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Early redemption

Redemption
date
Security/
Underlying
Product type Curr. Redemption
price
TS
29.11.2023 125290935
Part Grp Hldg N
Swiss Life N
Zurich Insurance N
Reverse convertible CHF 10'000.00
05.12.2023 121486496
Siemens N
Royal Dutch Shell A
AXA A
Reverse convertible EUR 5'000.00
05.12.2023 125291011
Anheuser-Busch A
Johnson & Johnson A
Procter & Gamble A
Reverse convertible qUSD 1'000.00
11.12.2023 123576695
Alphabet A -A-
Visa A -A-
Reverse convertible USD 1'000.00
18.12.2023 125289060
Bank of America A
Citigroup A
Goldman Sachs Grp A
Reverse convertible USD 1'000.00
21.12.2023 121486872
Basket
Reverse convertible CHF 1'000.00
21.12.2023 121486874
Basket
Reverse convertible CHF 1'000.00
21.12.2023 123576932
Comet Holding
VAT Group N
Reverse convertible CHF 1'000.00
21.12.2023 123576969
Comet Holding
VAT Group N
Reverse convertible CHF 1'000.00
28.12.2023 125291715
Siemens N
Reverse convertible EUR 1'000.00

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