a. Autocallable Reverse Convertible on Amazon.com, Arista Networks, Microsoft

Title

CH1476904813 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904813

Maturity Date

27.08.2026

Underlying

Amazon.com Inc., Microsoft Corp., Arista Networks, Inc. - CH1476904813

12.36% p.a. Callable Barrier Reverse Convertible on Banco Santander, ING, Vinci (Quanto CHF)

Title

CH1548139745 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139745

Maturity Date

24.09.2027

Underlying

Banco Santander SA, Vinci SA, ING Groep N.V. - CH1548139745

12.37% (12.37% p.a.) Reverse Convertible on Amazon.com, Microsoft, Palantir (Quanto CHF)

Title

CH1548142939 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142939

Maturity Date

15.07.2027

Underlying

Microsoft Corp., Amazon.com Inc., Palantir Technologies Inc. - CH1548142939

12.37% (24.74% p.a.) Barrier Reverse Convertible on Oracle Corp. (Quanto EUR)

Title

CH1548126445 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548126445

Maturity Date

16.10.2026

Underlying

Oracle Corp.

12.37% p.a. Autocallable Reverse Convertible on Barrick Mining, Freeport-McMoRan Inc., Newmont

Title

CH1548143739 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143739

Maturity Date

18.01.2028

Underlying

Barrick Mining Corporation, Newmont Corp., Freeport-McMoRan Inc. - CH1548143739

12.37% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto CHF)

Title

CH1548133888 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133888

Maturity Date

22.05.2028

Underlying

Advanced Micro Devices Inc., Qualcomm Inc., NVIDIA Corp. - CH1548133888

12.38% (16.33% p.a.) Reverse Convertible on Alphabet, Amazon.com, NVIDIA

Title

CH1492034678 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034678

Maturity Date

16.11.2026

Underlying

Alphabet, Inc., Amazon.com Inc., NVIDIA Corp. - CH1492034678

12.38% p.a. Autocallable Barrier Reverse Convertible on Berkshire Hathaway, BlackRock, Exor, State Street (Quanto USD)

Title

CH1492026484 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026484

Maturity Date

29.12.2026

Underlying

State Street Corporation, Berkshire Hathaway Inc., BlackRock, Inc., Exor N.V. - CH1492026484

12.38% p.a. Autocallable Reverse Convertible on BAE Systems, Hensoldt , Rheinmetall (Quanto EUR)

Title

CH1532244907 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244907

Maturity Date

01.04.2027

Underlying

BAE Systems PLC, Hensoldt AG, Rheinmetall AG - CH1532244907

12.39% (24.51% p.a.) Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1548133052 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133052

Maturity Date

17.11.2026

Underlying

Norwegian Cruise Line Holdings Ltd.

12.39% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, NVIDIA, Walt Disney

Title

CH1476912618 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912618

Maturity Date

19.10.2026

Underlying

NVIDIA Corp., The Walt Disney Company, Eli Lilly & Co. - CH1476912618

12.39% p.a. Autocallable Reverse Convertible on Société Générale

Title

CH1548138937 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138937

Maturity Date

21.12.2026

Underlying

Société Générale

12.40% (12.40% p.a.) Barrier Reverse Convertible on Nestlé, Schindler, VAT

Title

CH1532237661 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237661

Maturity Date

25.02.2027

Underlying

Nestlé SA, VAT Group AG, Schindler Holding AG - CH1532237661

12.40% p.a. Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548142616 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142616

Maturity Date

13.07.2029

Underlying

Advanced Micro Devices Inc.

12.41% p.a. Autocallable Barrier Reverse Convertible on Infineon, MercadoLibre, TAL Education Group (Quanto EUR)

Title

CH1476908921 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908921

Maturity Date

22.12.2026

Underlying

Infineon Technologies AG, MercadoLibre Inc., TAL Education Group - CH1476908921

12.41% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika (Quanto EUR)

Title

CH1532243503 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243503

Maturity Date

22.03.2027

Underlying

Kuehne + Nagel International AG, Sika AG, Partners Group Holding AG - CH1532243503

12.42% (12.42% p.a.) Reverse Convertible on Microsoft, NVIDIA

Title

CH1492024497 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024497

Maturity Date

15.12.2026

Underlying

Microsoft Corp., NVIDIA Corp. - CH1492024497

12.42% p.a. Autocallable Barrier Reverse Convertible on Airbus, SAP, Tui (Quanto USD)

Title

CH1532238289 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238289

Maturity Date

26.02.2027

Underlying

Airbus SE, SAP SE, Tui AG - CH1532238289

12.42% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1548131882 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131882

Maturity Date

12.05.2027

Underlying

NVIDIA Corp.

12.42% p.a. Barrier Reverse Convertible on Tui AG

Title

CH1492022335 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492022335

Maturity Date

27.11.2026

Underlying

Tui AG

12.43% p.a. Autocallable Barrier Reverse Convertible on Logitech, Sonova, VAT

Title

CH1532243016 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243016

Maturity Date

18.03.2027

Underlying

VAT Group AG, Logitech International SA, Sonova Holding AG - CH1532243016

12.44% (12.44% p.a.) Barrier Reverse Convertible on Bayer, Straumann, Temenos (Quanto CHF)

Title

CH1476911719 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911719

Maturity Date

13.10.2026

Underlying

Bayer AG, Temenos AG, Straumann Holding AG - CH1476911719

12.44% (21.33% p.a.) Barrier Reverse Convertible on ASML, BMW, Heidelberg Materials, Siemens Energy

Title

CH1492036509 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036509

Maturity Date

23.09.2026

Underlying

ASML Holding NV, Siemens Energy AG, Bayerische Motoren Werke AG, Heidelberg Materials AG - CH1492036509

12.44% p.a. Barrier Reverse Convertible on Alphabet, Amrize Ltd, Infineon, Straumann, Swiss Re (Quanto CHF)

Title

CH1492027367 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027367

Maturity Date

07.01.2027

Underlying

Amrize Ltd, Straumann Holding AG, Alphabet, Inc., Swiss Re AG, Infineon Technologies AG - CH1492027367

12.45% (12.45% p.a.) Barrier Reverse Convertible on Commerzbank, ING, Rheinmetall, Unilever PLC

Title

CH1476911131 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911131

Maturity Date

08.10.2026

Underlying

ING Groep N.V., Commerzbank AG, Rheinmetall AG, Unilever PLC - CH1476911131

12.45% p.a. Callable Barrier Reverse Convertible on Adecco, UBS Group

Title

CH1492028290 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028290

Maturity Date

16.11.2026

Underlying

Adecco Group AG, UBS Group AG - CH1492028290

12.46% p.a. Barrier Reverse Convertible on Nemetschek SE

Title

CH1548138077 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138077

Maturity Date

16.06.2027

Underlying

Nemetschek SE

12.46% p.a. Callable Barrier Reverse Convertible on BASF, Bayer, Sanofi (Quanto CHF)

Title

CH1548142756 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142756

Maturity Date

14.10.2027

Underlying

BASF SE, Bayer AG, Sanofi SA - CH1548142756

12.47% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Deutsche Bank, ING

Title

CH1532239626 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239626

Maturity Date

04.03.2027

Underlying

BNP Paribas, Deutsche Bank AG, ING Groep N.V. - CH1532239626

12.47% p.a. Callable Barrier Reverse Convertible on Adecco, Straumann, VAT

Title

CH1468579227 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579227

Maturity Date

26.10.2026

Underlying

Adecco Group AG, VAT Group AG, Straumann Holding AG - CH1468579227

12.48% p.a. Autocallable Reverse Convertible on Bouygues, Hochtief, Vinci

Title

CH1548138226 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138226

Maturity Date

16.12.2027

Underlying

Bouygues SA, Vinci SA, Hochtief AG - CH1548138226

12.48% p.a. Callable Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto GBP)

Title

CH1492031807 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031807

Maturity Date

31.01.2028

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, NVIDIA Corp. - CH1492031807

12.49% (12.49% p.a.) Barrier Reverse Convertible on ABB, Geberit, Partners Group Holding, Sika, VAT

Title

CH1492021410 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021410

Maturity Date

19.11.2026

Underlying

ABB Ltd, VAT Group AG, Geberit AG, Partners Group Holding AG, Sika AG - CH1492021410

12.49% p.a. Autocallable Barrier Reverse Convertible on Burckhardt Compression, Sandoz Group, VAT (Quanto USD)

Title

CH1532241473 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241473

Maturity Date

11.03.2027

Underlying

Sandoz Group AG, VAT Group AG, Burckhardt Compression Holding Ltd. - CH1532241473

12.49% p.a. Autocallable Barrier Reverse Convertible on Oracle Corp.

Title

CH1476911669 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476911669

Maturity Date

13.10.2026

Underlying

Oracle Corp.

12.50% p.a. Autocallable Reverse Convertible on Danaher, DexCom

Title

CH1492036657 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036657

Maturity Date

24.02.2027

Underlying

Danaher Corporation, DexCom Inc. - CH1492036657

12.50% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Siegfried, VAT

Title

CH1476912238 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912238

Maturity Date

14.01.2027

Underlying

VAT Group AG, Siegfried Holding AG, Partners Group Holding AG - CH1476912238

12.51% (12.51% p.a.) Barrier Reverse Convertible on Alcon, Logitech, Swiss Re

Title

CH1532247140 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247140

Maturity Date

15.04.2027

Underlying

Alcon Inc., Logitech International SA, Swiss Re AG - CH1532247140

12.51% (12.51% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann, Swatch

Title

CH1492035519 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035519

Maturity Date

18.02.2027

Underlying

Sika AG, Kuehne + Nagel International AG, The Swatch Group AG, Straumann Holding AG - CH1492035519

12.51% p.a. Barrier Reverse Convertible on Nike Inc.

Title

CH1492034249 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492034249

Maturity Date

12.02.2027

Underlying

Nike Inc.

12.53% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple, Microsoft

Title

CH1548129639 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129639

Maturity Date

30.04.2027

Underlying

Microsoft Corp., Apple Inc., Alphabet, Inc., Amazon.com Inc. - CH1548129639

12.53% p.a. Autocallable Reverse Convertible on Deere, Merck, Robinhood Markets

Title

CH1548142814 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142814

Maturity Date

14.01.2028

Underlying

Merck & Co. Inc., Robinhood Markets Inc., Deere & Co. - CH1548142814

12.53% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sika

Title

CH1476910273 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910273

Maturity Date

01.10.2026

Underlying

Sika AG, Kuehne + Nagel International AG, Partners Group Holding AG - CH1476910273

12.54% p.a. Barrier Reverse Convertible on Alcon, Richemont, UBS Group

Title

CH1548126775 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126775

Maturity Date

19.04.2027

Underlying

Compagnie Financière Richemont SA, Alcon Inc., UBS Group AG - CH1548126775

12.55% (12.55% p.a.) Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1532239162 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239162

Maturity Date

03.03.2027

Underlying

VAT Group AG, Comet Holding AG, Inficon Holding AG - CH1532239162

12.56% p.a. Autocallable Barrier Reverse Convertible on Apple, Nextera Energy, NVIDIA (Quanto CHF)

Title

CH1532245888 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245888

Maturity Date

05.04.2027

Underlying

NVIDIA Corp., Apple Inc., Nextera Energy Inc. - CH1532245888

12.56% p.a. Barrier Reverse Convertible on Commerzbank, Société Générale, UBS Group (Quanto EUR)

Title

CH1476912055 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912055

Maturity Date

14.10.2026

Underlying

Commerzbank AG, Société Générale, UBS Group AG - CH1476912055

12.56% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548136972 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136972

Maturity Date

10.06.2027

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548136972

12.57% p.a. Autocallable Barrier Reverse Convertible on Allianz, Commerzbank, Munich Re

Title

CH1492036624 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036624

Maturity Date

23.02.2027

Underlying

Allianz SE, Commerzbank AG, Münchener Rückversicherungs AG - CH1492036624

12.57% p.a. Autocallable Reverse Convertible on Meta Platforms, Nike, Uber Technologies

Title

CH1548140545 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140545

Maturity Date

30.12.2027

Underlying

Meta Platforms Inc., Uber Technologies Inc., Nike Inc. - CH1548140545

12.58% (12.48% p.a.) Barrier Reverse Convertible on BAE Systems, Rheinmetall, Safran (Quanto CHF)

Title

CH1532244451 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244451

Maturity Date

31.03.2027

Underlying

Safran SA, Rheinmetall AG, BAE Systems PLC - CH1532244451

12.58% p.a. Autocallable Barrier Reverse Convertible on Anglo American, Barrick Mining, Newmont (Quanto USD)

Title

CH1492032730 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032730

Maturity Date

05.08.2027

Underlying

Anglo American PLC, Barrick Mining Corporation, Newmont Corp. - CH1492032730

12.60% (12.60% p.a.) Reverse Convertible on Dassault, Prosus, SAP

Title

CH1548134605 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134605

Maturity Date

27.05.2027

Underlying

SAP SE, Dassault Systèmes S.A., Prosus NV - CH1548134605

12.60% p.a. Autocallable Reverse Convertible on GE Vernova, NVIDIA, Tesla

Title

CH1548140693 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140693

Maturity Date

31.12.2027

Underlying

NVIDIA Corp., Tesla Inc., GE Vernova Inc. - CH1548140693

12.60% p.a. Autocallable Reverse Convertible on Oracle Corp.

Title

CH1548143754 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143754

Maturity Date

18.01.2028

Underlying

Oracle Corp.

12.60% p.a. Barrier Reverse Convertible on Adidas, AXA, LVMH Moët Hennessy Louis Vuitton

Title

CH1532238842 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238842

Maturity Date

02.03.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Adidas AG, AXA SA - CH1532238842

12.61% p.a. Autocallable Barrier Reverse Convertible on Amgen, Eli Lilly, MercadoLibre, Palo Alto Networks

Title

CH1492019448 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019448

Maturity Date

06.11.2026

Underlying

Amgen Inc., Palo Alto Networks, Inc., Eli Lilly & Co., MercadoLibre Inc. - CH1492019448

12.61% p.a. Callable Barrier Reverse Convertible on Nestlé, Novartis, Roche, UBS Group, Zurich Insurance

Title

CH1548140875 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140875

Maturity Date

01.07.2027

Underlying

Nestlé SA, Novartis AG, Roche Holding AG, UBS Group AG, Zurich Insurance Group Ltd - CH1548140875

12.62% p.a. Autocallable Barrier Reverse Convertible on Barclays, BBVA, Société Générale, Standard Chartered, UniCredit (Quanto CHF)

Title

CH1492034736 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034736

Maturity Date

13.08.2026

Underlying

Banco Bilbao Vizcaya Argentaria SA, Barclays Plc, Société Générale, UniCredit SpA, Standard Chartered PLC - CH1492034736

12.64% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Richemont, Straumann

Title

CH1548138929 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138929

Maturity Date

21.06.2027

Underlying

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, Straumann Holding AG - CH1548138929

12.64% p.a. Barrier Reverse Convertible on Partners Group Holding, Straumann, UBS Group

Title

CH1548131023 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131023

Maturity Date

10.05.2027

Underlying

Partners Group Holding AG, Straumann Holding AG, UBS Group AG - CH1548131023

12.65% p.a. Autocallable Reverse Convertible on Amazon.com, NVIDIA

Title

CH1532239782 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239782

Maturity Date

03.12.2026

Underlying

Amazon.com Inc., NVIDIA Corp. - CH1532239782

12.65% p.a. Barrier Reverse Convertible on IBM, Salesforce

Title

CH1548135339 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135339

Maturity Date

01.06.2027

Underlying

Salesforce, Inc., International Business Machines Corp. - CH1548135339

12.66% p.a. Barrier Reverse Convertible on EssilorLuxottica, Siemens, TotalEnergies

Title

CH1532238859 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238859

Maturity Date

02.03.2027

Underlying

EssilorLuxottica SA, Siemens AG, TotalEnergies SE - CH1532238859

12.67% (12.67% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Richemont, VAT

Title

CH1492028696 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028696

Maturity Date

19.01.2027

Underlying

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, VAT Group AG - CH1492028696

12.67% p.a. Autocallable Barrier Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1492035675 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035675

Maturity Date

18.02.2027

Underlying

SAP SE, LVMH Moët Hennessy Louis Vuitton SE, ASML Holding NV - CH1492035675

12.67% p.a. Autocallable Reverse Convertible on SAP, Société Générale (Quanto USD)

Title

CH1532242679 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242679

Maturity Date

17.09.2027

Underlying

Société Générale, SAP SE - CH1532242679

12.68% (12.68% p.a.) Barrier Reverse Convertible on Chevron, Exxon Mobil, SLB Ltd

Title

CH1492020974 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020974

Maturity Date

18.11.2026

Underlying

SLB Ltd, Chevron Corp., Exxon Mobil Corp. - CH1492020974

12.68% p.a. Autocallable Barrier Reverse Convertible on Lindt & Sprüngli, Novo Nordisk (Quanto EUR)

Title

CH1548135313 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135313

Maturity Date

31.05.2027

Underlying

Lindt & Sprüngli AG, Novo Nordisk A/S - CH1548135313

12.68% p.a. Callable Barrier Reverse Convertible on Galderma Group, Richemont, Straumann, UBS Group

Title

CH1548136790 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136790

Maturity Date

09.06.2027

Underlying

Straumann Holding AG, Compagnie Financière Richemont SA, UBS Group AG, Galderma Group Ltd - CH1548136790

12.68% p.a. Reverse Convertible on Cloudflare Inc, Okta, Zscaler (Quanto EUR)

Title

CH1548134829 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134829

Maturity Date

08.06.2028

Underlying

Cloudflare Inc, Zscaler Inc., Okta Inc. - CH1548134829

12.69% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Rheinmetall (Quanto GBP)

Title

CH1532242844 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242844

Maturity Date

21.09.2027

Underlying

Alibaba Group Holding Limited, Rheinmetall AG - CH1532242844

12.69% p.a. Autocallable Reverse Convertible on Capgemini SE

Title

CH1492036145 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492036145

Maturity Date

22.02.2027

Underlying

Capgemini SE

12.69% p.a. Autocallable Reverse Convertible on Coinbase Global Inc.

Title

CH1468579607 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1468579607

Maturity Date

28.01.2027

Underlying

Coinbase Global Inc.

12.70% p.a. Autocallable Barrier Reverse Convertible on Adecco, Julius Bär, Sandoz Group, Sika

Title

CH1476905372 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476905372

Maturity Date

31.08.2026

Underlying

Sika AG, Julius Bär Gruppe AG, Adecco Group AG, Sandoz Group AG - CH1476905372

12.70% p.a. Autocallable Reverse Convertible on Meta Platforms, Nike, Uber Technologies

Title

CH1548140255 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140255

Maturity Date

30.12.2027

Underlying

Meta Platforms Inc., Uber Technologies Inc., Nike Inc. - CH1548140255

12.70% p.a. Autocallable Reverse Convertible on SLB Ltd

Title

CH1548128516 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128516

Maturity Date

27.10.2026

Underlying

Schlumberger Ltd

12.70% p.a. Barrier Reverse Convertible on Holcim, Lonza, Richemont

Title

CH1492029322 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029322

Maturity Date

21.01.2027

Underlying

Compagnie Financière Richemont SA, Lonza Group AG, Holcim Ltd - CH1492029322

12.71% p.a. Barrier Reverse Convertible on SIG Group, Straumann, Swatch

Title

CH1548136212 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136212

Maturity Date

07.06.2027

Underlying

Straumann Holding AG, The Swatch Group AG, SIG Group AG - CH1548136212

12.73% (25.46% p.a.) Barrier Reverse Convertible on Alcoa Corporation

Title

CH1548127344 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548127344

Maturity Date

21.10.2026

Underlying

Alcoa Corporation

12.73% p.a. Reverse Convertible on ConocoPhillips, Dow Inc

Title

CH1548133201 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133201

Maturity Date

18.05.2027

Underlying

ConocoPhillips, Dow Inc - CH1548133201

12.74% (12.71% p.a.) Barrier Reverse Convertible on Alphabet, NVIDIA

Title

CH1492031583 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031583

Maturity Date

01.02.2027

Underlying

Alphabet, Inc., NVIDIA Corp. - CH1492031583

12.74% p.a. Autocallable Reverse Convertible on Alibaba Group, JD.com

Title

CH1548143523 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143523

Maturity Date

19.07.2027

Underlying

Alibaba Group Holding Limited, JD.com, Inc. - CH1548143523

12.74% p.a. Reverse Convertible on Accenture, Alphabet

Title

CH1532244212 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244212

Maturity Date

27.09.2027

Underlying

Accenture PLC, Alphabet, Inc. - CH1532244212

12.75% (12.68% p.a.) Barrier Reverse Convertible on Deutsche Bank, Société Générale

Title

CH1492036103 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036103

Maturity Date

22.02.2027

Underlying

Société Générale, Deutsche Bank AG - CH1492036103

12.76% p.a. Barrier Reverse Convertible on Apple, NVIDIA, Tesla (Quanto CHF)

Title

CH1492027284 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027284

Maturity Date

09.01.2029

Underlying

Tesla Inc., Apple Inc., NVIDIA Corp. - CH1492027284

12.77% (17.03% p.a.) Reverse Convertible on Logitech, Richemont, VAT

Title

CH1532242711 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242711

Maturity Date

17.12.2026

Underlying

Compagnie Financière Richemont SA, VAT Group AG, Logitech International SA - CH1532242711

12.77% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Apple, Meta Platforms, Microsoft (Quanto EUR)

Title

CH1532238016 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238016

Maturity Date

26.01.2027

Underlying

Microsoft Corp., Apple Inc., Meta Platforms Inc., Amazon.com Inc. - CH1532238016

12.78% p.a. Autocallable Reverse Convertible on Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548137582 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137582

Maturity Date

14.06.2027

Underlying

Meta Platforms Inc., NVIDIA Corp. - CH1548137582

12.78% p.a. Barrier Reverse Convertible on Allianz, Galderma Group, SAP, Sika, Straumann, Visa (Quanto CHF)

Title

CH1548138358 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138358

Maturity Date

17.06.2027

Underlying

Galderma Group Ltd, Straumann Holding AG, Sika AG, Visa Inc., Allianz SE, SAP SE - CH1548138358

12.79% (12.86% p.a.) Reverse Convertible on Comet, VAT

Title

CH1532246373 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246373

Maturity Date

07.04.2027

Underlying

VAT Group AG, Comet Holding AG - CH1532246373

12.79% p.a. Autocallable Reverse Convertible on Siemens Energy AG

Title

CH1548140214 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140214

Maturity Date

30.03.2027

Underlying

Siemens Energy AG

12.79% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1492018150 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018150

Maturity Date

29.10.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1492018150

12.79% p.a. Barrier Reverse Convertible on Nestlé, Richemont, Swisscom

Title

CH1532242299 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242299

Maturity Date

16.03.2027

Underlying

Swisscom AG, Nestlé SA, Compagnie Financière Richemont SA - CH1532242299

12.79% p.a. Barrier Reverse Convertible on The Blackstone Group Inc. (Quanto CHF)

Title

CH1548130124 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130124

Maturity Date

02.11.2026

Underlying

The Blackstone Group Inc.

12.80% p.a. Autocallable Reverse Convertible on Amazon.com, Microsoft, Oracle

Title

CH1548129175 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129175

Maturity Date

29.10.2027

Underlying

Amazon.com Inc., Microsoft Corp., Oracle Corp. - CH1548129175

12.81% p.a. Autocallable Reverse Convertible on Abbott Labs, UnitedHealth

Title

CH1532238008 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238008

Maturity Date

25.08.2026

Underlying

Abbott Laboratories, UnitedHealth Group Inc. - CH1532238008

12.83% (12.76% p.a.) Barrier Reverse Convertible on Logitech, Novo Nordisk, UBS Group (Quanto CHF)

Title

CH1492036129 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036129

Maturity Date

22.02.2027

Underlying

Logitech International SA, Novo Nordisk A/S, UBS Group AG - CH1492036129

12.84% (12.84% p.a.) Barrier Reverse Convertible on Partners Group Holding, Sandoz Group, Swiss Re

Title

CH1532240061 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240061

Maturity Date

05.03.2027

Underlying

Sandoz Group AG, Swiss Re AG, Partners Group Holding AG - CH1532240061

12.84% p.a. Barrier Reverse Convertible on Bachem, STMicroelectronics, Tecan (Quanto CHF)

Title

CH1532245862 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245862

Maturity Date

06.04.2027

Underlying

Tecan Group Ltd., Bachem Holding AG, STMicroelectronics NV - CH1532245862

12.85% p.a. Autocallable Reverse Convertible on Amazon.com, Netflix

Title

CH1532241804 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241804

Maturity Date

12.03.2027

Underlying

Netflix Inc., Amazon.com Inc. - CH1532241804

12.90% p.a. Autocallable Barrier Reverse Convertible on Nike, On Holding (Quanto EUR)

Title

CH1548144422 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144422

Maturity Date

22.07.2027

Underlying

Nike Inc., On Holding Ltd - CH1548144422

12.91% p.a. Autocallable Barrier Reverse Convertible on ABB, Lonza, Swatch

Title

CH1492031385 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031385

Maturity Date

01.02.2027

Underlying

ABB Ltd, The Swatch Group AG, Lonza Group AG - CH1492031385

12.91% p.a. Autocallable Multi FCN on Amazon.com, MercadoLibre, S&P Global

Title

CH1492029009 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029009

Maturity Date

29.10.2026

Underlying

MercadoLibre Inc., S&P Global Inc., Amazon.com Inc. - CH1492029009

12.92% (12.93% p.a.) Barrier Reverse Convertible on Alphabet, Apple, Microsoft, NVIDIA

Title

CH1548127229 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127229

Maturity Date

21.04.2027

Underlying

Apple Inc., NVIDIA Corp., Microsoft Corp., Alphabet, Inc. - CH1548127229

12.92% (17.75% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy (Quanto EUR)

Title

CH1532245094 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245094

Maturity Date

29.12.2026

Underlying

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245094

12.93% (12.93% p.a.) Barrier Reverse Convertible on Novo Nordisk A/S (Quanto EUR)

Title

CH1476908277 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476908277

Maturity Date

18.09.2026

Underlying

Novo Nordisk A/S

12.94% p.a. Callable Barrier Reverse Convertible on Adidas, Beiersdorf, Henkel (Quanto CAD)

Title

CH1468580449 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580449

Maturity Date

05.08.2026

Underlying

Adidas AG, Beiersdorf AG, Henkel AG & Co. KGaA - CH1468580449

12.96% (17.35% p.a.) Barrier Reverse Convertible on Baker Hughes, Cheniere Energy, Diamondback Energy

Title

CH1548141832 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141832

Maturity Date

06.04.2027

Underlying

Baker Hughes Co., Cheniere Energy Inc., Diamondback Energy Inc. - CH1548141832

12.96% p.a. Autocallable Barrier Reverse Convertible on Carnival, Royal Caribbean Cruises, Volkswagen (Quanto USD)

Title

CH1492034843 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034843

Maturity Date

17.02.2027

Underlying

Volkswagen AG, Royal Caribbean Cruises Ltd., Carnival Corp. - CH1492034843

12.96% p.a. Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Richemont, Zurich Insurance

Title

CH1492025023 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025023

Maturity Date

17.12.2026

Underlying

Compagnie Financière Richemont SA, Kuehne + Nagel International AG, Geberit AG, Zurich Insurance Group Ltd - CH1492025023

12.98% p.a. Autocallable Barrier Reverse Convertible on Adyen , DSM-Firmenich, Infineon

Title

CH1492024612 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024612

Maturity Date

16.10.2026

Underlying

Adyen N.V., Infineon Technologies AG, DSM-Firmenich AG - CH1492024612

12Y USD CMS Spread Range Accrual Bonds 2014(26)

Title

A1ZN2M - Compartment 3

Category

Structured Products - Rates

ISIN

DE000A1ZN2M9

Maturity Date

16.09.2026

Underlying

HSH Nordbank 2026 Zerobond

12y EUR Accumulus Composite Return Index Tracker

Title

A14A6N - Compartment 14

Category

Instifolio - Alternative

ISIN

DE000A14A6N3

Maturity Date

12.03.2027

Underlying

Accumulus Index (EUR)

12y EUR Everest Composite Index Tracker

Title

A1Z3EL - Compartment 23

Category

Instifolio - Alternative

ISIN

DE000A1Z3EL7

Maturity Date

13.07.2027

Underlying

Everest Secured Loan Fund (EUR),SUV Horizon Fund (EUR)

12y USD Accumulus Composite Return Index Tracker

Title

A14A6M - Compartment 15

Category

Instifolio - Alternative

ISIN

DE000A14A6M5

Maturity Date

12.03.2027

Underlying

Accumulus Index (USD)

12y USD Accumulus Composite Yield Index Tracker

Title

A14DZZ - Compartment 13

Category

Instifolio - Alternative

ISIN

DE000A14DZZ4

Maturity Date

25.01.2027

Underlying

USD Accumulus Composite Yield Index

13.00% p.a. Autocallable Reverse Convertible on Infineon, Uber Technologies (Quanto GBP)

Title

CH1492032417 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032417

Maturity Date

04.02.2027

Underlying

Uber Technologies Inc., Infineon Technologies AG - CH1492032417

13.00% p.a. Autocallable Reverse Convertible on Palo Alto Networks, Salesforce, ServiceNow

Title

CH1492019695 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019695

Maturity Date

09.11.2026

Underlying

Salesforce, Inc., Palo Alto Networks, Inc., ServiceNow Inc - CH1492019695

13.00% p.a. Autocallable Reverse Convertible on Spotify Technology S.A. (Quanto EUR)

Title

CH1532244618 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532244618

Maturity Date

29.12.2026

Underlying

Spotify Technology S.A.

