Remuneration of structured deposits

Characteristics of deposit

Name of deposit Invest Gestoras de Ativos Nov-15
Institution BANCO INVEST, SA
Start date 30-11-2015
Maturity date 06-06-2017
Term 1.5 years
Underlying market Shares
Currency EUR
Document Invest Gestoras de Ativos Nov-15.pdf

Remuneration of deposit

Rate of return on maturity date

Rate of return 0,325%