FTSE Contingent Income Plan 7.0% p.a.

XS1408699459

Sell

101,25

Buy

102,25

Since start : 1,75 %

YTD : 1,75 %

Strike price
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Current price
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Next observation date
02/01/2018

Product Characteristics

ISIN XS1408699459
Currency GBP (£)
Product type Single Index
Strike date 16/12/2016
Issue date 30/12/2016
Final observation 02/01/2018
Maturity date 02/01/2018

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