Language:
Warrant Settlement Price
Issuer:
Code Issuer Call/Put Underlying Expiry Date
(Y-M-D)
Underlying
Settlement Price
Strike Entitlement Ratio Settlement Price
(Per Share)

Disclaimer

The above minimum residual value is calculated by using the formula as set out below and it is provided for informational purposes only. The actual residual value may not be the same as the above calculated value, the announcement by respective issuer through the Hong Kong Exchanges and Clearing Limited should be final. It should not be relied upon in any way by the recipient hereof or any third party. Societe Generale is not responsible for any loss or damage arising out of any person's use of or reliance upon the information provided herein. Societe Generale is the liquidity provider for Structured Products, and may be the only market participant.