13.01% p.a. Callable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton, Richemont (Quanto CHF)

Title

CH1548144869 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144869

Maturity Date

26.07.2027

Underlying

Kering SA, LVMH Moët Hennessy Louis Vuitton SE, Hermes International, Compagnie Financière Richemont SA - CH1548144869

13.02% p.a. Autocallable Barrier Reverse Convertible on Alcon, Galderma Group, Lonza, Sandoz Group, Siegfried

Title

CH1532244600 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244600

Maturity Date

31.03.2027

Underlying

Alcon Inc., Galderma Group Ltd, Sandoz Group AG, Lonza Group AG, Siegfried Holding AG - CH1532244600

13.02% p.a. Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA (Quanto EUR)

Title

CH1548135370 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135370

Maturity Date

01.06.2027

Underlying

Alphabet, Inc., Amazon.com Inc., Microsoft Corp., NVIDIA Corp. - CH1548135370

13.03% (26.06% p.a.) Barrier Reverse Convertible on ASML, Infineon

Title

CH1548138044 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138044

Maturity Date

16.12.2026

Underlying

ASML Holding NV, Infineon Technologies AG - CH1548138044

13.03% p.a. Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, SAP

Title

CH1548127427 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127427

Maturity Date

22.04.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, SAP SE - CH1548127427

13.03% p.a. Barrier Reverse Convertible on PSP Swiss Property, Swiss Prime Site, VAT

Title

CH1548126346 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126346

Maturity Date

16.04.2027

Underlying

PSP Swiss Property AG, Swiss Prime Site AG, VAT Group AG - CH1548126346

13.04% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, NVIDIA, Tesla

Title

CH1492031070 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031070

Maturity Date

29.01.2027

Underlying

Meta Platforms Inc., NVIDIA Corp., Tesla Inc. - CH1492031070

13.04% p.a. Barrier Reverse Convertible on Alphabet, Apple, NVIDIA

Title

CH1476906867 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906867

Maturity Date

10.09.2026

Underlying

Alphabet, Inc., NVIDIA Corp., Apple Inc. - CH1476906867

13.05% p.a. Autocallable Reverse Convertible on NetEase, Taiwan Semiconductor Manufacturing

Title

CH1548143549 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143549

Maturity Date

19.07.2027

Underlying

NetEase, Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548143549

13.06% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk, Roche, Sanofi (Quanto EUR)

Title

CH1468579862 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579862

Maturity Date

30.07.2026

Underlying

Novo Nordisk A/S, Sanofi SA, Roche Holding AG - CH1468579862

13.08% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm (Quanto EUR)

Title

CH1532242539 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242539

Maturity Date

17.03.2028

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1532242539

13.09% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Elevance Health, Merck (Quanto EUR)

Title

CH1476908665 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908665

Maturity Date

21.09.2026

Underlying

Alibaba Group Holding Limited, Elevance Health Inc., Merck & Co. Inc. - CH1476908665

13.09% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, MP Materials Corp (Quanto CHF)

Title

CH1492032201 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032201

Maturity Date

04.05.2027

Underlying

Amazon.com Inc., Meta Platforms Inc., MP Materials Corp - CH1492032201

13.09% p.a. Barrier Reverse Convertible on Barry Callebaut, BKW, Georg Fischer

Title

CH1548143598 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143598

Maturity Date

19.07.2027

Underlying

Georg Fischer AG, BKW AG, Barry Callebaut AG - CH1548143598

13.09% p.a. Barrier Reverse Convertible on Logitech, Lonza, Swiss Life

Title

CH1532245060 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245060

Maturity Date

02.04.2027

Underlying

Lonza Group AG, Swiss Life Holding AG, Logitech International SA - CH1532245060

13.09% p.a. Callable Reverse Convertible on Apple, Broadcom, Intel

Title

CH1548136535 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136535

Maturity Date

08.06.2028

Underlying

Broadcom Inc., Intel Corp., Apple Inc. - CH1548136535

13.10% p.a. Callable Barrier Reverse Convertible on AXA, Hannover Rück, Munich Re, SCOR, Swiss Re (Quanto CHF)

Title

CH1548138291 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138291

Maturity Date

17.06.2027

Underlying

SCOR SE, Swiss Re AG, Münchener Rückversicherungs AG, Hannover Rück SE, AXA SA - CH1548138291

13.11% (13.11% p.a.) Barrier Reverse Convertible on Adidas, Lululemon Athletica, Nike (Quanto CHF)

Title

CH1476908301 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908301

Maturity Date

18.09.2026

Underlying

Lululemon Athletica Inc., Adidas AG, Nike Inc. - CH1476908301

13.11% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Meta Platforms (Quanto GBP)

Title

CH1548139612 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139612

Maturity Date

29.12.2027

Underlying

Crowdstrike Holdings Inc., Meta Platforms Inc. - CH1548139612

13.12% (13.12% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1532238248 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238248

Maturity Date

26.02.2027

Underlying

ASML Holding NV

13.12% p.a. Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548135974 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135974

Maturity Date

07.06.2027

Underlying

Marvell Technology Group Ltd.

13.15% p.a. Autocallable Reverse Convertible on Marvell Technology , Tesla

Title

CH1492027417 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027417

Maturity Date

12.01.2027

Underlying

Marvell Technology Group Ltd., Tesla Inc. - CH1492027417

13.17% p.a. Barrier Reverse Convertible on Amrize Ltd, Barry Callebaut, Lonza

Title

CH1548140669 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140669

Maturity Date

30.06.2027

Underlying

Barry Callebaut AG, Lonza Group AG, Amrize Ltd - CH1548140669

13.18% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto EUR)

Title

CH1492030338 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030338

Maturity Date

27.01.2027

Underlying

Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The, Bayerische Motoren Werke AG - CH1492030338

13.18% p.a. Reverse Convertible on Bucher, Georg Fischer

Title

CH1548128458 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128458

Maturity Date

01.03.2027

Underlying

Bucher Industries AG, Georg Fischer AG - CH1548128458

13.19% (26.09% p.a.) Reverse Convertible on American Airlines, Delta Air Lines, United Airlines Holdings

Title

CH1532243198 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243198

Maturity Date

21.09.2026

Underlying

United Airlines Holdings Inc., American Airlines Group Inc., Delta Air Lines Inc. - CH1532243198

13.19% p.a. Barrier Reverse Convertible on Kuehne + Nagel, Partners Group Holding, Sonova

Title

CH1532243610 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243610

Maturity Date

22.03.2027

Underlying

Kuehne + Nagel International AG, Partners Group Holding AG, Sonova Holding AG - CH1532243610

13.20% p.a. Autocallable Barrier Reverse Convertible on ASML, Goodyear, ING (Quanto EUR)

Title

CH1532238958 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238958

Maturity Date

02.03.2027

Underlying

ING Groep N.V., ASML Holding NV, Goodyear Tire & Rubber Co./The - CH1532238958

13.21% (25.99% p.a.) Barrier Reverse Convertible on 3M, Accenture

Title

CH1548126312 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126312

Maturity Date

19.10.2026

Underlying

3M Company, Accenture PLC - CH1548126312

13.21% p.a. Autocallable Barrier Reverse Convertible on Partners Group Holding, Swiss Life, Swiss Re, UBS Group, Zurich Insurance

Title

CH1548133649 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133649

Maturity Date

21.05.2027

Underlying

Partners Group Holding AG, Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd, UBS Group AG - CH1548133649

13.23% (13.23% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, Palo Alto Networks, Visa

Title

CH1492020982 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020982

Maturity Date

18.11.2026

Underlying

Apple Inc., Visa Inc., Palo Alto Networks, Inc., Amazon.com Inc. - CH1492020982

13.23% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com, Apple

Title

CH1492029181 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029181

Maturity Date

20.07.2027

Underlying

Apple Inc., Amazon.com Inc., Alphabet, Inc. - CH1492029181

13.24% p.a. Callable Reverse Convertible on Broadcom, Micron Technology, NVIDIA (Quanto CHF)

Title

CH1548142491 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142491

Maturity Date

13.07.2028

Underlying

Micron Technology Inc., Broadcom Inc., NVIDIA Corp. - CH1548142491

13.25% p.a. Autocallable Barrier Reverse Convertible on Airbnb, Pinterest, ServiceNow (Quanto CHF)

Title

CH1548134563 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134563

Maturity Date

31.05.2028

Underlying

Pinterest Inc., ServiceNow Inc, Airbnb Inc. - CH1548134563

13.25% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, Mobileye Global, ServiceNow

Title

CH1492022277 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022277

Maturity Date

30.11.2027

Underlying

Mobileye Global Inc., Meta Platforms Inc., ServiceNow Inc - CH1492022277

13.26% (13.12% p.a.) Barrier Reverse Convertible on ABB, Schneider Electric, Siemens (Quanto EUR)

Title

CH1532245201 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245201

Maturity Date

05.04.2027

Underlying

ABB Ltd, Schneider Electric SE, Siemens AG - CH1532245201

13.26% p.a. Reverse Convertible on Alibaba Group, Ferrari

Title

CH1548127179 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127179

Maturity Date

21.04.2027

Underlying

Ferrari N.V., Alibaba Group Holding Limited - CH1548127179

13.27% (13.16% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1492036434 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036434

Maturity Date

23.02.2027

Underlying

SAP SE, Microsoft Corp., Oracle Corp. - CH1492036434

13.27% (26.24% p.a.) Reverse Convertible on ServiceNow Inc

Title

CH1548134431 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548134431

Maturity Date

30.11.2026

Underlying

ServiceNow Inc

13.29% p.a. Autocallable Barrier Reverse Convertible on AXA, UBS Group, UniCredit (Quanto EUR)

Title

CH1548137905 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137905

Maturity Date

15.06.2027

Underlying

AXA SA, UniCredit SpA, UBS Group AG - CH1548137905

13.30% (13.34% p.a.) Barrier Reverse Convertible on Allianz, Deutsche Telekom, SAP

Title

CH1548130553 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130553

Maturity Date

05.05.2027

Underlying

SAP SE, Allianz SE, Deutsche Telekom AG - CH1548130553

13.30% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1492030833 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492030833

Maturity Date

28.01.2027

Underlying

Rheinmetall AG

13.30% p.a. Autocallable Reverse Convertible on BNP Paribas, Deutsche Bank, Société Générale

Title

CH1532243321 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243321

Maturity Date

20.09.2027

Underlying

Deutsche Bank AG, BNP Paribas, Société Générale - CH1532243321

13.30% p.a. Autocallable Reverse Convertible on Microsoft, NVIDIA

Title

CH1532244345 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244345

Maturity Date

29.03.2027

Underlying

NVIDIA Corp., Microsoft Corp. - CH1532244345

13.30% p.a. Callable Reverse Convertible on ASML, Micron Technology, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548132724 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132724

Maturity Date

15.05.2028

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Micron Technology Inc. - CH1548132724

13.31% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, Tencent (Quanto EUR)

Title

CH1492031153 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031153

Maturity Date

29.01.2027

Underlying

Alibaba Group Holding Limited, Amazon.com Inc., Tencent Holdings Limited - CH1492031153

13.32% (13.32% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Straumann, Swatch

Title

CH1492036483 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036483

Maturity Date

23.02.2027

Underlying

Straumann Holding AG, The Swatch Group AG, Sika AG, Kuehne + Nagel International AG - CH1492036483

13.32% p.a. Callable Reverse Convertible on Givaudan, Sonova (Quanto USD)

Title

CH1492020024 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020024

Maturity Date

12.11.2026

Underlying

Sonova Holding AG, Givaudan SA - CH1492020024

13.32% p.a. Reverse Convertible on Cameco, GE Vernova (Quanto CHF)

Title

CH1548133938 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133938

Maturity Date

24.05.2027

Underlying

GE Vernova Inc., Cameco Corp. - CH1548133938

13.33% (13.33% p.a.) Barrier Reverse Convertible on BNP Paribas, EssilorLuxottica, ING

Title

CH1548134662 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134662

Maturity Date

27.05.2027

Underlying

BNP Paribas, EssilorLuxottica SA, ING Groep N.V. - CH1548134662

13.34% (26.69% p.a.) Barrier Reverse Convertible on Micron Technology Inc.

Title

CH1548127013 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548127013

Maturity Date

20.10.2026

Underlying

Micron Technology Inc.

13.34% p.a. Autocallable Reverse Convertible on AMD, NVIDIA, Palantir

Title

CH1532241630 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241630

Maturity Date

11.03.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Palantir Technologies Inc. - CH1532241630

13.35% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rolls-Royce, Saab AB (Quanto EUR)

Title

CH1492017632 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017632

Maturity Date

28.10.2026

Underlying

Saab AB, Rolls-Royce Holdings PLC, RENK Group AG - CH1492017632

13.36% (26.73% p.a.) Reverse Convertible on Moderna, ServiceNow (Quanto EUR)

Title

CH1548137475 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137475

Maturity Date

11.12.2026

Underlying

Moderna Inc., ServiceNow Inc - CH1548137475

13.36% p.a. Autocallable Barrier Reverse Convertible on AMD, Broadcom, Taiwan Semiconductor Manufacturing

Title

CH1548130942 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130942

Maturity Date

08.11.2027

Underlying

Advanced Micro Devices Inc., Broadcom Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548130942

13.36% p.a. Autocallable Barrier Reverse Convertible on Lonza, Partners Group Holding, Roche, VAT

Title

CH1492030262 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030262

Maturity Date

29.12.2026

Underlying

VAT Group AG, Lonza Group AG, Roche Holding AG, Partners Group Holding AG - CH1492030262

13.37% p.a. Autocallable Barrier Reverse Convertible on Moderna Inc. (Quanto GBP)

Title

CH1548144190 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144190

Maturity Date

21.07.2027

Underlying

Moderna Inc.

13.37% p.a. Autocallable Reverse Convertible on Oracle, Salesforce

Title

CH1532246027 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246027

Maturity Date

06.07.2027

Underlying

Oracle Corp., Salesforce, Inc. - CH1532246027

13.40% p.a. Autocallable Reverse Convertible on Apple, Broadcom, Dell Technologies

Title

CH1532242653 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242653

Maturity Date

17.03.2027

Underlying

Apple Inc., Broadcom Inc., Dell Technologies Inc. - CH1532242653

13.41% p.a. Barrier Reverse Convertible on Eli Lilly, Merck KGaA, Novartis, Roche (Quanto CHF)

Title

CH1548140974 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140974

Maturity Date

02.11.2026

Underlying

Novartis AG, Roche Holding AG, Eli Lilly & Co., Merck KGaA - CH1548140974

13.42% p.a. Autocallable Barrier Reverse Convertible on Coca-Cola, McDonalds, Nike

Title

CH1548142178 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142178

Maturity Date

09.07.2027

Underlying

Nike Inc., McDonalds Corp., Coca-Cola Company - CH1548142178

13.43% (13.28% p.a.) Barrier Reverse Convertible on ING, SAP, Tui

Title

CH1492021162 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021162

Maturity Date

18.11.2026

Underlying

ING Groep N.V., SAP SE, Tui AG - CH1492021162

13.43% p.a. Barrier Reverse Convertible on ENGIE, ENI, Kering

Title

CH1548136121 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136121

Maturity Date

07.06.2027

Underlying

ENI SpA, Kering SA, ENGIE SA - CH1548136121

13.44% (13.37% p.a.) Barrier Reverse Convertible on SIG Group, Sika, VAT

Title

CH1532243552 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243552

Maturity Date

22.03.2027

Underlying

VAT Group AG, Sika AG, SIG Group AG - CH1532243552

13.44% (13.44% p.a.) Barrier Reverse Convertible on ASML, Schneider Electric, Siemens Energy

Title

CH1492020040 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020040

Maturity Date

11.11.2026

Underlying

ASML Holding NV, Schneider Electric SE, Siemens Energy AG - CH1492020040

13.44% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, MercadoLibre (Quanto GBP)

Title

CH1532239311 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239311

Maturity Date

02.03.2028

Underlying

Alibaba Group Holding Limited, MercadoLibre Inc. - CH1532239311

13.44% p.a. Autocallable Barrier Reverse Convertible on Bachem, Bristol-Myers Squibb, Sanofi, Siegfried (Quanto EUR)

Title

CH1532246902 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246902

Maturity Date

09.04.2027

Underlying

Siegfried Holding AG, Bachem Holding AG, Bristol-Myers Squibb Co., Sanofi SA - CH1532246902

13.44% p.a. Autocallable Barrier Reverse Convertible on Novartis, Novo Nordisk, Straumann (Quanto CHF)

Title

CH1548144448 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144448

Maturity Date

22.07.2027

Underlying

Novo Nordisk A/S, Straumann Holding AG, Novartis AG - CH1548144448

13.45% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548130462 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130462

Maturity Date

05.05.2027

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548130462

13.46% p.a. Autocallable Reverse Convertible on GE Vernova, NVIDIA, Tesla

Title

CH1548144521 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144521

Maturity Date

25.01.2028

Underlying

NVIDIA Corp., Tesla Inc., GE Vernova Inc. - CH1548144521

13.46% p.a. Barrier Reverse Convertible on CNH Industrial N.V. (Quanto CHF)

Title

CH1548130017 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130017

Maturity Date

02.11.2026

Underlying

CNH Industrial N.V.

13.48% p.a. Autocallable Reverse Convertible on Oracle Corp.

Title

CH1548142228 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142228

Maturity Date

10.01.2028

Underlying

Oracle Corp.

13.49% (13.53% p.a.) Reverse Convertible on Micron Technology Inc.

Title

CH1548134753 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548134753

Maturity Date

28.05.2027

Underlying

Micron Technology Inc.

13.49% p.a. Autocallable Reverse Convertible on NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548141238 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141238

Maturity Date

05.01.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp. - CH1548141238

13.49% p.a. Barrier Reverse Convertible on Comet, Inficon, VAT

Title

CH1476909440 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909440

Maturity Date

25.09.2026

Underlying

VAT Group AG, Inficon Holding AG, Comet Holding AG - CH1476909440

13.50% p.a. Autocallable Barrier Reverse Convertible on Microsoft, NVIDIA, SAP (Quanto EUR)

Title

CH1492032920 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032920

Maturity Date

08.02.2027

Underlying

NVIDIA Corp., Microsoft Corp., SAP SE - CH1492032920

13.51% (26.74% p.a.) Barrier Reverse Convertible on CME , Deutsche Bank, IntercontinentalExchange (Quanto USD)

Title

CH1548132732 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132732

Maturity Date

17.11.2026

Underlying

CME Group Inc., Deutsche Bank AG, IntercontinentalExchange Inc. - CH1548132732

13.51% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology , Microsoft, SAP (Quanto EUR)

Title

CH1492033274 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033274

Maturity Date

10.05.2027

Underlying

Marvell Technology Group Ltd., Microsoft Corp., SAP SE - CH1492033274

13.51% p.a. Reverse Convertible on Microsoft, NVIDIA, Oracle (Quanto EUR)

Title

CH1548128623 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128623

Maturity Date

28.04.2027

Underlying

Oracle Corp., Microsoft Corp., NVIDIA Corp. - CH1548128623

13.52% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476909556 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909556

Maturity Date

25.09.2026

Underlying

Rheinmetall AG, RENK Group AG - CH1476909556

13.52% p.a. Barrier Reverse Convertible on Logitech, Richemont, UBS Group

Title

CH1548128425 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128425

Maturity Date

27.04.2027

Underlying

UBS Group AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548128425

13.54% (13.43% p.a.) Barrier Reverse Convertible on Kering, LVMH Moët Hennessy Louis Vuitton, Novo Nordisk (Quanto EUR)

Title

CH1492026476 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026476

Maturity Date

05.01.2027

Underlying

Kering SA, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1492026476

13.56% (11.15% p.a.) Barrier Reverse Convertible on Dell Technologies, Uber Technologies

Title

CH1492035840 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035840

Maturity Date

07.05.2027

Underlying

Uber Technologies Inc., Dell Technologies Inc. - CH1492035840

13.56% (13.49% p.a.) Barrier Reverse Convertible on BP, Shell (Quanto GBP)

Title

CH1548140115 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140115

Maturity Date

28.06.2027

Underlying

BP PLC, Shell PLC - CH1548140115

13.58% p.a. Reverse Convertible on NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548129134 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129134

Maturity Date

29.01.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp. - CH1548129134

13.60% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Société Générale, UBS Group (Quanto CHF)

Title

CH1492032003 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032003

Maturity Date

02.02.2027

Underlying

Commerzbank AG, Société Générale, UBS Group AG - CH1492032003

13.62% p.a. Callable Barrier Reverse Convertible on Holcim, Straumann, Zurich Insurance

Title

CH1492034280 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034280

Maturity Date

12.02.2027

Underlying

Holcim Ltd, Straumann Holding AG, Zurich Insurance Group Ltd - CH1492034280

13.63% (13.63% p.a.) Barrier Reverse Convertible on ASML, BASF, Kering

Title

CH1492033597 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033597

Maturity Date

10.02.2027

Underlying

ASML Holding NV, BASF SE, Kering SA - CH1492033597

13.63% p.a. Reverse Convertible on Palantir Technologies Inc.

Title

CH1532244196 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532244196

Maturity Date

25.09.2026

Underlying

Palantir Technologies Inc.

13.65% (6.80% p.a.) Reverse Convertible on Danone, Endesa, Pfizer (Quanto EUR)

Title

CH1548134969 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134969

Maturity Date

31.05.2028

Underlying

Danone SA, Endesa SA, Pfizer Inc. - CH1548134969

13.67% (13.67% p.a.) Barrier Reverse Convertible on AXA, Munich Re, SAP

Title

CH1492034983 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034983

Maturity Date

16.02.2027

Underlying

AXA SA, Münchener Rückversicherungs AG, SAP SE - CH1492034983

13.68% (13.60% p.a.) Barrier Reverse Convertible on Altria, Macy's

Title

CH1548132930 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132930

Maturity Date

17.05.2027

Underlying

Altria Group Inc., Macy's Inc. - CH1548132930

13.68% p.a. Autocallable Multi FCN on Broadcom, MSCI, Super Micro Computer Inc

Title

CH1492019166 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019166

Maturity Date

14.08.2026

Underlying

MSCI Inc., Super Micro Computer Inc, Broadcom Inc. - CH1492019166

13.70% p.a. Barrier Reverse Convertible on Infineon, Merck KGaA, Unilever PLC

Title

CH1492032698 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032698

Maturity Date

05.02.2027

Underlying

Merck KGaA, Unilever PLC, Infineon Technologies AG - CH1492032698

13.72% p.a. Autocallable Barrier Reverse Convertible on Logitech, VAT

Title

CH1492027870 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027870

Maturity Date

14.07.2027

Underlying

VAT Group AG, Logitech International SA - CH1492027870

13.75% p.a. Callable Barrier Reverse Convertible on BNP Paribas, Generali, UniCredit (Quanto CHF)

Title

CH1548137012 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137012

Maturity Date

10.09.2027

Underlying

BNP Paribas, Assicurazioni Generali SpA, UniCredit SpA - CH1548137012

13.76% p.a. Autocallable Reverse Convertible on Applied Materials Inc.

Title

CH1548144547 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144547

Maturity Date

25.01.2028

Underlying

Applied Materials Inc.

13.76% p.a. Reverse Convertible on Amazon.com, AMD, Micron Technology (Quanto EUR)

Title

CH1548134894 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134894

Maturity Date

28.05.2027

Underlying

Advanced Micro Devices Inc., Amazon.com Inc., Micron Technology Inc. - CH1548134894

13.78% p.a. Autocallable Barrier Reverse Convertible on Adecco, Logitech, Richemont

Title

CH1476907261 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907261

Maturity Date

14.09.2026

Underlying

Adecco Group AG, Logitech International SA, Compagnie Financière Richemont SA - CH1476907261

13.78% p.a. Autocallable Barrier Reverse Convertible on IBM, Microsoft, NVIDIA (Quanto CHF)

Title

CH1492022871 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022871

Maturity Date

03.12.2026

Underlying

International Business Machines Corp., Microsoft Corp., NVIDIA Corp. - CH1492022871

13.80% (13.80% p.a.) Barrier Reverse Convertible on Banco Santander, Deutsche Bank, UniCredit

Title

CH1532243982 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243982

Maturity Date

24.03.2027

Underlying

UniCredit SpA, Deutsche Bank AG, Banco Santander SA - CH1532243982

13.80% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank

Title

CH1532241333 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241333

Maturity Date

11.03.2027

Underlying

Deutsche Bank AG, Commerzbank AG - CH1532241333

13.80% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Heidelberg Materials

Title

CH1492036491 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036491

Maturity Date

23.02.2027

Underlying

Heidelberg Materials AG, Deutsche Bank AG - CH1492036491

13.80% p.a. Autocallable Multi FCN on Amazon.com, Intuit, Microsoft

Title

CH1548128177 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128177

Maturity Date

03.02.2027

Underlying

Amazon.com Inc., Microsoft Corp., Intuit Inc. - CH1548128177

13.80% p.a. Autocallable Reverse Convertible on Shopify Inc, Tesla

Title

CH1492021089 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021089

Maturity Date

18.11.2026

Underlying

Tesla Inc., Shopify Inc - CH1492021089

13.81% (13.74% p.a.) Barrier Reverse Convertible on Barry Callebaut, Givaudan, Richemont

Title

CH1492034520 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034520

Maturity Date

15.02.2027

Underlying

Barry Callebaut AG, Givaudan SA, Compagnie Financière Richemont SA - CH1492034520

13.81% (27.47% p.a.) Barrier Reverse Convertible on Oracle Corp.

Title

CH1548140461 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140461

Maturity Date

30.12.2026

Underlying

Oracle Corp.

13.81% p.a. Barrier Reverse Convertible on Swiss Life, VAT, Zurich Insurance

Title

CH1532245664 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245664

Maturity Date

06.04.2027

Underlying

VAT Group AG, Zurich Insurance Group Ltd, Swiss Life Holding AG - CH1532245664

13.82% p.a. Autocallable Barrier Reverse Convertible on Xiaomi Corporation (Quanto USD)

Title

CH1476910851 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476910851

Maturity Date

08.10.2026

Underlying

Xiaomi Corporation

13.82% p.a. Callable Reverse Convertible on Cisco Systems Inc.

Title

CH1548136105 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136105

Maturity Date

07.12.2026

Underlying

Cisco Systems Inc.

