Overview
The Notes do not pay interest. If the level of the Reference Asset increases from the Initial Level to the Final Level, the Notes provide a return based on [100% to 110%] of that increase. If the Final Level of the Reference Asset is less than or equal to the Initial Level, the Notes will pay the principal amount of the Notes, and no additional return.Underlying Asset
MSCI USA ESG Quality Select Low Volatility 10% Risk Control 2% Decrement Index (MXUSEQLV) |
Summary Details
Initial Price of Note | 100.00 % of par |
Secondary Market Price as of 30-May-25 | 103.20 % of par* |
Trade Date | 25-Apr-23 |
Issue Date | 28-Apr-23 |
Valuation Date | 25-Apr-28 |
Maturity Date | 28-Apr-28 |
Term | 5 years |
Denomination | USD |
CUSIP | 78016HXD7 |
Classification | Growth |
Product Type | Principal Return Notes |
Structure | Enhanced Return |
Protection Type | Full Protection |
Settlement | Cash |
The materials and information on this page are for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy the relevant Notes
Historical Indicative Secondary Market Prices
Benchmarks
Historical Secondary Market Pricing *
Day Over Day Price Change | 0.21 | |
52 Week High | 106.90 (29-Nov-24) | |
52 Week Low | 95.59 (04-Jul-24) |
Performance of Underlying Assets
Underlying Asset | Ticker | Weight |
Initial Level as of 25-Apr-23 |
Current Index Level as of 28-May-25 |
Weighted Component Change |
||
---|---|---|---|---|---|---|---|
MSCI USA ESG Quality Select Low Volatility 10% Risk Control 2% Decrement Index | MXUSEQLV | 100.00% |
2584.2978 |
2746.0302 |
6.26% |
||
Current Performance of the Underlying Asset | 6.26% |
* For informational purposes only. Whether a Booster will be paid will depend only on the level of the Underlying Asset at maturity.
The materials and information on this page are for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy the relevant Notes