Expired
Identifiers
43027806
CH0430278066
Yield Enhancement
Express Certificate
Multi Express Certificate with Barrier
1260
Parameters
Leonteq Securities AG, Guernsey Branch, St. Peter Port, Guernsey
Cash Settlement
Dirty (accrued interest included)
IUP
EUR 1'000.00
EUR
Listed
Yes
Life Cycle
3 years
05.09.2018
10.09.2018
10.09.2018
06.09.2021
11.03.2019
Barrier
60.00%
Barrier observation at maturity only
06.09.2021 - 06.09.2021
No
38.45%
Performance
Name Market Price Initial Fixing Level Barrier Level Distance to Barrier Barrier Hit
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EUR 180.84 EUR 108.50 45.10% No
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EUR 14.79 EUR 8.87 45.42% No
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EUR 22.00 EUR 13.20 38.45% No
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CHF 296.10 CHF 177.66 48.86% No
Conditional Coupons
Observation Date Payment Date Trigger Level Coupon
08.10.2018 11.10.2018 60.00% Paid EUR 5.84
06.11.2018 09.11.2018 60.00% Paid EUR 5.84
06.12.2018 11.12.2018 60.00% Paid EUR 5.84
07.01.2019 10.01.2019 60.00% Paid EUR 5.84
06.02.2019 11.02.2019 60.00% Paid EUR 5.84
06.03.2019 11.03.2019 60.00% Paid EUR 5.84
08.04.2019 11.04.2019 60.00% 0.58%
06.05.2019 09.05.2019 60.00% 0.58%
06.06.2019 11.06.2019 60.00% 0.58%
08.07.2019 11.07.2019 60.00% 0.58%
06.08.2019 09.08.2019 60.00% 0.58%
06.09.2019 11.09.2019 60.00% 0.58%
07.10.2019 10.10.2019 60.00% 0.58%
06.11.2019 11.11.2019 60.00% 0.58%
06.12.2019 11.12.2019 60.00% 0.58%
06.01.2020 09.01.2020 60.00% 0.58%
06.02.2020 11.02.2020 60.00% 0.58%
06.03.2020 11.03.2020 60.00% 0.58%
06.04.2020 09.04.2020 60.00% 0.58%
06.05.2020 11.05.2020 60.00% 0.58%
08.06.2020 11.06.2020 60.00% 0.58%
06.07.2020 09.07.2020 60.00% 0.58%
06.08.2020 11.08.2020 60.00% 0.58%
07.09.2020 10.09.2020 60.00% 0.58%
06.10.2020 09.10.2020 60.00% 0.58%
06.11.2020 11.11.2020 60.00% 0.58%
07.12.2020 10.12.2020 60.00% 0.58%
06.01.2021 11.01.2021 60.00% 0.58%
08.02.2021 11.02.2021 60.00% 0.58%
08.03.2021 11.03.2021 60.00% 0.58%
06.04.2021 09.04.2021 60.00% 0.58%
06.05.2021 11.05.2021 60.00% 0.58%
07.06.2021 10.06.2021 60.00% 0.58%
06.07.2021 09.07.2021 60.00% 0.58%
06.08.2021 11.08.2021 60.00% 0.58%
06.09.2021 13.09.2021 60.00% 0.58%
Early Redemption
Observation Date Trigger Level Redemption Amount
06.03.2019 100.00% 100.00%
08.04.2019 100.00% 100.00%
06.05.2019 100.00% 100.00%
06.06.2019 100.00% 100.00%
08.07.2019 100.00% 100.00%
06.08.2019 100.00% 100.00%
06.09.2019 100.00% 100.00%
07.10.2019 95.00% 100.00%
06.11.2019 95.00% 100.00%
06.12.2019 95.00% 100.00%
06.01.2020 95.00% 100.00%
06.02.2020 95.00% 100.00%
06.03.2020 95.00% 100.00%
06.04.2020 90.00% 100.00%
06.05.2020 90.00% 100.00%
08.06.2020 90.00% 100.00%
06.07.2020 90.00% 100.00%
06.08.2020 90.00% 100.00%
07.09.2020 90.00% 100.00%
06.10.2020 85.00% 100.00%
06.11.2020 85.00% 100.00%
07.12.2020 85.00% 100.00%
06.01.2021 85.00% 100.00%
08.02.2021 85.00% 100.00%
08.03.2021 85.00% 100.00%
06.04.2021 80.00% 100.00%
06.05.2021 80.00% 100.00%
07.06.2021 80.00% 100.00%
06.07.2021 80.00% 100.00%
06.08.2021 80.00% 100.00%
06.09.2021 80.00% 100.00%
Allianz
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Allianz
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ALV GY
EUR
EUR 180.84
EUR 108.504
45.1002%
Xetra
Generali
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Generali
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G IM
EUR
EUR 14.79
EUR 8.874
45.4217%
Milan Stock Exchange
AXA
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AXA
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CS FP
EUR
EUR 22.00
EUR 13.20
38.4515%
Euronext Paris
Zurich Insurance
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Zurich Insurance
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ZURN SW
CHF
CHF 296.10
CHF 177.66
48.8601%
SIX Swiss Exchange AG