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Front Suomi Laatuyhtiöt Recovery 2024

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Please see the final terms.

Basic information

ISIN: XS2821109035
Issuer: BNP Paribas
Issue date: 15.11.2024
Maturity date: 29.11.2029
Currency : EUR
Bid*:*Indicative value 156.64 %

Valuation history

  • Front Suomi Laatuyhtiöt Recovery 2024
Download Valuation history

Development of the underlying instruments

  • Fortum Oyj
  • Neste Oyj
  • Nordea Bank Oyj
Date Fortum Oyj Neste Oyj Nordea Bank Oyj Kohde-etuuskori
Start Values
13.11.2024 13.32 13.34 10.52
Start Values(corrected) 13.32 13.34 10.52 100
End Values
13.05.2027
15.11.2029
Change from Start 03.07.2026 20.61 28.25 17 176.02
    54.73 % 111.77 % 61.55 % 76.02 %

Documents

Final terms_ XS2821109035.pdf