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TLNG SILV VT144

  • Symbol TLNG SILV VT144
  • ISIN DE000VP1EEN0
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Size
Ask
Size
CurrencySEK
Price on
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Silver (Troy Ounce)USD 
Please note that this is an indication.

Documents

Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5137

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 30.09.2022

Frankfurt, 30.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5126

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.09.2022

Frankfurt, 29.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5114

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.09.2022

Frankfurt, 28.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5103

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.09.2022

Frankfurt, 27.09.2022
Vontobel Financial Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5092

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.09.2022

Frankfurt, 26.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5058

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.09.2022

Frankfurt, 23.09.2022
Vontobel Financial Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5047

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.09.2022

Frankfurt, 22.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5036

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.09.2022

Frankfurt, 21.09.2022
Vontobel Financial Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5025

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.09.2022

Frankfurt, 20.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.5014

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.09.2022

Frankfurt, 19.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.498

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.09.2022

Frankfurt, 16.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4969

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.09.2022

Frankfurt, 15.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4958

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.09.2022

Frankfurt, 14.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4947

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.09.2022

Frankfurt, 13.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4935

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.09.2022

Frankfurt, 12.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4902

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.09.2022

Frankfurt, 09.09.2022
Vontobel Financial Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4891

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.09.2022

Frankfurt, 08.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.488

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.09.2022

Frankfurt, 07.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4868

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.09.2022

Frankfurt, 06.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4857

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.09.2022

Frankfurt, 05.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4824

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.09.2022

Frankfurt, 02.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4813

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.09.2022

Frankfurt, 01.09.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4801

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 31.08.2022

Frankfurt, 31.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.479

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 30.08.2022

Frankfurt, 30.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4779

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.08.2022

Frankfurt, 29.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4746

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.08.2022

Frankfurt, 26.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4734

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.08.2022

Frankfurt, 25.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4723

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.08.2022

Frankfurt, 24.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4712

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.08.2022

Frankfurt, 23.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4701

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.08.2022

Frankfurt, 22.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4668

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.08.2022

Frankfurt, 19.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4656

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.08.2022

Frankfurt, 18.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4645

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.08.2022

Frankfurt, 17.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4634

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.08.2022

Frankfurt, 16.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4623

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.08.2022

Frankfurt, 15.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.459

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.08.2022

Frankfurt, 12.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4578

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.08.2022

Frankfurt, 11.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4567

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.08.2022

Frankfurt, 10.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4556

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.08.2022

Frankfurt, 09.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4545

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.08.2022

Frankfurt, 08.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4512

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.08.2022

Frankfurt, 05.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.45

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.08.2022

Frankfurt, 04.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4489

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.08.2022

Frankfurt, 03.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4478

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.08.2022

Frankfurt, 02.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4467

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.08.2022

Frankfurt, 01.08.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4434

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.07.2022

Frankfurt, 29.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4423

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.07.2022

Frankfurt, 28.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4411

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.07.2022

Frankfurt, 27.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.44

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.07.2022

Frankfurt, 26.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4389

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.07.2022

Frankfurt, 25.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4356

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.07.2022

Frankfurt, 22.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4345

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.07.2022

Frankfurt, 21.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4334

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.07.2022

Frankfurt, 20.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4323

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.07.2022

Frankfurt, 19.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4311

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.07.2022

Frankfurt, 18.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4278

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.07.2022

Frankfurt, 15.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4267

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.07.2022

Frankfurt, 14.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4256

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.07.2022

Frankfurt, 13.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4245

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.07.2022

Frankfurt, 12.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4234

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.07.2022

Frankfurt, 11.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.42

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.07.2022

Frankfurt, 08.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4189

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.07.2022

Frankfurt, 07.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4178

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.07.2022

Frankfurt, 06.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4167

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.07.2022

Frankfurt, 05.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4156

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.07.2022

Frankfurt, 04.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4123

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.07.2022

Frankfurt, 01.07.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4112

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 30.06.2022

Frankfurt, 30.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.41

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.06.2022

Frankfurt, 29.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4089

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.06.2022

Frankfurt, 28.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4078

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.06.2022

Frankfurt, 27.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4045

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.06.2022

Frankfurt, 24.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4034

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.06.2022

Frankfurt, 23.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4023

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.06.2022

Frankfurt, 22.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4012

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.06.2022

Frankfurt, 21.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.4001

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.06.2022

Frankfurt, 20.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3967

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.06.2022

Frankfurt, 17.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3956

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.06.2022

Frankfurt, 16.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3945

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.06.2022

Frankfurt, 15.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3934

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.06.2022

Frankfurt, 14.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3923

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.06.2022

Frankfurt, 13.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.389

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.06.2022

Frankfurt, 10.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3879

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.06.2022

Frankfurt, 09.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3868

