4.30% p.a. Multi Reverse Convertible
ABB, Holcim, Swiss Re, UBS
Valor
147058574
ISIN
CH1470585741
Identifiers
147058574
CH1470585741
Yield Enhancement
Reverse Convertible
Callable Multi Reverse Convertible
1220
Parameters
Raiffeisen Switzerland B.V., Amsterdam, The Netherlands
Raiffeisen Switzerland Cooperative, St. Gallen, Switzerland
Quarterly
4.30% p.a.
Cash Settlement or Delivery of Underlying
Dirty (accrued interest included)
100%
CHF 1'000.00
CHF
Unlisted
No
Life Cycle
2 Years
31 Jul 2025
08 Aug 2025
08 Aug 2025
18 Aug 2025
18 Aug 2025
11 Aug 2027
18 Aug 2027
Product Specific Features
65.00%
Performance
Name Market Price Initial Fixing Level Strike Level Distance to Strike
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CHF 53.78 CHF 34.96 35.79%
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CHF 68.10 CHF 44.27 34.75%
{{ underlyings['67108971'].currency }} {{ underlyings['67108971'].underlyingFeed.spot | number:2 }}
CHF 149.70 CHF 97.31 35.07%
{{ underlyings['67108976'].currency }} {{ underlyings['67108976'].underlyingFeed.spot | number:2 }}
CHF 31.94 CHF 20.76 34.59%
Coupons
Payment Date Amount
18 Nov 2025 1.075%
18 Feb 2026 1.075%
19 May 2026 1.075%
18 Aug 2026 1.075%
18 Nov 2026 1.075%
18 Feb 2027 1.075%
19 May 2027 1.075%
18 Aug 2027 1.075%
Early Redemption
Observation Date Redemption Amount
11 Aug 2026 100.00%
11 Nov 2026 100.00%
11 Feb 2027 100.00%
11 May 2027 100.00%
ABB
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ABB
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ABBN SW
CHF
CHF 53.78
28.6066
CHF 34.957
35.788%
SIX Swiss Exchange AG
Holcim
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Holcim
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HOLN SW
CHF
CHF 68.10
22.5912
CHF 44.265
34.7509%
SIX Swiss Exchange AG
Swiss Re
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Swiss Re
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SREN SW
CHF
CHF 149.70
10.277
CHF 97.305
35.0651%
SIX Swiss Exchange AG
UBS
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UBS
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UBSG SW
CHF
CHF 31.94
48.1672
CHF 20.761
34.5904%
SIX Swiss Exchange AG