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Actively Managed Certificate on the PHANAR Active Allocation Portfolio

  • Valor 25819969
  • ISIN CH0258199691
  • Symbol
  • SVSP Category Participation
  • SVSP Type Tracker Certificates

Bid

EUR

Volumen:

Ask

EUR

Volumen:

Price

as of:
Performance since issue 18.50%
Spread (%) 0.51%
multiple Underlyings No
days to maturity 357739
SSPA VaR* n.a.
SSPA RiskRating* n.a.

*All statements without guarantee.

Daily high (bid) 119.30
Daily low (bid) 118.50
52 Week high (bid) 204.50
52 Week low (bid) 109.70
Alltime high (bid) 204.50
Alltime low (bid) 87.40
Initial fixing date 29/12/2014
Issue date 29/12/2014
Maturity date Open End
Redemption date n.a.
Leverage n.a.
Issuer Bank Julius Baer & Co. AG, Zurich
Underlying PHANAR Active Allocation Portfolio
Issue price 100.00
Currency EUR
Listing No
COSI No
Quanto No
Payment Scenario Tracker Certificates
market expectation
characteristics
  • Rising underlying
  • Underlying will not breach barrier during product lifetime
  • Participation in development of the underlying
  • Reflects underlying price moves 1:1 (adjusted by conversion ratio and any related fees)
  • Risk comparable to a direct investment into the underlying

PHANAR Active Allocation Portfolio

  • Ticker Symbol
  • Valor
  • ISIN

EUR

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