USD Worst-of
Triple Index Autocall.

12% Annual
Return
in USD
Over 5 Years.

25 April 2024
17h30-18h30
Virtual webinar

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
The structure’s return is linked to a diverse basket of indices:
  • Euro Stoxx 50 (SX5E Index)
  • US: Nasdaq 100 (NDX Index)
  • Japan: Nikkei 255 (NKY Index)
This webinar will cover:
  • 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.
IMPORTANT: This is a time-sensitive term-structure and applications will close on 10 May 2024. Register now to learn more about this unique investment opportunity before it expires.

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.