USD Worst-of
Triple Index Autocall.
About this webinar.
One of the ongoing challenges for private clients is finding certainty in an uncertain world. This is one of the reasons we’re introducing a new structured product: The USD Worst-of Triple Index Autocall.
This USD-denominated structured product is a 5-year investment linked to the performance of European, US, and Japanese Indices. It offers investors a conditional return of at least 12% annually if the worst-performing index is positive on any of the semi-annual observation dates over five years. Moreover, investors benefit from partial capital protection, receiving 100% of their initial investment back if the worst-performing index falls by 35% or less after five years.
Join us online on Thursday, 25 April at 17h30 for a virtual presentation with Rand Swiss Senior Analyst, Viv Govender.
He’ll talk you through this time-sensitive investment and answer any questions you may have.
Here are a few basic features of the product:
- Return: If the worst-performing index of the Nasdaq 100 Index, the Nikkei 225 Index and the Euro Stoxx 50 Index is positive on any of the 9 semi-annual auto call dates over five years, you will receive an annual simple interest return of at least 12% for the period participated.
- Capital protection: 100% unless the worst-performing index falls by more than 35% after five years. If this occurs, capital repayable will be reduced by the percentage fall in the worst-performing index.
- US dollar exposure: The investment is in US dollars and any capital repayment and returns due to you are also in US dollars.
- Term: The investment will mature after a maximum of five years.
- Minimum investment: A minimum of $20,000.
- Closing date: 10 May 2024
- Euro Stoxx 50 (SX5E Index)
- US: Nasdaq 100 (NDX Index)
- Japan: Nikkei 255 (NKY Index)
- Our rational for selecting this specific product,
- Exactly how the product works and the potential payoff, and
- Who will benefit most from a product like this.
Speaker.
Viv Govender
Senior Analyst, Rand Swiss
Viv is a senior analyst and investment specialist, focusing on international and local markets. He frequently appears in the media, contributing to channels such as: SABC, CNBC, SAFM, 702 and ETV. He is also a regular guest lecturer at a number of prominent business schools and advanced education programmes, and previously lectured at tertiary institutions such as UKZN and DUT.