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ZKB Reverse Convertible on worst of
Zurich Insurance Group AG/Swiss Re AG/Helvetia Holding AG/Baloise-Holding AG

ISIN: CH1329122969 Security: 132912296 Symbol: n.a. Life cycle
Secondary market

Bid Price 99.31%

Ask Price n.a.

Currency CHF

Exchange ZKB

Volume 50'000.00

Volume n.a.

Date/time (realtime) 22.05.2024 05:40:13

Sell Buy 

Underlying value

UnderlyingPriceInitial fixingCurr.CapAbstand zu
Cap
Ratio
Zurich Insurance N471.6481.90CHF385.52 (80.00%)18.25%12.9695
Swiss Re N110.7111.05CHF88.84 (80.00%)19.75%56.2810
Helvetia Hldg N127.9124.00CHF99.20 (80.00%)22.44%50.4032
Bâloise-Hldg N152.3138.90CHF111.12 (80.00%)27.04%44.9964

Reference data

ISIN CH1329122969
Security 132912296
Symbol n.a.
Currency CHF
Currency hedging No
Nominal amount 5'000.00

Coupon

Coupon (Coupon p.a.)1.96% (3.92% )
Coupon paymentguaranteed
Interest portion p.a.1.32%
Premium portion p.a.2.60%
Coupon date11.07.2024
Day count convention30/360 (German), modified following
Accrued couponn.a.

Life cycle

Issue price100.00%
Initial fixing date04.04.2024
Payment day11.04.2024
First trading day11.04.2024
Last trading day04.10.2024
Final fixing day04.10.2024
Redemption date11.10.2024
Redemption typephysical delivery or cash settlement
Early redemptionNo
Residual term133
Issue amount50'000.00

Price data

Price status flat Marchzins
Exchange ZKB
Trade time 09:15 - 17:15 (CET)
Round lot CHF 5'000.00
Performance of underlying since issue -2.14%

Product type

SSPA derivative category Yield enhancement
SSPA code Reverse convertible (1220)

Legal parties

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

Tax aspects (Private investor tax domicile Switzerland)

Income taxYes
Withholding taxNo
Stamp duty payable in the secondary marketNo
Stamp duty payable upon delivery of the securitiesYes
SIX Telekurs EU tax classification code (out of scope)
Internal Rate of Return1.32%
Cash value of fixed income investment upon issue99.35%
Cash value of fixed income investment upon redemption100.00%

Sales restrictions

USA, US persons, Guernsey, EEA, GB

Redemption

Redemption date11.10.2024
Redemption amount
Redemption currencyn.a.
Underlyingn.a.
Physical delivery-

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