Reverse Convertible Bond ATX®

Bid106.17%
Apr 26, 2024 15:29:59.714 UTC
Ask106.42%
Apr 26, 2024 15:29:59.714 UTC
chg. 1D-0.030 (-0.03%)
Apr 26, 2024 15:29:59.714 UTC
Underlying price (indicative) 3,527.13 (+1.03%)
Apr 26, 2024 17:27:49.000 UTC
Barrier- StrikeEUR 3,400.00 Max. yield p.a.7.33% Interest rate p.a.9.18%

Name
Reverse Convertible Bond on ATX®
ISIN / WKN
AT0000A37GQ0 / RC1BCY
Underlying
Max. yield remaining term (%)
6.65%
Max. yield p.a.
7.33%
Interest rate total term
13.50%
Fixed interest rate annually
9.18%
Underlying price (indicative)
EUR 3,527.13 (+1.03%)
Apr 26, 2024 17:27:49.000
Starting value
EUR 3,091.42
Strike
EUR 3,400.00
Distance to strike
3.60%
No. of shares
0.29412
Tradeable unit/nominal value
EUR 1,000
About the term

Initial valuation date
Oct 05, 2023
Issue date
Oct 06, 2023
Final valuation date
Mar 21, 2025
Maturity date
Mar 26, 2025

Product classification
Investment Product without Capital Protection
Security type (Eusipa No.)
Reverse Convertible Bond (1220)
Reverse Convertible Bond Type
Reverse Convertible Bond
Underlying
Country / region of underlying
Austria
Suited market expectation
sideways, bullish
Issue price
100.00%
Spread homogenised
0.85
Spread (in %)
0.24%
Product currency
EUR
Underlying currency
EUR
Settlement method
Cash settlement
Taxation
Capital Gains Tax / Foreign Capital Gains Tax
Public offer possible in
Austria, Germany, Italy, Hungary, Poland, Czech Republic, Slovakia, Bulgaria, Croatia, Romania, Slovenia
Listing
Vienna, Stuttgart
Description

Reverse Convertible Bonds provide a fixed-interest rate above the market level. This interest rate is paid out, regardless of the performance of the underlying. Redemption at the end of the term (100% of the nominal value or shares, or respective amount of money) depends on the underlying price.

Types of Reverse Convertible Bonds are Protect Reverse Convertible Bonds and Plus+ Protect Reverse Convertible Bonds.

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