Phoenix Memory Autocall on Enel SpA, BNP Paribas and Snam SpA

Product Details

ISIN IT0006762477 UNDERLYINGS BNP PARIBAS, ENEL SPA, SNAM SPA AUTOCALLABLE EUR EUROLTX MULTI UNDERLYING PHOENIX SECONDARY MARKET YIELD ENHANCEMENT ISSUER Marex Financial (S&P BBB) CURRENCY EUR ISSUE PRICE 1000 EUR LISTING MARKET EuroTLX COUPON RATE P.A. 8.90% FREQUENCY Trimestrale MEMORY EFFECT Si COUPON BARRIER 50% AUTOCALL BARRIER 100% AUTOCALL AMOUNT 1000 EUR FIRST AUTOCALL DATE 11.12.2024 STRIKE 100% CAPITAL BARRIER 50% BARRIER TYPE Europea -BID -ASK Price on -

Product Lifecycle

11.03.2024 INITIAL FIXING DATE
04.03.2024 ISSUE DATE
12.03.2029 FINAL FIXING DATE
21.03.2029 MATURITY DATE

Product Documentation

Document Date
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Underlyings

Underlying Bloomberg Ticker Initial fixing Coupon Barrier Level Capital Barrier Level
SNAM SPA SRG IM 4.519 EUR 2.2595 EUR 2.2595 EUR
BNP PARIBAS BNP FP 59.05 EUR 29.525 EUR 29.525 EUR
ENEL SPA ENEL IM 6.156 EUR 3.078 EUR 3.078 EUR

Coupon calendar

Observation date Ex-date Payment date Coupon amount Coupon Barrier
11.06.2024 18.06.2024 20.06.2024 22.25 EUR 50%
11.09.2024 18.09.2024 20.09.2024 22.25 EUR 50%
11.12.2024 18.12.2024 20.12.2024 22.25 EUR 50%
11.03.2025 18.03.2025 20.03.2025 22.25 EUR 50%
11.06.2025 18.06.2025 20.06.2025 22.25 EUR 50%
11.09.2025 18.09.2025 22.09.2025 22.25 EUR 50%
11.12.2025 18.12.2025 22.12.2025 22.25 EUR 50%
11.03.2026 18.03.2026 20.03.2026 22.25 EUR 50%
11.06.2026 18.06.2026 22.06.2026 22.25 EUR 50%
11.09.2026 18.09.2026 22.09.2026 22.25 EUR 50%
11.12.2026 18.12.2026 22.12.2026 22.25 EUR 50%
11.03.2027 18.03.2027 22.03.2027 22.25 EUR 50%
11.06.2027 18.06.2027 22.06.2027 22.25 EUR 50%
13.09.2027 20.09.2027 22.09.2027 22.25 EUR 50%
13.12.2027 20.12.2027 22.12.2027 22.25 EUR 50%
13.03.2028 20.03.2028 22.03.2028 22.25 EUR 50%
12.06.2028 19.06.2028 21.06.2028 22.25 EUR 50%
11.09.2028 18.09.2028 20.09.2028 22.25 EUR 50%
11.12.2028 18.12.2028 20.12.2028 22.25 EUR 50%
12.03.2029 19.03.2029 21.03.2029 22.25 EUR 50%
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Early redemption calendar

Observation date Early redemption date Early redemption amount Early redemption trigger
11.12.2024 20.12.2024 1000 EUR 100%
11.03.2025 20.03.2025 1000 EUR 98%
11.06.2025 20.06.2025 1000 EUR 96%
11.09.2025 22.09.2025 1000 EUR 94%
11.12.2025 22.12.2025 1000 EUR 92%
11.03.2026 20.03.2026 1000 EUR 90%
11.06.2026 22.06.2026 1000 EUR 88%
11.09.2026 22.09.2026 1000 EUR 86%
11.12.2026 22.12.2026 1000 EUR 84%
11.03.2027 22.03.2027 1000 EUR 82%
11.06.2027 22.06.2027 1000 EUR 80%
13.09.2027 22.09.2027 1000 EUR 78%
13.12.2027 22.12.2027 1000 EUR 76%
13.03.2028 22.03.2028 1000 EUR 74%
12.06.2028 21.06.2028 1000 EUR 72%
11.09.2028 20.09.2028 1000 EUR 70%
11.12.2028 20.12.2028 1000 EUR 68%
12.03.2029 21.03.2029 1000 EUR 66%
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