2.07% (4.16% p.a.) Reverse Convertible on Symrise AG

ProductnameCH1476910265 - Compartment P100
ISINCH1476910265
CategoryStructured Products - Equities
Compartment Number100
Issue Date24.09.2025
Maturity Date31.03.2026
CurrencyEUR
Denomination1,000
Interest4.168
Issuance Price100
UnderlyingSymrise AG
Principal Amount949,000
ListingNot applicable