13.83% (13.83% p.a.) Barrier Reverse Convertible on Siemens, Siemens Energy, Siemens Healthineers

Title

CH1492029553 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029553

Maturity Date

22.01.2027

Underlying

Siemens AG, Siemens Energy AG, Siemens Healthineers AG - CH1492029553

13.85% p.a. Autocallable Barrier Reverse Convertible on RENK Group AG, Rolls-Royce, Saab AB (Quanto USD)

Title

CH1476908574 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908574

Maturity Date

21.09.2026

Underlying

Saab AB, Rolls-Royce Holdings PLC, RENK Group AG - CH1476908574

13.89% (13.78% p.a.) Barrier Reverse Convertible on Airbus, Hensoldt , MTU Aero Engines, Thales

Title

CH1532244469 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244469

Maturity Date

31.03.2027

Underlying

MTU Aero Engines Holdings AG, Hensoldt AG, Airbus SE, Thales SA - CH1532244469

13.89% (7.85% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Bank (Quanto CHF)

Title

CH1532244378 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244378

Maturity Date

03.01.2028

Underlying

Deutsche Bank AG, Commerzbank AG - CH1532244378

13.89% p.a. Autocallable Barrier Reverse Convertible on Best Buy, PepsiCo, Starbucks

Title

CH1476908384 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908384

Maturity Date

18.09.2026

Underlying

PepsiCo Inc., Starbucks Corp., Best Buy Co. Inc. - CH1476908384

13.89% p.a. Barrier Reverse Convertible on ABB, Richemont, VAT

Title

CH1548136139 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136139

Maturity Date

07.06.2027

Underlying

Compagnie Financière Richemont SA, VAT Group AG, ABB Ltd - CH1548136139

13.90% (13.90% p.a.) Reverse Convertible on Meta Platforms, NVIDIA (Quanto EUR)

Title

CH1548134951 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134951

Maturity Date

28.05.2027

Underlying

Meta Platforms Inc., NVIDIA Corp. - CH1548134951

13.91% (4.63% p.a.) Barrier Reverse Convertible on Société Générale

Title

CH1314930756 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1314930756

Maturity Date

22.11.2027

Underlying

Société Générale

13.91% p.a. Autocallable Barrier Reverse Convertible on Bayer, Siemens

Title

CH1532238032 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238032

Maturity Date

25.02.2027

Underlying

Bayer AG, Siemens AG - CH1532238032

13.93% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, MercadoLibre

Title

CH1548131007 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131007

Maturity Date

08.05.2028

Underlying

Alibaba Group Holding Limited, MercadoLibre Inc. - CH1548131007

13.95% p.a. Autocallable Barrier Reverse Convertible on Adyen , Banco Santander, Deutsche Telekom (Quanto CHF)

Title

CH1548131817 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131817

Maturity Date

12.02.2027

Underlying

Adyen N.V., Banco Santander SA, Deutsche Telekom AG - CH1548131817

13.95% p.a. Barrier Reverse Convertible on Bank of America, Visa, Waste Management

Title

CH1548127831 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127831

Maturity Date

23.04.2027

Underlying

Waste Management, Inc., Bank of America Corporation, Visa Inc. - CH1548127831

13.99% (13.99% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Lonza, Sika, VAT

Title

CH1492030486 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030486

Maturity Date

27.01.2027

Underlying

Lonza Group AG, VAT Group AG, Sika AG, Kuehne + Nagel International AG - CH1492030486

14.00% p.a. Callable Barrier Reverse Convertible on Amazon.com, Meta Platforms, Microsoft

Title

CH1532246399 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246399

Maturity Date

07.04.2027

Underlying

Amazon.com Inc., Microsoft Corp., Meta Platforms Inc. - CH1532246399

14.00% p.a. Callable Barrier Reverse Convertible on Lonza, SIG Group, Straumann

Title

CH1492019927 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019927

Maturity Date

10.11.2026

Underlying

Lonza Group AG, SIG Group AG, Straumann Holding AG - CH1492019927

14.01% (13.97% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, Visa (Quanto CHF)

Title

CH1492035691 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035691

Maturity Date

19.02.2027

Underlying

Microsoft Corp., Visa Inc., Oracle Corp. - CH1492035691

14.01% p.a. Autocallable Barrier Reverse Convertible on AMD, Taiwan Semiconductor Manufacturing, Tesla (Quanto EUR)

Title

CH1492017178 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017178

Maturity Date

23.10.2026

Underlying

Advanced Micro Devices Inc., Tesla Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1492017178

14.02% (27.59% p.a.) Barrier Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548142012 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142012

Maturity Date

11.01.2027

Underlying

Advanced Micro Devices Inc.

14.02% p.a. Autocallable Barrier Reverse Convertible on Novo Nordisk A/S (Quanto CHF)

Title

CH1476906206 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476906206

Maturity Date

04.09.2026

Underlying

Novo Nordisk A/S

14.04% p.a. Autocallable Barrier Reverse Convertible on JD.com, Meta Platforms, STMicroelectronics (Quanto EUR)

Title

CH1548132005 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132005

Maturity Date

12.08.2027

Underlying

JD.com, Inc., STMicroelectronics NV, Meta Platforms Inc. - CH1548132005

14.06% (14.06% p.a.) Barrier Reverse Convertible on Fincantieri, Prysmian

Title

CH1548134514 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134514

Maturity Date

27.05.2027

Underlying

Fincantieri S.p.A., Prysmian SpA - CH1548134514

14.06% p.a. Autocallable Reverse Convertible on Ferrari N.V.

Title

CH1548135644 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135644

Maturity Date

04.12.2026

Underlying

Ferrari N.V.

14.06% p.a. Barrier Reverse Convertible on Tencent Music Entertainment Group (Quanto CHF)

Title

CH1548130090 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130090

Maturity Date

02.11.2026

Underlying

Tencent Music Entertainment Group

14.06% p.a. Callable Barrier Reverse Convertible on Allianz, Deutsche Bank, Munich Re

Title

CH1468580530 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580530

Maturity Date

05.08.2026

Underlying

Münchener Rückversicherungs AG, Allianz SE, Deutsche Bank AG - CH1468580530

14.07% p.a. Autocallable Reverse Convertible on Alibaba Group Holding Limited

Title

CH1548136733 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136733

Maturity Date

09.12.2026

Underlying

Alibaba Group Holding Limited

14.07% p.a. Barrier Reverse Convertible on ASML, Heidelberg Materials, ING (Quanto CHF)

Title

CH1532243941 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243941

Maturity Date

24.03.2027

Underlying

Heidelberg Materials AG, ING Groep N.V., ASML Holding NV - CH1532243941

14.07% p.a. Barrier Reverse Convertible on Partners Group Holding, VAT, Zurich Insurance

Title

CH1532245177 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245177

Maturity Date

05.04.2027

Underlying

Partners Group Holding AG, Zurich Insurance Group Ltd, VAT Group AG - CH1532245177

14.09% (14.09% p.a.) Reverse Convertible on Microsoft, NVIDIA

Title

CH1492024372 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024372

Maturity Date

15.12.2026

Underlying

Microsoft Corp., NVIDIA Corp. - CH1492024372

14.12% (14.04% p.a.) Barrier Reverse Convertible on Freeport-McMoRan Inc., Newmont

Title

CH1548132948 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132948

Maturity Date

17.05.2027

Underlying

Newmont Corp., Freeport-McMoRan Inc. - CH1548132948

14.12% (14.12% p.a.) Barrier Reverse Convertible on Crown Castle, IBM, Microsoft

Title

CH1548141188 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141188

Maturity Date

02.07.2027

Underlying

International Business Machines Corp., Microsoft Corp., Crown Castle International Corp. - CH1548141188

14.12% (27.94% p.a.) Barrier Reverse Convertible on Moderna Inc. (Quanto CHF)

Title

CH1548136253 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136253

Maturity Date

07.12.2026

Underlying

Moderna Inc.

14.15% (14.15% p.a.) Barrier Reverse Convertible on ABB, Schneider Electric, Siemens Energy (Quanto EUR)

Title

CH1492033852 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033852

Maturity Date

11.02.2027

Underlying

Schneider Electric SE, ABB Ltd, Siemens Energy AG - CH1492033852

14.15% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont (Quanto EUR)

Title

CH1532239758 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239758

Maturity Date

04.03.2027

Underlying

Partners Group Holding AG, Logitech International SA, Compagnie Financière Richemont SA - CH1532239758

14.15% p.a. Barrier Reverse Convertible on SAP, Wolters Kluwer

Title

CH1548145015 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145015

Maturity Date

26.07.2027

Underlying

SAP SE, Wolters Kluwer NV - CH1548145015

14.17% (14.17% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492021238 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021238

Maturity Date

19.11.2026

Underlying

Apple Inc., Microsoft Corp., NVIDIA Corp. - CH1492021238

14.17% p.a. Reverse Convertible on Fortinet, Marvell Technology , The Trade Desk

Title

CH1476904581 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904581

Maturity Date

25.08.2026

Underlying

Fortinet Inc., Marvell Technology Group Ltd., The Trade Desk Inc. - CH1476904581

14.18% (19.20% p.a.) Barrier Reverse Convertible on Constellation Energy, NRG Energy, Vistra Energy

Title

CH1532245086 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245086

Maturity Date

29.12.2026

Underlying

Constellation Energy Corp., Vistra Energy Corp., NRG Energy Inc. - CH1532245086

14.18% p.a. Autocallable Barrier Reverse Convertible on Generali, Leonardo, UniCredit

Title

CH1548127633 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127633

Maturity Date

22.04.2027

Underlying

Assicurazioni Generali SpA, Leonardo S.p.a., UniCredit SpA - CH1548127633

14.18% p.a. Barrier Reverse Convertible on Charter Communications Inc. (Quanto CHF)

Title

CH1532238727 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238727

Maturity Date

27.08.2026

Underlying

Charter Communications Inc.

14.18% p.a. Barrier Reverse Convertible on Molina Healthcare Inc (Quanto CHF)

Title

CH1492031690 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031690

Maturity Date

30.07.2026

Underlying

Molina Healthcare Inc

14.18% p.a. Reverse Convertible on Kering, L´Oréal, LVMH Moët Hennessy Louis Vuitton

Title

CH1492030718 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030718

Maturity Date

28.07.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Kering SA, L´Oréal International - CH1492030718

14.19% p.a. Reverse Convertible on JD.com, Marvell Technology , Meta Platforms

Title

CH1548134225 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134225

Maturity Date

26.08.2027

Underlying

Marvell Technology Group Ltd., Meta Platforms Inc., JD.com, Inc. - CH1548134225

14.25% p.a. Autocallable Barrier Reverse Convertible on Deere, IBM, ServiceNow

Title

CH1548130199 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130199

Maturity Date

04.05.2027

Underlying

ServiceNow Inc, International Business Machines Corp., Deere & Co. - CH1548130199

14.25% p.a. Autocallable Reverse Convertible on AMD, Constellation Energy

Title

CH1532243453 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243453

Maturity Date

19.03.2027

Underlying

Constellation Energy Corp., Advanced Micro Devices Inc. - CH1532243453

14.28% (14.28% p.a.) Barrier Reverse Convertible on Airbus, Bayer, Deutsche Börse

Title

CH1492021923 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021923

Maturity Date

25.11.2026

Underlying

Deutsche Börse AG, Bayer AG, Airbus SE - CH1492021923

14.28% (14.36% p.a.) Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks (Quanto GBP)

Title

CH1548138614 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138614

Maturity Date

16.06.2027

Underlying

Crowdstrike Holdings Inc., Palo Alto Networks, Inc., Datadog Inc. - CH1548138614

14.28% p.a. Callable Barrier Reverse Convertible on Adecco, Nestlé, Roche, Swatch

Title

CH1418947953 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418947953

Maturity Date

08.10.2026

Underlying

Adecco Group AG, Roche Holding AG, Nestlé SA, The Swatch Group AG - CH1418947953

14.29% p.a. Autocallable Barrier Reverse Convertible on Broadcom, ENI, NVIDIA (Quanto CHF)

Title

CH1548139547 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139547

Maturity Date

25.06.2027

Underlying

Broadcom Inc., NVIDIA Corp., ENI SpA - CH1548139547

14.30% p.a. Autocallable Reverse Convertible on Bristol-Myers Squibb, DexCom

Title

CH1492031229 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031229

Maturity Date

29.01.2027

Underlying

DexCom Inc., Bristol-Myers Squibb Co. - CH1492031229

14.30% p.a. Reverse Convertible on Comet, VAT

Title

CH1548138150 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138150

Maturity Date

16.10.2026

Underlying

VAT Group AG, Comet Holding AG - CH1548138150

14.32% (14.20% p.a.) Reverse Convertible on AMD, NVIDIA

Title

CH1492028407 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028407

Maturity Date

19.01.2027

Underlying

NVIDIA Corp., Advanced Micro Devices Inc. - CH1492028407

14.32% p.a. Autocallable Barrier Reverse Convertible on ABB, Richemont, UBS Group

Title

CH1548143283 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143283

Maturity Date

16.07.2027

Underlying

Compagnie Financière Richemont SA, UBS Group AG, ABB Ltd - CH1548143283

14.35% p.a. Callable Barrier Reverse Convertible on Alphabet, Amazon.com, Meta Platforms

Title

CH1492024174 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024174

Maturity Date

11.12.2026

Underlying

Amazon.com Inc., Alphabet, Inc., Meta Platforms Inc. - CH1492024174

14.36% p.a. Autocallable Reverse Convertible on Hensoldt , RENK Group AG

Title

CH1548141758 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141758

Maturity Date

06.01.2028

Underlying

RENK Group AG, Hensoldt AG - CH1548141758

14.38% p.a. Autocallable Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Meta Platforms, Tesla (Quanto CHF)

Title

CH1476910224 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910224

Maturity Date

30.09.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Meta Platforms Inc., Tesla Inc. - CH1476910224

14.40% p.a. Autocallable Multi FCN on Crédit Agricole, Infineon, LVMH Moët Hennessy Louis Vuitton, Rheinmetall

Title

CH1548141733 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141733

Maturity Date

18.01.2027

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Crédit Agricole SA, Rheinmetall AG, Infineon Technologies AG - CH1548141733

14.42% (14.42% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Schneider Electric, Veolia

Title

CH1548127732 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127732

Maturity Date

23.04.2027

Underlying

Heidelberg Materials AG, Schneider Electric SE, Veolia Environnement - CH1548127732

14.42% (14.42% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Swiss Re, VAT

Title

CH1492019398 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019398

Maturity Date

06.11.2026

Underlying

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Swiss Re AG - CH1492019398

14.43% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp (Quanto EUR)

Title

CH1532237570 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237570

Maturity Date

25.05.2027

Underlying

Caterpillar Inc., Exxon Mobil Corp., MP Materials Corp - CH1532237570

14.43% p.a. Barrier Reverse Convertible on BKW, Helvetia Baloise, VAT

Title

CH1532245052 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245052

Maturity Date

02.04.2027

Underlying

VAT Group AG, BKW AG, Helvetia Baloise Holding AG - CH1532245052

14.43% p.a. Barrier Reverse Convertible on Lanxess, Tui, Zalando

Title

CH1548134183 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134183

Maturity Date

26.05.2028

Underlying

Lanxess AG, Zalando SE, Tui AG - CH1548134183

14.44% (28.56% p.a.) Reverse Convertible on Intel, Oracle

Title

CH1532243206 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243206

Maturity Date

21.09.2026

Underlying

Oracle Corp., Intel Corp. - CH1532243206

14.45% p.a. Callable Barrier Reverse Convertible on Richemont, Straumann, UBS Group

Title

CH1492018523 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018523

Maturity Date

31.07.2026

Underlying

UBS Group AG, Straumann Holding AG, Compagnie Financière Richemont SA - CH1492018523

14.46% p.a. Autocallable Reverse Convertible on American Express, Oracle, ServiceNow

Title

CH1548140719 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140719

Maturity Date

31.12.2027

Underlying

Oracle Corp., ServiceNow Inc, American Express Company - CH1548140719

14.48% p.a. Barrier Reverse Convertible on Adecco, Logitech, VAT

Title

CH1476907311 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907311

Maturity Date

11.09.2026

Underlying

VAT Group AG, Logitech International SA, Adecco Group AG - CH1476907311

14.49% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Fresenius, Prosus, Siemens Energy (Quanto CHF)

Title

CH1548144349 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144349

Maturity Date

24.05.2027

Underlying

Prosus NV, Deutsche Telekom AG, Fresenius SE & Co. KGaA, Siemens Energy AG - CH1548144349

14.50% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce (Quanto EUR)

Title

CH1532244253 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244253

Maturity Date

25.09.2026

Underlying

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244253

14.51% (29.03% p.a.) Barrier Reverse Convertible on Bayer, Sandoz Group, ThyssenKrupp (Quanto CHF)

Title

CH1492036251 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036251

Maturity Date

20.08.2026

Underlying

ThyssenKrupp AG, Bayer AG, Sandoz Group AG - CH1492036251

14.51% p.a. Autocallable Barrier Reverse Convertible on Bouygues, Caterpillar, MP Materials Corp (Quanto EUR)

Title

CH1548133037 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133037

Maturity Date

16.08.2027

Underlying

Caterpillar Inc., Bouygues SA, MP Materials Corp - CH1548133037

14.51% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1532238792 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238792

Maturity Date

30.07.2026

Underlying

Rheinmetall AG

14.53% p.a. Reverse Convertible on Applied Digital Corporation (Quanto EUR)

Title

CH1492026591 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492026591

Maturity Date

29.12.2026

Underlying

Applied Digital Corporation

14.53% p.a. Reverse Convertible on Micron Technology Inc.

Title

CH1548135800 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135800

Maturity Date

07.06.2027

Underlying

Micron Technology Inc.

14.54% p.a. Autocallable Reverse Convertible on AMD, NVIDIA

Title

CH1548138275 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138275

Maturity Date

17.06.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp. - CH1548138275

14.54% p.a. Autocallable Reverse Convertible on Oklo Inc Registered

Title

CH1548140263 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140263

Maturity Date

30.12.2027

Underlying

Oklo Inc Registered

14.54% p.a. Callable Barrier Reverse Convertible on Hermes, Kering, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1548139737 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139737

Maturity Date

24.06.2027

Underlying

Hermes International, Kering SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548139737

14.55% (28.62% p.a.) Barrier Reverse Convertible on Micron Technology Inc.

Title

CH1548126304 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548126304

Maturity Date

19.10.2026

Underlying

Micron Technology Inc.

14.58% p.a. Autocallable Barrier Reverse Convertible on Robinhood Markets Inc.

Title

CH1492020511 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492020511

Maturity Date

16.11.2026

Underlying

Robinhood Markets Inc.

14.59% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Oracle

Title

CH1548128565 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128565

Maturity Date

27.10.2027

Underlying

Microsoft Corp., Oracle Corp. - CH1548128565

14.59% p.a. Barrier Reverse Convertible on Logitech, Sika, UBS Group (Quanto EUR)

Title

CH1548127328 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127328

Maturity Date

21.04.2027

Underlying

Logitech International SA, Sika AG, UBS Group AG - CH1548127328

14.60% p.a. Autocallable Reverse Convertible on DexCom, Siemens Energy (Quanto USD)

Title

CH1548139307 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139307

Maturity Date

24.06.2027

Underlying

DexCom Inc., Siemens Energy AG - CH1548139307

14.60% p.a. Barrier Reverse Convertible on Gerresheimer AG

Title

CH1492034892 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492034892

Maturity Date

16.02.2027

Underlying

Gerresheimer AG

14.61% p.a. Autocallable Reverse Convertible on Alphabet, AMD, Microsoft

Title

CH1548133003 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133003

Maturity Date

16.11.2027

Underlying

Advanced Micro Devices Inc., Microsoft Corp., Alphabet, Inc. - CH1548133003

14.61% p.a. Autocallable Reverse Convertible on NVIDIA Corp.

Title

CH1548128698 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128698

Maturity Date

28.10.2026

Underlying

NVIDIA Corp.

14.62% (14.62% p.a.) Barrier Reverse Convertible on BlackRock, Charles Schwab, Visa

Title

CH1532241903 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241903

Maturity Date

12.03.2027

Underlying

Visa Inc., BlackRock, Inc., Charles Schwab Corp. - CH1532241903

14.63% (14.63% p.a.) Barrier Reverse Convertible on BMW, Legrand, LVMH Moët Hennessy Louis Vuitton

Title

CH1548144554 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144554

Maturity Date

23.07.2027

Underlying

Legrand SA, LVMH Moët Hennessy Louis Vuitton SE, Bayerische Motoren Werke AG - CH1548144554

14.64% (14.56% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sika, Swiss Re, VAT

Title

CH1492019570 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019570

Maturity Date

09.11.2026

Underlying

VAT Group AG, Kuehne + Nagel International AG, Sika AG, Swiss Re AG - CH1492019570

14.66% (14.70% p.a.) Reverse Convertible on Crowdstrike Holdings, Datadog, Palo Alto Networks (Quanto GBP)

Title

CH1548139224 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139224

Maturity Date

21.06.2027

Underlying

Crowdstrike Holdings Inc., Palo Alto Networks, Inc., Datadog Inc. - CH1548139224

14.66% p.a. Autocallable Reverse Convertible on Dell Technologies Inc.

Title

CH1548144760 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144760

Maturity Date

25.01.2028

Underlying

Dell Technologies Inc.

14.68% p.a. Autocallable Barrier Reverse Convertible on ASML, Broadcom (Quanto EUR)

Title

CH1548137780 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137780

Maturity Date

15.12.2027

Underlying

Broadcom Inc., ASML Holding NV - CH1548137780

14.68% p.a. Autocallable Barrier Reverse Convertible on Holcim, Straumann, VAT

Title

CH1548143291 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143291

Maturity Date

16.07.2027

Underlying

Holcim Ltd, Straumann Holding AG, VAT Group AG - CH1548143291

14.68% p.a. Barrier Reverse Convertible on Spotify Technology S.A.

Title

CH1532238172 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238172

Maturity Date

26.02.2027

Underlying

Spotify Technology S.A.

14.69% p.a. Barrier Reverse Convertible on Barry Callebaut, Lonza, Straumann

Title

CH1548128532 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128532

Maturity Date

27.04.2027

Underlying

Lonza Group AG, Straumann Holding AG, Barry Callebaut AG - CH1548128532

14.70% p.a. Barrier Reverse Convertible on Alcon, Comet, Givaudan, Roche, Stadler Rail

Title

CH1532243420 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243420

Maturity Date

21.09.2026

Underlying

Alcon Inc., Comet Holding AG, Givaudan SA, Stadler Rail AG, Roche Holding AG - CH1532243420

14.71% p.a. Autocallable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Ferrari, Volkswagen (Quanto EUR)

Title

CH1492028829 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028829

Maturity Date

20.01.2027

Underlying

Ferrari N.V., Dr. Ing. H.c. F. Porsche AG, Volkswagen AG - CH1492028829

14.72% p.a. Autocallable Reverse Convertible on Archer-Daniels-Midland, Caterpillar, Deere

Title

CH1548134043 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134043

Maturity Date

26.11.2027

Underlying

Caterpillar Inc., Deere & Co., Archer-Daniels-Midland Company - CH1548134043

14.74% (7.52% p.a.) Reverse Convertible on Adecco, Kuehne + Nagel, Swisscom

Title

CH1446053907 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446053907

Maturity Date

03.06.2027

Underlying

Kuehne + Nagel International AG, Swisscom AG, Adecco Group AG - CH1446053907

14.75% (14.79% p.a.) Barrier Reverse Convertible on Capgemini, Infineon, Symrise

Title

CH1492026526 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026526

Maturity Date

29.12.2026

Underlying

Infineon Technologies AG, Capgemini SE, Symrise AG - CH1492026526

14.75% p.a. Autocallable Reverse Convertible on NVIDIA, Softbank (Quanto USD)

Title

CH1548142095 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142095

Maturity Date

09.07.2027

Underlying

NVIDIA Corp., SoftBank Group Corp. - CH1548142095

14.75% p.a. Reverse Convertible on Arista Networks, Broadcom, Taiwan Semiconductor Manufacturing (Quanto EUR)

Title

CH1548130652 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130652

Maturity Date

06.05.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, Arista Networks, Inc., Broadcom Inc. - CH1548130652

14.76% p.a. Autocallable Barrier Reverse Convertible on Freeport-McMoRan Inc., Newmont, Spotify (Quanto EUR)

Title

CH1548128490 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128490

Maturity Date

27.08.2027

Underlying

Freeport-McMoRan Inc., Newmont Corp., Spotify Technology S.A. - CH1548128490

14.76% p.a. Reverse Convertible on BAE Systems, GE Aerospace, Rolls-Royce (Quanto GBP)

Title

CH1532244899 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244899

Maturity Date

01.04.2027

Underlying

BAE Systems PLC, GE Aerospace, Rolls-Royce Holdings PLC - CH1532244899

14.76% p.a. Reverse Convertible on Bank of America, Goldman Sachs, Visa

Title

CH1532241788 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241788

Maturity Date

15.09.2026

Underlying

Bank of America Corporation, The Goldman Sachs Group, Inc., Visa Inc. - CH1532241788

14.76% p.a. Reverse Convertible on Intel, Tesla (Quanto GBP)

Title

CH1548134878 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134878

Maturity Date

28.05.2027

Underlying

Tesla Inc., Intel Corp. - CH1548134878

14.77% p.a. Barrier Reverse Convertible on Accelleron Industries, Julius Bär, Swatch

Title

CH1532242356 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242356

Maturity Date

16.03.2027

Underlying

Julius Bär Gruppe AG, The Swatch Group AG, Accelleron Industries AG - CH1532242356

14.78% (29.40% p.a.) Barrier Reverse Convertible on Freeport-McMoRan Inc., Halliburton, SLB Ltd, Southern Copper Corp

Title

CH1532244725 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244725

Maturity Date

28.09.2026

Underlying

Freeport-McMoRan Inc., Southern Copper Corp, Halliburton Co., SLB Ltd - CH1532244725

14.78% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology , Micron Technology

Title

CH1476907220 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907220

Maturity Date

10.03.2027

Underlying

Micron Technology Inc., Marvell Technology Group Ltd. - CH1476907220

14.79% p.a. Autocallable Barrier Reverse Convertible on ASML, Infineon, NVIDIA (Quanto EUR)

Title

CH1548130215 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130215

Maturity Date

03.11.2026

Underlying

ASML Holding NV, Infineon Technologies AG, NVIDIA Corp. - CH1548130215

14.79% p.a. Barrier Reverse Convertible on Julius Bär, NVIDIA, Partners Group Holding (Quanto CHF)

Title

CH1548136543 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136543

Maturity Date

08.06.2027

Underlying

Partners Group Holding AG, NVIDIA Corp., Julius Bär Gruppe AG - CH1548136543

14.80% (14.72% p.a.) Barrier Reverse Convertible on ASML, Deutsche Bank, Siemens Energy (Quanto USD)

Title

CH1476903518 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903518

Maturity Date

17.08.2026

Underlying

ASML Holding NV, Siemens Energy AG, Deutsche Bank AG - CH1476903518

14.80% p.a. Autocallable Barrier Reverse Convertible on Ferrari, Salesforce, XPeng (Quanto EUR)

Title

CH1532237588 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237588

Maturity Date

25.05.2027

Underlying

Ferrari N.V., Salesforce, Inc., XPeng Inc. - CH1532237588

14.80% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532241747 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241747

Maturity Date

12.03.2027

Underlying

Advanced Micro Devices Inc., Shopify Inc - CH1532241747

14.81% (9.86% p.a.) Barrier Reverse Convertible on Estée Lauder, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1446052248 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446052248

Maturity Date

04.12.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Estée Lauder Companies Inc. - CH1446052248

14.81% p.a. Barrier Reverse Convertible on Georg Fischer, SGS, Temenos (Quanto EUR)

Title

CH1548127294 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127294

Maturity Date

21.04.2027

Underlying

SGS SA, Georg Fischer AG, Temenos AG - CH1548127294

14.81% p.a. Reverse Convertible on Infineon, Schneider Electric, Siemens Energy

Title

CH1418944513 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418944513

Maturity Date

14.09.2026

Underlying

Infineon Technologies AG, Schneider Electric SE, Siemens Energy AG - CH1418944513

14.82% (14.82% p.a.) Barrier Reverse Convertible on Heidelberg Materials AG

Title

CH1548144562 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144562

Maturity Date

23.07.2027

Underlying

Heidelberg Materials AG

14.83% p.a. Autocallable Barrier Reverse Convertible on ams-OSRAM, VAT

Title

CH1548139950 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139950

Maturity Date

27.09.2027

Underlying

ams-OSRAM AG, VAT Group AG - CH1548139950

14.83% p.a. Reverse Convertible on Robinhood Markets Inc.

Title

CH1492035188 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492035188

Maturity Date

17.08.2027

Underlying

Robinhood Markets Inc.

