4.40% p.a. Multi Reverse Convertible
Alcon, Lonza, Roche, Sandoz
Valor
145538725
ISIN
CH1455387253
Currency
CHF
Bid (indicative)
99.59%
250'000.00
Ask (indicative)
100.59%
250'000.00
Price on
06:37
22 Jun 2025
4.40% p.a. Multi Reverse Convertible on Alcon, Lonza, Roche, Sandoz
Identifiers
Valor
145538725
ISIN
CH1455387253
Product Category
Yield Enhancement
Product Group
Reverse Convertible
Product Type
Callable Multi Reverse Convertible
SSPA Product Type
1220
Figures
Yield To Call
3.79%
Performance
-0.41%
Parameters
Issuer
Raiffeisen Switzerland B.V., Amsterdam, The Netherlands
Guarantor
Raiffeisen Switzerland Cooperative, St. Gallen, Switzerland
Coupon Payment
Quarterly
Coupon
4.40% p.a.
Settlement Type
Cash Settlement or Delivery of Underlying
Quoting Type
Dirty (accrued interest included)
Issue Price
100%
Denomination
CHF 1'000.00
Currency
CHF
Tradable Volume Bid
CHF 250'000.00
Tradable Volume Ask
CHF 250'000.00
Exchange
Unlisted
Quanto
No
Life Cycle
Tenor
1.5 Years
Start Subscription Period
13 Jun 2025
End Subscription Period
20 Jun 2025
Initial Fixing Date
20 Jun 2025
Issue Date
30 Jun 2025
First Trading Day
30 Jun 2025
Maturity
23 Dec 2026
Redemption Date
30 Dec 2026
Product Specific Features
Strike Level
70.00%
Performance
Cannot load the chart. Please try again later
Coupons
Early Redemption