4.68% p.a. Reverse Convertible on Allianz, AXA, Munich Re

ProductnameCH1492020123 - Compartment P100
ISINCH1492020123
CategoryStructured Products - Basket
Compartment Number100
Issue Date04.11.2025
Maturity Date11.11.2026
CurrencyEUR
Denomination1,000
Interest4.689
Issuance Price100
UnderlyingAllianz SE, AXA SA, Münchener Rückversicherungs AG - CH1492020123
Principal Amount50,000
ListingNot applicable