Autocall Reverse Convertible

Symbol: LONZAU
ISIN: CH1353423127
Issuer:
UBS
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SIX Structured Products trading

SIX Structured Products Bid Ask Notation
Please note that data is only available after start of trading.

Performance

Closing prev. day 100.10
Diff. absolute / % 0.10 +0.10%

Determined prices

Last Price 99.75 Volume 25,000
Time 09:31:28 Date 11/10/2024

More Product Information

Core Data

Name Autocall Reverse Convertible
ISIN CH1353423127
Valor 135342312
Symbol LONZAU
Quotation in percent Yes
Coupon p.a. 6.00%
Coupon Premium 4.85%
Coupon Yield 1.15%
Type Reverse Convertibles
SVSP Code 1220
COSI Product No
Exercise type American
Currency Swiss Franc
First Trading Date 21/06/2024
Date of maturity 22/09/2025
Last trading day 15/09/2025
Settlement Type Path-dependent
IRS 871m Not applicable
Currency safeguarded No
Pricing Dirty
Issuer UBS

Key data

Sideways yield p.a. -

market maker quality Date: 20/11/2024

Average Spread -
Last Best Bid Price 100.00 %
Last Best Ask Price - %
Last Best Bid Volume 100,000
Last Best Ask Volume 0
Average Buy Volume 0
Average Sell Volume 0
Average Buy Value 0 CHF
Average Sell Value 0 CHF
Spreads Availability Ratio 0.00%
Quote Availability 98.15%

Underlyings

Name Holcim AG Lonza Group N Sonova Hldg. AG
ISIN CH0012214059 CH0013841017 CH0012549785
Price 90.8000 CHF 521.4000 CHF 312.10 CHF
Date 22/11/24 17:30 22/11/24 17:30 22/11/24 17:30
Cap 56.83 CHF 341.01 CHF 196.60 CHF
Distance to Cap 24.27 137.19 73.6
Distance to Cap in % 29.93% 28.69% 27.24%
Is Cap Level reached No No No

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