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Structured Bond on Northvolt Convertible Loan II

Productname A3GY0C - Compartment 431
ISIN DE000A3GY0C2
Category Loan linked - Corporate
Compartment Number 431
Issue Date 06.05.2022
Maturity Date 06.05.2027
Currency USD
Denomination 1,000
Issuance Price 104.4
Underlying Northvolt AB Convertible Loan
Minimum Trading Amount 1,000
Principal Amount 100,000,000
Listing Not applicable

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