INVESTMENT DESCRIPTION
CURRENCY GBP
STRIKE DATE 17/05/2019
ISIN GS00SD000581
COUNTERPARTY Goldman Sachs International Bank
TYPE Deposit
RETURN & BARRIERS
Investment Structure: Structured Deposit
Participation Rate: GBP = 100%
Income Rate: 0.75% Quarterly (3.00% p.a.) if the FTSE 100 is above 85% of initial strike level
Income Observations: Quarterly (First Observation at 3 months)
Callable Coupon Rate: GBP = 0.25% per quarter (1.00% p.a.)
Callable Observations: Quarterly (First Observation at 12 months)
Capital Risk: None
Capital Protection: 100% Capital Protected
MATURITY DATE
17/05/2027
FINAL MATURITY DATE
17/05/2027