6.40% p.a. Callable Reverse Convertible on Lonza Group AG

ProductnameCH1492019190 - Compartment P100
ISINCH1492019190
CategoryStructured Products - Equities
Compartment Number100
Issue Date29.10.2025
Maturity Date07.05.2026
CurrencyCHF
Denomination2,000
Interest6.4084
Issuance Price100
UnderlyingLonza Group AG
Principal Amount14,000
ListingNot applicable