Issue | Front

Front Optimiajoitus Suomi 2022

Return profile

Please see the final terms.

Basic information

ISIN: XS2354903150
Issuer: BNP Paribas
Issue date: 27.04.2022
Maturity date: 20.07.2027
Currency : EUR
Credit Events:
Redemption Price: 0 %
Bid*:*Indicative value 86.02 %

Valuation history

  • Front Optimiajoitus Suomi 2022
Download Valuation history

Development of the underlying instruments

  • SOTF2020 Index
  • iTraxx Crossover S37
Date SOTF2020 Index
Start Values
1511.62
End Values
26.04.2027
03.05.2027
10.05.2027
17.05.2027
24.05.2027
31.05.2027
07.06.2027
14.06.2027
21.06.2027
28.06.2027
05.07.2027
12.07.2027
Change from Start 27.01.2023 1554.91
    2.86 %

Documents

Final terms_XS2354903150.pdf