FTSE Monthly Contingent Income Plan June 2017 (Option 2)
XS1513288735
Produit
Sell100,08
Buy101,08
Since start : 0,58 %
YTD : 0,37 %
Product Characteristics
Subscription period | 10/05/2018 – 30/06/2017 |
ISIN | XS1513288735 |
Underlying | UKX | | |
Currency | GBP (£) |
Product type | Single Index |
Strike date | 30/06/2017 |
Issue date | 14/07/2017 |
Final observation | 30/06/2027 |
Maturity date | 09/01/2024 |