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5Y USD 6.75% p.a. CLN on Federative Republic of Brazil

  • Valor 120137665
  • ISIN CH1201376659
  • Symbol
  • SVSP Category Investment Products with reference entities
  • SVSP Type Conditional Capital Protection Note with additional credit risk
  • SVSP Code 1410

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JB ESG Category No data
Initial fixing date 27/07/2022
Issue date 03/08/2022
Maturity date 20/06/2027
Issuer Bank Julius Baer & Co. Ltd., Guernsey
Underlying Brazilian Government International Bond
Issue price 100.00
Currency USD
Listing No
COSI No
market expectation
characteristics
  • Rising underlying
  • Sharply falling underlying possible
  • No credit event of the reference entity
  • The product value can fall below conditional capital protection during its lifetime, among other things due to a negative assessment of reference issuer creditworthiness
  • Conditional capital protection only applies to the nominal and not the purchase price
  • Participation in performance of the underlying, provided a reference entity credit event has not occurred
  • The product allows higher yield at greater risk

Brazilian Government International Bond

  • Ticker SymbolBRAZIL 4 1/4 01/07/2
  • Valor22699871
  • ISINUS105756BV13

USD

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