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SIX Swiss Exchange, Structured Products
Valuation EUR 71.36%
05.09.19 14:59:26
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Close % 71.36
05.09.19
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Value 38'065'124
ISIN CH0380651247
Type Derivative
Termsheet N/A
New order
Buy
Quantity
Sell Order creation
Detailed product info
Additional data Default view
Category Debt Instruments (D),Equities (E),Entitlements/Rights (R)
Full company name Credit Suisse AG Nassau Branch
Option style ---
Maturity 12.09.19
Quantity of target instruments ---
Minimum denomination 1'000
Market SIXStructPrd
Remaining duration 1
Market spread 1.0012
Spread 4w +1%
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Issue price 100
Underlying
Name Bayer N (BAYN)
Last EUR 65.69
23.09.19 09:32:53
Change -1.54 (-2.29%)
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Close 31 Dec EUR 70.54 %
1 Week --- %
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4 Weeks 71.36 %
05.09.19
71.02 %
04.09.19
12 Weeks 71.36 %
05.09.19
66.03 %
16.08.19
1 Year 88.34 %
28.02.19
61.96 %
20.05.19
52 Weeks 94.78 %
20.09.18
61.96 %
20.05.19
Info
Name: SIX Swiss Exchange, Structured Products
Domicile: CH
URL: www.six-structured-products.com
Exchange code: 880
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