Product
Structured Notes (Conditional Vanilla) linked to the OMX Stockholm 40 Equal Weighted Excess Return Index due June 2025
ISIN: SE0014273439
MID Valuation
- -
Perf. globale
---%
Perf. YTD
---
%
Product Characteristics
Product
More information
| Subscription period | – |
| Formula | --- |
| Currency | SEK () |
| ISIN | SE0014273439 |
Underlying element(s)
More information
| Type of underlying asset | --- |
| Underlying element(s) | -- |
| Initial level | --- |
| Level of the day | --- |
| Next call date |
Timeline
-
Initial Determination Date
05 Jun. 2020
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Issue date
18 Jun. 2020
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Next call date
-
Due date
23 Jun. 2025
Graphics and performance
| Initial level observation value | Performance compared to the initial level | Performance (1 day) | |
| Structured Notes (Conditional Vanilla) linked to the OMX Stockholm 40 Equal Weighted Excess Return Index due June 2025 | --- | --- | --- |