36m Memory Classic Autocall on Bayer AG in EUR

Product Details

ISIN IT0006776261ISIN Copied UNDERLYINGS Bayer AG Autocallable Single Underlying Snowball ISSUER Marex Financial CURRENCY EUR LISTING MARKET ETLX ISSUE PRICE EUR 1000 FREQUENCY Semi-annually FIRST AUTOCALL DATE 07.12.2026 STRIKE 100% BARRIER TYPE European CAPITAL BARRIER 50% -BID -ASK Price on 21:26 CET 5 June 2026

Product Lifecycle

05.06.2026 INITIAL FIXING DATE
09.06.2026 ISSUE DATE
05.06.2029 FINAL FIXING DATE
14.06.2029 MATURITY DATE

Performance

Underlying Bloomberg Ticker Initial Fixing Closing Price Performance Coupon Barrier Level Capital Barrier Level Distance to Capital Barrier
Bayer AG BAYN GY Equity - 35.56 EUR - - 0 EUR - Chart

Product Documentation

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Early redemption calendar

Observation date Early redemption date Early redemption amount Early redemption trigger
07.12.2026 16.12.2026 1117.5 EUR 100%
07.06.2027 16.06.2027 1235 EUR 100%
06.12.2027 15.12.2027 1352.5 EUR 100%
05.06.2028 14.06.2028 1470 EUR 100%
05.12.2028 14.12.2028 1587.5 EUR 100%
05.06.2029 14.06.2029 1705 EUR 100%
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