2016/08/09 17:07:21 | |
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Bid | Ask |
- | - |
Difference | 0.00% (0.00) |
Issuer | Deutsche Bank AG |
Product type | Guaranteed products |
Currency | EUR |
Underlying | EURO STOXX® Select Dividend 30 Index |
Price underlying | 1,552.75 EUR |
Date | 2023/03/23 17:50:00 |
Strike Date | 2016/07/27 |
Maturity | 2024/08/01 |
Strike price | 1,788.4000 EUR |
Strike price in % | 100.00% |
Minimum redemption price | 100.00% |
Participation | 100.00% |
Maximum redemption price | 250.00% |
Distance to strike price | -235.65 EUR |
Distance to strike price in % | -13.18% |
Advantages | Risks you should be aware of |
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During the term it is possible to sell the product during the trading hours at the exchanges, where the product is listed. |
2016/08/09 17:07:21 | |
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Bid | Ask |
- | - |
Difference | 0.00% (0.00) |
Issuer | Deutsche Bank AG |
Product type | Guaranteed products |
Currency | EUR |
Stock exchange | STU, FRA |
Underlying | EURO STOXX® Select Dividend 30 Index |
Underlying ISIN | CH0020751589 |
Underlying stock exchange | - |
Underlying currency | EUR |
Price underlying | 1,552.75 EUR |
Date | 2023/03/23 17:50:00 |
Issue date | 2016/07/27 |
Issue price | 102.50% |
Strike Date | 2016/07/27 |
Maturity | 2024/08/01 |
Strike price | 1,788.4000 EUR |
Strike price in % | 100.00% |
Minimum redemption price | 100.00% |
Participation | 100.00% |
Maximum redemption price | 250.00% |
Distance to strike price | -235.65 EUR |
Distance to strike price in % | -13.18% |
Nominal amount | 100.00 |
Quanto | yes |
First trading day | 2016/07/28 |
Last trading day | 2024/07/26 |
The Deutsche Bank Capital Protected Note refers to the EURO STOXX Select Dividend 30® Price EUR Index as underlying, has a fixed term of eight years and will be redeemed on 01/08/2024 (maturity). During the term there is no interest payment and investors do not receive any other proceeds (e.g. dividend payments). The redemption at maturity depends on the performance of the underlying. Redemption is at least 100.00 % of the nominal amount (minimum redemption amount) and at most 250.00 % of nominal amount (maximum redemption amount). The participation on the positive performance of the underlying is capped at 100.00 %. Above this cap there is no participation on a further positive performance of the underlying. The redemption amount is determined as follows: 1. If the performance is at or above the cap, redemption is at 250.00 % of the nominal amount (maximum redemption amount); 2. If the performance is below the cap, then the redemption amount equals 1:1 the performance of the underlying, multiplied by the nominal amount, at least 100.00 % of the nominal amount (minimum redemption amount). Information on the EURO STOXX® Select Dividend 30 Index can be obtained here: https://www.stoxx.com/index-details?symbol=SD3E Information on the product during the term can be found on the issuer's website: https://www.xmarkets.db.com/Investmentprodukte-DE/Produktdetails/DE000DX0TZM9 |
Today open | 99.50 |
Today high | 99.50 |
Today low | 99.50 |
Close (previous day) | 99.50 |
Spread in % | 5.85 % |
Spread absolute | 6.00 |
High price (52 weeks) | - |
Low price (52 weeks) | - |
Performance YTD in % | - |
Performance 1 month in % | - |
Performance 6 months in % | - |
Performance 1 year in % | - |
Performance 3 years in % | - |
Performance 5 years in % | - |
Performance since inception in % | - |
2016/08/09 17:07:21 | |
---|---|
Bid | Ask |
- | - |
Difference | 0.00% (0.00) |
Date: 2023/03/23 17:50:00 | |
---|---|
Underlying Quote | |
1,552.75 EUR | |
Difference | -0.23% (-3.57) |
Name | EURO STOXX® Select Dividend 30 Index |
ISIN | CH0020751589 |
Stock exchange (underlying) | - |
Currency (underlying) | EUR |
Start value underlying | 1,788.4000 |
Price | 1,552.75 |
Time | 23/03/23 - 17:50:00 |
Change in % | -0.23% |
Today high | 1,560.47 |
Today low | 1,541.53 |
High price (52 weeks) | 1,810.45 |
Low price (52 weeks) | 1,430.63 |
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