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6 products found. Displaying 1 to 6 of 6
Potential interest of 10.50% (5.25% p.a.), paid if the FTSE 100 closes at or above its Start Level at maturity. Otherwise, no interest is paid.
| Type of product: |
Growth |
| Underlying: |
FTSE 100 Index |
| Return: |
Potential interest of 10.50%, paid at maturity |
| Maximum Return: |
10.50% |
| Capital at risk? |
No |
|
| Term: |
2 years |
| Counterparty: |
Royal Bank of Canada |
| Summary Risk Indicator: |
2 |
| Closing date: |
29 May 2026 |
|
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Potential interest of 33.40% (5.57% p.a.), paid if the FTSE 100 closes at or above 80% of its Start Level at maturity. Otherwise, the minimum interest of 16.70% (2.78% p.a.) is paid.
| Type of product: |
Growth |
| Underlying: |
FTSE 100 Index |
| Return: |
Maximum: 33.40% | Minimum: 16.70% |
| Maximum Return: |
33.40% |
| Capital at risk? |
No |
|
| Term: |
6 years |
| Counterparty: |
Royal Bank of Canada |
| Summary Risk Indicator: |
2 |
| Closing date: |
19 Jun 2026 |
|
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Opportunity for a return equal to 9.4% p.a. and early maturity, depending on the performance of the FTSE 100 and EURO STOXX 50. Capital is at risk if either index closes below 65% of its Start Level at maturity.
| Type of product: |
Growth |
| Underlying: |
FTSE 100 Index and EURO STOXX 50 Index |
| Return: |
Potential 9.4% p.a. for each year that's passed since the Start Date (paid at maturity) |
| Kick Out Barrier: |
90% |
| Capital at Risk Barrier: |
65% European |
|
| Term: |
5 years |
| Counterparty: |
Natixis |
| Summary Risk Indicator: |
4 |
| Closing date: |
30 Jun 2026 |
|
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Fixed monthly income payments of 0.50% (6% p.a.). Capital at risk if the FTSE 100 closes below 65% of its Start Level at maturity.
| Type of product: |
Income |
| Underlying: |
FTSE 100 Index |
| Income: |
0.50% per month (6% p.a.) fixed. |
| Income Barrier: |
N/A |
| Kick Out Barrier: |
N/A |
| Capital at Risk Barrier: |
65% European |
|
| Term: |
6 years |
| Counterparty: |
Morgan Stanley |
| Summary Risk Indicator: |
3 |
| Closing date: |
03 Jul 2026 |
|
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Opportunity for a return equal to 10.40% p.a. and early maturity, depending on the performance of the FTSE 100 and EURO STOXX 50. Capital is at risk if either index closes below 65% of its Start Level at maturity.
| Type of product: |
Growth |
| Underlying: |
FTSE 100 Index and EURO STOXX 50 Index |
| Return: |
Potential 10.40% p.a. for each year that's passed since the Start Date (paid at maturity) |
| Kick Out Barrier: |
100% | 100% | 95% | 85% |
| Capital at Risk Barrier: |
65% European |
|
| Term: |
5 years |
| Counterparty: |
Morgan Stanley |
| Summary Risk Indicator: |
5 |
| Closing date: |
03 Jul 2026 |
|
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Opportunity for a return equal to 10% p.a. and early maturity, depending on the performance of the S&P 500 and EURO STOXX 50. Capital is at risk if either index closes below 65% of its Start Level at maturity.
| Type of product: |
Growth |
| Underlying: |
S&P 500 Index and EURO STOXX 50 Index |
| Return: |
Potential 10% a year that's passed since the Start Date, paid when the Plan matures |
| Kick Out Barrier: |
105% | 105% | 100% | 95% | 90% | 85% | 70% |
| Capital at Risk Barrier: |
65% European |
|
| Term: |
7 years |
| Counterparty: |
Credit Agricole |
| Summary Risk Indicator: |
5 |
| Closing date: |
03 Jul 2026 |
|
View product details
6 products found. Displaying 1 to 6 of 6