6.50% p.a. Early Redemption Worst of GOAL

Underlying: BNP Paribas / Citigroup / Credit Suisse SSPA/EUSIPA Product Type: Reverse Convertibles (1220) Valor: 50720261 / ISIN: CH0507202619

Last update 03.08.2020
  • Bid

    89.51 %
    Volume: 10'000

  • Ask

    90.51 %
    Volume: 10'000

CurrencyUSD
IssuerUBS AG, London Branch
Settlementphysical
Fixing date05.11.2019
Expiry05.11.2020
Sideways return-- / --
Unit price1'000.00 USD
Underlying price1)
BNP Paribas
Citigroup
Credit Suisse

35.46 EUR
50.39 USD
9.988 CHF
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1) Prices are 15 Min. delayed