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Banks-Product Overview

This website provides basic information on Structured Products issued by banks and the latest reference market value information.

The latest reference market value is the reference value calculated by the reporting company based on the market conditions and product model on the reference date. It is only for investors’ reference. The actual transaction price should refer to the reporting company. The reference market value provided by the company is the evaluation information of the reference date. It is not the quoted price for reference price, and does not necessarily reflect all the factors related to the quotation, such as hedging and transaction costs, bid-ask spreads, etc. The actual redemption price and the early redemption price may vary. The reference market value of structured products is not fully realized by the value of the underlying derivatives, which may be higher or lower than the original investment amount. The calculation of the profits of structured products is based on the confirmation of the transaction in each product.

Company ISIN Issue
Date
Maturity
Date
Type
of
Product
標的類別 Currency Latest
Reference
Price
Reference
Date
Product
Status
  • The information disclosed on this website is declared by the financial company. Any errors or falsehoods shall be the responsibility of each reporting agency.
  • Anyone who wants to refer to the information provided on this website should be aware that their use must comply with relevant laws and regulations and must not infringe upon the right of others.