17m Wof Memory Phoenix Autocall on Commerzbank AG, Banca Monte dei Paschi di Sien, Societe Generale SA, Barclays PLC in EUR

Product Details

ISIN IT0006773300ISIN Copied UNDERLYINGS Commerzbank AG, Banca Monte dei Paschi di Sien, Societe Generale SA, Barclays PLC Autocallable Multi Underlying ISSUER Marex Financial CURRENCY EUR LISTING MARKET ETLX ISSUE PRICE EUR 1000 COUPON RATE P.A. 20.71% FREQUENCY Monthly COUPON BARRIER 60% FIRST AUTOCALL DATE 02.03.2026 STRIKE 100% BARRIER TYPE European CAPITAL BARRIER 60% 999.86BID 1000.00ASK Price on 03:27 CET 29 January 2026

Product Lifecycle

30.01.2026 INITIAL FIXING DATE
28.01.2026 ISSUE DATE
01.06.2027 FINAL FIXING DATE
10.06.2027 MATURITY DATE

Performance

Underlying Bloomberg Ticker Initial Fixing Closing Price Performance Coupon Barrier Level Capital Barrier Level Distance to Capital Barrier
Commerzbank AG CBK GY Equity - 35.15 EUR - 0 EUR 0 EUR - Chart
Banca Monte dei Paschi di Sien BMPS IM Equity - 8.657 EUR - 0 EUR 0 EUR - Chart
Societe Generale SA GLE FP Equity - 71.4 EUR - 0 EUR 0 EUR - Chart
Barclays PLC BARC LN Equity - 479.8 GBp - 0 GBp 0 GBp - Chart

Product Documentation

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Coupon calendar

Observation date Ex-date Payment date Coupon amount Coupon Barrier
02.03.2026 09.03.2026 11.03.2026 18.34 EUR 60%
30.03.2026 08.04.2026 10.04.2026 18.34 EUR 60%
30.04.2026 08.05.2026 12.05.2026 18.34 EUR 60%
01.06.2026 08.06.2026 10.06.2026 18.34 EUR 60%
30.06.2026 07.07.2026 09.07.2026 18.34 EUR 60%
30.07.2026 06.08.2026 10.08.2026 18.34 EUR 60%
01.09.2026 08.09.2026 10.09.2026 18.34 EUR 60%
30.09.2026 07.10.2026 09.10.2026 18.34 EUR 60%
30.10.2026 06.11.2026 10.11.2026 18.34 EUR 60%
30.11.2026 07.12.2026 09.12.2026 18.34 EUR 60%
30.12.2026 07.01.2027 11.01.2027 18.34 EUR 60%
01.02.2027 08.02.2027 10.02.2027 18.34 EUR 60%
01.03.2027 08.03.2027 10.03.2027 18.34 EUR 60%
30.03.2027 06.04.2027 08.04.2027 18.34 EUR 60%
30.04.2027 07.05.2027 11.05.2027 18.34 EUR 60%
01.06.2027 08.06.2027 10.06.2027 18.34 EUR 60%
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Early redemption calendar

Observation date Early redemption date Early redemption amount Early redemption trigger
02.03.2026 11.03.2026 1000 EUR 96%
30.03.2026 10.04.2026 1000 EUR 94.5%
30.04.2026 12.05.2026 1000 EUR 93%
01.06.2026 10.06.2026 1000 EUR 91.5%
30.06.2026 09.07.2026 1000 EUR 90%
30.07.2026 10.08.2026 1000 EUR 88.5%
01.09.2026 10.09.2026 1000 EUR 87%
30.09.2026 09.10.2026 1000 EUR 85.5%
30.10.2026 10.11.2026 1000 EUR 84%
30.11.2026 09.12.2026 1000 EUR 82.5%
30.12.2026 11.01.2027 1000 EUR 81%
01.02.2027 10.02.2027 1000 EUR 79.5%
01.03.2027 10.03.2027 1000 EUR 78%
30.03.2027 08.04.2027 1000 EUR 76.5%
30.04.2027 11.05.2027 1000 EUR 75%
01.06.2027 10.06.2027 1000 EUR 73.5%
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