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11.00 % Goldman Sachs Aktienanleihe auf Verbund AG 23-24


ISIN:
DE000GQ60442
WKN:
GQ6044
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General attributes

IssuerGoldman, Sachs & Co Wertpapier GmbH
Product typeReverse convertibles
CurrencyEUR
UnderlyingVERBUND
Price underlying75.80 EUR
Date2024/11/01 12:03:01
Strike Date2023/10/30
Maturity2024/10/31
Coupon11.000%
Strike81.6370 EUR

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Advantages Risks you should be aware of
  • Investors receive a fixed coupon of 11.00 % p.a.
  • Investors profit even if the underlying share price will remain level.
  • If the closing price of the underlying is at or above the strike price on the valuation date, redemption is at 100.00 % of the nominal amount.
  • Goldman Sachs International, London will set quotes for this product during the term, nevertheless, is not obliged to it.
  • Earnings are capped at 11.00 % p.a., even if the underlying has a better performance.
  • By an allocation of shares, the value of the shares is less than the face value of the bond, therefore a significant loss can occur. A total loss of invested capital is possible. Delivered shares cause additional costs (e.g. deposit fees, transaction fees upon sale).
  • During the term fluctuations are possible and premature sale may lead to capital loss. Limitation of trading of this bond is possible.
  • Investors bear the issuer risk of Goldman Sachs Group Inc., i.e. the risk of changes of the creditworthiness and the risk of insolvency.
  • This reverse convertible bond is not covered by any deposit guarantee scheme. Investors are exposed to the risk that Goldman Sachs Group Inc., may not be able to meet its obligations arising from the bond in the event of insolvency or over-indebtedness or from an official order (bail-in regime). A total loss of invested capital is possible.

Secondary market

During the term it is possible to sell the product during the trading hours at the exchanges, where the product is listed.


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General attributes

IssuerGoldman, Sachs & Co Wertpapier GmbH
Product typeReverse convertibles
Stock exchangeFRA
UnderlyingVERBUND
Underlying ISINAT0000746409
Underlying stock exchangeVIE
Underlying currencyEUR
Price underlying75.80 EUR
Date2024/11/01 12:03:01
Issue date2023/10/31
Coupon11.000%
Strike81.6370 EUR
Number of share for redemption in shares12
Quantono
Nominal amount1,000.00
CurrencyEUR

Reverse convertibles | Description

This reverse convertible bond of Goldman, Sachs & Co Wertpapier GmbH refers to the share of Verbund AG (underlying). It has a fixed term, the maturity date is 31/10/2024. At maturity investors receive an interest payment of 11.00 % p.a. based on the nominal amount, regardless of the performance of the underlying.

The repayment of the nominal amount upon maturity depends on the performance of the underlying.

  1. The underlying is at or above the strike price on the valuation date (24/10/2024). Then investors receive the nominal amount.

  2. The underlying is below the strike price on the valuation date. Then investors receive shares of Verbund AG according to the ratio (nominal amount / strike price). Fractions of the underlying are settled in cash.
Information on the product during the term can be found on the issuer's website: Aktienanleihe auf VERBUND AG | DE000GQ60442 | Goldman Sachs (gs.de)

Price information

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Spread in %0.00 %
Spread absolute0.00
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Low price (52 weeks)-

Performance

Performance YTD in %-
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Performance 6 months in %-
Performance 1 year in %-
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Date: 2024/11/01 12:03:01
Underlying Quote
75.80 EUR
Difference +0.80% (0.60)

General attributes underlying

NameVERBUND
ISINAT0000746409
Stock exchange (underlying)VIE
Currency (underlying)EUR
Start value underlying81.6370
Price75.80
Time24/11/01 - 12:03:01
Today high75.80
Today low75.40
High price (52 weeks)89.40
Low price (52 weeks)62.30


Information about previous performance does not guarantee future performance.
Source: FactSet

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