Identifiers
49965731
CH0499657317
Yield Enhancement
Express Certificate
Multi Express Certificate with Barrier
1260
Figures
0.78%
Parameters
Leonteq Securities AG, Guernsey Branch, St. Peter Port, Guernsey
Cash Settlement
Dirty (accrued interest included)
IUP
EUR 1'000.00
EUR
100.00 certificates
100.00 certificates
Listed
No
Yes
Life Cycle
3 years
10.10.2019
15.10.2019
15.10.2019
10.10.2022
17.10.2022
Barrier
50.00%
Barrier observation at maturity only
10.10.2022 - 10.10.2022
No
50.23%
Performance
Market Price Initial Fixing Level Barrier Level Distance to Barrier Barrier Hit
Enel
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EUR 6.77 EUR 3.38 50.23% No
Eni
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EUR 13.68 EUR 6.84 50.88% No
UniCredit
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EUR 10.56 EUR 5.28 57.02% No
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Conditional Coupons
Observation Date Payment Date Trigger Level Coupon
11.11.2019 18.11.2019 50.00% Paid EUR 7.5
10.12.2019 17.12.2019 50.00% 0.75%
10.01.2020 17.01.2020 50.00% 0.75%
10.02.2020 17.02.2020 50.00% 0.75%
10.03.2020 17.03.2020 50.00% 0.75%
14.04.2020 21.04.2020 50.00% 0.75%
11.05.2020 18.05.2020 50.00% 0.75%
10.06.2020 17.06.2020 50.00% 0.75%
10.07.2020 17.07.2020 50.00% 0.75%
10.08.2020 17.08.2020 50.00% 0.75%
10.09.2020 17.09.2020 50.00% 0.75%
12.10.2020 19.10.2020 50.00% 0.75%
10.11.2020 17.11.2020 50.00% 0.75%
10.12.2020 17.12.2020 50.00% 0.75%
11.01.2021 18.01.2021 50.00% 0.75%
10.02.2021 17.02.2021 50.00% 0.75%
10.03.2021 17.03.2021 50.00% 0.75%
12.04.2021 19.04.2021 50.00% 0.75%
10.05.2021 17.05.2021 50.00% 0.75%
10.06.2021 17.06.2021 50.00% 0.75%
12.07.2021 19.07.2021 50.00% 0.75%
10.08.2021 17.08.2021 50.00% 0.75%
10.09.2021 17.09.2021 50.00% 0.75%
11.10.2021 18.10.2021 50.00% 0.75%
10.11.2021 17.11.2021 50.00% 0.75%
10.12.2021 17.12.2021 50.00% 0.75%
10.01.2022 17.01.2022 50.00% 0.75%
10.02.2022 17.02.2022 50.00% 0.75%
10.03.2022 17.03.2022 50.00% 0.75%
11.04.2022 20.04.2022 50.00% 0.75%
10.05.2022 17.05.2022 50.00% 0.75%
10.06.2022 17.06.2022 50.00% 0.75%
11.07.2022 18.07.2022 50.00% 0.75%
10.08.2022 17.08.2022 50.00% 0.75%
12.09.2022 19.09.2022 50.00% 0.75%
10.10.2022 17.10.2022 50.00% 0.75%
Early Redemption
Observation Date Trigger Level Redemption Amount
14.04.2020 100.00% 100.00%
11.05.2020 100.00% 100.00%
10.06.2020 100.00% 100.00%
10.07.2020 100.00% 100.00%
10.08.2020 100.00% 100.00%
10.09.2020 100.00% 100.00%
12.10.2020 100.00% 100.00%
10.11.2020 95.00% 100.00%
10.12.2020 95.00% 100.00%
11.01.2021 95.00% 100.00%
10.02.2021 95.00% 100.00%
10.03.2021 95.00% 100.00%
12.04.2021 95.00% 100.00%
10.05.2021 95.00% 100.00%
10.06.2021 95.00% 100.00%
12.07.2021 95.00% 100.00%
10.08.2021 95.00% 100.00%
10.09.2021 95.00% 100.00%
11.10.2021 95.00% 100.00%
10.11.2021 90.00% 100.00%
10.12.2021 90.00% 100.00%
10.01.2022 90.00% 100.00%
10.02.2022 90.00% 100.00%
10.03.2022 90.00% 100.00%
11.04.2022 90.00% 100.00%
10.05.2022 90.00% 100.00%
10.06.2022 90.00% 100.00%
11.07.2022 90.00% 100.00%
10.08.2022 90.00% 100.00%
12.09.2022 90.00% 100.00%
10.10.2022 90.00% 100.00%
Enel
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Enel
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ENEL IM
EUR
EUR 6.767
EUR 3.3835
50.2346%
Milan Stock Exchange
Eni
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Eni
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ENI IM
EUR
EUR 13.682
EUR 6.841
50.8754%
Milan Stock Exchange
UniCredit
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UniCredit
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UCG IM
EUR
EUR 10.564
EUR 5.282
57.0213%
Milan Stock Exchange
Product Performance