Expired
Identifiers
40458392
CH0404583921
Yield Enhancement
Express Certificate
Multi Express Certificate with Barrier
1260
Parameters
Leonteq Securities AG, Guernsey Branch, St. Peter Port, Guernsey
Cash Settlement
Dirty (accrued interest included)
IUP
EUR 1'000.00
EUR
Listed
Yes
Life Cycle
3 years
06.04.2018
11.04.2018
11.04.2018
06.04.2021
11.04.2019
Barrier
60.00%
Barrier observation at maturity only
06.04.2021 - 06.04.2021
No
Performance
Name Market Price Initial Fixing Level Barrier Level Barrier Hit
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EUR 3'408.10 EUR 2'044.86 No
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JPY 21'567.52 JPY 12'940.51 No
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USD 2'604.47 USD 1'562.68 No
Conditional Coupons
Observation Date Payment Date Trigger Level Coupon
07.05.2018 10.05.2018 75.00% Paid EUR 4.17
06.06.2018 11.06.2018 75.00% Paid EUR 4.17
06.07.2018 11.07.2018 75.00% Paid EUR 4.17
06.08.2018 09.08.2018 75.00% Paid EUR 4.17
06.09.2018 11.09.2018 75.00% Paid EUR 4.17
09.10.2018 12.10.2018 75.00% Paid EUR 4.17
06.11.2018 09.11.2018 75.00% Paid EUR 4.17
06.12.2018 11.12.2018 75.00% Paid EUR 4.17
07.01.2019 10.01.2019 75.00% Paid EUR 4.17
06.02.2019 11.02.2019 75.00% Paid EUR 4.17
06.03.2019 11.03.2019 75.00% Paid EUR 4.17
08.04.2019 11.04.2019 75.00% Paid EUR 4.17
07.05.2019 10.05.2019 75.00% 0.42%
06.06.2019 11.06.2019 75.00% 0.42%
08.07.2019 11.07.2019 75.00% 0.42%
06.08.2019 09.08.2019 75.00% 0.42%
06.09.2019 11.09.2019 75.00% 0.42%
07.10.2019 10.10.2019 75.00% 0.42%
06.11.2019 11.11.2019 75.00% 0.42%
06.12.2019 11.12.2019 75.00% 0.42%
06.01.2020 09.01.2020 75.00% 0.42%
06.02.2020 11.02.2020 75.00% 0.42%
06.03.2020 11.03.2020 75.00% 0.42%
06.04.2020 09.04.2020 75.00% 0.42%
07.05.2020 12.05.2020 75.00% 0.42%
08.06.2020 11.06.2020 75.00% 0.42%
06.07.2020 09.07.2020 75.00% 0.42%
06.08.2020 11.08.2020 75.00% 0.42%
08.09.2020 11.09.2020 75.00% 0.42%
06.10.2020 09.10.2020 75.00% 0.42%
06.11.2020 11.11.2020 75.00% 0.42%
07.12.2020 10.12.2020 75.00% 0.42%
06.01.2021 11.01.2021 75.00% 0.42%
08.02.2021 11.02.2021 75.00% 0.42%
08.03.2021 11.03.2021 75.00% 0.42%
06.04.2021 13.04.2021 75.00% 0.42%
Early Redemption
Observation Date Trigger Level Redemption Amount
06.11.2018 100.00% 100.00%
06.12.2018 100.00% 100.00%
07.01.2019 100.00% 100.00%
06.02.2019 100.00% 100.00%
06.03.2019 100.00% 100.00%
08.04.2019 100.00% 100.00%
07.05.2019 95.00% 100.00%
06.06.2019 95.00% 100.00%
08.07.2019 95.00% 100.00%
06.08.2019 95.00% 100.00%
06.09.2019 95.00% 100.00%
07.10.2019 95.00% 100.00%
06.11.2019 95.00% 100.00%
06.12.2019 95.00% 100.00%
06.01.2020 95.00% 100.00%
06.02.2020 95.00% 100.00%
06.03.2020 95.00% 100.00%
06.04.2020 95.00% 100.00%
07.05.2020 90.00% 100.00%
08.06.2020 90.00% 100.00%
06.07.2020 90.00% 100.00%
06.08.2020 90.00% 100.00%
08.09.2020 90.00% 100.00%
06.10.2020 90.00% 100.00%
06.11.2020 90.00% 100.00%
07.12.2020 90.00% 100.00%
06.01.2021 90.00% 100.00%
08.02.2021 90.00% 100.00%
08.03.2021 90.00% 100.00%
06.04.2021 90.00% 100.00%
Euro Stoxx 50®
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Euro Stoxx 50®
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SX5E
EUR
EUR 3'408.10
EUR 2'044.86
41.4402%
STOXX Europe Calendar
Nikkei 225
Nikkei 225
NKY
JPY
JPY 21'567.52
JPY 12'940.512
Tokyo Stock Exchange
S&P 500®
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S&P 500®
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SPX
USD
USD 2'604.47
USD 1'562.682
46.664%
NYSE