14.84% p.a. Barrier Reverse Convertible on Arm Holding plc, Sony Group

Title

CH1532244881 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244881

Maturity Date

30.06.2027

Underlying

Arm Holding plc, Sony Group Corporation - CH1532244881

14.86% p.a. Autocallable Barrier Reverse Convertible on Enel, Hermes, Prosus

Title

CH1492026666 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026666

Maturity Date

30.12.2026

Underlying

Prosus NV, Hermes International, Enel SpA - CH1492026666

14.87% p.a. Callable Barrier Reverse Convertible on Meta Platforms, Spotify (Quanto CAD)

Title

CH1446053220 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446053220

Maturity Date

14.09.2026

Underlying

Spotify Technology S.A., Meta Platforms Inc. - CH1446053220

14.88% p.a. Autocallable Barrier Reverse Convertible on Accor, Alstom, Schneider Electric

Title

CH1492022970 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022970

Maturity Date

03.12.2026

Underlying

Schneider Electric SE, Alstom SA, Accor SA - CH1492022970

14.89% (14.89% p.a.) Barrier Reverse Convertible on Givaudan, Logitech, Richemont

Title

CH1548139356 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139356

Maturity Date

23.06.2027

Underlying

Compagnie Financière Richemont SA, Logitech International SA, Givaudan SA - CH1548139356

14.89% p.a. Autocallable Reverse Convertible on ASML, Infineon, STMicroelectronics

Title

CH1532242273 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242273

Maturity Date

16.09.2027

Underlying

ASML Holding NV, STMicroelectronics NV, Infineon Technologies AG - CH1532242273

14.90% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1548126239 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126239

Maturity Date

16.04.2027

Underlying

Partners Group Holding AG, Compagnie Financière Richemont SA, Logitech International SA - CH1548126239

14.91% (14.91% p.a.) Barrier Reverse Convertible on Comet, SIG Group, VAT

Title

CH1548136444 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136444

Maturity Date

08.06.2027

Underlying

VAT Group AG, SIG Group AG, Comet Holding AG - CH1548136444

14.92% p.a. Barrier Reverse Convertible on Global Payments Inc (Quanto CHF)

Title

CH1548130116 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130116

Maturity Date

02.11.2026

Underlying

Global Payments Inc

14.93% (29.70% p.a.) Barrier Reverse Convertible on Intel Corp.

Title

CH1548143788 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143788

Maturity Date

21.01.2027

Underlying

Intel Corp.

14.93% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1548131122 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131122

Maturity Date

07.05.2027

Underlying

Pfizer Inc., Moderna Inc. - CH1548131122

14.94% p.a. Reverse Convertible on ASML, Capgemini, SAP

Title

CH1492035717 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035717

Maturity Date

18.02.2027

Underlying

ASML Holding NV, Capgemini SE, SAP SE - CH1492035717

14.95% (14.95% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1532243743 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532243743

Maturity Date

23.03.2027

Underlying

ASML Holding NV

14.97% (14.97% p.a.) Barrier Reverse Convertible on Deutsche Telekom, ING, SAP

Title

CH1492022319 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022319

Maturity Date

27.11.2026

Underlying

ING Groep N.V., SAP SE, Deutsche Telekom AG - CH1492022319

14.97% (30.28% p.a.) Barrier Reverse Convertible on Barclays, BBVA, Société Générale, Standard Chartered, UniCredit (Quanto EUR)

Title

CH1532246290 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246290

Maturity Date

07.10.2026

Underlying

Barclays Plc, Banco Bilbao Vizcaya Argentaria SA, Société Générale, Standard Chartered PLC, UniCredit SpA - CH1532246290

14.97% p.a. Autocallable Barrier Reverse Convertible on Adidas, ASML, Sartorius (Quanto CHF)

Title

CH1532238693 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238693

Maturity Date

01.03.2027

Underlying

ASML Holding NV, Adidas AG, Sartorius AG - CH1532238693

15.00% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto USD)

Title

CH1492032946 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032946

Maturity Date

08.02.2027

Underlying

Bayerische Motoren Werke AG, Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The - CH1492032946

15.00% p.a. Autocallable Multi FCN on Berkshire Hathaway, Microsoft, Oracle

Title

CH1548129803 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129803

Maturity Date

12.11.2026

Underlying

Oracle Corp., Microsoft Corp., Berkshire Hathaway Inc. - CH1548129803

15.00% p.a. Barrier Reverse Convertible on Digital Realty Trust, Equinix, Vertiv Holdings Co

Title

CH1548131726 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131726

Maturity Date

11.05.2027

Underlying

Vertiv Holdings Co, Equinix Inc., Digital Realty Trust Inc. - CH1548131726

15.00% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto EUR)

Title

CH1548134597 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134597

Maturity Date

30.05.2028

Underlying

SAP SE, Oracle Corp., ServiceNow Inc - CH1548134597

15.01% (15.01% p.a.) Barrier Reverse Convertible on Heidelberg Materials, ING, Unilever PLC

Title

CH1492034991 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034991

Maturity Date

16.02.2027

Underlying

ING Groep N.V., Unilever PLC, Heidelberg Materials AG - CH1492034991

15.01% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Novo Nordisk, STMicroelectronics (Quanto EUR)

Title

CH1476908657 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908657

Maturity Date

21.09.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Novo Nordisk A/S, STMicroelectronics NV - CH1476908657

15.02% p.a. Autocallable Reverse Convertible on AMD, ASML, NVIDIA (Quanto EUR)

Title

CH1532244121 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244121

Maturity Date

24.03.2027

Underlying

NVIDIA Corp., ASML Holding NV, Advanced Micro Devices Inc. - CH1532244121

15.02% p.a. Callable Barrier Reverse Convertible on Hermes, L´Oréal, Zalando (Quanto USD)

Title

CH1548140834 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140834

Maturity Date

05.01.2027

Underlying

L´Oréal International, Zalando SE, Hermes International - CH1548140834

15.02% p.a. Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548140396 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140396

Maturity Date

29.06.2028

Underlying

Advanced Micro Devices Inc.

15.04% p.a. Autocallable Reverse Convertible on Johnson & Johnson, Moderna, Novo Nordisk (Quanto USD)

Title

CH1548130223 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130223

Maturity Date

04.05.2027

Underlying

Johnson & Johnson, Moderna Inc., Novo Nordisk A/S - CH1548130223

15.06% p.a. Callable Barrier Reverse Convertible on Logitech, Netflix, Walt Disney (Quanto USD)

Title

CH1548140537 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140537

Maturity Date

30.12.2026

Underlying

Netflix Inc., Logitech International SA, The Walt Disney Company - CH1548140537

15.07% p.a. Autocallable Reverse Convertible on ENGIE, GE Vernova, RWE (Quanto USD)

Title

CH1548141329 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141329

Maturity Date

05.01.2027

Underlying

GE Vernova Inc., ENGIE SA, RWE AG - CH1548141329

15.08% p.a. Autocallable Reverse Convertible on AMD, Tesla

Title

CH1548136667 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136667

Maturity Date

09.06.2027

Underlying

Tesla Inc., Advanced Micro Devices Inc. - CH1548136667

15.08% p.a. Barrier Reverse Convertible on Alibaba Group, Chipotle, Expedia Group

Title

CH1532241697 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241697

Maturity Date

15.09.2026

Underlying

Alibaba Group Holding Limited, Expedia Group Inc., Chipotle Mexican Grill Inc. - CH1532241697

15.09% p.a. Barrier Reverse Convertible on Adidas, Nike, On Holding (Quanto CHF)

Title

CH1548133078 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133078

Maturity Date

18.05.2027

Underlying

On Holding Ltd, Nike Inc., Adidas AG - CH1548133078

15.09% p.a. Barrier Reverse Convertible on Expedia Group Inc. (Quanto CHF)

Title

CH1532238719 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238719

Maturity Date

27.08.2026

Underlying

Expedia Group Inc.

15.10% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Oracle

Title

CH1548137889 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137889

Maturity Date

15.06.2027

Underlying

Crowdstrike Holdings Inc., Oracle Corp. - CH1548137889

15.10% p.a. Barrier Reverse Convertible on ASM International, Bayer, Siemens Energy (Quanto CHF)

Title

CH1548128680 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128680

Maturity Date

28.04.2027

Underlying

Siemens Energy AG, ASM International NV, Bayer AG - CH1548128680

15.10% p.a. Reverse Convertible on Intesa Sanpaolo, UniCredit

Title

CH1532245227 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245227

Maturity Date

02.10.2026

Underlying

Intesa Sanpaolo SpA, UniCredit SpA - CH1532245227

15.14% (14.61% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Swatch, UBS Group

Title

CH1548126205 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126205

Maturity Date

29.04.2027

Underlying

The Swatch Group AG, UBS Group AG, Kuehne + Nagel International AG - CH1548126205

15.14% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Shell, Siemens Energy

Title

CH1532239618 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239618

Maturity Date

04.03.2027

Underlying

Schneider Electric SE, Siemens Energy AG, Shell PLC - CH1532239618

15.15% p.a. Autocallable Reverse Convertible on Shopify Inc, Tesla

Title

CH1492020560 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020560

Maturity Date

17.11.2026

Underlying

Tesla Inc., Shopify Inc - CH1492020560

15.15% p.a. Barrier Reverse Convertible on AMD, NVIDIA, Qualcomm

Title

CH1468581074 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468581074

Maturity Date

11.08.2026

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Qualcomm Inc. - CH1468581074

15.16% p.a. Barrier Reverse Convertible on Apple, Dell Technologies, Microsoft (Quanto CHF)

Title

CH1548137988 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137988

Maturity Date

15.06.2029

Underlying

Dell Technologies Inc., Microsoft Corp., Apple Inc. - CH1548137988

15.16% p.a. Barrier Reverse Convertible on Whirlpool Corp.

Title

CH1492021782 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492021782

Maturity Date

24.11.2026

Underlying

Whirlpool Corp.

15.17% p.a. Autocallable Barrier Reverse Convertible on Infineon, Rheinmetall, Tui (Quanto CHF)

Title

CH1492032110 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032110

Maturity Date

03.02.2027

Underlying

Rheinmetall AG, Tui AG, Infineon Technologies AG - CH1492032110

15.19% (30.22% p.a.) Barrier Reverse Convertible on D-Wave Quantum Inc.

Title

CH1548132021 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548132021

Maturity Date

13.11.2026

Underlying

D-Wave Quantum Inc.

15.19% (8.29% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, VAT

Title

CH1418947243 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418947243

Maturity Date

02.02.2027

Underlying

Nestlé SA, Novartis AG, VAT Group AG - CH1418947243

15.19% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Johnson & Johnson, Pfizer

Title

CH1548130033 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130033

Maturity Date

02.11.2026

Underlying

Eli Lilly & Co., Johnson & Johnson, Pfizer Inc. - CH1548130033

15.19% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Sika, Swatch, UBS Group

Title

CH1548132682 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132682

Maturity Date

16.11.2026

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Sika AG - CH1548132682

15.20% p.a. Autocallable Barrier Reverse Convertible on Bayer, SAP, Siemens

Title

CH1532239709 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239709

Maturity Date

04.03.2027

Underlying

SAP SE, Bayer AG, Siemens AG - CH1532239709

15.20% p.a. Reverse Convertible on Tesla Inc.

Title

CH1492032482 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492032482

Maturity Date

04.02.2027

Underlying

Tesla Inc.

15.21% p.a. Autocallable Barrier Reverse Convertible on Apple, JPMorgan Chase, PayPal

Title

CH1548128920 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128920

Maturity Date

29.04.2027

Underlying

Apple Inc., JPMorgan Chase & Co., PayPal Holdings Inc. - CH1548128920

15.24% (15.15% p.a.) Barrier Reverse Convertible on BBVA, Deutsche Bank, Société Générale

Title

CH1492034710 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034710

Maturity Date

15.02.2027

Underlying

Banco Bilbao Vizcaya Argentaria SA, Société Générale, Deutsche Bank AG - CH1492034710

15.24% p.a. Barrier Reverse Convertible on Alphabet, Amazon.com, Microsoft, NVIDIA

Title

CH1492031823 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031823

Maturity Date

31.01.2028

Underlying

NVIDIA Corp., Microsoft Corp., Alphabet, Inc., Amazon.com Inc. - CH1492031823

15.25% p.a. Autocallable Reverse Convertible on Crowdstrike Holdings, Palantir, Spotify

Title

CH1476911388 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911388

Maturity Date

09.10.2026

Underlying

Spotify Technology S.A., Crowdstrike Holdings Inc., Palantir Technologies Inc. - CH1476911388

15.26% p.a. Autocallable Barrier Reverse Convertible on Banco Santander, Leonardo, NVIDIA (Quanto CHF)

Title

CH1492028472 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028472

Maturity Date

16.04.2027

Underlying

Banco Santander SA, NVIDIA Corp., Leonardo S.p.a. - CH1492028472

15.28% p.a. Callable Barrier Reverse Convertible on Georg Fischer, Partners Group Holding, SIG Group

Title

CH1492018531 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018531

Maturity Date

31.07.2026

Underlying

Partners Group Holding AG, Georg Fischer AG, SIG Group AG - CH1492018531

15.29% (15.29% p.a.) Barrier Reverse Convertible on Caterpillar, Linde PLC, Procter & Gamble

Title

CH1532243867 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243867

Maturity Date

23.03.2027

Underlying

The Procter & Gamble Company, Linde PLC, Caterpillar Inc. - CH1532243867

15.29% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532240012 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240012

Maturity Date

05.03.2027

Underlying

Advanced Micro Devices Inc., Shopify Inc - CH1532240012

15.29% p.a. Autocallable Reverse Convertible on Atlassian, Tesla

Title

CH1548136410 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136410

Maturity Date

08.06.2027

Underlying

Atlassian Corp., Tesla Inc. - CH1548136410

15.32% p.a. Barrier Reverse Convertible on Beiersdorf, Rheinmetall, SAP

Title

CH1548141592 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141592

Maturity Date

06.07.2027

Underlying

Beiersdorf AG, Rheinmetall AG, SAP SE - CH1548141592

15.32% p.a. Reverse Convertible on Caterpillar, Home Depot, Walmart

Title

CH1532242760 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242760

Maturity Date

18.09.2026

Underlying

Home Depot Inc., Walmart Inc., Caterpillar Inc. - CH1532242760

15.35% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, Palantir, Robinhood Markets

Title

CH1476904375 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904375

Maturity Date

24.08.2026

Underlying

Palantir Technologies Inc., Meta Platforms Inc., Robinhood Markets Inc. - CH1476904375

15.36% (15.40% p.a.) Barrier Reverse Convertible on ASML, Rheinmetall, RTX Corporation (Quanto USD)

Title

CH1532238099 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238099

Maturity Date

25.02.2027

Underlying

RTX Corporation, ASML Holding NV, Rheinmetall AG - CH1532238099

15.39% p.a. Callable Barrier Reverse Convertible on Novartis, Roche, Sonova, Straumann

Title

CH1548142467 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142467

Maturity Date

12.07.2027

Underlying

Novartis AG, Roche Holding AG, Sonova Holding AG, Straumann Holding AG - CH1548142467

15.40% (15.32% p.a.) Barrier Reverse Convertible on Siemens Energy AG

Title

CH1492023226 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492023226

Maturity Date

07.12.2026

Underlying

Siemens Energy AG

15.40% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532241085 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241085

Maturity Date

10.03.2027

Underlying

Advanced Micro Devices Inc., Shopify Inc - CH1532241085

15.40% p.a. Autocallable Reverse Convertible on MercadoLibre, Visa

Title

CH1532239485 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239485

Maturity Date

31.08.2026

Underlying

MercadoLibre Inc., Visa Inc. - CH1532239485

15.40% p.a. Barrier Reverse Convertible on Nestlé, Swiss Re, VAT (Quanto EUR)

Title

CH1548126379 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126379

Maturity Date

16.10.2026

Underlying

Nestlé SA, VAT Group AG, Swiss Re AG - CH1548126379

15.42% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Société Générale, TAL Education Group (Quanto EUR)

Title

CH1492033290 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033290

Maturity Date

10.05.2027

Underlying

BNP Paribas, Société Générale, TAL Education Group - CH1492033290

15.44% p.a. Callable Barrier Reverse Convertible on BAE Systems, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548144653 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144653

Maturity Date

23.07.2027

Underlying

BAE Systems PLC, RENK Group AG, Rheinmetall AG - CH1548144653

15.47% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Richemont, Roche, Swatch, UBS Group

Title

CH1548136352 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136352

Maturity Date

08.02.2027

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Compagnie Financière Richemont SA, Roche Holding AG - CH1548136352

15.48% p.a. Autocallable Barrier Reverse Convertible on Amazon.com, Meta Platforms, ServiceNow

Title

CH1548139513 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139513

Maturity Date

25.06.2027

Underlying

Amazon.com Inc., ServiceNow Inc, Meta Platforms Inc. - CH1548139513

15.48% p.a. Autocallable Barrier Reverse Convertible on General Mills, Kraft Heinz, PepsiCo

Title

CH1548139174 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139174

Maturity Date

23.06.2027

Underlying

General Mills Inc., PepsiCo Inc., The Kraft Heinz Company - CH1548139174

15.49% (20.73% p.a.) Barrier Reverse Convertible on ASM International, ASML, Nemetschek

Title

CH1548141824 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141824

Maturity Date

06.04.2027

Underlying

ASML Holding NV, ASM International NV, Nemetschek SE - CH1548141824

15.49% p.a. Autocallable Barrier Reverse Convertible on Adyen , JD.com, Meta Platforms (Quanto USD)

Title

CH1532237687 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237687

Maturity Date

25.05.2027

Underlying

Adyen N.V., JD.com, Inc., Meta Platforms Inc. - CH1532237687

15.51% p.a. Autocallable Barrier Reverse Convertible on Norwegian Cruise Line Holdings Ltd. (Quanto EUR)

Title

CH1492029595 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492029595

Maturity Date

25.01.2027

Underlying

Norwegian Cruise Line Holdings Ltd.

15.55% p.a. Autocallable Barrier Reverse Convertible on ASML, Goodyear, ING (Quanto EUR)

Title

CH1492033621 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033621

Maturity Date

10.02.2027

Underlying

ASML Holding NV, Goodyear Tire & Rubber Co./The, ING Groep N.V. - CH1492033621

15.56% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532240038 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240038

Maturity Date

05.03.2027

Underlying

Pfizer Inc., Moderna Inc. - CH1532240038

15.56% p.a. Autocallable Reverse Convertible on Texas Instruments Inc.

Title

CH1548134332 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548134332

Maturity Date

27.11.2026

Underlying

Texas Instruments Inc.

15.57% p.a. Autocallable Reverse Convertible on Amazon.com, NVIDIA

Title

CH1492035766 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035766

Maturity Date

19.02.2027

Underlying

Amazon.com Inc., NVIDIA Corp. - CH1492035766

15.57% p.a. Callable Barrier Reverse Convertible on Biogen, Bristol-Myers Squibb, Novo Nordisk

Title

CH1492033704 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033704

Maturity Date

10.08.2026

Underlying

Novo Nordisk A/S, Biogen Inc., Bristol-Myers Squibb Co. - CH1492033704

15.58% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG (Quanto CHF)

Title

CH1548139240 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139240

Maturity Date

23.12.2026

Underlying

Rheinmetall AG

15.61% p.a. Autocallable Barrier Reverse Convertible on L´Oréal, SAP, Sea (Quanto EUR)

Title

CH1548132955 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132955

Maturity Date

16.08.2027

Underlying

L´Oréal International, SAP SE, Sea Ltd - CH1548132955

15.61% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548129670 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129670

Maturity Date

01.11.2027

Underlying

Robinhood Markets Inc.

15.61% p.a. Callable Barrier Reverse Convertible on Airbus, Boeing, Leonardo, Rheinmetall, St-Gobain (Quanto CHF)

Title

CH1476908905 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908905

Maturity Date

22.09.2026

Underlying

Leonardo S.p.a., Boeing Company, Compagnie de St-Gobain, Rheinmetall AG, Airbus SE - CH1476908905

15.62% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , Rheinmetall

Title

CH1492027938 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027938

Maturity Date

14.01.2027

Underlying

Rheinmetall AG, Hensoldt AG - CH1492027938

15.64% p.a. Autocallable Barrier Reverse Convertible on Adyen N.V.

Title

CH1548136808 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136808

Maturity Date

09.06.2027

Underlying

Adyen N.V.

15.64% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1548140453 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140453

Maturity Date

29.06.2027

Underlying

Schneider Electric SE, Siemens Energy AG - CH1548140453

15.64% p.a. Callable Barrier Reverse Convertible on Adidas, L´Oréal, Zalando (Quanto USD)

Title

CH1548135164 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135164

Maturity Date

01.12.2026

Underlying

Adidas AG, Zalando SE, L´Oréal International - CH1548135164

15.65% p.a. Callable Barrier Reverse Convertible on Julius Bär, Logitech, Lonza, Richemont, Straumann

Title

CH1418941238 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1418941238

Maturity Date

17.08.2026

Underlying

Logitech International SA, Julius Bär Gruppe AG, Straumann Holding AG, Lonza Group AG, Compagnie Financière Richemont SA - CH...

15.67% p.a. Callable Barrier Reverse Convertible on Biogen, Fresenius Medical Care, Straumann (Quanto USD)

Title

CH1548142277 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142277

Maturity Date

11.01.2027

Underlying

Straumann Holding AG, Biogen Inc., Fresenius Medical Care AG - CH1548142277

15.68% (20.91% p.a.) Reverse Convertible on Adyen , SAP, St-Gobain

Title

CH1532242562 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242562

Maturity Date

17.12.2026

Underlying

Adyen N.V., SAP SE, Compagnie de St-Gobain - CH1532242562

15.70% p.a. Callable Barrier Reverse Convertible on Daimler Truck, Mercedes-Benz Group, Volkswagen (Quanto CHF)

Title

CH1476912816 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912816

Maturity Date

20.01.2027

Underlying

Volkswagen AG, Daimler Truck Holding AG, Mercedes-Benz Group AG - CH1476912816

15.71% p.a. Autocallable Barrier Reverse Convertible on A.P. Moller Maersk, Danske Bank, Novo Nordisk (Quanto USD)

Title

CH1492027946 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027946

Maturity Date

14.01.2027

Underlying

A.P. Moller Maersk A/S, Danske Bank A/S, Novo Nordisk A/S - CH1492027946

15.71% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Applied Materials, Microsoft (Quanto EUR)

Title

CH1548129217 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129217

Maturity Date

31.05.2027

Underlying

Applied Materials Inc., Microsoft Corp., Alphabet, Inc. - CH1548129217

15.71% p.a. Barrier Reverse Convertible on Airbnb, Booking Holdings, Home Depot

Title

CH1548131270 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131270

Maturity Date

06.11.2026

Underlying

Airbnb Inc., Booking Holdings Inc., Home Depot Inc. - CH1548131270

15.71% p.a. Callable Barrier Reverse Convertible on BAT, Glencore, Lloyds Bank

Title

CH1532237539 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237539

Maturity Date

25.02.2027

Underlying

British American Tobacco PLC, Lloyds Banking Group PLC, Glencore PLC - CH1532237539

15.73% p.a. Autocallable Barrier Reverse Convertible on Schneider Electric, Siemens Energy

Title

CH1548140388 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140388

Maturity Date

29.06.2027

Underlying

Schneider Electric SE, Siemens Energy AG - CH1548140388

15.75% p.a. Barrier Reverse Convertible on Alcon, Kuehne + Nagel, UBS Group (Quanto USD)

Title

CH1532243560 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243560

Maturity Date

22.03.2027

Underlying

Kuehne + Nagel International AG, Alcon Inc., UBS Group AG - CH1532243560

15.76% p.a. Autocallable Barrier Reverse Convertible on Exxon Mobil, MP Materials Corp, NVIDIA (Quanto CHF)

Title

CH1532237828 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237828

Maturity Date

25.05.2027

Underlying

Exxon Mobil Corp., MP Materials Corp, NVIDIA Corp. - CH1532237828

15.76% p.a. Barrier Reverse Convertible on Lufthansa, Tui

Title

CH1532240707 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240707

Maturity Date

09.03.2027

Underlying

Tui AG, Deutsche Lufthansa AG - CH1532240707

15.80% p.a. Autocallable Reverse Convertible on ASML, Siemens (Quanto USD)

Title

CH1548139133 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139133

Maturity Date

22.06.2027

Underlying

ASML Holding NV, Siemens AG - CH1548139133

15.80% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1548131304 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131304

Maturity Date

07.05.2027

Underlying

Meta Platforms Inc., Micron Technology Inc. - CH1548131304

15.80% p.a. Barrier Reverse Convertible on AMD, Microsoft, Oracle (Quanto CHF)

Title

CH1476909937 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909937

Maturity Date

29.09.2026

Underlying

Advanced Micro Devices Inc., Oracle Corp., Microsoft Corp. - CH1476909937

15.81% (15.72% p.a.) Barrier Reverse Convertible on Logitech, Nestlé, UBS Group

Title

CH1492034470 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034470

Maturity Date

15.02.2027

Underlying

Logitech International SA, UBS Group AG, Nestlé SA - CH1492034470

15.82% p.a. Autocallable Barrier Reverse Convertible on Royal Caribbean Cruises, Salesforce

Title

CH1548131312 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131312

Maturity Date

08.05.2028

Underlying

Royal Caribbean Cruises Ltd., Salesforce, Inc. - CH1548131312

15.83% p.a. Autocallable Reverse Convertible on Micron Technology Inc. (Quanto GBP)

Title

CH1548133763 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133763

Maturity Date

21.05.2027

Underlying

Micron Technology Inc.

15.86% (21.14% p.a.) Reverse Convertible on Adidas, Banco Santander, Wolters Kluwer

Title

CH1532242570 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242570

Maturity Date

17.12.2026

Underlying

Adidas AG, Banco Santander SA, Wolters Kluwer NV - CH1532242570

15.86% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1532239014 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239014

Maturity Date

02.03.2027

Underlying

RENK Group AG, Hensoldt AG, Rheinmetall AG - CH1532239014

15.87% p.a. Autocallable Barrier Reverse Convertible on Netflix, Nike, Novo Nordisk (Quanto EUR)

Title

CH1492032672 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032672

Maturity Date

05.02.2027

Underlying

Nike Inc., Netflix Inc., Novo Nordisk A/S - CH1492032672

15.90% p.a. Barrier Reverse Convertible on AXA, Banco Santander, Siemens

Title

CH1492034447 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034447

Maturity Date

15.02.2027

Underlying

Banco Santander SA, AXA SA, Siemens AG - CH1492034447

15.90% p.a. Barrier Reverse Convertible on Delivery Hero, Helvetia Baloise, Swisscom (Quanto CHF)

Title

CH1492028951 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028951

Maturity Date

19.10.2026

Underlying

Swisscom AG, Delivery Hero SE, Helvetia Baloise Holding AG - CH1492028951

15.93% p.a. Autocallable Barrier Reverse Convertible on ASML, LVMH Moët Hennessy Louis Vuitton, Rheinmetall (Quanto USD)

Title

CH1492031021 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031021

Maturity Date

29.01.2027

Underlying

ASML Holding NV, LVMH Moët Hennessy Louis Vuitton SE, Rheinmetall AG - CH1492031021

15.95% (15.95% p.a.) Barrier Reverse Convertible on Amazon.com, Microsoft, Netflix

Title

CH1532239501 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239501

Maturity Date

03.03.2027

Underlying

Amazon.com Inc., Microsoft Corp., Netflix Inc. - CH1532239501

15.95% (15.95% p.a.) Barrier Reverse Convertible on Nu Holdings Limited (Quanto EUR)

Title

CH1548133979 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133979

Maturity Date

25.05.2027

Underlying

Nu Holdings Limited

15.95% (16.04% p.a.) Barrier Reverse Convertible on Deutsche Post, Heidelberg Materials

Title

CH1532246647 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246647

Maturity Date

08.04.2027

Underlying

Heidelberg Materials AG, Deutsche Post AG - CH1532246647

15.95% p.a. Callable Barrier Reverse Convertible on Comcast, NetEase, Qualcomm

Title

CH1492030791 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030791

Maturity Date

28.07.2026

Underlying

Qualcomm Inc., NetEase, Inc., Comcast Corp. - CH1492030791

15.97% (16.06% p.a.) Barrier Reverse Convertible on Bunge Global, STMicroelectronics (Quanto EUR)

Title

CH1492026948 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026948

Maturity Date

31.12.2026

Underlying

Bunge Global SA, STMicroelectronics NV - CH1492026948

15.98% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532241762 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241762

Maturity Date

12.03.2027

Underlying

Meta Platforms Inc., Micron Technology Inc. - CH1532241762

15.98% p.a. Callable Barrier Reverse Convertible on Danone, Deutsche Post, Enel

Title

CH1532242240 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242240

Maturity Date

16.03.2027

Underlying

Enel SpA, Danone SA, Deutsche Post AG - CH1532242240

15.99% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Munich Re, Société Générale

Title

CH1532245466 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245466

Maturity Date

06.04.2027

Underlying

Commerzbank AG, Münchener Rückversicherungs AG, Société Générale - CH1532245466

16.00% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1532243164 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243164

Maturity Date

19.03.2027

Underlying

Shopify Inc, Advanced Micro Devices Inc. - CH1532243164

16.00% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548140446 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140446

Maturity Date

29.06.2027

Underlying

ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548140446

16.01% (10.62% p.a.) Barrier Reverse Convertible on Air Liquide, LVMH Moët Hennessy Louis Vuitton, Merck (Quanto EUR)

Title

CH1446049152 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446049152

Maturity Date

17.11.2026

Underlying

Merck & Co. Inc., Air Liquide SA, LVMH Moët Hennessy Louis Vuitton SE - CH1446049152

16.04% p.a. Barrier Reverse Convertible on AMD, Broadcom, NVIDIA (Quanto CHF)

Title

CH1532242398 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242398

Maturity Date

17.03.2027

Underlying

NVIDIA Corp., Broadcom Inc., Advanced Micro Devices Inc. - CH1532242398

16.05% (15.96% p.a.) Barrier Reverse Convertible on Leonardo, Rheinmetall (Quanto CHF)

Title

CH1548141360 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141360

Maturity Date

05.07.2027

Underlying

Rheinmetall AG, Leonardo S.p.a. - CH1548141360

16.05% p.a. Callable Barrier Reverse Convertible on Julius Bär, Swissquote, UBS Group

Title

CH1492028480 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028480

Maturity Date

16.04.2027

Underlying

Julius Bär Gruppe AG, Swissquote Group Holding SA, UBS Group AG - CH1492028480

16.06% p.a. Reverse Convertible on ASML, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548142376 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142376

Maturity Date

12.07.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, NVIDIA Corp., ASML Holding NV - CH1548142376

16.07% p.a. Autocallable Barrier Reverse Convertible on Adecco, Lonza, VAT

Title

CH1492027888 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027888

Maturity Date

14.07.2027

Underlying

Lonza Group AG, Adecco Group AG, VAT Group AG - CH1492027888

16.08% p.a. Barrier Reverse Convertible on Twilio Inc. (Quanto CHF)

Title

CH1492031666 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031666

Maturity Date

30.07.2026

Underlying

Twilio Inc.

