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Please see the final terms.

Basic information

ISIN: FI4000109608
Issuer: Commerzbank AG
Issue date: 23.09.2014
Maturity date: 24.09.2019
Currency : EUR
Bid*:*Indicative value 116.87 %

Valuation history

  • Front Aasia Trend Catcher
Download Valuation history

Development of the underlying instruments

  • Hang Seng China Enterprises Index
  • The KOSPI 200 Index
  • The MSCI Singapore Index
  • The TAIEX Index
  • USD/EUR
Date Hang Seng China Enterprises Index The KOSPI 200 Index The MSCI Singapore Index The TAIEX Index USD/EUR
Start Values
10.09.2014 259.8 376.8 9357.61 0.77
259.8 376.8 9357.61 0.77
End Values
10.09.2015 9780.16 237.18 321.98 8268.68 0.89
12.09.2016 9654.08 250.53 316.91 8947.06 0.89
11.09.2017 11221.13 309.83 359.32 10572.16 0.84
10.09.2018 10433.62 293.7 352.83 10725.8 0.86
10.09.2019 10403.34 268.76 362.17 10753.58 0.91
Change from Start 10.09.2019 10403.34 268.76 362.17 10753.58 0.91
    3.45 % -3.88 % 14.92 % 16.96 %

Documents

Lopulliset ehdot.pdf