INVESTMENT DESCRIPTION
CURRENCY GBP
STRIKE DATE 14/08/2020
ISIN XS2126408918
COUNTERPARTY BNP Paribas Issuance B.V.
TYPE Plan
RETURN & BARRIERS
Investment Structure: Structured Plan
Investment Term: Up to 6 years 1 week
Participation Rate: GBP = 400%
Callable Observations: Monthly (First Observation at 12 months)
Coupon Rate: GBP = 0.85% per month (10.20% p.a.)
Capital Risk: Not capital protected
Capital Protection: 60% Capital Protection barrier at maturity
MATURITY DATE
21/08/2026
FINAL MATURITY DATE
14/08/2026