16.10% (10.72% p.a.) Barrier Reverse Convertible on Estée Lauder, Hermes, LVMH Moët Hennessy Louis Vuitton (Quanto EUR)

Title

CH1446052255 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446052255

Maturity Date

04.12.2026

Underlying

LVMH Moët Hennessy Louis Vuitton SE, Estée Lauder Companies Inc., Hermes International - CH1446052255

16.10% p.a. Autocallable Barrier Reverse Convertible on Alphabet, ASML, Microsoft, NVIDIA (Quanto USD)

Title

CH1492025858 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025858

Maturity Date

23.12.2026

Underlying

NVIDIA Corp., Microsoft Corp., Alphabet, Inc., ASML Holding NV - CH1492025858

16.10% p.a. Autocallable Barrier Reverse Convertible on Ferrari, Uber Technologies

Title

CH1492034629 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034629

Maturity Date

16.02.2027

Underlying

Ferrari N.V., Uber Technologies Inc. - CH1492034629

16.11% p.a. Autocallable Barrier Reverse Convertible on Alcoa Corp., UnitedHealth, Verizon Communications

Title

CH1532237729 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237729

Maturity Date

25.05.2027

Underlying

Alcoa Corporation, UnitedHealth Group Inc., Verizon Communications Inc. - CH1532237729

16.12% p.a. Autocallable Barrier Reverse Convertible on BlackRock, London Stock Exchange , MSCI, NASDAQ OMX Group (Quanto EUR)

Title

CH1532246910 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246910

Maturity Date

09.04.2027

Underlying

NASDAQ OMX Group Inc., London Stock Exchange Group Plc, MSCI Inc., BlackRock, Inc. - CH1532246910

16.13% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Julius Bär, Société Générale (Quanto CHF)

Title

CH1548143028 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143028

Maturity Date

15.10.2027

Underlying

Julius Bär Gruppe AG, Société Générale, Commerzbank AG - CH1548143028

16.13% p.a. Barrier Reverse Convertible on Comet, Logitech, Straumann, VAT

Title

CH1548141378 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141378

Maturity Date

05.07.2027

Underlying

Comet Holding AG, VAT Group AG, Logitech International SA, Straumann Holding AG - CH1548141378

16.13% p.a. Reverse Convertible on Apple Inc. (Quanto CHF)

Title

CH1548141295 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141295

Maturity Date

05.01.2027

Underlying

Apple Inc.

16.15% (16.16% p.a.) Barrier Reverse Convertible on AMD, NVIDIA, Salesforce

Title

CH1532239725 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239725

Maturity Date

04.03.2027

Underlying

NVIDIA Corp., Advanced Micro Devices Inc., Salesforce, Inc. - CH1532239725

16.15% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp

Title

CH1492031435 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031435

Maturity Date

30.04.2027

Underlying

MP Materials Corp, Caterpillar Inc., Exxon Mobil Corp. - CH1492031435

16.15% p.a. Barrier Reverse Convertible on ABB, Barry Callebaut, Siemens Energy (Quanto CHF)

Title

CH1532241176 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241176

Maturity Date

10.03.2027

Underlying

ABB Ltd, Siemens Energy AG, Barry Callebaut AG - CH1532241176

16.16% (32.68% p.a.) Barrier Reverse Convertible on BMW, Daimler Truck, Mercedes-Benz Group, Siemens Energy

Title

CH1532246068 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246068

Maturity Date

05.10.2026

Underlying

Daimler Truck Holding AG, Siemens Energy AG, Mercedes-Benz Group AG, Bayerische Motoren Werke AG - CH1532246068

16.16% p.a. Barrier Reverse Convertible on Axon Enterprise Inc. (Quanto EUR)

Title

CH1548139786 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139786

Maturity Date

25.06.2027

Underlying

Axon Enterprise Inc.

16.17% (16.17% p.a.) Barrier Reverse Convertible on Amazon.com, Apple, NVIDIA

Title

CH1492026518 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026518

Maturity Date

29.12.2026

Underlying

Apple Inc., Amazon.com Inc., NVIDIA Corp. - CH1492026518

16.19% p.a. Reverse Convertible on Applied Digital Corporation

Title

CH1492026617 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492026617

Maturity Date

29.12.2026

Underlying

Applied Digital Corporation

16.20% p.a. Autocallable Barrier Reverse Convertible on Caterpillar, Exxon Mobil, MP Materials Corp

Title

CH1532237703 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237703

Maturity Date

25.05.2027

Underlying

Caterpillar Inc., Exxon Mobil Corp., MP Materials Corp - CH1532237703

16.20% p.a. Callable Barrier Reverse Convertible on Meta Platforms, NVIDIA

Title

CH1548130132 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130132

Maturity Date

03.05.2027

Underlying

Meta Platforms Inc., NVIDIA Corp. - CH1548130132

16.22% (16.22% p.a.) Barrier Reverse Convertible on AMD, NVIDIA, Salesforce

Title

CH1532239915 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239915

Maturity Date

04.03.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Salesforce, Inc. - CH1532239915

16.23% (16.14% p.a.) Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto CHF)

Title

CH1532240459 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240459

Maturity Date

08.03.2027

Underlying

Microsoft Corp., SAP SE, Oracle Corp. - CH1532240459

16.23% p.a. Callable Barrier Reverse Convertible on Anheuser-Busch InBev, Constellation Brands, LVMH Moët Hennessy Louis Vuitton, PepsiCo (Quanto EUR)

Title

CH1492017442 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017442

Maturity Date

27.01.2027

Underlying

PepsiCo Inc., Constellation Brands, Inc., LVMH Moët Hennessy Louis Vuitton SE, Anheuser-Busch InBev NV - CH1492017442

16.24% (10.87% p.a.) Barrier Reverse Convertible on Nestlé, Sandoz Group, UBS Group

Title

CH1446052073 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1446052073

Maturity Date

30.11.2026

Underlying

Nestlé SA, Sandoz Group AG, UBS Group AG - CH1446052073

16.24% (64.98% p.a.) Reverse Convertible on Nebius Group N.V. , Space Exploration Technologies Corporati (Quanto EUR)

Title

CH1548144612 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144612

Maturity Date

23.10.2026

Underlying

Space Exploration Technologies Corporation, Nebius Group N.V. - CH1548144612

16.25% p.a. Reverse Convertible on Alibaba Group, Baidu, Tencent, XPeng (Quanto EUR)

Title

CH1548129688 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129688

Maturity Date

30.04.2027

Underlying

Alibaba Group Holding Limited, Tencent Holdings Limited, Baidu, Inc., XPeng Inc. - CH1548129688

16.25% p.a. Reverse Convertible on Intuitive Surgical, Robinhood Markets, Tesla

Title

CH1492032490 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032490

Maturity Date

04.02.2027

Underlying

Tesla Inc., Robinhood Markets Inc., Intuitive Surgical Inc. - CH1492032490

16.28% p.a. Autocallable Reverse Convertible on Robinhood Markets Inc.

Title

CH1548142236 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142236

Maturity Date

10.01.2028

Underlying

Robinhood Markets Inc.

16.29% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Swissquote (Quanto EUR)

Title

CH1492030684 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030684

Maturity Date

28.01.2027

Underlying

Coinbase Global Inc., Swissquote Group Holding SA - CH1492030684

16.30% p.a. Autocallable Barrier Reverse Convertible on AMD, Broadcom, NVIDIA

Title

CH1492031112 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031112

Maturity Date

29.01.2027

Underlying

NVIDIA Corp., Advanced Micro Devices Inc., Broadcom Inc. - CH1492031112

16.33% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Société Générale

Title

CH1548140529 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140529

Maturity Date

30.12.2026

Underlying

Société Générale, Banco Santander SA, ABN AMRO Bank N.V - CH1548140529

16.34% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, ThyssenKrupp

Title

CH1532237562 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237562

Maturity Date

25.05.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG, ThyssenKrupp AG - CH1532237562

16.36% p.a. Autocallable Reverse Convertible on NVIDIA, Oracle, ServiceNow

Title

CH1548137228 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137228

Maturity Date

13.12.2027

Underlying

NVIDIA Corp., Oracle Corp., ServiceNow Inc - CH1548137228

16.37% p.a. Barrier Reverse Convertible on Klarna Group PLC (Quanto CHF)

Title

CH1548135354 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135354

Maturity Date

31.08.2026

Underlying

Klarna Group PLC

16.40% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532243156 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243156

Maturity Date

19.03.2027

Underlying

Micron Technology Inc., Meta Platforms Inc. - CH1532243156

16.40% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1532241077 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241077

Maturity Date

10.03.2027

Underlying

Meta Platforms Inc., Micron Technology Inc. - CH1532241077

16.40% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532243172 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243172

Maturity Date

19.03.2027

Underlying

Pfizer Inc., Moderna Inc. - CH1532243172

16.43% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, Swiss Re, VAT

Title

CH1492018549 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492018549

Maturity Date

31.07.2026

Underlying

Partners Group Holding AG, Swiss Re AG, VAT Group AG - CH1492018549

16.44% p.a. Barrier Reverse Convertible on Skyworks Solutions Inc. (Quanto CHF)

Title

CH1492031682 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031682

Maturity Date

30.07.2026

Underlying

Skyworks Solutions Inc.

16.45% (16.45% p.a.) Reverse Convertible on Biogen, GE Healthcare Technologies, Halliburton

Title

CH1492021535 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021535

Maturity Date

20.11.2026

Underlying

Halliburton Co., GE Healthcare Technologies Inc., Biogen Inc. - CH1492021535

16.45% p.a. Autocallable Barrier Reverse Convertible on BKW, Schneider Electric, Siemens Energy (Quanto EUR)

Title

CH1548139752 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139752

Maturity Date

24.06.2027

Underlying

BKW AG, Siemens Energy AG, Schneider Electric SE - CH1548139752

16.45% p.a. Autocallable Barrier Reverse Convertible on First Solar, Microsoft, SAP (Quanto USD)

Title

CH1532237711 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237711

Maturity Date

25.05.2027

Underlying

SAP SE, Microsoft Corp., First Solar Inc. - CH1532237711

16.46% p.a. Barrier Reverse Convertible on Zebra Technologies Corp (Quanto CHF)

Title

CH1548130108 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130108

Maturity Date

02.11.2026

Underlying

Zebra Technologies Corp

16.47% p.a. Autocallable Barrier Reverse Convertible on easyJet, PUMA, Zalando (Quanto CHF)

Title

CH1476905703 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476905703

Maturity Date

03.09.2026

Underlying

easyJet PLC , Zalando SE, PUMA SE - CH1476905703

16.55% p.a. Barrier Reverse Convertible on Alibaba Group, Goldman Sachs, NVIDIA, Salesforce

Title

CH1532244238 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244238

Maturity Date

25.09.2026

Underlying

Salesforce, Inc., NVIDIA Corp., The Goldman Sachs Group, Inc., Alibaba Group Holding Limited - CH1532244238

16.56% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532241754 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241754

Maturity Date

12.03.2027

Underlying

Pfizer Inc., Moderna Inc. - CH1532241754

16.60% p.a. Barrier Reverse Convertible on CarMax Inc. (Quanto CHF)

Title

CH1548135321 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135321

Maturity Date

30.11.2026

Underlying

CarMax Inc.

16.60% p.a. Barrier Reverse Convertible on Moderna, Novo Nordisk, Sandoz Group (Quanto CHF)

Title

CH1548130371 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130371

Maturity Date

04.05.2027

Underlying

Moderna Inc., Sandoz Group AG, Novo Nordisk A/S - CH1548130371

16.61% p.a. Barrier Reverse Convertible on SIG Group, Sonova, Swatch

Title

CH1548138572 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138572

Maturity Date

18.06.2027

Underlying

SIG Group AG, Sonova Holding AG, The Swatch Group AG - CH1548138572

16.63% p.a. Autocallable Reverse Convertible on Bank of America, Broadcom, Dell Technologies

Title

CH1548140727 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140727

Maturity Date

31.12.2027

Underlying

Bank of America Corporation, Broadcom Inc., Dell Technologies Inc. - CH1548140727

16.63% p.a. Barrier Reverse Convertible on BELIMO Holding, Ferrari, Merck, Microsoft, SAP (Quanto CHF)

Title

CH1548130520 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130520

Maturity Date

05.05.2027

Underlying

BELIMO Holding AG, Ferrari N.V., Merck & Co. Inc., SAP SE, Microsoft Corp. - CH1548130520

16.66% (16.56% p.a.) Barrier Reverse Convertible on Commerzbank, Deutsche Telekom, Société Générale

Title

CH1476909770 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909770

Maturity Date

28.09.2026

Underlying

Commerzbank AG, Deutsche Telekom AG, Société Générale - CH1476909770

16.66% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, Tencent (Quanto EUR)

Title

CH1492029934 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029934

Maturity Date

26.01.2027

Underlying

Tencent Holdings Limited, Amazon.com Inc., Alibaba Group Holding Limited - CH1492029934

16.66% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548133334 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133334

Maturity Date

19.05.2027

Underlying

NVIDIA Corp., Micron Technology Inc. - CH1548133334

16.66% p.a. Barrier Reverse Convertible on Logitech, Partners Group Holding, Richemont

Title

CH1532244840 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244840

Maturity Date

01.04.2027

Underlying

Logitech International SA, Partners Group Holding AG, Compagnie Financière Richemont SA - CH1532244840

16.68% p.a. Autocallable Reverse Convertible on Banco BPM, Stellantis

Title

CH1548145130 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145130

Maturity Date

27.07.2027

Underlying

Banco BPM S.p.A., Stellantis N.V. - CH1548145130

16.69% p.a. Callable Barrier Reverse Convertible on Leonardo, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476904144 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904144

Maturity Date

20.08.2026

Underlying

Rheinmetall AG, RENK Group AG, Leonardo S.p.a. - CH1476904144

16.71% (16.85% p.a.) Barrier Reverse Convertible on Berkshire Hathaway, Broadcom, NVIDIA

Title

CH1532242463 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242463

Maturity Date

17.03.2027

Underlying

NVIDIA Corp., Broadcom Inc., Berkshire Hathaway Inc. - CH1532242463

16.71% (8.35% p.a.) Reverse Convertible on Alphabet, Meta Platforms, Microsoft

Title

CH1532240368 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240368

Maturity Date

06.03.2028

Underlying

Microsoft Corp., Meta Platforms Inc., Alphabet, Inc. - CH1532240368

16.71% p.a. Autocallable Reverse Convertible on Banco BPM, Stellantis

Title

CH1548144844 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144844

Maturity Date

26.07.2027

Underlying

Stellantis N.V., Banco BPM S.p.A. - CH1548144844

16.73% (16.64% p.a.) Barrier Reverse Convertible on Caterpillar, Chevron, Visa

Title

CH1532242042 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242042

Maturity Date

15.03.2027

Underlying

Visa Inc., Caterpillar Inc., Chevron Corp. - CH1532242042

16.73% (16.73% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Siemens Energy, Siemens Healthineers

Title

CH1548138440 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138440

Maturity Date

18.06.2027

Underlying

Heidelberg Materials AG, Siemens Energy AG, Siemens Healthineers AG - CH1548138440

16.73% p.a. Autocallable Barrier Reverse Convertible on BNP Paribas, Commerzbank, Deutsche Bank

Title

CH1548142079 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142079

Maturity Date

08.07.2027

Underlying

Deutsche Bank AG, Commerzbank AG, BNP Paribas - CH1548142079

16.74% (16.74% p.a.) Barrier Reverse Convertible on BNP Paribas, Nordea Bank, UniCredit (Quanto EUR)

Title

CH1548134217 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134217

Maturity Date

26.05.2027

Underlying

Nordea Bank Abp, UniCredit SpA, BNP Paribas - CH1548134217

16.75% (9.46% p.a.) Barrier Reverse Convertible on Infineon, SAP (Quanto CHF)

Title

CH1532244360 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244360

Maturity Date

03.01.2028

Underlying

Infineon Technologies AG, SAP SE - CH1532244360

16.80% p.a. Reverse Convertible on AST SpaceMobile Inc (Quanto EUR)

Title

CH1548135388 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135388

Maturity Date

28.05.2027

Underlying

AST SpaceMobile Inc

16.83% p.a. Callable Barrier Reverse Convertible on Apple, Broadcom, Meta Platforms, Microsoft, NVIDIA (Quanto CHF)

Title

CH1476908020 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908020

Maturity Date

16.09.2026

Underlying

Apple Inc., Meta Platforms Inc., Broadcom Inc., Microsoft Corp., NVIDIA Corp. - CH1476908020

16.85% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto CHF)

Title

CH1548134803 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134803

Maturity Date

28.05.2027

Underlying

SAP SE, Oracle Corp., ServiceNow Inc - CH1548134803

16.87% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548144950 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144950

Maturity Date

27.07.2027

Underlying

Advantest Corp., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144950

16.87% p.a. Barrier Reverse Convertible on Adecco, Barry Callebaut, VAT

Title

CH1476906024 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906024

Maturity Date

03.09.2026

Underlying

Adecco Group AG, Barry Callebaut AG, VAT Group AG - CH1476906024

16.88% (33.59% p.a.) Barrier Reverse Convertible on Airbus, Infineon, RENK Group AG, Siemens Energy

Title

CH1532244733 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244733

Maturity Date

28.09.2026

Underlying

Siemens Energy AG, Airbus SE, RENK Group AG, Infineon Technologies AG - CH1532244733

16.89% p.a. Barrier Reverse Convertible on ASML, ING, Tui

Title

CH1468581181 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468581181

Maturity Date

12.08.2026

Underlying

Tui AG, ASML Holding NV, ING Groep N.V. - CH1468581181

16.91% (33.83% p.a.) Reverse Convertible on Ciena Corp.

Title

CH1548140677 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140677

Maturity Date

31.12.2026

Underlying

Ciena Corp.

16.91% p.a. Autocallable Barrier Reverse Convertible on Marvell Technology Group Ltd. (Quanto GBP)

Title

CH1548144182 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144182

Maturity Date

21.07.2027

Underlying

Marvell Technology Group Ltd.

16.91% p.a. Barrier Reverse Convertible on Apple, NVIDIA, Tesla (Quanto CHF)

Title

CH1492027375 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027375

Maturity Date

06.01.2028

Underlying

NVIDIA Corp., Tesla Inc., Apple Inc. - CH1492027375

16.93% (33.67% p.a.) Reverse Convertible on Navitas Semiconductor Corp

Title

CH1548131668 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131668

Maturity Date

12.11.2026

Underlying

Navitas Semiconductor Corp

16.93% p.a. Callable Barrier Reverse Convertible on Adecco, Barry Callebaut, Logitech

Title

CH1476912220 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912220

Maturity Date

14.01.2027

Underlying

Adecco Group AG, Barry Callebaut AG, Logitech International SA - CH1476912220

16.95% (16.95% p.a.) Barrier Reverse Convertible on Barry Callebaut, Schindler, VAT

Title

CH1532237612 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237612

Maturity Date

25.02.2027

Underlying

Barry Callebaut AG, VAT Group AG, Schindler Holding AG - CH1532237612

16.95% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1548142798 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142798

Maturity Date

14.07.2027

Underlying

Moderna Inc., Pfizer Inc. - CH1548142798

16.97% (33.39% p.a.) Barrier Reverse Convertible on Airbus, Infineon, RENK Group AG, Siemens Energy

Title

CH1532245607 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245607

Maturity Date

05.10.2026

Underlying

Infineon Technologies AG, RENK Group AG, Airbus SE, Siemens Energy AG - CH1532245607

16.97% p.a. Reverse Convertible on AMD, Broadcom

Title

CH1492035725 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035725

Maturity Date

19.02.2027

Underlying

Broadcom Inc., Advanced Micro Devices Inc. - CH1492035725

16.98% (34.34% p.a.) Barrier Reverse Convertible on Airbus, Hensoldt , MTU Aero Engines, Siemens Energy

Title

CH1532246076 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246076

Maturity Date

05.10.2026

Underlying

Siemens Energy AG, Hensoldt AG, MTU Aero Engines Holdings AG, Airbus SE - CH1532246076

17.00% p.a. Reverse Convertible on Eli Lilly & Co.

Title

CH1548128334 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128334

Maturity Date

27.07.2026

Underlying

Eli Lilly & Co.

17.00% p.a. Reverse Convertible on Logitech, Straumann, VZ Holding AG

Title

CH1548129423 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129423

Maturity Date

30.10.2026

Underlying

Straumann Holding AG, VZ Holding AG, Logitech International SA - CH1548129423

17.02% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1548136642 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136642

Maturity Date

09.06.2027

Underlying

Shopify Inc, Advanced Micro Devices Inc. - CH1548136642

17.02% p.a. Barrier Reverse Convertible on Oracle, SAP, ServiceNow (Quanto EUR)

Title

CH1548129241 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129241

Maturity Date

02.05.2028

Underlying

SAP SE, Oracle Corp., ServiceNow Inc - CH1548129241

17.03% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Swatch, UBS Group

Title

CH1548134266 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134266

Maturity Date

26.11.2026

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Novartis AG - CH1548134266

17.04% (16.90% p.a.) Barrier Reverse Convertible on Micron Technology Inc. (Quanto GBP)

Title

CH1548136048 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136048

Maturity Date

08.06.2027

Underlying

Micron Technology Inc.

17.05% (17.05% p.a.) Barrier Reverse Convertible on SAP, Siemens Energy, Siemens Healthineers

Title

CH1492023077 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492023077

Maturity Date

03.12.2026

Underlying

Siemens Energy AG, Siemens Healthineers AG, SAP SE - CH1492023077

17.05% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Amazon.com, NVIDIA

Title

CH1548131577 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131577

Maturity Date

12.11.2027

Underlying

Alphabet, Inc., Amazon.com Inc., NVIDIA Corp. - CH1548131577

17.05% p.a. Autocallable Barrier Reverse Convertible on Best Buy, Palantir, Starbucks

Title

CH1476908871 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908871

Maturity Date

22.09.2026

Underlying

Best Buy Co. Inc., Starbucks Corp., Palantir Technologies Inc. - CH1476908871

17.09% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, ThyssenKrupp (Quanto USD)

Title

CH1532237695 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237695

Maturity Date

25.05.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG, ThyssenKrupp AG - CH1532237695

17.10% p.a. Autocallable Reverse Convertible on Global X Silver Miners ETF

Title

CH1548129860 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129860

Maturity Date

02.11.2026

Underlying

Global X Silver Miners ETF

17.10% p.a. Autocallable Reverse Convertible on Moderna, Pfizer

Title

CH1532241119 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241119

Maturity Date

10.03.2027

Underlying

Moderna Inc., Pfizer Inc. - CH1532241119

17.11% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto CHF)

Title

CH1476907147 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907147

Maturity Date

10.09.2026

Underlying

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907147

17.15% p.a. Barrier Reverse Convertible on Delivery Hero, Zalando

Title

CH1476908582 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908582

Maturity Date

21.09.2026

Underlying

Delivery Hero SE, Zalando SE - CH1476908582

17.18% p.a. Reverse Convertible on JPMorgan Chase, Meta Platforms, Rheinmetall (Quanto GBP)

Title

CH1532240889 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240889

Maturity Date

09.03.2027

Underlying

Rheinmetall AG, Meta Platforms Inc., JPMorgan Chase & Co. - CH1532240889

17.20% p.a. Autocallable Barrier Reverse Convertible on ASML, Heidelberg Materials, Infineon, ING (Quanto CHF)

Title

CH1532244139 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244139

Maturity Date

24.03.2027

Underlying

Heidelberg Materials AG, ASML Holding NV, ING Groep N.V., Infineon Technologies AG - CH1532244139

17.21% (17.21% p.a.) Barrier Reverse Convertible on Deutsche Telekom, SAP, Siemens

Title

CH1548140586 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140586

Maturity Date

30.06.2027

Underlying

Deutsche Telekom AG, SAP SE, Siemens AG - CH1548140586

17.22% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group Holding Limited (Quanto EUR)

Title

CH1548141287 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141287

Maturity Date

06.07.2027

Underlying

Alibaba Group Holding Limited

17.22% p.a. Autocallable Reverse Convertible on Alphabet, Amazon.com, Robinhood Markets

Title

CH1492019117 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492019117

Maturity Date

04.08.2026

Underlying

Alphabet, Inc., Amazon.com Inc., Robinhood Markets Inc. - CH1492019117

17.24% p.a. Autocallable Barrier Reverse Convertible on AMD, Broadcom, NVIDIA

Title

CH1492033316 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033316

Maturity Date

09.02.2027

Underlying

NVIDIA Corp., Advanced Micro Devices Inc., Broadcom Inc. - CH1492033316

17.24% p.a. Autocallable Reverse Convertible on Intel, Microsoft, Visa

Title

CH1548140701 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140701

Maturity Date

31.12.2027

Underlying

Intel Corp., Visa Inc., Microsoft Corp. - CH1548140701

17.25% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1548134522 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134522

Maturity Date

27.05.2027

Underlying

Hensoldt AG, Rheinmetall AG, RENK Group AG - CH1548134522

17.25% p.a. Reverse Convertible on Robinhood Markets Inc.

Title

CH1492032466 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492032466

Maturity Date

04.02.2027

Underlying

Robinhood Markets Inc.

17.30% p.a. Autocallable Reverse Convertible on Cameco Corp.

Title

CH1548128524 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128524

Maturity Date

27.10.2026

Underlying

Cameco Corp.

