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Early redemption

Redemption
date
Security/
Underlying
Product type Curr. Redemption
price
TS
24.08.2023 116435310
ABB N
Sika N
Holcim N
Reverse convertible CHF 5'000.00
28.08.2023 127344723
UBS Group AG
Reverse convertible CHF 1'000.00
29.08.2023 121823120
Cembra Money Bank N
Barrier reverse convertible CHF 1'000.00
29.08.2023 121823122
Vontobel Holding N
Barrier reverse convertible CHF 1'000.00
29.08.2023 121823123
Zurich Insurance N
Barrier reverse convertible CHF 1'000.00
31.08.2023 116435493
ABB N
Sika N
Holcim N
Reverse convertible CHF 5'000.00
04.09.2023 113975701
Basket
Reverse convertible CHF 1'000.00
04.09.2023 116435506
Allianz N
Münchener Rück N
Societe Generale A
Reverse convertible qCHF 1'000.00
06.09.2023 125288500
UBS Group AG
Reverse convertible CHF 1'000.00
11.09.2023 123575792
Swiss Prime Site N
Allreal Hldg N
PSP Swiss Property N
Barrier reverse convertible CHF 1'000.00

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