7.00% p.a. Multi Barrier Reverse Convertible
Allianz, AXA, Swiss Life, Zurich Insurance
Valor
142107739
SIX Symbol
PTURCH
ISIN
CH1421077392
Currency
CHF
Bid (indicative)
{{ brochure.product.productFeed.bid | number:2 }}{{ brochure | quotingPercentage: brochure.product.productFeed.bid }}
250'000.00
Ask (indicative)
{{ brochure.product.productFeed.ask | number:2 }}{{ brochure | quotingPercentage: brochure.product.productFeed.ask }}
250'000.00
Price on
{{ brochure.product.productFeed.date | timeFormat }}
{{ brochure.product.productFeed.date | dateShortFormat }}
Identifiers
142107739
CH1421077392
PTURCH
Yield Enhancement
Barrier Reverse Convertible
Callable Multi Barrier Reverse Convertible
1230
Figures
5.51%
0.60%
Parameters
Raiffeisen Switzerland B.V., Amsterdam, The Netherlands
Raiffeisen Switzerland Cooperative, St. Gallen, Switzerland
Quarterly
7.00% p.a.
Cash Settlement or Delivery of Underlying
Dirty (accrued interest included)
100%
CHF 1'000.00
CHF
CHF 250'000.00
CHF 250'000.00
Listed
Yes
Life Cycle
2.25 Years
21 Feb 2025
28 Feb 2025
28 Feb 2025
07 Mar 2025
07 Mar 2025
31 May 2027
07 Jun 2027
Barrier
60.00%
Continuous barrier observation (american)
28 Feb 2025 - 31 May 2027
No
39.23%
Product Specific Features
100.00%
Performance
Market Price Initial Fixing Level Barrier Level Distance to Barrier Strike Level Distance to Strike
Allianz
{{ underlyings['67108925'].currency }} {{ underlyings['67108925'].underlyingFeed.spot | number:2 }}
EUR 330.30 EUR 198.18 43.91% EUR 330.30 6.51%
AXA
{{ underlyings['67109410'].currency }} {{ underlyings['67109410'].underlyingFeed.spot | number:2 }}
EUR 37.44 EUR 22.46 45.68% EUR 37.44 9.47%
Swiss Life
{{ underlyings['67108973'].currency }} {{ underlyings['67108973'].underlyingFeed.spot | number:2 }}
CHF 784.80 CHF 470.88 42.05% CHF 784.80 3.42%
Zurich Insurance
{{ underlyings['67108978'].currency }} {{ underlyings['67108978'].underlyingFeed.spot | number:2 }}
CHF 593.60 CHF 356.16 39.23% CHF 593.60 -1.28%
Cannot load the chart. Please try again later
Coupons
Payment Date Amount
10 Jun 2025 1.75%
08 Sep 2025 1.75%
08 Dec 2025 1.75%
09 Mar 2026 1.75%
08 Jun 2026 1.75%
07 Sep 2026 1.75%
07 Dec 2026 1.75%
08 Mar 2027 1.75%
07 Jun 2027 1.75%
Early Redemption
Observation Date Redemption Amount
02 Mar 2026 100.00%
01 Jun 2026 100.00%
31 Aug 2026 100.00%
30 Nov 2026 100.00%
01 Mar 2027 100.00%
Allianz
Cannot load the chart. Please try again later
Allianz
{{ underlyings['67108925'].currency }} {{ underlyings['67108925'].underlyingFeed.spot | number:2 }}
ALV GY
EUR
EUR 330.30
EUR 198.18
43.906%
EUR 330.30
6.51%
Xetra
AXA
Cannot load the chart. Please try again later
AXA
{{ underlyings['67109410'].currency }} {{ underlyings['67109410'].underlyingFeed.spot | number:2 }}
CS FP
EUR
EUR 37.44
EUR 22.464
45.6801%
EUR 37.44
9.4668%
Euronext Paris
Swiss Life
Cannot load the chart. Please try again later
Swiss Life
{{ underlyings['67108973'].currency }} {{ underlyings['67108973'].underlyingFeed.spot | number:2 }}
SLHN SW
CHF
CHF 784.80
1.2742
CHF 470.88
42.0527%
CHF 784.80
3.4211%
SIX Swiss Exchange AG
Zurich Insurance
Cannot load the chart. Please try again later
Zurich Insurance
{{ underlyings['67108978'].currency }} {{ underlyings['67108978'].underlyingFeed.spot | number:2 }}
ZURN SW
CHF
CHF 593.60
1.6846
CHF 356.16
39.2322%
CHF 593.60
-1.2796%
SIX Swiss Exchange AG