17.31% p.a. Autocallable Reverse Convertible on Intel, Microsoft, Visa

Title

CH1548144513 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144513

Maturity Date

25.01.2028

Underlying

Intel Corp., Visa Inc., Microsoft Corp. - CH1548144513

17.32% (17.27% p.a.) Barrier Reverse Convertible on Merck, Novo Nordisk, Roche (Quanto CHF)

Title

CH1492031328 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031328

Maturity Date

01.02.2027

Underlying

Merck & Co. Inc., Novo Nordisk A/S, Roche Holding AG - CH1492031328

17.34% p.a. Callable Reverse Convertible on Lockheed Martin, Palantir, Rheinmetall (Quanto USD)

Title

CH1468579268 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579268

Maturity Date

26.07.2027

Underlying

Rheinmetall AG, Lockheed Martin Corp, Palantir Technologies Inc. - CH1468579268

17.38% p.a. Autocallable Barrier Reverse Convertible on Deutsche Bank, Electrolux, Kering (Quanto EUR)

Title

CH1532244584 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244584

Maturity Date

31.03.2027

Underlying

Deutsche Bank AG, Kering SA, Electrolux AB - CH1532244584

17.38% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1548132815 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132815

Maturity Date

16.11.2026

Underlying

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, The Swatch Group AG, Roche Holding AG - CH1548132815

17.39% (17.30% p.a.) Barrier Reverse Convertible on easyJet, ING, Novo Nordisk (Quanto CHF)

Title

CH1492034413 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034413

Maturity Date

15.02.2027

Underlying

Novo Nordisk A/S, ING Groep N.V., easyJet PLC - CH1492034413

17.39% (34.59% p.a.) Barrier Reverse Convertible on Hensoldt , Rheinmetall, Safran, ThyssenKrupp

Title

CH1532244741 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244741

Maturity Date

28.09.2026

Underlying

Rheinmetall AG, Safran SA, ThyssenKrupp AG, Hensoldt AG - CH1532244741

17.39% p.a. Autocallable Barrier Reverse Convertible on Meta Platforms, Netflix

Title

CH1492034637 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034637

Maturity Date

16.02.2027

Underlying

Meta Platforms Inc., Netflix Inc. - CH1492034637

17.39% p.a. Callable Barrier Reverse Convertible on Partners Group Holding, PayPal, The Blackstone Group (Quanto USD)

Title

CH1548134852 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134852

Maturity Date

01.12.2026

Underlying

PayPal Holdings Inc., The Blackstone Group Inc., Partners Group Holding AG - CH1548134852

17.40% (17.30% p.a.) Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Safran, Société Générale

Title

CH1548140131 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140131

Maturity Date

28.06.2027

Underlying

Société Générale, Safran SA, LVMH Moët Hennessy Louis Vuitton SE - CH1548140131

17.40% (17.40% p.a.) Barrier Reverse Convertible on Deutsche Telekom, Munich Re, Rheinmetall

Title

CH1548129548 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129548

Maturity Date

30.04.2027

Underlying

Münchener Rückversicherungs AG, Rheinmetall AG, Deutsche Telekom AG - CH1548129548

17.40% (34.61% p.a.) Barrier Reverse Convertible on Hensoldt , Rheinmetall, Safran, ThyssenKrupp

Title

CH1532244709 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244709

Maturity Date

28.09.2026

Underlying

Safran SA, Rheinmetall AG, Hensoldt AG, ThyssenKrupp AG - CH1532244709

17.40% p.a. Autocallable Barrier Reverse Convertible on Adecco, ServiceNow, Twilio (Quanto EUR)

Title

CH1492033282 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033282

Maturity Date

11.05.2027

Underlying

Adecco Group AG, ServiceNow Inc, Twilio Inc. - CH1492033282

17.41% p.a. Barrier Reverse Convertible on Dollar Tree Inc. (Quanto CHF)

Title

CH1548135305 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135305

Maturity Date

30.11.2026

Underlying

Dollar Tree Inc.

17.43% p.a. Autocallable Reverse Convertible on AMD, Broadcom, NVIDIA (Quanto EUR)

Title

CH1532244915 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244915

Maturity Date

01.04.2027

Underlying

Advanced Micro Devices Inc., Broadcom Inc., NVIDIA Corp. - CH1532244915

17.44% p.a. Autocallable Reverse Convertible on Meta Platforms, Micron Technology

Title

CH1548132898 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132898

Maturity Date

17.05.2027

Underlying

Meta Platforms Inc., Micron Technology Inc. - CH1548132898

17.45% (17.45% p.a.) Barrier Reverse Convertible on Broadcom, Microsoft, NVIDIA

Title

CH1532246233 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246233

Maturity Date

06.04.2027

Underlying

NVIDIA Corp., Microsoft Corp., Broadcom Inc. - CH1532246233

17.47% p.a. Autocallable Reverse Convertible on AbbVie Inc, Biogen, Eli Lilly

Title

CH1492023093 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492023093

Maturity Date

04.12.2026

Underlying

Eli Lilly & Co., Biogen Inc., AbbVie Inc - CH1492023093

17.48% p.a. Autocallable Barrier Reverse Convertible on Centene Corporation (Quanto CHF)

Title

CH1492031658 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031658

Maturity Date

30.07.2026

Underlying

Centene Corporation

17.55% p.a. Reverse Convertible on AMD, ASML, Broadcom (Quanto CHF)

Title

CH1532245946 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245946

Maturity Date

05.10.2026

Underlying

Advanced Micro Devices Inc., Broadcom Inc., ASML Holding NV - CH1532245946

17.56% (71.05% p.a.) Reverse Convertible on Coherent, Lumentum Holdings, Marvell Technology

Title

CH1548140099 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140099

Maturity Date

25.09.2026

Underlying

Marvell Technology Group Ltd., Lumentum Holdings Inc., Coherent Corp. - CH1548140099

17.59% p.a. Reverse Convertible on ServiceNow Inc

Title

CH1548144596 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144596

Maturity Date

26.01.2027

Underlying

ServiceNow Inc

17.62% p.a. Autocallable Reverse Convertible on Bank of America, Broadcom, Dell Technologies

Title

CH1548143796 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143796

Maturity Date

21.01.2028

Underlying

Bank of America Corporation, Broadcom Inc., Dell Technologies Inc. - CH1548143796

17.62% p.a. Reverse Convertible on Coinbase Global Inc. (Quanto EUR)

Title

CH1548141014 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141014

Maturity Date

03.01.2028

Underlying

Coinbase Global Inc.

17.64% p.a. Autocallable Barrier Reverse Convertible on Citigroup, Netflix, Oracle (Quanto EUR)

Title

CH1548132963 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132963

Maturity Date

16.08.2027

Underlying

Netflix Inc., Citigroup Inc., Oracle Corp. - CH1548132963

17.67% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548132880 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132880

Maturity Date

17.05.2027

Underlying

Micron Technology Inc., NVIDIA Corp. - CH1548132880

17.74% (17.74% p.a.) Barrier Reverse Convertible on Apple, Microsoft, NVIDIA

Title

CH1492030536 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030536

Maturity Date

27.01.2027

Underlying

Apple Inc., Microsoft Corp., NVIDIA Corp. - CH1492030536

17.75% (17.80% p.a.) Barrier Reverse Convertible on AMD, ASML, Hermes (Quanto CHF)

Title

CH1548127617 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127617

Maturity Date

21.04.2027

Underlying

ASML Holding NV, Hermes International, Advanced Micro Devices Inc. - CH1548127617

17.77% p.a. Autocallable Reverse Convertible on Palantir, Vertiv Holdings Co

Title

CH1548134670 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134670

Maturity Date

27.05.2027

Underlying

Palantir Technologies Inc., Vertiv Holdings Co - CH1548134670

17.80% (17.80% p.a.) Barrier Reverse Convertible on Apple, Eli Lilly, NVIDIA

Title

CH1492025643 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025643

Maturity Date

22.12.2026

Underlying

Apple Inc., Eli Lilly & Co., NVIDIA Corp. - CH1492025643

17.81% p.a. Autocallable Reverse Convertible on Infineon Technologies AG

Title

CH1548128722 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128722

Maturity Date

28.10.2026

Underlying

Infineon Technologies AG

17.81% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548128474 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128474

Maturity Date

28.09.2026

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Novartis AG, Roche Holding AG - CH1548128474

17.82% (17.67% p.a.) Barrier Reverse Convertible on Moderna, Novartis, Roche (Quanto CHF)

Title

CH1548141337 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141337

Maturity Date

06.07.2027

Underlying

Moderna Inc., Roche Holding AG, Novartis AG - CH1548141337

17.85% (17.85% p.a.) Barrier Reverse Convertible on Amazon.com, Broadcom, NVIDIA

Title

CH1532241606 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241606

Maturity Date

11.03.2027

Underlying

Amazon.com Inc., NVIDIA Corp., Broadcom Inc. - CH1532241606

17.86% p.a. Autocallable Reverse Convertible on Alphabet, Broadcom

Title

CH1548132591 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132591

Maturity Date

17.11.2026

Underlying

Alphabet, Inc., Broadcom Inc. - CH1548132591

17.87% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476910190 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910190

Maturity Date

31.12.2026

Underlying

RENK Group AG, Hensoldt AG, Rheinmetall AG - CH1476910190

17.87% p.a. Autocallable Reverse Convertible on Cloudflare Inc, NVIDIA, ServiceNow

Title

CH1492017434 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017434

Maturity Date

27.07.2026

Underlying

Cloudflare Inc, NVIDIA Corp., ServiceNow Inc - CH1492017434

17.89% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548136659 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136659

Maturity Date

09.06.2027

Underlying

Micron Technology Inc., NVIDIA Corp. - CH1548136659

17.90% p.a. Autocallable Barrier Reverse Convertible on A.P. Moller Maersk, Danske Bank, Novo Nordisk (Quanto USD)

Title

CH1492032151 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032151

Maturity Date

03.02.2027

Underlying

A.P. Moller Maersk A/S, Danske Bank A/S, Novo Nordisk A/S - CH1492032151

17.93% p.a. Barrier Reverse Convertible on Broadcom, Meta Platforms, NVIDIA

Title

CH1532242133 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242133

Maturity Date

15.03.2027

Underlying

Broadcom Inc., NVIDIA Corp., Meta Platforms Inc. - CH1532242133

17.95% p.a. Autocallable Barrier Reverse Convertible on Royal Caribbean Cruises, ServiceNow

Title

CH1548133029 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133029

Maturity Date

15.05.2028

Underlying

Royal Caribbean Cruises Ltd., ServiceNow Inc - CH1548133029

17.99% (17.99% p.a.) Barrier Reverse Convertible on MTU Aero Engines, Rheinmetall

Title

CH1548134019 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134019

Maturity Date

25.05.2027

Underlying

MTU Aero Engines Holdings AG, Rheinmetall AG - CH1548134019

18.00% p.a. Autocallable Barrier Reverse Convertible on Applovin Corp, Microsoft, Netflix

Title

CH1532241887 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241887

Maturity Date

13.03.2028

Underlying

Microsoft Corp., Netflix Inc., Applovin Corporation - CH1532241887

18.00% p.a. Callable Barrier Reverse Convertible on ASML, Heidelberg Materials, SAP

Title

CH1532246407 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246407

Maturity Date

07.04.2027

Underlying

SAP SE, ASML Holding NV, Heidelberg Materials AG - CH1532246407

18.11% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548138002 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138002

Maturity Date

15.06.2027

Underlying

Micron Technology Inc., NVIDIA Corp. - CH1548138002

18.12% p.a. Callable Barrier Reverse Convertible on Diageo, Lanxess, Pernod-Ricard (Quanto EUR)

Title

CH1532239717 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239717

Maturity Date

02.06.2027

Underlying

Lanxess AG, Pernod-Ricard SA, Diageo PLC - CH1532239717

18.15% p.a. Autocallable Barrier Reverse Convertible on Alstom, Sanofi, Symrise, Telefonica

Title

CH1548133854 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133854

Maturity Date

23.08.2027

Underlying

Alstom SA, Symrise AG, Telefonica SA, Sanofi SA - CH1548133854

18.16% p.a. Autocallable Barrier Reverse Convertible on BKW, E.ON, Enel, Siemens Energy (Quanto CHF)

Title

CH1532243727 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243727

Maturity Date

23.03.2027

Underlying

Enel SpA, E.ON SE, Siemens Energy AG, BKW AG - CH1532243727

18.20% p.a. Autocallable Reverse Convertible on Palantir, Vertiv Holdings Co

Title

CH1548137046 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137046

Maturity Date

10.06.2027

Underlying

Palantir Technologies Inc., Vertiv Holdings Co - CH1548137046

18.26% (9.13% p.a.) Reverse Convertible on Nestlé, Stadler Rail, Swiss Re

Title

CH1492035592 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035592

Maturity Date

18.02.2028

Underlying

Swiss Re AG, Nestlé SA, Stadler Rail AG - CH1492035592

18.28% p.a. Callable Barrier Reverse Convertible on ENGIE, Schneider Electric, Siemens Energy (Quanto CHF)

Title

CH1548133193 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133193

Maturity Date

19.05.2027

Underlying

ENGIE SA, Siemens Energy AG, Schneider Electric SE - CH1548133193

18.31% (18.31% p.a.) Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1492028902 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028902

Maturity Date

19.01.2027

Underlying

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1492028902

18.32% (18.32% p.a.) Barrier Reverse Convertible on Rheinmetall, Siemens Energy, TotalEnergies

Title

CH1476910141 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910141

Maturity Date

30.09.2026

Underlying

Rheinmetall AG, Siemens Energy AG, TotalEnergies SE - CH1476910141

18.32% p.a. Barrier Reverse Convertible on ABN AMRO Bank, Banco Santander, Crédit Agricole, Monte dei Paschi di Siena

Title

CH1532237885 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237885

Maturity Date

28.12.2026

Underlying

ABN AMRO Bank N.V, Crédit Agricole SA, Banco Santander SA, Banca Monte dei Paschi di Siena SpA - CH1532237885

18.34% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548132674 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132674

Maturity Date

15.02.2027

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Roche Holding AG - CH1548132674

18.36% p.a. Autocallable Reverse Convertible on AMD, Shopify Inc

Title

CH1548142780 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142780

Maturity Date

14.07.2027

Underlying

Advanced Micro Devices Inc., Shopify Inc - CH1548142780

18.38% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548135628 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135628

Maturity Date

08.03.2027

Underlying

UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Nestlé SA, Roche Holding AG - CH1548135628

18.45% (18.50% p.a.) Barrier Reverse Convertible on AMD, Microsoft, NVIDIA

Title

CH1476906214 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906214

Maturity Date

02.09.2026

Underlying

NVIDIA Corp., Microsoft Corp., Advanced Micro Devices Inc. - CH1476906214

18.49% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Broadcom, Kuehne + Nagel (Quanto USD)

Title

CH1532238214 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238214

Maturity Date

26.02.2027

Underlying

Kuehne + Nagel International AG, Broadcom Inc., AngloGold Ashanti plc - CH1532238214

18.50% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Broadcom, Kuehne + Nagel (Quanto USD)

Title

CH1532238313 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238313

Maturity Date

26.02.2027

Underlying

AngloGold Ashanti plc, Broadcom Inc., Kuehne + Nagel International AG - CH1532238313

18.52% (18.52% p.a.) Barrier Reverse Convertible on Dassault, ENGIE, Heidelberg Materials, Safran

Title

CH1532247090 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532247090

Maturity Date

15.04.2027

Underlying

ENGIE SA, Heidelberg Materials AG, Dassault Systèmes S.A., Safran SA - CH1532247090

18.52% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532238222 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238222

Maturity Date

26.02.2027

Underlying

Las Vegas Sands Corp., Porsche Automobil Holding SE, ThyssenKrupp AG - CH1532238222

18.52% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532238321 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238321

Maturity Date

26.02.2027

Underlying

ThyssenKrupp AG, Porsche Automobil Holding SE, Las Vegas Sands Corp. - CH1532238321

18.61% (18.46% p.a.) Barrier Reverse Convertible on Boeing, Lockheed Martin, Northrop Grumman, RTX Corporation

Title

CH1532244766 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244766

Maturity Date

30.03.2027

Underlying

RTX Corporation, Lockheed Martin Corp, Northrop Grumman Corp, Boeing Company - CH1532244766

18.65% p.a. Autocallable Barrier Reverse Convertible on Intel, Nordea Bank, Palantir (Quanto EUR)

Title

CH1532238941 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238941

Maturity Date

02.03.2027

Underlying

Intel Corp., Palantir Technologies Inc., Nordea Bank Abp - CH1532238941

18.67% p.a. Callable Barrier Reverse Convertible on BASF, Bayer, Sanofi (Quanto USD)

Title

CH1492032987 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032987

Maturity Date

08.02.2027

Underlying

Bayer AG, BASF SE, Sanofi SA - CH1492032987

18.68% p.a. Autocallable Barrier Reverse Convertible on ABB, Siemens, Siemens Energy (Quanto EUR)

Title

CH1548132328 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132328

Maturity Date

14.05.2027

Underlying

ABB Ltd, Siemens AG, Siemens Energy AG - CH1548132328

18.70% p.a. Autocallable Reverse Convertible on Palantir Technologies Inc.

Title

CH1532245995 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532245995

Maturity Date

05.04.2027

Underlying

Palantir Technologies Inc.

18.72% p.a. Autocallable Reverse Convertible on Micron Technology, NVIDIA

Title

CH1548142806 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142806

Maturity Date

14.07.2027

Underlying

Micron Technology Inc., NVIDIA Corp. - CH1548142806

18.72% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch

Title

CH1548129902 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129902

Maturity Date

01.02.2027

Underlying

Nestlé SA, Partners Group Holding AG, Julius Bär Gruppe AG, The Swatch Group AG, Roche Holding AG - CH1548129902

18.73% p.a. Autocallable Reverse Convertible on ASML, Fortinet, Qualcomm

Title

CH1548139760 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139760

Maturity Date

25.06.2027

Underlying

ASML Holding NV, Fortinet Inc., Qualcomm Inc. - CH1548139760

18.73% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548128953 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128953

Maturity Date

29.01.2027

Underlying

Micron Technology Inc.

18.80% p.a. Autocallable Barrier Reverse Convertible on Boeing, Novo Nordisk, Rheinmetall (Quanto USD)

Title

CH1492029744 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492029744

Maturity Date

25.01.2027

Underlying

Boeing Company, Rheinmetall AG, Novo Nordisk A/S - CH1492029744

18.81% p.a. Reverse Convertible on Salesforce, ServiceNow

Title

CH1548134480 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134480

Maturity Date

27.05.2027

Underlying

Salesforce, Inc., ServiceNow Inc - CH1548134480

18.90% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, RWE, Schneider Electric

Title

CH1532245490 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245490

Maturity Date

06.04.2027

Underlying

RWE AG, Deutsche Telekom AG, Schneider Electric SE - CH1532245490

18.92% (18.92% p.a.) Barrier Reverse Convertible on Caterpillar, Newmont, Palo Alto Networks

Title

CH1548127237 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127237

Maturity Date

21.04.2027

Underlying

Newmont Corp., Palo Alto Networks, Inc., Caterpillar Inc. - CH1548127237

18.93% p.a. Callable Barrier Reverse Convertible on E.ON, RWE, Siemens Energy (Quanto CHF)

Title

CH1548137004 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137004

Maturity Date

10.06.2027

Underlying

E.ON SE, RWE AG, Siemens Energy AG - CH1548137004

18.98% p.a. Autocallable Barrier Reverse Convertible on Dassault, Nike, Salesforce (Quanto USD)

Title

CH1548129563 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129563

Maturity Date

30.04.2027

Underlying

Salesforce, Inc., Nike Inc., Dassault Systèmes S.A. - CH1548129563

19.01% (22.36% p.a.) Barrier Reverse Convertible on ASML, BMW, Heidelberg Materials, Siemens Energy

Title

CH1492036517 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036517

Maturity Date

29.12.2026

Underlying

Siemens Energy AG, Bayerische Motoren Werke AG, Heidelberg Materials AG, ASML Holding NV - CH1492036517

19.03% p.a. Autocallable Reverse Convertible on EssilorLuxottica, Ferrari (Quanto EUR)

Title

CH1548126171 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126171

Maturity Date

16.04.2027

Underlying

Ferrari N.V., EssilorLuxottica SA - CH1548126171

19.03% p.a. Autocallable Reverse Convertible on Intel, Tesla

Title

CH1548137053 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137053

Maturity Date

10.06.2027

Underlying

Intel Corp., Tesla Inc. - CH1548137053

19.05% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Kinross Gold, Newmont (Quanto CHF)

Title

CH1548132385 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132385

Maturity Date

17.11.2026

Underlying

AngloGold Ashanti plc, Barrick Mining Corporation, Kinross Gold Corp., Newmont Corp. - CH1548132385

19.09% p.a. Autocallable Reverse Convertible on Chevron, Transocean

Title

CH1548126908 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126908

Maturity Date

20.10.2026

Underlying

Chevron Corp., Transocean Ltd. - CH1548126908

19.09% p.a. Barrier Reverse Convertible on Toast Inc (Quanto CHF)

Title

CH1532238701 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238701

Maturity Date

27.08.2026

Underlying

Toast Inc

19.10% p.a. Autocallable Barrier Reverse Convertible on BMW, Daimler Truck, Goodyear (Quanto USD)

Title

CH1492032896 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032896

Maturity Date

08.02.2027

Underlying

Bayerische Motoren Werke AG, Daimler Truck Holding AG, Goodyear Tire & Rubber Co./The - CH1492032896

19.11% p.a. Autocallable Reverse Convertible on Intel, Marvell Technology , Oracle

Title

CH1548128573 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128573

Maturity Date

28.04.2027

Underlying

Intel Corp., Marvell Technology Group Ltd., Oracle Corp. - CH1548128573

19.12% p.a. Barrier Reverse Convertible on NIO Inc. (Quanto CHF)

Title

CH1548141063 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141063

Maturity Date

31.12.2026

Underlying

NIO Inc.

19.13% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Corning, Meta Platforms

Title

CH1492033324 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033324

Maturity Date

09.02.2027

Underlying

Alphabet, Inc., Corning Inc., Meta Platforms Inc. - CH1492033324

19.14% p.a. Barrier Reverse Convertible on Arm Holding plc (Quanto CHF)

Title

CH1492031708 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492031708

Maturity Date

30.07.2026

Underlying

Arm Holding plc

19.15% (19.00% p.a.) Reverse Convertible on AMD, Applied Materials, Intel, Tesla

Title

CH1548138671 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138671

Maturity Date

21.06.2027

Underlying

Tesla Inc., Applied Materials Inc., Advanced Micro Devices Inc., Intel Corp. - CH1548138671

19.15% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale

Title

CH1476907139 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907139

Maturity Date

10.09.2026

Underlying

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907139

19.15% p.a. Autocallable Reverse Convertible on GE Vernova Inc.

Title

CH1548142863 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142863

Maturity Date

14.01.2027

Underlying

GE Vernova Inc.

19.22% p.a. Autocallable Reverse Convertible on Intel, Tesla (Quanto GBP)

Title

CH1548138911 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138911

Maturity Date

22.06.2027

Underlying

Tesla Inc., Intel Corp. - CH1548138911

19.26% p.a. Autocallable Barrier Reverse Convertible on Arista Networks, Cloudflare Inc, Zscaler

Title

CH1548136485 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136485

Maturity Date

08.06.2028

Underlying

Arista Networks, Inc., Cloudflare Inc, Zscaler Inc. - CH1548136485

19.28% p.a. Autocallable Barrier Reverse Convertible on Eli Lilly, Freeport-McMoRan Inc., GE Vernova

Title

CH1548143903 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143903

Maturity Date

21.06.2027

Underlying

GE Vernova Inc., Freeport-McMoRan Inc., Eli Lilly & Co. - CH1548143903

19.32% p.a. Barrier Reverse Convertible on ASML, AXA, Banco Santander, BBVA, Enel

Title

CH1492020222 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020222

Maturity Date

11.11.2026

Underlying

AXA SA, ASML Holding NV, Enel SpA, Banco Bilbao Vizcaya Argentaria SA, Banco Santander SA - CH1492020222

19.35% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1548136147 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136147

Maturity Date

07.06.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1548136147

19.38% p.a. Reverse Convertible on Arista Networks, Micron Technology

Title

CH1492035733 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035733

Maturity Date

19.02.2027

Underlying

Micron Technology Inc., Arista Networks, Inc. - CH1492035733

19.43% p.a. Autocallable Barrier Reverse Convertible on BAE Systems, Leonardo, Rheinmetall (Quanto EUR)

Title

CH1532240343 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240343

Maturity Date

08.03.2027

Underlying

BAE Systems PLC, Rheinmetall AG, Leonardo S.p.a. - CH1532240343

19.44% p.a. Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall, Saab AB (Quanto EUR)

Title

CH1548129100 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129100

Maturity Date

29.04.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG, Saab AB - CH1548129100

19.47% (15.57% p.a.) Barrier Reverse Convertible on Commerzbank, Intesa Sanpaolo, Société Générale

Title

CH1548142632 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142632

Maturity Date

13.10.2027

Underlying

Commerzbank AG, Intesa Sanpaolo SpA, Société Générale - CH1548142632

19.47% p.a. Callable Barrier Reverse Convertible on Byd Co, Xiaomi Corporation, XPeng (Quanto CHF)

Title

CH1548137236 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137236

Maturity Date

14.06.2027

Underlying

XPeng Inc., Xiaomi Corporation, BYD Company Limited - CH1548137236

19.48% (25.98% p.a.) Reverse Convertible on Infineon, Rheinmetall, Siemens Energy

Title

CH1532242703 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242703

Maturity Date

17.12.2026

Underlying

Siemens Energy AG, Rheinmetall AG, Infineon Technologies AG - CH1532242703

19.50% p.a. Barrier Reverse Convertible on ASML, Infineon, NVIDIA, Taiwan Semiconductor Manufacturing (Quanto CHF)

Title

CH1548137178 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137178

Maturity Date

13.10.2026

Underlying

Infineon Technologies AG, ASML Holding NV, NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548137178

19.52% (26.03% p.a.) Reverse Convertible on Infineon, Rheinmetall, Siemens Energy

Title

CH1532242588 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242588

Maturity Date

17.12.2026

Underlying

Infineon Technologies AG, Rheinmetall AG, Siemens Energy AG - CH1532242588

19.52% p.a. Reverse Convertible on CoreWeave, Microsoft, NuScale Power

Title

CH1492021527 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492021527

Maturity Date

19.11.2026

Underlying

CoreWeave Inc., NuScale Power Corp., Microsoft Corp. - CH1492021527

19.65% p.a. Autocallable Barrier Reverse Convertible on Constellation Energy, Nextera Energy, Vistra Energy (Quanto EUR)

Title

CH1476903278 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476903278

Maturity Date

13.08.2026

Underlying

Constellation Energy Corp., Vistra Energy Corp., Nextera Energy Inc. - CH1476903278

19.68% p.a. Autocallable Reverse Convertible on AMD, Arm Holding plc

Title

CH1548137798 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137798

Maturity Date

15.12.2027

Underlying

Arm Holding plc, Advanced Micro Devices Inc. - CH1548137798

19.78% p.a. Barrier Reverse Convertible on Akamai Technologies Inc (Quanto CHF)

Title

CH1548130074 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548130074

Maturity Date

02.11.2026

Underlying

Akamai Technologies Inc

19.87% p.a. Autocallable Barrier Reverse Convertible on LVMH Moët Hennessy Louis Vuitton, Novo Nordisk, SAP (Quanto EUR)

Title

CH1492026682 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026682

Maturity Date

04.01.2027

Underlying

SAP SE, Novo Nordisk A/S, LVMH Moët Hennessy Louis Vuitton SE - CH1492026682

19.90% p.a. Autocallable Barrier Reverse Convertible on Cigna, Hewlett-Packard Enterprise, Nike

Title

CH1476908400 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908400

Maturity Date

18.09.2026

Underlying

Nike Inc., Hewlett-Packard Enterprise Company, Cigna Corporation - CH1476908400

19.90% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548128151 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128151

Maturity Date

26.01.2027

Underlying

Micron Technology Inc.

