Issue | Front

Front Optimiajoitus Suomi 3 2022

Return profile

Please see the final terms.

Basic information

ISIN: XS2442998220
Issuer: BNP Paribas
Issue date: 07.12.2022
Maturity date: 05.01.2028
Currency : EUR
Credit Events: 1
Redemption Price: 0 %
Bid*:*Indicative value 94.26 %

Valuation history

  • Front Optimiajoitus Suomi 3 2022
Download Valuation history

Development of the underlying instruments

  • SOTF2020 Index
  • ITRX XOVER S38
Date SOTF2020 Index
Start Values
07.12.2022 1570.82
21.12.2022 1542.5
04.01.2023 1553.58
18.01.2023 1568.17
01.02.2023 1549.31
15.02.2023 1534.95
1534.95
End Values
14.10.2027
28.10.2027
11.11.2027
25.11.2027
09.12.2027
23.12.2027
Change from Start 03.05.2024 1311.32
    -14.57 %

Credit Events

Company Date
Casino Guichard Perrachon SA 09/2023

Documents

Final terms XS2442998220.pdf