Fund Linked Redemption Amount Notes
Product

Fund Linked Redemption Amount Notes

ISIN:

MID Valuation

- -

Perf. globale ---%
Perf. YTD --- %

Product Characteristics

Subscription period
Formula Fund Linked Redemption Amount Notes
Currency SEK ()
ISIN
Underlying element(s) More information
Type of underlying asset ---
Underlying element(s) --
Initial level ---
Level of the day ---
Next observation date
Timeline
  • Initial Determination Date

    02 Apr. 2020

  • Issue date

    22 Apr. 2020

  • Next observation date

  • Due date

    22 Apr. 2025

Graphics and performance

Initial level observation value Performance compared to the initial level Performance (1 day)
Fund Linked Redemption Amount Notes --- --- ---
Graphique Initial level observation value Performance compared to the initial level Performance (1 day)
Sous-jacent
--- --- ---

Product information

Documents
  • Final Terms
    pdf 622Kb
  • KID
    pdf 226Kb

Legal documents

Here you can find the base prospectus, the final terms, etc.

Access here

Key Information Documents

Find all the Key Information Documents (KIDs) for your products here.

Access here