11.00% p.a. Reverse Convertible on US Treasury STRIPS (02/15/2054)
ISIN
CH1409710667
Valor
140971066
Product type
Reverse Convertible
Issuer
Leonteq Securities AG, Guernsey Branch, St. Peter Port, Guernsey
Collateral agent
SIX Repo AG, Zurich, Switzerland
Collateral custodian
SIX SIS AG, Olten, Switzerland
Currency
USD
Issue date
2025-01-22
Settlement type
Cash Settlement or Delivery of Underlying
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