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11.52% p.a. Reverse Convertible on Allianz, AXA, Generali

Productname CH1548129969 - Compartment P100
ISIN CH1548129969
Category Structured Products - Basket
Compartment Number 100
Issue Date 24.04.2026
Maturity Date 03.05.2027
Currency EUR
Denomination 1,000
Interest 11.52
Issuance Price 100
Underlying Assicurazioni Generali SpA, Allianz SE, AXA SA - CH1548129969
Principal Amount 25,000
Listing Not applicable