Münchener Rückversicherungs-Gesellschaft AG in München/Aktienanleihe/4,15%/Call/VONT
Product class
Reverse Convertible - Classic
Last exchange day
10/05/2027
Performance (1M)
-
Basis price
350.0000 [EUR]
Smallest tradable unit
1,000.00
Multiplier
2.8571
Security level (active from)
- [-]
Knock-In level (active from)
- [-]
Max. gain in %
5.08 %
Max. gain p.a. in %
5.55 %
Sideward yield p.a. in %
5.55 %
Ø Tradable bid size main / secondary
339,958/244,027
Ø Tradable ask size main / secondary
339,958/244,027
Spread main / secondary
0.14/0.71
Tax presence main / secondary
93.00/67.00
Münchener Rückversicherungs-Gesellschaft AG in München ISIN: DE0008430026
457.60 / 457.60 | -0.30 (-0.066%)Bid/Ask| Change
Trade further reverse convertibles for Munchener Ruckversicherungs-Gesellschaft AG without exchange fees.
Facts & figures
Price data
| TRADE PLATFORM | Börse Stuttgart (XSTU) | |
| LAST PRICE | 98.7 G | 0 Nom. |
| PRICE DETERMINATION TIME | 06/10/2026 / 08:52:38 AM | |
| DAILY VOLUME (UNITS) | 0 | |
| DAILY HIGH / LOW | 98.7 | 98.7 |
| PREV. DAY'S PRICE | 98.56 | (06/09) |
| CHANGE DAY BEFORE | +0.14 | 0.14 % |
| 52 WEEK HIGH / LOW | (-) | (-) |
Indicators
| TIME OF CALCULATION | 11:04:11 AM (06/10/2026) |
| SIDEWARD YIELD ABSOLUTE | - |
| SIDEWARD YIELD IN % | 5.08 % |
| SIDEWARD YIELD P.A. IN % | 5.55 % |
| MAXIMUM GAIN ABSOLUTE | 50.34 % |
| MAXIMUM GAIN IN % | 5.08 % |
| MAXIMUM GAIN P.A. IN % | 5.55 % |
Master Data
| WKN | VY3492 |
| ISIN | DE000VY34929 |
| SYMBOL | - |
| EXCHANGE SEGMENT | Freiverkehr |
| TYPE OF FINANCIAL INSTRUMENT | Investment Product |
| PRODUCT CLASS | Reverse Convertible - Classic |
| PRODUCT NAME | 4,15% pa Aktienanleihe auf Münchener Rückversicherungs-Gesellschaft AG in München |
| ISSUER | Vontobel Financial Products GmbH |
| TRADING SEGMENT | EASY EUWAX |
| INTEREST RATE | 4.15 % |
| INTEREST FORM | 15/05/2026 |
| OPTION TYPE | call |
| UNDERLYING | MUENCHENER RUECKVERSICHERUNGS AG NPV(REGD) |
| BASIS PRICE | 350.0000 [EUR] |
| SECURITY LEVEL | - [-] |
| KNOCKIN LEVEL | - [-] |
| EXERCISE TYPE | European |
| TENDER | either |
| TRADING CURRENCY NOTE | Percent / Units |
| NOMINAL CURRENCY | EUR |
| SETTLEMENT CURRENCY | Euro |
| SMALLEST TRADABLE UNIT | 1,000.00 |
| MINIMUM QUOTATION EUR | 10,000.00 |
| MINIMUM QUOTATION UNITS | 10,000.00 |
| LAST VALUATION DAY | 10/05/2027 |
| PAYMENT DATE | 17/05/2027 |
| FIRST EXCHANGE DAY | 13/05/2026 |
| LAST EXCHANGE DAY | 10/05/2027 |
| TRADING HOURS | 08:00:00 AM - 10:00:00 PM |
| QUOTATION | fortlaufende Auktion |
| ISSUE VOLUME | 25,000,000 |
| QUANTO | No |
| RIGHT TO CALL IN | No |
| FEES | - |
Underlying
| WKN | 843002 |
| ISIN | DE0008430026 |
| SYMBOL | MUV2 |
| NOMINAL CURRENCY | Euro |
| TYPE OF UNDERLYING | Equity |
| COUNTRY OF THE HOME STOCK EXCHANGE | Germany |
Issuer
| NAME | Vontobel Financial Products GmbH |
| ADDRESS | Vontobel Financial Products GmbH
Bockenheimer Landstraße 24
60323 Frankfurt am Main
Deutschland |
| EMAIL ADDRESS | zertifikate.de@vontobel.com |
| SERVICE PHONE NUMBER | 00800 93009300 |
| URL | https://zertifikate.vontobel.com |
| DOCUMENTS | PRIIP / KID (english) |
Product Description
This Reverse Convertible Bond is linked to Münchener Rückversicherungs-Gesellschaft AG in München, the underlying instrument, and has a term ending on May 17, 2027. The product has a coupon of 4.15% per annum and a nominal value of EUR 1,000. At the end of the term, the performance of the underlying determines the redemption amount. If the underlying trades at or above the strike price of EUR 350.00 on the valuation date, the nominal value will be redeemed. If the underlying trades below the strike price, units in the underlying or a reference asset will be delivered. The quantity of units will be determined by the multiplier of 2.85714, while fractions are usually settled with a cash payment.