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Early redemption

Redemption
date
Security/
Underlying
Product type Curr. Redemption
price
TS
28.12.2023 125291719
Holcim N
Helvetia Hldg N
Reverse convertible CHF 1'000.00
29.12.2023 113975989
Holcim N
Heidelberg Mat. I
Geberit N
Barrier reverse convertible qCHF 1'000.00
04.01.2024 125291767
Part Grp Hldg N
Reverse convertible CHF 10'000.00
09.01.2024 123575791
Deutsche Bank N
Commerzbank A
Barrier reverse convertible EUR 1'000.00
15.01.2024 121487271
Zurich Insurance N
Swiss Life N
Helvetia Hldg N
Barrier reverse convertible CHF 1'000.00
15.01.2024 125289706
Swiss Re N
Zurich Insurance N
Holcim N
Reverse convertible CHF 5'000.00
15.01.2024 125289707
Swiss Re N
Zurich Insurance N
Holcim N
Reverse convertible CHF 5'000.00
17.01.2024 125289807
AXA A
Reverse convertible EUR 1'000.00
22.01.2024 123576035
Münchener Rück N
AXA A
Allianz N
Barrier reverse convertible EUR 10'000.00
22.01.2024 125289080
Lonza Grp N
Part Grp Hldg N
The Swatch Grp A
Reverse convertible CHF 1'000.00

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