INVESTMENT DESCRIPTION
CURRENCY EUR
STRIKE DATE 24/01/2025
ISIN XS2978682925
COUNTERPARTY Citi
TYPE Note
RETURN & BARRIERS
Maximum Term: 1 years
Investment Structure: Fixed Income
Fixed Income Rate: EUR: 6.85% p.a. (Paid Quarterly)
Capital Risk: Not capital protected
Capital Protection Barrier: 50% Final level (European style)
MATURITY DATE
26/01/2026
FINAL MATURITY DATE
02/02/2026