4.50% p.a. Multi Reverse Convertible
Swiss Re, UBS, Zurich Insurance
Valor
140862924
SIX Symbol
POMRCH
ISIN
CH1408629249
Currency
CHF
Bid (indicative)
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250'000.00
Ask (indicative)
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250'000.00
Price on
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Identifiers
140862924
CH1408629249
POMRCH
Yield Enhancement
Reverse Convertible
Callable Multi Reverse Convertible
1220
Figures
10.97%
-6.52%
Parameters
Raiffeisen Switzerland B.V., Amsterdam, The Netherlands
Raiffeisen Switzerland Cooperative, St. Gallen, Switzerland
Quarterly
4.50% 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
No
Life Cycle
1.5 Years
17 Jan 2025
24 Jan 2025
24 Jan 2025
31 Jan 2025
31 Jan 2025
24 Jul 2026
31 Jul 2026
Product Specific Features
75.00%
Performance
Market Price Initial Fixing Level Strike Level Distance to Strike
Swiss Re
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CHF 138.05 CHF 103.54 28.59%
UBS
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CHF 31.84 CHF 23.88 4.06%
Zurich Insurance
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CHF 537.20 CHF 402.90 30.82%
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Coupons
Payment Date Amount
02 May 2025 1.125%
31 Jul 2025 1.125%
31 Oct 2025 1.125%
02 Feb 2026 1.125%
04 May 2026 1.125%
31 Jul 2026 1.125%
Early Redemption
Observation Date Redemption Amount
26 Jan 2026 100.00%
24 Apr 2026 100.00%
Swiss Re
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Swiss Re
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SREN SW
CHF
CHF 138.05
9.6583
CHF 103.5375
28.5948%
SIX Swiss Exchange AG
UBS
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UBS
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UBSG SW
CHF
CHF 31.84
41.876
CHF 23.88
4.0579%
SIX Swiss Exchange AG
Zurich Insurance
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Zurich Insurance
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ZURN SW
CHF
CHF 537.20
2.482
CHF 402.90
30.8207%
SIX Swiss Exchange AG