Skip to Content Julius Bär

1M 2.11% p.a. JB Term Deposit Note with Daily Liquidity

  • Valor 47839352
  • ISIN CH0478393520
  • Symbol
  • SVSP Category Capital Protection
  • SVSP Type Miscellaneous Capital Protection Certificates

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as of:
Performance since issue n.a.
Observation days to maturity 31
SSPA VaR* n.a.
SSPA RiskRating* n.a.

*All statements without guarantee.

Daily high (bid) n.a.
Daily low (bid) n.a.
52 Week high (bid) n.a.
52 Week low (bid) n.a.
Alltime high (bid) n.a.
Alltime low (bid) n.a.
Initial fixing date 15/05/2019
Issue date 15/05/2019
Maturity date 13/06/2019
Redemption date 17/06/2019
Issuer Bank Julius Baer & Co Ltd, Guernsey
Underlying USD Money Market
Issue price 100.00
Currency USD
Listing No
COSI No

USD Money Market

  • Ticker Symbol
  • Valor
  • ISIN

USD

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