Data DEBUG
Request:
https://api.data.payoff.ch/v2/strproducts/CH1511282498/en Response:
{
"meta": {
"id": 33491667,
"categoryId": 12,
"subCategoryId": 1220,
"ibtTypeCode": 100052,
"hasMultipleUnderlyings": false,
"numUnderlyings": 1,
"issuerRef": "ZKB",
"hasExtendedTradingHours": false,
"denomination": "100000.00000",
"productNameFull": "5% p.a. ZKB Reverse Convertible, 29.09.2026 auf UNA NA",
"guarantorRef": null
},
"basic": {
"isin": "CH1511282498",
"wkn": null,
"valor": "151128249",
"symbol": "Z0CBDZ",
"name": "Reverse Convertible on Unilever Rg",
"descriptionTemplate": "template-1220",
"termsheetUrlDe": "\/termsheets\/CH1511282498_de_20260401_010100.pdf",
"termsheetUrlEn": "\/termsheets\/CH1511282498_en_20260401_011106.pdf"
},
"highlights": {
"strikeRate": "81.8%",
"couponRate": "5%",
"tradingCurrencyCode": "EUR"
},
"static": {
"categoryName": "Yield Enhancement",
"subCategoryName": "Reverse Convertible",
"issuerName": "Zürcher Kantonalbank",
"issuerRatings": "Aaa \/ AAA \/ AAA",
"tradingCurrencyCode": "EUR",
"underlying": "Unilever Rg",
"tradingExchangeName": "SIX Structured Products",
"ratio": "0.00043",
"isCollateralised": "No",
"issuePrice": "100'000.00",
"firstTradingDate": "31.03.2026",
"lastTradingDate": "22.09.2026",
"redemptionDate": "29.09.2026",
"paymentType": "cash or physical delivery",
"mgmtFeePa": null,
"isCallable": "No",
"isAutoCallable": "No",
"couponRate": "5%",
"strikeRate": "81.8%",
"isQuanto": "No"
},
"market": {
"tradingExchangeName": "SIX Structured Products",
"tradingCurrencyCode": "EUR",
"bid": "99.28%",
"bidSize": "0",
"ask": "100.03%",
"askSize": "0",
"last": "99.28%",
"change": "+0.32",
"performanceWeek": "0.46%",
"performanceYtd": null,
"lastDateTime": "17.04.2026 22:10:00"
},
"chart": [
],
"keyfigures": {
"daysToMaturity": "156",
"maxReturnMaturity": "3.23%",
"sidewardYieldMaturity": "3.23%",
"outperformanceLevel": "50.95"
},
"underlyings": [
{
"isin": "GB00BVZK7T90",
"valor": "149406329",
"name": "Unilever Rg",
"symbol": "UNA",
"tradingExchangeName": "SIX Structured Products",
"tradingCurrencyCode": "EUR",
"strikeLevel": "43.10",
"bid": "49.36",
"bidSize": null,
"ask": "49.36",
"askSize": null,
"last": "49.39",
"change": null,
"distToStrikeRate": "14.51%",
"lastDateTime": "17.04.2026 17:36:15"
}
],
"similars": [
],
"events": [
]
}
Z0CBDZ
Reverse Convertible on Unilever Rg
Terms
- CategoryYield Enhancement
- TypeReverse Convertible
- IssuerZürcher Kantonalbank
- Ratings (Moody's/S&P/Fitch)Aaa / AAA / AAA
- Trading CurrencyEUR
- UnderlyingUnilever Rg
- Trading VenueSIX Structured Products
- Ratio0.00043
- CollateralisedNo
- Issue Price100'000.00
- Frist Trading31.03.2026
- Last Trading22.09.2026
- Redemption Date29.09.2026
- Payout Typecash or physical delivery
- CallableNo
- AutocallableNo
- Coupon5%
- Strike Rate81.8%
- QuantoNo
Market Data
- ExchangeSIX Structured Products
- Trading CurrencyEUR
- Bid99.28%
- Bid Size0
- Ask100.03%
- Ask Size0
- Last99.28%
- Change+0.32
- Performance (1 Week)0.46%
- Quotes vom17.04.2026 22:10:00
Key Figures
- Days to Maturity156
- Max Return (Maturity)3.23%
- Sideward Yield (Maturity)3.23%
- Outperformancel Level50.95
Underlying: Unilever Rg
- Unilever Rg
- ISINGB00BVZK7T90
- Valor149406329
- UnderlyingUnilever Rg
- SymbolUNA
- ExchangeSIX Structured Products
- Trading CurrencyEUR
- Strike Level43.10
- Bid49.36
- Ask49.36
- Last49.39
- Distance to Strike14.51%
- Quotes from17.04.2026 17:36:15