19.94% (20.00% p.a.) Barrier Reverse Convertible on AST SpaceMobile Inc, UnitedHealth (Quanto CHF)

Title

CH1468580407 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468580407

Maturity Date

04.08.2026

Underlying

UnitedHealth Group Inc., AST SpaceMobile Inc - CH1468580407

19.94% (34.19% p.a.) Barrier Reverse Convertible on Boeing, Intel, NVIDIA, Southern Copper Corp

Title

CH1492036525 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036525

Maturity Date

24.09.2026

Underlying

Intel Corp., Southern Copper Corp, NVIDIA Corp., Boeing Company - CH1492036525

1L Capital Serenity Index Tracker

Title

A4AJXY - Compartment 843

Category

Instifolio - Alternative

ISIN

DE000A4AJXY3

Underlying

1L Capital Serenity Index

1OAK STREAM Index Tracker Certificate

Title

CHA0C2 - Compartment 1019

Category

Instifolio - Liquid

ISIN

DE000CHA0C29

Underlying

10AK Stream Index

2,0% Immobilienanleihe Deutschland (2025)

Title

A3KZPA - Compartment 321

Category

Loan linked - Corporate

ISIN

DE000A3KZPA6

Maturity Date

05.12.2028

Underlying

Empira Real Estate Loan

2.04% (4.09% p.a.) Reverse Convertible on Sonova Holding AG

Title

CH1532242513 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532242513

Maturity Date

17.09.2026

Underlying

Sonova Holding AG

2.04% (4.11% p.a.) Barrier Reverse Convertible on Heidelberg Materials, Holcim, Sika (Quanto CHF)

Title

CH1548140925 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140925

Maturity Date

29.12.2026

Underlying

Holcim Ltd, Heidelberg Materials AG, Sika AG - CH1548140925

2.17% p.a. Autocallable Reverse Convertible on Nestlé, Novartis, Roche, Swiss Life, Zurich Insurance

Title

CH1532243891 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532243891

Maturity Date

23.03.2027

Underlying

Novartis AG, Roche Holding AG, Nestlé SA, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1532243891

2.18% (4.39% p.a.) Barrier Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548140933 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140933

Maturity Date

29.12.2026

Underlying

Roche Holding AG, Novartis AG, Sandoz Group AG - CH1548140933

2.18% (5.24% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1548142731 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142731

Maturity Date

14.12.2026

Underlying

Sunrise Communications AG

2.21% (9.07% p.a.) Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1548130405 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130405

Maturity Date

04.08.2026

Underlying

Nestlé SA, Novartis AG, Roche Holding AG - CH1548130405

2.23% (6.65% p.a.) Reverse Convertible on Barrick Mining Corporation

Title

CH1548133631 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133631

Maturity Date

21.09.2026

Underlying

Barrick Mining Corporation

2.24% p.a. Barrier Reverse Convertible on Sandoz Group, Swisscom

Title

CH1492026443 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026443

Maturity Date

29.12.2026

Underlying

Sandoz Group AG, Swisscom AG - CH1492026443

2.26% (4.51% p.a.) Reverse Convertible on EssilorLuxottica SA

Title

CH1532243479 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532243479

Maturity Date

21.09.2026

Underlying

EssilorLuxottica SA

2.31% p.a. Callable Barrier Reverse Convertible on Air Liquide SA

Title

CH1532240087 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240087

Maturity Date

05.03.2027

Underlying

Air Liquide SA

2.32% (9.31% p.a.) Reverse Convertible on argenx SE

Title

CH1548143978 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143978

Maturity Date

20.10.2026

Underlying

argenx SE

2.35% (9.01% p.a.) Barrier Reverse Convertible on Broadcom, Robinhood Markets (Quanto GBP)

Title

CH1548135917 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135917

Maturity Date

08.09.2026

Underlying

Robinhood Markets Inc., Broadcom Inc. - CH1548135917

2.36% (9.23% p.a.) Barrier Reverse Convertible on Barry Callebaut, Lindt & Sprüngli, Nestlé

Title

CH1548141436 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141436

Maturity Date

05.10.2026

Underlying

Lindt & Sprüngli AG, Barry Callebaut AG, Nestlé SA - CH1548141436

2.38% (3.18% p.a.) Barrier Reverse Convertible on Logitech, Straumann, Swisscom

Title

CH1492020693 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492020693

Maturity Date

14.08.2026

Underlying

Swisscom AG, Logitech International SA, Straumann Holding AG - CH1492020693

2.38% p.a. Barrier Reverse Convertible on Geberit, Swiss Re, Zurich Insurance

Title

CH1492026450 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026450

Maturity Date

29.12.2026

Underlying

Geberit AG, Swiss Re AG, Zurich Insurance Group Ltd - CH1492026450

2.39% (4.79% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1532240608 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532240608

Maturity Date

09.09.2026

Underlying

Münchener Rückversicherungs AG

2.40% (4.80% p.a.) Reverse Convertible on Amrize Ltd

Title

CH1492030957 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492030957

Maturity Date

29.07.2026

Underlying

Amrize Ltd

2.42% p.a. Barrier Reverse Convertible on Nestlé, Novartis, Roche

Title

CH1492026435 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492026435

Maturity Date

29.12.2026

Underlying

Roche Holding AG, Nestlé SA, Novartis AG - CH1492026435

2.51% (5.02% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1548128912 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128912

Maturity Date

29.10.2026

Underlying

Münchener Rückversicherungs AG

2.59% (3.46% p.a.) Reverse Convertible on Alcon, Logitech

Title

CH1492035337 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035337

Maturity Date

17.11.2026

Underlying

Logitech International SA, Alcon Inc. - CH1492035337

2.61% (5.22% p.a.) Reverse Convertible on Münchener Rückversicherungs AG

Title

CH1548127492 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548127492

Maturity Date

22.10.2026

Underlying

Münchener Rückversicherungs AG

2.62% (5.27% p.a.) Reverse Convertible on Barry Callebaut AG

Title

CH1532246191 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532246191

Maturity Date

07.10.2026

Underlying

Barry Callebaut AG

2.62% (6.29% p.a.) Reverse Convertible on Sika AG

Title

CH1548142723 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142723

Maturity Date

14.12.2026

Underlying

Sika AG

2.63% (5.27% p.a.) Barrier Reverse Convertible on Allianz, Danone, Iberdrola

Title

CH1548129613 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129613

Maturity Date

30.10.2026

Underlying

Allianz SE, Iberdrola SA, Danone SA - CH1548129613

2.64% (5.28% p.a.) Reverse Convertible on Vonovia SE

Title

CH1548127765 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548127765

Maturity Date

23.10.2026

Underlying

Vonovia SE

2.67% (10.34% p.a.) Barrier Reverse Convertible on Prosus, Rheinmetall, RWE (Quanto GBP)

Title

CH1548135941 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135941

Maturity Date

07.09.2026

Underlying

RWE AG, Rheinmetall AG, Prosus NV - CH1548135941

2.70% (10.80% p.a.) Reverse Convertible on Swiss Life, Swiss Re, Vaudoise Assurances, Zurich Insurance

Title

CH1548128656 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128656

Maturity Date

28.07.2026

Underlying

Swiss Life Holding AG, Swiss Re AG, Zurich Insurance Group Ltd, Vaudoise Assurances Holding SA - CH1548128656

2.70% (11.04% p.a.) Reverse Convertible on Dr. Ing. H.c. F. Porsche AG

Title

CH1548131049 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548131049

Maturity Date

06.08.2026

Underlying

Dr. Ing. H.c. F. Porsche AG

2.70% (5.44% p.a.) Barrier Reverse Convertible on Lonza, Novartis, Roche

Title

CH1548134621 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134621

Maturity Date

27.11.2026

Underlying

Lonza Group AG, Roche Holding AG, Novartis AG - CH1548134621

2.71% (5.43% p.a.) Reverse Convertible on Swiss Re AG

Title

CH1492030965 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492030965

Maturity Date

29.07.2026

Underlying

Swiss Re AG

2.73% (11.04% p.a.) Reverse Convertible on Novartis, Roche, Sandoz Group

Title

CH1548132484 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132484

Maturity Date

14.08.2026

Underlying

Novartis AG, Roche Holding AG, Sandoz Group AG - CH1548132484

2.76% (5.49% p.a.) Barrier Reverse Convertible on Alcon, Straumann

Title

CH1548133813 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133813

Maturity Date

23.11.2026

Underlying

Straumann Holding AG, Alcon Inc. - CH1548133813

2.84% (11.49% p.a.) Reverse Convertible on ThyssenKrupp AG (Quanto USD)

Title

CH1548135214 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135214

Maturity Date

31.08.2026

Underlying

ThyssenKrupp AG

2.85% (2.86% p.a.) Barrier Reverse Convertible on Givaudan, Sika, Swiss Life

Title

CH1548135784 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135784

Maturity Date

04.06.2027

Underlying

Swiss Life Holding AG, Sika AG, Givaudan SA - CH1548135784

2.86% (11.46% p.a.) Barrier Reverse Convertible on Merck, Tesla

Title

CH1548142327 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142327

Maturity Date

09.10.2026

Underlying

Merck & Co. Inc., Tesla Inc. - CH1548142327

2.88% (5.76% p.a.) Reverse Convertible on Deutsche Post AG

Title

CH1492034231 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492034231

Maturity Date

12.08.2026

Underlying

Deutsche Post AG

2.91% (11.16% p.a.) Barrier Reverse Convertible on AMD, Palantir (Quanto GBP)

Title

CH1548135925 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135925

Maturity Date

08.09.2026

Underlying

Advanced Micro Devices Inc., Palantir Technologies Inc. - CH1548135925

2.91% (11.65% p.a.) Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1548132138 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548132138

Maturity Date

13.08.2026

Underlying

Compagnie Financière Richemont SA

2.93% (5.77% p.a.) Reverse Convertible on ASML Holding NV

Title

CH1548140032 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140032

Maturity Date

28.12.2026

Underlying

ASML Holding NV

2.95% (11.82% p.a.) Reverse Convertible on Eli Lilly & Co.

Title

CH1548143986 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143986

Maturity Date

20.10.2026

Underlying

Eli Lilly & Co.

2.96% (6.00% p.a.) Reverse Convertible on Apple, Meta Platforms, Microsoft (Quanto EUR)

Title

CH1492034017 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034017

Maturity Date

11.08.2026

Underlying

Apple Inc., Meta Platforms Inc., Microsoft Corp. - CH1492034017

2.96% p.a. Reverse Convertible on Allianz SE

Title

CH1476908814 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476908814

Maturity Date

07.11.2025

Underlying

Allianz SE

2.97% (12.04% p.a.) Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1548139398 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139398

Maturity Date

23.09.2026

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd

2.97% (5.95% p.a.) Reverse Convertible on EssilorLuxottica SA

Title

CH1532238412 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238412

Maturity Date

26.08.2026

Underlying

EssilorLuxottica SA

2.98% (5.93% p.a.) Barrier Reverse Convertible on SGS, Sonova, Swiss Re

Title

CH1548133821 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133821

Maturity Date

23.11.2026

Underlying

Swiss Re AG, SGS SA, Sonova Holding AG - CH1548133821

2.99% (2.97% p.a.) Barrier Reverse Convertible on Kuehne + Nagel, Sunrise Communications AG, Swiss Re

Title

CH1492033043 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033043

Maturity Date

08.02.2027

Underlying

Swiss Re AG, Sunrise Communications AG, Kuehne + Nagel International AG - CH1492033043

20.00% p.a. Autocallable Reverse Convertible on Micron Technology Inc.

Title

CH1548136881 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548136881

Maturity Date

09.12.2026

Underlying

Micron Technology Inc.

20.00% p.a. Autocallable Reverse Convertible on Micron Technology, Taiwan Semiconductor Manufacturing

Title

CH1548134530 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548134530

Maturity Date

27.05.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, Micron Technology Inc. - CH1548134530

20.00% p.a. Callable Barrier Reverse Convertible on Dr. Ing. H.c. F. Porsche AG, Renault, Stellantis, Volkswagen

Title

CH1492025932 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025932

Maturity Date

24.12.2026

Underlying

Renault SA, Stellantis N.V., Dr. Ing. H.c. F. Porsche AG, Volkswagen AG - CH1492025932

20.04% p.a. Barrier Reverse Convertible on ASML, Banco Santander, Siemens Energy

Title

CH1476912527 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912527

Maturity Date

16.10.2026

Underlying

ASML Holding NV, Siemens Energy AG, Banco Santander SA - CH1476912527

20.06% (10.03% p.a.) Reverse Convertible on Straumann, Tecan

Title

CH1492035600 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492035600

Maturity Date

18.02.2028

Underlying

Tecan Group Ltd., Straumann Holding AG - CH1492035600

20.06% p.a. Reverse Convertible on Applovin Corp, Broadcom, Tesla

Title

CH1532238073 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238073

Maturity Date

25.08.2026

Underlying

Broadcom Inc., Applovin Corporation, Tesla Inc. - CH1532238073

20.07% p.a. Callable Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1532240665 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240665

Maturity Date

09.03.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1532240665

20.08% p.a. Autocallable Barrier Reverse Convertible on Adobe, Palantir, Salesforce (Quanto EUR)

Title

CH1532238636 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238636

Maturity Date

01.03.2027

Underlying

Adobe Systems Inc., Salesforce, Inc., Palantir Technologies Inc. - CH1532238636

20.10% p.a. Autocallable Barrier Reverse Convertible on Rheinmetall AG

Title

CH1548139257 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139257

Maturity Date

23.12.2026

Underlying

Rheinmetall AG

20.10% p.a. Autocallable Reverse Convertible on AMD, Arm Holding plc, Netflix, NVIDIA, SoFi Technologies

Title

CH1492034330 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034330

Maturity Date

14.02.2028

Underlying

Advanced Micro Devices Inc., Arm Holding plc, Netflix Inc., NVIDIA Corp., SoFi Technologies Inc. - CH1492034330

20.10% p.a. Barrier Reverse Convertible on Broadcom, Cerebras Systems Inc (Quanto CHF)

Title

CH1548145098 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548145098

Maturity Date

27.07.2027

Underlying

Broadcom Inc., Cerebras Systems Inc - CH1548145098

20.10% p.a. Callable Barrier Reverse Convertible on ASML, Bayer, Siemens Energy

Title

CH1548129795 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129795

Maturity Date

01.02.2027

Underlying

Bayer AG, Siemens Energy AG, ASML Holding NV - CH1548129795

20.14% p.a. Callable Barrier Reverse Convertible on ASML, Bayer, Siemens Energy

Title

CH1548129852 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129852

Maturity Date

01.02.2027

Underlying

Bayer AG, Siemens Energy AG, ASML Holding NV - CH1548129852

20.21% p.a. Autocallable Reverse Convertible on Lam Research, Microchip Technology, Micron Technology

Title

CH1548138267 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138267

Maturity Date

17.12.2026

Underlying

Micron Technology Inc., Lam Research Corp., Microchip Technology Inc. - CH1548138267

20.25% p.a. Autocallable Reverse Convertible on Exxon Mobil, First Solar

Title

CH1548140164 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140164

Maturity Date

30.12.2026

Underlying

First Solar Inc., Exxon Mobil Corp. - CH1548140164

20.28% p.a. Barrier Reverse Convertible on Chipotle, JD.com, Starbucks

Title

CH1492030650 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030650

Maturity Date

27.07.2026

Underlying

Starbucks Corp., Chipotle Mexican Grill Inc., JD.com, Inc. - CH1492030650

20.30% p.a. Barrier Reverse Convertible on Apollo Global, KKR & Co, The Blackstone Group

Title

CH1492036350 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492036350

Maturity Date

20.08.2026

Underlying

KKR & Co Inc., Apollo Global Management Inc., The Blackstone Group Inc. - CH1492036350

20.34% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto USD)

Title

CH1476907162 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907162

Maturity Date

11.09.2026

Underlying

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907162

20.36% p.a. Callable Barrier Reverse Convertible on Barrick Mining, Freeport-McMoRan Inc., Newmont (Quanto CHF)

Title

CH1532242141 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242141

Maturity Date

15.03.2027

Underlying

Barrick Mining Corporation, Freeport-McMoRan Inc., Newmont Corp. - CH1532242141

20.37% (20.20% p.a.) Barrier Reverse Convertible on Amazon.com, Qualcomm, United Airlines Holdings

Title

CH1476907477 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907477

Maturity Date

14.09.2026

Underlying

Amazon.com Inc., Qualcomm Inc., United Airlines Holdings Inc. - CH1476907477

20.37% p.a. Autocallable Barrier Reverse Convertible on Commerzbank, Deutsche Bank, Société Générale (Quanto GBP)

Title

CH1476907154 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907154

Maturity Date

10.09.2026

Underlying

Deutsche Bank AG, Société Générale, Commerzbank AG - CH1476907154

20.47% p.a. Autocallable Reverse Convertible on Micron Technology, Softbank (Quanto USD)

Title

CH1548143705 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548143705

Maturity Date

20.07.2027

Underlying

SoftBank Group Corp., Micron Technology Inc. - CH1548143705

20.50% (16.40% p.a.) Barrier Reverse Convertible on Adyen , Commerzbank, UniCredit

Title

CH1492030999 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492030999

Maturity Date

29.04.2027

Underlying

Adyen N.V., Commerzbank AG, UniCredit SpA - CH1492030999

20.52% p.a. Barrier Reverse Convertible on Carvana Co. (Quanto CHF)

Title

CH1548141048 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141048

Maturity Date

31.12.2026

Underlying

Carvana Co.

20.53% p.a. Reverse Convertible on SK Hynix Inc.

Title

CH1548144836 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144836

Maturity Date

26.07.2027

Underlying

SK Hynix Inc.

20.54% p.a. Autocallable Barrier Reverse Convertible on AMD, Micron Technology, Oracle, Prysmian (Quanto CHF)

Title

CH1476908798 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908798

Maturity Date

22.09.2026

Underlying

Advanced Micro Devices Inc., Micron Technology Inc., Prysmian SpA, Oracle Corp. - CH1476908798

20.57% p.a. Barrier Reverse Convertible on First Solar Inc. (Quanto CHF)

Title

CH1532238651 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238651

Maturity Date

27.08.2026

Underlying

First Solar Inc.

20.60% p.a. Autocallable Barrier Reverse Convertible on Alibaba Group, Amazon.com, MercadoLibre (Quanto EUR)

Title

CH1492028811 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028811

Maturity Date

20.01.2027

Underlying

Alibaba Group Holding Limited, Amazon.com Inc., MercadoLibre Inc. - CH1492028811

20.70% (20.58% p.a.) Reverse Convertible on SK Hynix Inc. (Quanto GBP)

Title

CH1548144828 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144828

Maturity Date

26.07.2027

Underlying

SK Hynix Inc.

20.89% p.a. Barrier Reverse Convertible on Microsoft, Oracle, SAP (Quanto USD)

Title

CH1532244964 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244964

Maturity Date

02.04.2027

Underlying

Oracle Corp., SAP SE, Microsoft Corp. - CH1532244964

20.91% p.a. Reverse Convertible on Axon Enterprise, Marvell Technology (Quanto GBP)

Title

CH1548137715 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137715

Maturity Date

14.06.2027

Underlying

Axon Enterprise Inc., Marvell Technology Group Ltd. - CH1548137715

20.92% p.a. Barrier Reverse Convertible on AMD, Arista Networks, NVIDIA

Title

CH1492016691 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492016691

Maturity Date

22.10.2026

Underlying

NVIDIA Corp., Arista Networks, Inc., Advanced Micro Devices Inc. - CH1492016691

20.94% p.a. Autocallable Barrier Reverse Convertible on Netflix, Robinhood Markets, UnitedHealth

Title

CH1492028910 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028910

Maturity Date

20.01.2027

Underlying

UnitedHealth Group Inc., Netflix Inc., Robinhood Markets Inc. - CH1492028910

2018(49) EUR Partizipationszertifikate auf den TradeCom FondsTrader

Title

A2MXZQ - Compartment 7

Category

Basket linked - AIF

ISIN

DE000A2MXZQ4

Underlying

TradeCom FondsTrader

21.04% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548131601 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131601

Maturity Date

11.02.2027

Underlying

Nestlé SA, UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Roche Holding AG - CH1548131601

21.04% p.a. Callable Barrier Reverse Convertible on Julius Bär, Novartis, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548128144 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128144

Maturity Date

24.09.2026

Underlying

Roche Holding AG, Novartis AG, Julius Bär Gruppe AG, Partners Group Holding AG, The Swatch Group AG, UBS Group AG - CH1548128144

21.07% p.a. Autocallable Barrier Reverse Convertible on ams-OSRAM, Barry Callebaut, Comet

Title

CH1548131692 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131692

Maturity Date

12.05.2027

Underlying

Barry Callebaut AG, ams-OSRAM AG, Comet Holding AG - CH1548131692

21.11% p.a. Autocallable Barrier Reverse Convertible on Deutsche Telekom, Infineon, Siemens Energy (Quanto USD)

Title

CH1532246928 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246928

Maturity Date

09.04.2027

Underlying

Deutsche Telekom AG, Infineon Technologies AG, Siemens Energy AG - CH1532246928

21.11% p.a. Barrier Reverse Convertible on Arista Networks, Elevance Health, NVIDIA

Title

CH1468581231 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468581231

Maturity Date

12.08.2026

Underlying

NVIDIA Corp., Elevance Health Inc., Arista Networks, Inc. - CH1468581231

21.14% (21.03% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1492022640 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022640

Maturity Date

30.11.2026

Underlying

RENK Group AG, Rheinmetall AG, Hensoldt AG - CH1492022640

21.15% p.a. Reverse Convertible on AMD, Astera Labs Inc, Vertiv Holdings Co (Quanto EUR)

Title

CH1548130629 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130629

Maturity Date

06.05.2027

Underlying

Advanced Micro Devices Inc., Astera Labs Inc, Vertiv Holdings Co - CH1548130629

21.21% p.a. Autocallable Reverse Convertible on Freeport-McMoRan Inc., Qualcomm

Title

CH1548133797 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133797

Maturity Date

23.11.2026

Underlying

Qualcomm Inc., Freeport-McMoRan Inc. - CH1548133797

21.26% p.a. Barrier Reverse Convertible on Amazon.com, Palantir, Strategy

Title

CH1476909663 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476909663

Maturity Date

25.09.2026

Underlying

Palantir Technologies Inc., Amazon.com Inc., Strategy Inc. - CH1476909663

21.27% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548140073 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140073

Maturity Date

25.06.2027

Underlying

RENK Group AG, Rheinmetall AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1548140073

21.27% p.a. Callable Barrier Reverse Convertible on Julius Bär, Nestlé, Partners Group Holding, Roche, Swatch, UBS Group

Title

CH1548131585 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548131585

Maturity Date

11.02.2027

Underlying

Nestlé SA, UBS Group AG, The Swatch Group AG, Partners Group Holding AG, Julius Bär Gruppe AG, Roche Holding AG - CH1548131585

21.31% p.a. Autocallable Reverse Convertible on Applovin Corp, Palantir, Robinhood Markets

Title

CH1476910604 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910604

Maturity Date

05.10.2026

Underlying

Applovin Corporation, Palantir Technologies Inc., Robinhood Markets Inc. - CH1476910604

21.34% (21.34% p.a.) Barrier Reverse Convertible on Hewlett-Packard Enterprise, Nike, Robinhood Markets (Quanto CHF)

Title

CH1492024661 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024661

Maturity Date

15.12.2026

Underlying

Nike Inc., Hewlett-Packard Enterprise Company, Robinhood Markets Inc. - CH1492024661

21.46% p.a. Callable Barrier Reverse Convertible on Cisco Systems, IBM, ServiceNow

Title

CH1532237893 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237893

Maturity Date

25.08.2026

Underlying

Cisco Systems Inc., ServiceNow Inc, International Business Machines Corp. - CH1532237893

21.54% (21.60% p.a.) Reverse Convertible on SK Hynix Inc. (Quanto GBP)

Title

CH1548144976 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144976

Maturity Date

23.07.2027

Underlying

SK Hynix Inc.

21.55% p.a. Autocallable Barrier Reverse Convertible on Dassault, Hensoldt , Rheinmetall

Title

CH1492034306 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034306

Maturity Date

12.02.2027

Underlying

Hensoldt AG, Rheinmetall AG, Dassault Systèmes S.A. - CH1492034306

21.62% p.a. Reverse Convertible on Arista Networks, Meta Platforms, NVIDIA

Title

CH1532246035 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246035

Maturity Date

05.10.2026

Underlying

NVIDIA Corp., Meta Platforms Inc., Arista Networks, Inc. - CH1532246035

21.78% p.a. Autocallable Barrier Reverse Convertible on Adecco, Edenred, Hewlett-Packard Enterprise, SoftwareONE Holding AG Namen (Quanto CHF)

Title

CH1492025049 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025049

Maturity Date

17.12.2026

Underlying

Edenred S.A., SoftwareONE Holding AG Namen, Adecco Group AG, Hewlett-Packard Enterprise Company - CH1492025049

21.80% p.a. Autocallable Reverse Convertible on Broadcom, Taiwan Semiconductor Manufacturing

Title

CH1548139232 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139232

Maturity Date

22.12.2026

Underlying

Broadcom Inc., Taiwan Semiconductor Manufacturing Co. Ltd - CH1548139232

21.90% (43.80% p.a.) Reverse Convertible on AST SpaceMobile Inc

Title

CH1548138655 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548138655

Maturity Date

18.12.2026

Underlying

AST SpaceMobile Inc

21.92% p.a. Barrier Reverse Convertible on Royal Caribbean Cruises Ltd. (Quanto EUR)

Title

CH1548139109 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139109

Maturity Date

22.12.2026

Underlying

Royal Caribbean Cruises Ltd.

21.96% p.a. Autocallable Reverse Convertible on AMD, AST SpaceMobile Inc, NVIDIA

Title

CH1548130397 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130397

Maturity Date

04.05.2027

Underlying

AST SpaceMobile Inc, Advanced Micro Devices Inc., NVIDIA Corp. - CH1548130397

21.97% p.a. Autocallable Barrier Reverse Convertible on Beiersdorf, Rheinmetall, SAP

Title

CH1548140867 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140867

Maturity Date

01.07.2027

Underlying

Beiersdorf AG, Rheinmetall AG, SAP SE - CH1548140867

21.97% p.a. Barrier Reverse Convertible on Hertz Global Holdings Inc. (Quanto CHF)

Title

CH1548135347 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135347

Maturity Date

30.11.2026

Underlying

Hertz Global Holdings Inc.

22.03% p.a. Barrier Reverse Convertible on Rocket Companies Inc. (Quanto CHF)

Title

CH1548141055 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141055

Maturity Date

31.12.2026

Underlying

Rocket Companies Inc.

22.06% p.a. Autocallable Barrier Reverse Convertible on AngloGold Ashanti, Barrick Mining, Newmont, Pan American Silver (Quanto CHF)

Title

CH1548133474 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133474

Maturity Date

22.02.2027

Underlying

Barrick Mining Corporation, Newmont Corp., AngloGold Ashanti plc, Pan American Silver Corp. - CH1548133474

22.08% (11.06% p.a.) Barrier Reverse Convertible on Alphabet, AMD, Meta Platforms (Quanto EUR)

Title

CH1314933941 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1314933941

Maturity Date

05.01.2027

Underlying

Meta Platforms Inc., Alphabet, Inc., Advanced Micro Devices Inc. - CH1314933941

22.08% p.a. Reverse Convertible on SK Hynix Inc.

Title

CH1548145171 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548145171

Maturity Date

27.07.2027

Underlying

SK Hynix Inc.

22.10% p.a. Autocallable Barrier Reverse Convertible on Adyen N.V. (Quanto CHF)

Title

CH1548133102 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133102

Maturity Date

18.08.2026

Underlying

Adyen N.V.

22.11% p.a. Reverse Convertible on Lam Research, Micron Technology, Seagate Technology Holdings (Quanto EUR)

Title

CH1548130363 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130363

Maturity Date

05.05.2027

Underlying

Seagate Technology Holdings PLC, Micron Technology Inc., Lam Research Corp. - CH1548130363

22.15% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548144125 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144125

Maturity Date

21.07.2027

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd, ASML Holding NV, Advantest Corp. - CH1548144125

22.17% p.a. Autocallable Reverse Convertible on Advantest, ASML, Taiwan Semiconductor Manufacturing (Quanto USD)

Title

CH1548144141 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144141

Maturity Date

21.07.2027

Underlying

Advantest Corp., ASML Holding NV, Taiwan Semiconductor Manufacturing Co. Ltd - CH1548144141

22.18% p.a. Reverse Convertible on Micron Technology, SanDisk Corp Registered (Quanto GBP)

Title

CH1548133995 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133995

Maturity Date

25.05.2027

Underlying

SanDisk Corp Registered, Micron Technology Inc. - CH1548133995

22.20% (22.20% p.a.) Barrier Reverse Convertible on Oracle Corp.

Title

CH1492034389 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492034389

Maturity Date

12.02.2027

Underlying

Oracle Corp.

