The Products set out in the Annex (List of affected Products) will be early terminated in accordance with the Issuer's Termination Right as set out in the relevant payout conditions of the Products.
The termination of the Products will take place as follows:
Final Fixing Date: 25 June 2025
Redemption Date: 02 July 20255
On the Redemption Date, the Investor will receive a Cash Settlement in the Settlement Currency corresponding to the Redemption Amount as calculated by the Calculation Agent. The Redemption Amount is determined by the Calculation Agent in accordance with the terms of the respective Product. No further payments will be made.
We look forward to answering all of your questions about our products and how they are traded. Please don't hesitate to get in touch! Phone: +49 69 970 979 900, email zertifikate@leonteq.com or contact us here.