5.63% (4.50% p.a.) Reverse Convertible on Allianz
ISIN
CH1409712432
Valor
140971243
Product type
Reverse Convertible
Issuer
Leonteq Securities AG, Guernsey Branch, St. Peter Port, Guernsey
Currency
EUR
Issue date
2025-01-24
Settlement type
Cash Settlement or Delivery of Underlying
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