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2.96% p.a. Reverse Convertible on Allianz SE

Productname CH1476908814 - Compartment P100
ISIN CH1476908814
Category Structured Products - Equities
Compartment Number 100
Issue Date 15.09.2025
Maturity Date 07.11.2025
Currency EUR
Denomination 1,000
Interest 2.961
Issuance Price 100
Underlying Allianz SE
Principal Amount 12,000
Listing Not applicable