INVESTMENT DESCRIPTION
A 5 year and 1 week investment Fixed Income Plan. This Plan provides investors with the opportunity to earn 6.00% p.a. coupon (0.50% paid monthly), until maturity, irrespective of the performance of the Underlying Indices. Initial capital will be returned provided both the Underlying Indices are at or above 65% of the initial strike level at maturity. If any Underlying is below 65% at maturity, capital is at risk.
CURRENCY GBP
STRIKE DATE 02/12/2025
ISIN XS2736756714
COUNTERPARTY Natixis
TYPE Plan
RETURN & BARRIERS
Issuer: Natixis
Investment Term: 5 Years 1 Week
Payment Rate: 6.00% per annum (0.50% per month)
Capital Protection: 65% Capital Protection barrier at maturity
NEXT POTENTIAL MATURITY DATE
02/12/2030
FINAL MATURITY DATE
09/12/2030
