Issue of Structured Notes (Conditional Vanilla) linked to the OMX Stockholm 40 Equal Weighted Excess Return Index due July 2025
SE0014402251
Product
Sell- -
Buy- -
Perf. since inception : -- %
YTD Perf. : -- %
Underlying
| Strike price | Current price | Next observation date |
|---|---|---|
| -- | -- |
Product Characteristics
| ISIN | SE0014402251 |
| Payoff profile | Multi-Exchange Index Linked Notes |
| Currency | SEK () |
| Strike date | 17/07/2020 |
| Issue date | 30/07/2020 |
| Maturity Date | 31/07/2025 |
