ISIN | CH1329122175 |
Security | 132912217 |
Symbol | n.a. |
Currency | EUR |
Currency hedging | No |
Nominal amount | 1'000.00 |
Coupon (Coupon p.a.) | 1.99% (8.00% ) |
Coupon payment | guaranteed |
Interest portion p.a. | 3.94% |
Premium portion p.a. | 4.06% |
Coupon date | n.a. |
Day count convention | Act/365 (Englisch), modified following |
Accrued coupon | n.a. |
Issue price | 100.00% |
Initial fixing date | 03.04.2024 |
Payment day | 10.04.2024 |
First trading day | 10.04.2024 |
Last trading day | 03.07.2024 |
Final fixing day | 03.07.2024 |
Redemption date | 10.07.2024 |
Redemption type | physical delivery or cash settlement |
Early redemption | No |
Residual term | 0 |
Issue amount | 100'000.00 |
Price status | flat Marchzins |
Exchange | ZKB |
Trade time | 09:15 - 17:15 (CET) |
Round lot | EUR 1'000.00 |
Performance of underlying since issue | -0.84% |
SSPA derivative category | Yield enhancement |
SSPA code | Reverse convertible (1220) |
Issuer | Zürcher Kantonalbank Finance (Guernsey) Ltd |
Keep-Well Agreement | with Zürcher Kantonalbank, Zürich |
Issuer rating | |
Lead manager | Zürcher Kantonalbank, Zürich |
Payment, execution and calculation agent | Zürcher Kantonalbank, Zürich |
Income tax | Yes |
Withholding tax | No |
Stamp duty payable in the secondary market | No |
Stamp duty payable upon delivery of the securities | Yes |
SIX Telekurs EU tax classification code | (out of scope) |
Internal Rate of Return | 3.94% |
Cash value of fixed income investment upon issue | 99.04% |
Cash value of fixed income investment upon redemption | 100.00% |
USA, US persons, Guernsey, EEA, GB |
Redemption date | 10.07.2024 |
Redemption amount | |
Redemption currency | n.a. |
Underlying | n.a. |
Physical delivery | - |
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