Return Monitor

Overview of Barrier Reverse Convertibles

Current sideways return by remaining time to maturity
< 3 Months < 6 Months < 9 Months < 1 Year > 1 Year
BRC Early Redemption Bayer
Fresenius
Novartis
EUR 40-50%
5.63% 
BRC Early Redemption BNP Paribas
RWE AG
Siemens
EUR 40-50%
7.86% 
BRC Early Redemption Bristol-Myers Squibb
Illumina, Inc.
Merck & Co.
USD 40-50%
9.30% 
BRC Early Redemption Burckhardt Compression Holding AG
Logitech
Meyer Burger Technology AG
OC Oerlikon
CHF 40-50%
8.62% 
BRC Early Redemption CAC 40 INDEX
DAX
S&P 500 Index
EUR 40-50%
2.84% 
BRC Early Redemption Credit Suisse
Logitech
Vifor Pharma AG
CHF 40-50%
6.82% 
BRC Early Redemption Credit Suisse
Swiss Life
Zurich Insurance
CHF 40-50%
0.63% 
BRC Early Redemption DAX
Euro STOXX 50 EUR Price Index
SMI PR Index
CHF 40-50%
4.62% 
BRC Early Redemption DAX
NIKKEI 225 Index
S&P 500 Index
USD 40-50%
4.50% 
BRC Early Redemption Deutsche Bank EUR 40-50%
3.58% 
BRC Early Redemption Deutsche Bank CHF 40-50%
7.30% 
BRC Early Redemption E.ON
RWE AG
USD 40-50%
6.49% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
Hang Seng China Enterprises Index
S&P 500 Index
USD 40-50%
9.16% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
Hang Seng China Enterprises Index
S&P 500 Index
CHF 40-50%
5.54% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
Hang Seng China Enterprises Index
S&P 500 Index
EUR 40-50%
5.96% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
NIKKEI 225 Index
S&P 500 Index
GBP 40-50%
2.59% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
NIKKEI 225 Index
S&P 500 Index
EUR 40-50%
1.40% 
25.97% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
NIKKEI 225 Index
S&P 500 Index
USD 40-50%
4.47% 
49.33% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
NIKKEI 225 Index
S&P 500 Index
SMI PR Index
EUR 40-50%
3.08% 
BRC Early Redemption Euro STOXX 50 EUR Price Index
NIKKEI 225 Index
S&P 500 Index
SMI PR Index
CHF 40-50%
10.34% 
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* If all underlying prices are at or above the Auto-Callable level on calculation time, the sideways return is calculated based on the next possible repayment date as redemption date. In this case, the product is shown in the time category of the return monitor that corresponds to this redemption date.