FTSE Monthly Contingent Income Plan June 2017 (Option 2)
Product

FTSE Monthly Contingent Income Plan June 2017 (Option 2)

ISIN: XS1513288735

MID Valuation

- -

Perf. globale 0,58%
Perf. YTD 0,37 %

Product Characteristics

Subscription period 10 May. 2018 – 30 Jun. 2017
Formula ---
Currency GBP (£)
ISIN XS1513288735
Underlying element(s) More information
Type of underlying asset ---
Underlying element(s) UKX
Initial level 7 312,72
Level of the day ---
Next observation date 30 Jan. 2024
Timeline
  • Initial Determination Date

    30 Jun. 2017

  • Issue date

    14 Jul. 2017

  • Next observation date

    30 Jan. 2024

  • Due date

    09 Jan. 2024

Graphics and performance

Initial level observation value Performance compared to the initial level Performance (1 day)
FTSE Monthly Contingent Income Plan June 2017 (Option 2) --- --- ---
Graph Initial level observation value Performance compared to the initial level Performance (1 day)
Underlying(s)
--- --- ---
FTSE 100
--- --- ---

Product information

Documents
  • Notice to Noteholders
    pdf 82Kb
  • Final Terms
    pdf 886Kb

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