INVESTMENT DESCRIPTION
CURRENCY GBP
STRIKE DATE 07/02/2022
ISIN XS2317572951
COUNTERPARTY BNP Paribas Issuance B.V.
TYPE Plan
RETURN & BARRIERS
Investment Structure: Plan
Investment Term: Up to 6 years 1 week
Interest Rate: 10.00% per annum (2.50% per quarter)
Participation Rate: 500% Participation in the growth of the FTSE™ 100 Index at maturity
Callable Observations: Quarterly (First Observation at 24 months)
Capital Protection: 60% Capital Protection barrier at maturity
MATURITY DATE
07/02/2028
FINAL MATURITY DATE
07/02/2028