22.21% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476908913 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476908913

Maturity Date

22.09.2026

Underlying

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1476908913

22.37% (22.37% p.a.) Barrier Reverse Convertible on Apple, Intel, Tempus AI Inc (Quanto CHF)

Title

CH1492032243 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492032243

Maturity Date

03.02.2027

Underlying

Intel Corp., Tempus AI Inc, Apple Inc. - CH1492032243

22.40% (7.47% p.a.) Barrier Reverse Convertible on Coty Inc.

Title

CH1476912782 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476912782

Maturity Date

20.10.2028

Underlying

Coty Inc.

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907048

Maturity Date

09.09.2026

Underlying

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907048

Maturity Date

09.09.2026

Underlying

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.40% p.a. Callable Barrier Reverse Convertible on Coinbase Global, Deutsche Bank, UBS Group (Quanto EUR)

Title

CH1476907048 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476907048

Maturity Date

09.09.2026

Underlying

Coinbase Global Inc., Deutsche Bank AG, UBS Group AG - CH1476907048

22.52% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476911412 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476911412

Maturity Date

12.10.2026

Underlying

Rheinmetall AG, RENK Group AG, Hensoldt AG, MTU Aero Engines Holdings AG - CH1476911412

22.59% p.a. Autocallable Barrier Reverse Convertible on BYD Electronic, Tesla (Quanto EUR)

Title

CH1492028845 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492028845

Maturity Date

20.01.2027

Underlying

Tesla Inc., BYD Electronic (International) Company Limited - CH1492028845

22.66% p.a. Autocallable Barrier Reverse Convertible on Intel, Lam Research, ON Semiconductor

Title

CH1548141469 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141469

Maturity Date

06.07.2027

Underlying

Intel Corp., ON Semiconductor Corp., Lam Research Corp. - CH1548141469

22.68% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1476906271 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906271

Maturity Date

07.09.2026

Underlying

MTU Aero Engines Holdings AG, RENK Group AG, Rheinmetall AG, Hensoldt AG - CH1476906271

22.77% p.a. Autocallable Barrier Reverse Convertible on Broadcom, NVIDIA, Taiwan Semiconductor Manufacturing

Title

CH1548130173 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548130173

Maturity Date

30.04.2027

Underlying

NVIDIA Corp., Taiwan Semiconductor Manufacturing Co. Ltd, Broadcom Inc. - CH1548130173

22.80% p.a. Callable Barrier Reverse Convertible on AMD, NVIDIA, Western Digital (Quanto CHF)

Title

CH1548129191 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129191

Maturity Date

29.04.2027

Underlying

Advanced Micro Devices Inc., NVIDIA Corp., Western Digital Corporation - CH1548129191

23.11% p.a. Barrier Reverse Convertible on Akamai Technologies, Fortinet, Palo Alto Networks

Title

CH1548128268 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128268

Maturity Date

26.04.2027

Underlying

Akamai Technologies Inc, Fortinet Inc., Palo Alto Networks, Inc. - CH1548128268

23.20% p.a. Barrier Reverse Convertible on Albemarle, Freeport-McMoRan Inc., Glencore (Quanto USD)

Title

CH1492017020 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492017020

Maturity Date

23.10.2026

Underlying

Glencore PLC, Freeport-McMoRan Inc., Albemarle Corp - CH1492017020

23.24% p.a. Autocallable Barrier Reverse Convertible on Zillow Group Inc. (Quanto CHF)

Title

CH1532238685 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532238685

Maturity Date

27.08.2026

Underlying

Zillow Group Inc.

23.33% p.a. Autocallable Reverse Convertible on First Majestic Silver, Pan American Silver

Title

CH1532242695 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242695

Maturity Date

17.09.2026

Underlying

First Majestic Silver Corp, Pan American Silver Corp. - CH1532242695

23.39% (23.39% p.a.) Barrier Reverse Convertible on Alphabet, NVIDIA, Oracle

Title

CH1492034322 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492034322

Maturity Date

12.02.2027

Underlying

Alphabet, Inc., NVIDIA Corp., Oracle Corp. - CH1492034322

23.43% p.a. Barrier Reverse Convertible on KLA-Tencor, Micron Technology, NVIDIA (Quanto CHF)

Title

CH1548141212 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141212

Maturity Date

05.01.2027

Underlying

Micron Technology Inc., NVIDIA Corp., KLA-Tencor Corp. - CH1548141212

23.51% p.a. Barrier Reverse Convertible on NVIDIA, Oracle, PayPal

Title

CH1476912337 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912337

Maturity Date

16.10.2026

Underlying

PayPal Holdings Inc., Oracle Corp., NVIDIA Corp. - CH1476912337

23.56% (23.36% p.a.) Barrier Reverse Convertible on ENI, MTU Aero Engines, Siemens Energy, TotalEnergies

Title

CH1532244758 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532244758

Maturity Date

31.03.2027

Underlying

Siemens Energy AG, MTU Aero Engines Holdings AG, ENI SpA, TotalEnergies SE - CH1532244758

23.58% p.a. Callable Barrier Reverse Convertible on Rheinmetall, ThyssenKrupp

Title

CH1548137210 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137210

Maturity Date

11.06.2027

Underlying

Rheinmetall AG, ThyssenKrupp AG - CH1548137210

23.60% p.a. Autocallable Barrier Reverse Convertible on Microsoft, Oracle, Salesforce

Title

CH1532240236 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532240236

Maturity Date

04.12.2026

Underlying

Microsoft Corp., Salesforce, Inc., Oracle Corp. - CH1532240236

23.81% p.a. Callable Barrier Reverse Convertible on Ford, Merck, Oracle

Title

CH1548135669 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135669

Maturity Date

04.06.2027

Underlying

Ford Motor Company, Oracle Corp., Merck & Co. Inc. - CH1548135669

23.84% p.a. Autocallable Reverse Convertible on Advanced Micro Devices Inc.

Title

CH1548133318 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133318

Maturity Date

22.02.2027

Underlying

Advanced Micro Devices Inc.

23.93% (23.93% p.a.) Barrier Reverse Convertible on Linde PLC, MercadoLibre, Robinhood Markets

Title

CH1492024802 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492024802

Maturity Date

15.12.2026

Underlying

Linde PLC, MercadoLibre Inc., Robinhood Markets Inc. - CH1492024802

24.00% p.a. Reverse Convertible on Crowdstrike Holdings, Datadog, Intuit, Micron Technology, Oracle, Workday (Quanto GBP)

Title

CH1548132708 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132708

Maturity Date

14.05.2027

Underlying

Micron Technology Inc., Datadog Inc., Workday, Inc., Intuit Inc., Crowdstrike Holdings Inc., Oracle Corp. - CH1548132708

24.03% p.a. Autocallable Reverse Convertible on GE Vernova, Marvell Technology , Nextera Energy (Quanto CHF)

Title

CH1548144943 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144943

Maturity Date

26.07.2027

Underlying

GE Vernova Inc., Marvell Technology Group Ltd., Nextera Energy Inc. - CH1548144943

24.18% (32.12% p.a.) Barrier Reverse Convertible on Intel, NVIDIA, Palantir, Tesla

Title

CH1492027987 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492027987

Maturity Date

15.10.2026

Underlying

NVIDIA Corp., Palantir Technologies Inc., Tesla Inc., Intel Corp. - CH1492027987

24.25% p.a. Barrier Reverse Convertible on Alphabet, Meta Platforms, Microsoft, Strategy

Title

CH1476906990 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476906990

Maturity Date

10.09.2026

Underlying

Microsoft Corp., Strategy Inc., Alphabet, Inc., Meta Platforms Inc. - CH1476906990

24.49% p.a. Callable Barrier Reverse Convertible on ArcelorMittal, Bayer, Infineon

Title

CH1548139497 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548139497

Maturity Date

23.06.2027

Underlying

Infineon Technologies AG, Bayer AG, ArcelorMittal S.A. - CH1548139497

24.53% p.a. Barrier Reverse Convertible on Coinbase Global, Robinhood Markets

Title

CH1468579276 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1468579276

Maturity Date

27.07.2026

Underlying

Robinhood Markets Inc., Coinbase Global Inc. - CH1468579276

24.60% p.a. Callable Barrier Reverse Convertible on Bayer, Logitech, SAP, Vonovia (Quanto EUR)

Title

CH1548126320 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126320

Maturity Date

16.06.2027

Underlying

Logitech International SA, Bayer AG, SAP SE, Vonovia SE - CH1548126320

24.74% (8.24% p.a.) Barrier Reverse Convertible on Alcoa Corporation

Title

CH1492024315 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492024315

Maturity Date

12.12.2028

Underlying

Alcoa Corporation

24.78% p.a. Autocallable Multi FCN on Micron Technology, Space Exploration Technologies Corporati

Title

CH1548144372 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144372

Maturity Date

02.02.2027

Underlying

Micron Technology Inc., Space Exploration Technologies Corporation - CH1548144372

24.87% p.a. Barrier Reverse Convertible on Celsius Holdings Inc (Quanto CHF)

Title

CH1548135289 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135289

Maturity Date

01.12.2026

Underlying

Celsius Holdings Inc

24.98% p.a. Callable Barrier Reverse Convertible on Adidas, On Holding, Zalando (Quanto USD)

Title

CH1492033662 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492033662

Maturity Date

10.08.2026

Underlying

Adidas AG, On Holding Ltd, Zalando SE - CH1492033662

25.00% p.a. Autocallable Barrier Reverse Convertible on Boeing, Ciena, Netflix

Title

CH1532238966 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532238966

Maturity Date

02.03.2027

Underlying

Netflix Inc., Ciena Corp., Boeing Company - CH1532238966

25.24% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall (Quanto CHF)

Title

CH1548133094 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133094

Maturity Date

18.02.2027

Underlying

Rheinmetall AG, Hensoldt AG, RENK Group AG, MTU Aero Engines Holdings AG - CH1548133094

25.25% p.a. Autocallable Barrier Reverse Convertible on Las Vegas Sands, Porsche, ThyssenKrupp (Quanto USD)

Title

CH1532242729 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532242729

Maturity Date

17.03.2027

Underlying

Las Vegas Sands Corp., Porsche Automobil Holding SE, ThyssenKrupp AG - CH1532242729

25.28% p.a. Barrier Reverse Convertible on Allianz, Fresenius, Merck KGaA, SAP

Title

CH1548126791 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126791

Maturity Date

19.10.2026

Underlying

Allianz SE, Merck KGaA, Fresenius SE & Co. KGaA, SAP SE - CH1548126791

25.29% p.a. Autocallable Barrier Reverse Convertible on Hensoldt , ThyssenKrupp

Title

CH1532245474 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532245474

Maturity Date

06.04.2027

Underlying

Hensoldt AG, ThyssenKrupp AG - CH1532245474

25.32% p.a. Reverse Convertible on D-Wave Quantum, IonQ, Rigetti Computing (Quanto EUR)

Title

CH1492025510 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492025510

Maturity Date

21.12.2026

Underlying

IonQ Inc., Rigetti Computing Inc. , D-Wave Quantum Inc. - CH1492025510

25.37% p.a. Callable Barrier Reverse Convertible on Hensoldt , MTU Aero Engines, RENK Group AG, Rheinmetall

Title

CH1476910943 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910943

Maturity Date

08.10.2026

Underlying

Rheinmetall AG, Hensoldt AG, RENK Group AG, MTU Aero Engines Holdings AG - CH1476910943

25.39% p.a. Autocallable Barrier Reverse Convertible on Astera Labs Inc (Quanto GBP)

Title

CH1548139505 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139505

Maturity Date

24.06.2027

Underlying

Astera Labs Inc

25.43% p.a. Callable Barrier Reverse Convertible on Adyen , Lanxess, Porsche, Renault

Title

CH1532239121 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239121

Maturity Date

31.05.2027

Underlying

Porsche Automobil Holding SE, Lanxess AG, Adyen N.V., Renault SA - CH1532239121

25.49% p.a. Callable Barrier Reverse Convertible on Alstom, Barry Callebaut, Partners Group Holding, Stellantis (Quanto EUR)

Title

CH1548136634 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136634

Maturity Date

08.09.2027

Underlying

Barry Callebaut AG, Partners Group Holding AG, Stellantis N.V., Alstom SA - CH1548136634

25.50% p.a. Barrier Reverse Convertible on Novo Nordisk A/S (Quanto CHF)

Title

CH1548139190 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139190

Maturity Date

22.09.2026

Underlying

Novo Nordisk A/S

25.55% (25.62% p.a.) Barrier Reverse Convertible on BMW, Daimler Truck, Mercedes-Benz Group, Siemens Energy

Title

CH1532246084 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532246084

Maturity Date

06.04.2027

Underlying

Bayerische Motoren Werke AG, Mercedes-Benz Group AG, Daimler Truck Holding AG, Siemens Energy AG - CH1532246084

25.57% (20.45% p.a.) Barrier Reverse Convertible on Hensoldt , RENK Group AG, Rheinmetall

Title

CH1476910885 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476910885

Maturity Date

07.01.2027

Underlying

Hensoldt AG, RENK Group AG, Rheinmetall AG - CH1476910885

25.73% p.a. Barrier Reverse Convertible on ASM International, Bayer, Siemens Energy

Title

CH1548128250 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128250

Maturity Date

26.04.2027

Underlying

Siemens Energy AG, ASM International NV, Bayer AG - CH1548128250

25.98% p.a. Callable Barrier Reverse Convertible on PUMA, Stellantis, Zalando

Title

CH1532237620 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532237620

Maturity Date

25.05.2027

Underlying

Stellantis N.V., PUMA SE, Zalando SE - CH1532237620

26.21% p.a. Reverse Convertible on AMD, Micron Technology

Title

CH1548137509 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137509

Maturity Date

14.12.2026

Underlying

Advanced Micro Devices Inc., Micron Technology Inc. - CH1548137509

26.40% (13.18% p.a.) Barrier Reverse Convertible on Bayer, Deutsche Bank, Lufthansa, Rheinmetall

Title

CH1548128227 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548128227

Maturity Date

25.04.2028

Underlying

Rheinmetall AG, Bayer AG, Deutsche Bank AG, Deutsche Lufthansa AG - CH1548128227

26.41% p.a. Callable Barrier Reverse Convertible on BMW, Dassault, Novo Nordisk, Wolters Kluwer (Quanto EUR)

Title

CH1532239899 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532239899

Maturity Date

01.06.2027

Underlying

Novo Nordisk A/S, Wolters Kluwer NV, Dassault Systèmes S.A., Bayerische Motoren Werke AG - CH1532239899

26.52% p.a. Autocallable Barrier Reverse Convertible on Oracle, Robinhood Markets, Super Micro Computer Inc

Title

CH1492022137 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492022137

Maturity Date

27.11.2026

Underlying

Oracle Corp., Super Micro Computer Inc, Robinhood Markets Inc. - CH1492022137

26.87% p.a. Reverse Convertible on Marvell Technology Group Ltd.

Title

CH1548140438 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548140438

Maturity Date

29.06.2027

Underlying

Marvell Technology Group Ltd.

27.19% (55.30% p.a.) Barrier Reverse Convertible on NuScale Power Corp.

Title

CH1492036152 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492036152

Maturity Date

20.08.2026

Underlying

NuScale Power Corp.

27.30% p.a. Autocallable Reverse Convertible on GE Vernova, Marvell Technology , Nextera Energy

Title

CH1548144109 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144109

Maturity Date

20.07.2027

Underlying

Nextera Energy Inc., Marvell Technology Group Ltd., GE Vernova Inc. - CH1548144109

27.73% p.a. Autocallable Barrier Reverse Convertible on Alphabet, Deere, Moderna, Salesforce

Title

CH1548141162 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548141162

Maturity Date

02.07.2027

Underlying

Salesforce, Inc., Deere & Co., Moderna Inc., Alphabet, Inc. - CH1548141162

28.04% p.a. Barrier Reverse Convertible on Intel Corp.

Title

CH1548133292 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548133292

Maturity Date

19.05.2027

Underlying

Intel Corp.

28.40% p.a. Barrier Reverse Convertible on Heineken NV, Infineon, L´Oréal, Munich Re

Title

CH1548126809 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548126809

Maturity Date

19.10.2026

Underlying

Münchener Rückversicherungs AG, Infineon Technologies AG, Heineken NV, L´Oréal International - CH1548126809

28.45% p.a. Autocallable Barrier Reverse Convertible on DocuSign, Micron Technology, ON Semiconductor

Title

CH1548135610 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135610

Maturity Date

06.12.2027

Underlying

ON Semiconductor Corp., DocuSign Inc., Micron Technology Inc. - CH1548135610

28.88% p.a. Autocallable Reverse Convertible on Micron Technology, SanDisk Corp Registered

Title

CH1548137061 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137061

Maturity Date

10.06.2027

Underlying

Micron Technology Inc., SanDisk Corp Registered - CH1548137061

29.06% (9.71% p.a.) Barrier Reverse Convertible on VF Corp.

Title

CH1492030502 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492030502

Maturity Date

29.01.2029

Underlying

VF Corp.

29.16% p.a. Autocallable Reverse Convertible on Micron Technology, SanDisk Corp Registered

Title

CH1548136014 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136014

Maturity Date

07.06.2027

Underlying

Micron Technology Inc., SanDisk Corp Registered - CH1548136014

29.40% p.a. Barrier Reverse Convertible on Albemarle, AMD, Freeport-McMoRan Inc.

Title

CH1548136451 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548136451

Maturity Date

08.06.2027

Underlying

Freeport-McMoRan Inc., Advanced Micro Devices Inc., Albemarle Corp - CH1548136451

29.80% p.a. Barrier Reverse Convertible on AST SpaceMobile Inc, Rocket Lab USA (Quanto CHF)

Title

CH1532241770 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1532241770

Maturity Date

12.03.2027

Underlying

Rocket Lab USA Inc., AST SpaceMobile Inc - CH1532241770

29.86% p.a. Callable Barrier Reverse Convertible on Bayer, Commerzbank, ThyssenKrupp

Title

CH1548144810 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144810

Maturity Date

26.07.2027

Underlying

Bayer AG, Commerzbank AG, ThyssenKrupp AG - CH1548144810

2y EUR Rumanian Composite Return Index Tracker

Title

A185GT - Compartment 10

Category

Instifolio - Liquid

ISIN

DE000A185GT6

Maturity Date

07.09.2026

Underlying

RSI Focus II Index

3.00% (12.03% p.a.) Reverse Convertible on Comet Holding AG

Title

CH1548129381 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548129381

Maturity Date

30.07.2026

Underlying

Comet Holding AG

3.00% (6.03% p.a.) Reverse Convertible on VAT Group AG

Title

CH1532246209 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532246209

Maturity Date

07.10.2026

Underlying

VAT Group AG

3.00% (7.20% p.a.) Reverse Convertible on Roche Holding AG

Title

CH1548142749 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142749

Maturity Date

14.12.2026

Underlying

Roche Holding AG

3.00% p.a. Autocallable Reverse Convertible on ASML, VAT (Quanto CHF)

Title

CH1548137087 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548137087

Maturity Date

08.12.2026

Underlying

VAT Group AG, ASML Holding NV - CH1548137087

3.00% p.a. Autocallable Reverse Convertible on Hermes, L´Oréal, LVMH Moët Hennessy Louis Vuitton (Quanto CHF)

Title

CH1492031872 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492031872

Maturity Date

03.05.2027

Underlying

L´Oréal International, LVMH Moët Hennessy Louis Vuitton SE, Hermes International - CH1492031872

3.00% p.a. Autocallable Reverse Convertible on Kuehne + Nagel, Richemont

Title

CH1548129787 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129787

Maturity Date

02.11.2026

Underlying

Kuehne + Nagel International AG, Compagnie Financière Richemont SA - CH1548129787

3.00% p.a. Autocallable Reverse Convertible on Logitech International SA

Title

CH1548143242 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143242

Maturity Date

14.01.2027

Underlying

Logitech International SA

3.00% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto CHF)

Title

CH1548135115 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135115

Maturity Date

30.11.2026

Underlying

NVIDIA Corp.

3.00% p.a. Autocallable Reverse Convertible on NVIDIA Corp. (Quanto CHF)

Title

CH1548137871 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137871

Maturity Date

11.03.2027

Underlying

NVIDIA Corp.

3.02% (12.08% p.a.) Reverse Convertible on ABB, VAT

Title

CH1548135396 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548135396

Maturity Date

02.09.2026

Underlying

VAT Group AG, ABB Ltd - CH1548135396

3.02% (8.98% p.a.) Reverse Convertible on Nintendo Co Ltd.

Title

CH1548142251 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142251

Maturity Date

10.11.2026

Underlying

Nintendo Co Ltd.

3.03% (12.00% p.a.) Reverse Convertible on Marvell Technology Group Ltd. (Quanto CHF)

Title

CH1548142665 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142665

Maturity Date

14.10.2026

Underlying

Marvell Technology Group Ltd.

3.03% (12.00% p.a.) Reverse Convertible on Oracle Corp. (Quanto CHF)

Title

CH1548142673 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548142673

Maturity Date

14.10.2026

Underlying

Oracle Corp.

3.04% (12.19% p.a.) Reverse Convertible on Safran, Schneider Electric, St-Gobain

Title

CH1548138143 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548138143

Maturity Date

16.09.2026

Underlying

Compagnie de St-Gobain, Schneider Electric SE, Safran SA - CH1548138143

3.04% (3.05% p.a.) Reverse Convertible on ABB Ltd

Title

CH1476905612 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476905612

Maturity Date

01.09.2026

Underlying

ABB Ltd

3.05% (12.21% p.a.) Barrier Reverse Convertible on ASML Holding NV

Title

CH1548137434 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548137434

Maturity Date

11.09.2026

Underlying

ASML Holding NV

3.06% (12.40% p.a.) Reverse Convertible on International Business Machines Corp.

Title

CH1548135230 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548135230

Maturity Date

31.08.2026

Underlying

International Business Machines Corp.

3.06% (6.13% p.a.) Reverse Convertible on Visa Inc.

Title

CH1492033068 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492033068

Maturity Date

06.08.2026

Underlying

Visa Inc.

3.07% (6.26% p.a.) Reverse Convertible on Compagnie Financière Richemont SA

Title

CH1532239238 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532239238

Maturity Date

31.08.2026

Underlying

Compagnie Financière Richemont SA

3.09% (3.09% p.a.) Barrier Reverse Convertible on Swiss Life, Swiss Re, Zurich Insurance

Title

CH1548129043 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548129043

Maturity Date

29.04.2027

Underlying

Swiss Re AG, Swiss Life Holding AG, Zurich Insurance Group Ltd - CH1548129043

3.09% p.a. Autocallable Barrier Reverse Convertible on Geberit, Kuehne + Nagel, Sika

Title

CH1476912352 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476912352

Maturity Date

16.10.2026

Underlying

Geberit AG, Sika AG, Kuehne + Nagel International AG - CH1476912352

3.10% (12.41% p.a.) Reverse Convertible on ASML, Shell, TotalEnergies

Title

CH1548132286 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132286

Maturity Date

13.08.2026

Underlying

Shell PLC, TotalEnergies SE, ASML Holding NV - CH1548132286

3.10% (12.42% p.a.) Reverse Convertible on Siemens Energy AG

Title

CH1548139380 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139380

Maturity Date

23.09.2026

Underlying

Siemens Energy AG

3.10% (38.55% p.a.) Reverse Convertible on Intel Corp.

Title

CH1548141857 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548141857

Maturity Date

05.08.2026

Underlying

Intel Corp.

3.10% (6.27% p.a.) Reverse Convertible on Siemens AG

Title

CH1532246480 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1532246480

Maturity Date

08.10.2026

Underlying

Siemens AG

3.11% (12.44% p.a.) Barrier Reverse Convertible on Pernod-Ricard, SAP

Title

CH1548142319 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548142319

Maturity Date

09.10.2026

Underlying

SAP SE, Pernod-Ricard SA - CH1548142319

3.11% (12.44% p.a.) Reverse Convertible on Siemens Energy AG

Title

CH1548139364 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139364

Maturity Date

23.09.2026

Underlying

Siemens Energy AG

3.13% (6.27% p.a.) Barrier Reverse Convertible on Kardex, SIG Group, Swiss Re

Title

CH1548127302 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127302

Maturity Date

21.10.2026

Underlying

Kardex AG, SIG Group AG, Swiss Re AG - CH1548127302

3.14% (12.71% p.a.) Reverse Convertible on Taiwan Semiconductor Manufacturing Co. Ltd

Title

CH1548139372 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548139372

Maturity Date

23.09.2026

Underlying

Taiwan Semiconductor Manufacturing Co. Ltd

3.15% (12.63% p.a.) Reverse Convertible on Nestlé SA

Title

CH1548128631 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548128631

Maturity Date

28.07.2026

Underlying

Nestlé SA

3.15% (6.26% p.a.) Barrier Reverse Convertible on Givaudan, Richemont

Title

CH1548133839 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133839

Maturity Date

23.11.2026

Underlying

Givaudan SA, Compagnie Financière Richemont SA - CH1548133839

3.16% (12.80% p.a.) Reverse Convertible on ABB, Geberit, Georg Fischer

Title

CH1548132468 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548132468

Maturity Date

14.08.2026

Underlying

Geberit AG, Georg Fischer AG, ABB Ltd - CH1548132468

3.16% (18.96% p.a.) Reverse Convertible on Eli Lilly, Intuitive Surgical

Title

CH1548144679 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548144679

Maturity Date

23.09.2026

Underlying

Intuitive Surgical Inc., Eli Lilly & Co. - CH1548144679

3.17% (6.23% p.a.) Reverse Convertible on Hensoldt , RENK Group AG

Title

CH1548140057 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548140057

Maturity Date

28.12.2026

Underlying

RENK Group AG, Hensoldt AG - CH1548140057

3.17% p.a. Barrier Reverse Convertible on Geberit, Sandoz Group, Sika

Title

CH1476904524 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1476904524

Maturity Date

25.08.2026

Underlying

Sika AG, Geberit AG, Sandoz Group AG - CH1476904524

3.19% (12.79% p.a.) Reverse Convertible on Sunrise Communications AG

Title

CH1492020248 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1492020248

Maturity Date

12.02.2026

Underlying

Sunrise Communications AG

3.20% (12.82% p.a.) Reverse Convertible on Amazon.com, Apple, NVIDIA

Title

CH1548133342 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133342

Maturity Date

19.08.2026

Underlying

NVIDIA Corp., Apple Inc., Amazon.com Inc. - CH1548133342

3.20% (12.83% p.a.) Reverse Convertible on HCA Healthcare Inc.

Title

CH1548143994 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548143994

Maturity Date

20.10.2026

Underlying

HCA Healthcare Inc.

3.20% (3.20% p.a.) Barrier Reverse Convertible on Kuehne + Nagel International AG

Title

CH1476903047 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476903047

Maturity Date

13.08.2026

Underlying

Kuehne + Nagel International AG

3.20% p.a. Autocallable Barrier Reverse Convertible on Roche, Swiss Life, Swiss Re

Title

CH1492016808 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1492016808

Maturity Date

22.10.2026

Underlying

Swiss Life Holding AG, Roche Holding AG, Swiss Re AG - CH1492016808

3.23% (3.23% p.a.) Reverse Convertible on Partners Group Holding AG

Title

CH1476912857 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1476912857

Maturity Date

20.10.2026

Underlying

Partners Group Holding AG

3.26% (6.52% p.a.) Barrier Reverse Convertible on ABB, BELIMO Holding, Partners Group Holding

Title

CH1548127310 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548127310

Maturity Date

21.10.2026

Underlying

ABB Ltd, BELIMO Holding AG, Partners Group Holding AG - CH1548127310

3.29% (13.03% p.a.) Reverse Convertible on Sino Biopharmaceutical Limited

Title

CH1548144000 - Compartment P100

Category

Structured Products - Equities

ISIN

CH1548144000

Maturity Date

21.10.2026

Underlying

Sino Biopharmaceutical Limited

3.30% (6.52% p.a.) Barrier Reverse Convertible on ENGIE, ENI, Shell, TotalEnergies

Title

CH1548133284 - Compartment P100

Category

Structured Products - Basket

ISIN

CH1548133284

Maturity Date

16.11.2026

Underlying

ENGIE SA, Shell PLC, TotalEnergies SE, ENI SpA - CH1548133284

3.30% (6.61% p.a.) Barrier Reverse Convertible on Barry Callebaut, Givaudan, Lindt & Sprüngli

Title

CH1548127336 - Compartment P100

Category

Structured Products - Bas