EUR Fix to Floating Note with Minimum and Maximum Interest WKN: DB9U3B / ISIN: DE000DB9U3B5 Select action Go to Underlying pageAdd to watchlistAdd to portfolioPrintDisplay page as PDF Sekundärmarkt Current priceDate: --, -- -- % -- pcs. -- % -- pcs. Performance abs.-- %Performance in %--Month high (bid)98.790 %Month low (bid)98.120 % ProductUnderlying period: Intraday period: 1 week period: 1 month period: 3 months period: 6 months period: 1 year period: 3 years period: 5 years Underlying Name Current Price +/- +/- in % Time Signals News Events 1Y CMS EUR-Satz - EUR - - - 0 Signals0 News0 News0 Events0 Events Go to product listGo to underlying pageAdd to watchlist Base data WKNDB9U3B ISINDE000DB9U3B5 QuantoNo Ratio1.00 Product typeFloater Notes Underlying(Underlying Name)1Y CMS EUR-Satz RedemptionCash Issue date03/11/2020 Maturity05/11/2025 Capital Guaranteed Level (EUR)100.00 Key Data No figures found
Downloads Legal Documents (12) TypeTitleFile size Key Information Document~1,0 MB Basisprospekt3.1 MB Registration document1.1 MB Supplement 1 concerning Registration docume...1.9 MB Supplement 2 concerning Registration docume...1.3 MB Supplement 3 concerning Registration docume...1,013.3 KB Supplement 4 concerning Registration docume...1 MB Annual Report14.3 MB Earnings Report as of March 31, 2020716.1 KB Interim Report as of June 30, 20201.3 MB Earnings Report as of September 30, 2020859.4 KB Information about previous cost ratios~1,0 MB
Base ProspectusThe reference to the base prospectus as well as the final terms is not to be considered as a recommendation to trade this product.