42m Wof Memory Phoenix Autocall on FTSE MIB Index, Index Nikkei 225 © Nikkei Inc., NASDAQ 100, EURO STOXX® Banks in EUR

Product Details

ISIN IT0006765009ISIN Copied UNDERLYINGS FTSE MIB Index, Nikkei 225 © Nikkei Inc., NASDAQ 100, EURO STOXX® Banks Autocallable Index Multi Underlying ISSUER Marex Financial (BBB) CURRENCY EUR LISTING MARKET EuroTLX ISSUE PRICE EUR 1000 ANNUALIZED COUPON 8.00% FREQUENCY Quarterly COUPON BARRIER 60% FIRST AUTOCALL DATE 14.11.2024 STRIKE 100% BARRIER TYPE European CAPITAL BARRIER 60% 1013.81BID 1023.82ASK Price on 21:55 CET 16 September 2024

Product Lifecycle

14.08.2024 INITIAL FIXING DATE
09.08.2024 ISSUE DATE
14.02.2028 FINAL FIXING DATE
24.02.2028 MATURITY DATE

Performance

Underlying Bloomberg Ticker Initial Fixing Closing Price Performance Coupon Barrier Level Capital Barrier Level Distance to Capital Barrier
FTSE MIB Index FTSEMIB Index 32328.03 EUR 33568.47 EUR 3.84% 19,396.818 EUR 19,396.818 EUR 42.22% Chart
Nikkei 225 © Nikkei Inc. NKY Index 36442.43 JPY 36581.76 JPY 0.38% 21,865.458 JPY 21,865.458 JPY 40.23% Chart
NASDAQ 100 NDX Index 19022.68 USD 19514.585 USD 2.59% 11,413.608 USD 11,413.608 USD 41.51% Chart
EURO STOXX® Banks SX7E Index 134.16 EUR 142.21 EUR 6.00% 80.496 EUR 80.496 EUR 43.40% Chart

Product Documentation

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Coupon calendar

Observation date Ex-date Payment date Coupon amount Coupon Barrier
14.11.2024 21.11.2024 25.11.2024 20 EUR 60%
14.02.2025 24.02.2025 26.02.2025 20 EUR 60%
14.05.2025 21.05.2025 23.05.2025 20 EUR 60%
14.08.2025 22.08.2025 26.08.2025 20 EUR 60%
14.11.2025 21.11.2025 25.11.2025 20 EUR 60%
17.02.2026 24.02.2026 26.02.2026 20 EUR 60%
14.05.2026 22.05.2026 26.05.2026 20 EUR 60%
14.08.2026 21.08.2026 25.08.2026 20 EUR 60%
16.11.2026 23.11.2026 25.11.2026 20 EUR 60%
16.02.2027 23.02.2027 25.02.2027 20 EUR 60%
14.05.2027 21.05.2027 25.05.2027 20 EUR 60%
16.08.2027 23.08.2027 25.08.2027 20 EUR 60%
15.11.2027 22.11.2027 24.11.2027 20 EUR 60%
14.02.2028 22.02.2028 24.02.2028 20 EUR 60%
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Early redemption calendar

Observation date Early redemption date Early redemption amount Early redemption trigger
14.11.2024 25.11.2024 1000 EUR 100%
14.02.2025 26.02.2025 1000 EUR 98.3%
14.05.2025 23.05.2025 1000 EUR 96.6%
14.08.2025 26.08.2025 1000 EUR 94.9%
14.11.2025 25.11.2025 1000 EUR 93.2%
17.02.2026 26.02.2026 1000 EUR 91.5%
14.05.2026 26.05.2026 1000 EUR 89.8%
14.08.2026 25.08.2026 1000 EUR 88.1%
16.11.2026 25.11.2026 1000 EUR 86.4%
16.02.2027 25.02.2027 1000 EUR 84.7%
14.05.2027 25.05.2027 1000 EUR 83%
16.08.2027 25.08.2027 1000 EUR 81.3%
15.11.2027 24.11.2027 1000 EUR 79.6%
14.02.2028 24.02.2028 1000 EUR 77.9%
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