ISIN
CH1113396712
Issuer name
UBS AG, London Branch
Description of securities
Reverse Convertible 2021-28.05.26 (Exp.20.05.26) on Equities
Currency
Nominal value
0.00
Duration
Issuer domicile
United Kingdom
Issue Terms governing law
National Securities ID number
CFI
DEEVTB
Exchange listing
Exchange ticker symbol
Dealer / Paying Agent
SIX Financial Information Ltd, SWITZERLAND
Trustee / Guardian
Misc. info
State
Updated