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MULTI BBVAX5 SG ISSUER 21/12/2018
ISINLU1731826787CodeZ0098ProductMulti Warrants


TypeCall StyleEuropean Ratio / Parity (*)1  
Admission Date14/12/2017 Maturity Date21/12/2018 
UnderlyingINDICE BBVA APALANCADO X5 
Underlying CurrencyEuros Underlying ISINES0S00000976 
IssuerSOCIETE GENERALE ISSUER 
DateLastHighLowAvg.VolumeTurnoverClose
19/10/201813.2513.4713.0013.275,40071,670.0015.11
19/10/201813.2513.4713.0013.275,40071,670.0015.11


(*) Ratio / Parity: For further information, please refer to New Listing section.

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