This product has been terminated
Ordinary termination day: 31/05/2022
Repayment day: 07/06/2022
Redemption amount: 8.20 EUR

Product overview

Underlyings
Leverage index
Reference Instrument
Key figures
Ratio
0.005

Life cycle

Initial fixingFirst exchange trade dateTermination announcementTerminationRedemption

Product information

Key Information Document
Final Terms
Base Prospectus
Index Guide