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5Y JB CHF 1.40% p.a. CLN on Novartis AG

  • Valor 143108371
  • ISIN CH1431083711
  • Symbol
  • SVSP Category Investment Products with reference entities
  • SVSP Type Conditional Capital Protection Note with additional credit risk
  • SVSP Code 1410

Bid

%

Volume:

Ask

%

Volume:

Price

as of:
days to maturity 1814

*All statements without guarantee.

JB ESG Category No data
Daily high (bid) 99.75
Daily low (bid) 99.75
52 Week high (bid) 100.50
52 Week low (bid) 97.45
Alltime high (bid) 100.50
Alltime low (bid) 97.45
Initial fixing date 21/03/2025
Issue date 28/03/2025
Maturity date 20/06/2030
Issuer Bank Julius Baer & Co. Ltd., Guernsey
Underlying Novartis AG
Issue price 100.00
Currency CHF
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

Novartis AG

  • Ticker SymbolCH0270190983 CORP
  • Valor27019098
  • ISINCH0270190983

CHF

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