INVESTMENT DESCRIPTION
This is a 5 year 2 week Plan linked to the performance of the S&P 500 Index. This Plan provides investors with the opportunity to earn 6.80% p.a. if the Underlying Index remains flat or even falls. If the closing level of the Underlying Index on any observation date (set brochure for full details) before the Final Valuation Date is at or above the relevant Kick Out Trigger Level, the Plan will kick out, i.e. mature early and make a gross investment return of 6.80% for each year that the Plan has been in force
If the investment does not kick-out early, then at the Final Observation date if the Underlying Index is at or above the Initial Kick Out Level the Investor receives initial capital plus 6.80% for each annual period that has elapsed and the investment will end. If it is below the Kick Out Level and the Underlying is below 65% of its Initial Level at maturity, capital return will be reduced on a 1-for-1 basis.
CURRENCY GBP
STRIKE DATE 06/10/2025
ISIN XS3087462084
COUNTERPARTY BNP Paribas
TYPE Plan
RETURN & BARRIERS
Issue: BNP Paribas
Investment Term: 5 years 2 weeks
Investment Return: 6.80% p.a. if, on any annual Observation date, starting in year 2, the Underlying Index is at or above the relevant kick-out level.
Capital Protection: Your initial capital will be returned provided the Underlying Index is at or above 65% of the initial strike level at maturity.
NEXT POTENTIAL MATURITY DATE
06/10/2027
FINAL MATURITY DATE
14/10/2030