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.06.2022

Frankfurt, 08.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3857

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.06.2022

Frankfurt, 07.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3846

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.06.2022

Frankfurt, 06.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3812

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.06.2022

Frankfurt, 03.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3801

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.06.2022

Frankfurt, 02.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.379

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.06.2022

Frankfurt, 01.06.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3779

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 31.05.2022

Frankfurt, 31.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3768

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 30.05.2022

Frankfurt, 30.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3735

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.05.2022

Frankfurt, 27.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3724

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.05.2022

Frankfurt, 26.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3713

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.05.2022

Frankfurt, 25.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3702

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.05.2022

Frankfurt, 24.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3691

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.05.2022

Frankfurt, 23.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3658

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.05.2022

Frankfurt, 20.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3647

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.05.2022

Frankfurt, 19.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3636

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.05.2022

Frankfurt, 18.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3625

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.05.2022

Frankfurt, 17.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3613

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.05.2022

Frankfurt, 16.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.358

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.05.2022

Frankfurt, 13.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3569

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.05.2022

Frankfurt, 12.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3558

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.05.2022

Frankfurt, 11.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3558

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.05.2022

Frankfurt, 11.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3547

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.05.2022

Frankfurt, 10.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3536

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.05.2022

Frankfurt, 09.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3503

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.05.2022

Frankfurt, 06.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3492

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.05.2022

Frankfurt, 05.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3481

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.05.2022

Frankfurt, 04.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.347

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.05.2022

Frankfurt, 03.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3459

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.05.2022

Frankfurt, 02.05.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3426

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.04.2022

Frankfurt, 29.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3415

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.04.2022

Frankfurt, 28.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3404

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.04.2022

Frankfurt, 27.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3393

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.04.2022

Frankfurt, 26.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3382

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.04.2022

Frankfurt, 25.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3349

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.04.2022

Frankfurt, 22.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3338

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.04.2022

Frankfurt, 21.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3327

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.04.2022

Frankfurt, 20.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3316

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.04.2022

Frankfurt, 19.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3305

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.04.2022

Frankfurt, 18.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3272

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.04.2022

Frankfurt, 15.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3261

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.04.2022

Frankfurt, 14.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.325

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.04.2022

Frankfurt, 13.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3239

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.04.2022

Frankfurt, 12.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3228

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.04.2022

Frankfurt, 11.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3195

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.04.2022

Frankfurt, 08.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3184

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.04.2022

Frankfurt, 07.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3173

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.04.2022

Frankfurt, 06.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3162

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.04.2022

Frankfurt, 05.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3151

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.04.2022

Frankfurt, 04.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3118

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.04.2022

Frankfurt, 01.04.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3107

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 31.03.2022

Frankfurt, 31.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3096

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 30.03.2022

Frankfurt, 30.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3085

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 29.03.2022

Frankfurt, 29.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3074

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.03.2022

Frankfurt, 28.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3041

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.03.2022

Frankfurt, 25.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.303

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.03.2022

Frankfurt, 24.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3019

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.03.2022

Frankfurt, 23.03.2022
Vontobel Finanical Products GmbH
Official Notice

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product: TLNG SILV VT144
ISIN: DE000VP1EEN0
Valor: 53564547

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Strike/Knock-out Level: USD 11.3008

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XC0009653103
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.03.2022

Frankfurt, 22.03.2022
Vontobel Finanical Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2997
Strike: USD 11.2997

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.03.2022

Frankfurt am Main, 21.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2964
Strike: USD 11.2964

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.03.2022

Frankfurt am Main, 18.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2953
Strike: USD 11.2953

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.03.2022

Frankfurt am Main, 17.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2942
Strike: USD 11.2942

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.03.2022

Frankfurt am Main, 16.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2931
Strike: USD 11.2931

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.03.2022

Frankfurt am Main, 15.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.292
Strike: USD 11.292

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.03.2022

Frankfurt am Main, 14.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2887
Strike: USD 11.2887

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.03.2022

Frankfurt am Main, 11.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2876
Strike: USD 11.2876

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.03.2022

Frankfurt am Main, 10.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2865
Strike: USD 11.2865

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.03.2022

Frankfurt am Main, 09.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2854
Strike: USD 11.2854

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.03.2022

Frankfurt am Main, 08.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2843
Strike: USD 11.2843

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.03.2022

Frankfurt am Main, 07.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.281
Strike: USD 11.281

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.03.2022

Frankfurt am Main, 04.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2799
Strike: USD 11.2799

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.03.2022

Frankfurt am Main, 03.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2788
Strike: USD 11.2788

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.03.2022

Frankfurt am Main, 02.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2777
Strike: USD 11.2777

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.03.2022

Frankfurt am Main, 01.03.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2766
Strike: USD 11.2766

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.02.2022

Frankfurt am Main, 28.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2733
Strike: USD 11.2733

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.02.2022

Frankfurt am Main, 25.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2722
Strike: USD 11.2722

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.02.2022

Frankfurt am Main, 24.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2711
Strike: USD 11.2711

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 23.02.2022

Frankfurt am Main, 23.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.27
Strike: USD 11.27

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 22.02.2022

Frankfurt am Main, 22.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2689
Strike: USD 11.2689

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.02.2022

Frankfurt am Main, 21.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2657
Strike: USD 11.2657

