8.19% p.a. Reverse Convertible on Prysmian SpA

ProductnameCH1492021170 - Compartment P100
ISINCH1492021170
CategoryStructured Products - Equities
Compartment Number100
Issue Date12.11.2025
Maturity Date19.05.2026
CurrencyEUR
Denomination1,000
Interest8.198
Issuance Price100
UnderlyingPrysmian SpA
Principal Amount75,000
ListingNot applicable