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.02.2022

Frankfurt am Main, 18.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2646
Strike: USD 11.2646

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.02.2022

Frankfurt am Main, 17.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2635
Strike: USD 11.2635

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 16.02.2022

Frankfurt am Main, 16.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2624
Strike: USD 11.2624

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 15.02.2022

Frankfurt am Main, 15.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2613
Strike: USD 11.2613

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.02.2022

Frankfurt am Main, 14.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.258
Strike: USD 11.258

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.02.2022

Frankfurt am Main, 11.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2569
Strike: USD 11.2569

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.02.2022

Frankfurt am Main, 10.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2558
Strike: USD 11.2558

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 09.02.2022

Frankfurt am Main, 09.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2547
Strike: USD 11.2547

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 08.02.2022

Frankfurt am Main, 08.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2536
Strike: USD 11.2536

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.02.2022

Frankfurt am Main, 07.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2503
Strike: USD 11.2503

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.02.2022

Frankfurt am Main, 04.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2492
Strike: USD 11.2492

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.02.2022

Frankfurt am Main, 03.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2482
Strike: USD 11.2482

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 02.02.2022

Frankfurt am Main, 02.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2471
Strike: USD 11.2471

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 01.02.2022

Frankfurt am Main, 01.02.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.246
Strike: USD 11.246

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 31.01.2022

Frankfurt am Main, 31.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2427
Strike: USD 11.2427

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 28.01.2022

Frankfurt am Main, 28.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2416
Strike: USD 11.2416

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 27.01.2022

Frankfurt am Main, 27.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2405
Strike: USD 11.2405

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 26.01.2022

Frankfurt am Main, 26.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2394
Strike: USD 11.2394

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 25.01.2022

Frankfurt am Main, 25.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2383
Strike: USD 11.2383

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 24.01.2022

Frankfurt am Main, 24.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.235
Strike: USD 11.235

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 21.01.2022

Frankfurt am Main, 21.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2339
Strike: USD 11.2339

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 20.01.2022

Frankfurt am Main, 20.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2329
Strike: USD 11.2329

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 19.01.2022

Frankfurt am Main, 19.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2318
Strike: USD 11.2318

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 18.01.2022

Frankfurt am Main, 18.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2307
Strike: USD 11.2307

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 17.01.2022

Frankfurt am Main, 17.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2274
Strike: USD 11.2274

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 14.01.2022

Frankfurt am Main, 14.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2263
Strike: USD 11.2263

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 13.01.2022

Frankfurt am Main, 13.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2252
Strike: USD 11.2252

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 12.01.2022

Frankfurt am Main, 12.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2241
Strike: USD 11.2241

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 11.01.2022

Frankfurt am Main, 11.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.223
Strike: USD 11.223

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 10.01.2022

Frankfurt am Main, 10.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2198
Strike: USD 11.2198

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 07.01.2022

Frankfurt am Main, 07.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2187
Strike: USD 11.2187

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 06.01.2022

Frankfurt am Main, 06.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2176
Strike: USD 11.2176

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 05.01.2022

Frankfurt am Main, 05.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2165
Strike: USD 11.2165

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 04.01.2022

Frankfurt am Main, 04.01.2022
Vontobel Financial Products GmbH
Announcement

Issuer: Vontobel Financial Products GmbH, Frankfurt am Main
Product name: TLNG SILV VT144
Symbol: TLNG SILV VT144
ISIN: DE000VP1EEN0

ADJUSTMENT OF PRODUCT FEATURES

The following product features were adjusted on the due date:

Knock-Out Barrier: USD 11.2154
Strike: USD 11.2154

FURTHER INFORMATION
Underlying: Silver (Troy Ounce)
Underlying ISIN: XD0002747208
Underlying Bloomberg Ticker: SILV Comdty
Financing Spread: 3.50%
Stop-Loss Buffer: 0.00%
Reference interest rate: 0.00%

Due date: 03.01.2022

Frankfurt am Main, 03.01.2022
Vontobel Financial Products GmbH
TypeDateTitle
Rule-based Parameter Adjustment30/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/09/2022Adjustment of Product Features
Rule-based Parameter Adjustment31/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment30/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/08/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/07/2022Adjustment of Product Features
Rule-based Parameter Adjustment30/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/06/2022Adjustment of Product Features
Rule-based Parameter Adjustment31/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment30/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/05/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/04/2022Adjustment of Product Features
Rule-based Parameter Adjustment31/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment30/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment29/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/03/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment23/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment22/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment16/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment15/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment09/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment08/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment02/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment01/02/2022Adjustment of Product Features
Rule-based Parameter Adjustment31/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment28/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment27/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment26/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment25/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment24/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment21/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment20/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment19/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment18/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment17/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment14/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment13/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment12/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment11/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment10/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment07/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment06/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment05/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment04/01/2022Adjustment of Product Features
Rule-based Parameter Adjustment03/01/2022Adjustment of Product Features