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Pin to quick picksWt Wticruoil3x Regulatory News (3LOI)

Share Price Information for Wt Wticruoil3x (3LOI)

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Share Price: 3,027.00
Bid: 3,031.00
Ask: 3,037.00
Change: -9.00 (-0.30%)
Spread: 6.00 (0.198%)
Open: 3,117.00
High: 3,117.00
Low: 3,027.00
Prev. Close: 3,036.00
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NOTIFICATION OF CHANGE IN THE INDEX OF THE AFFECTED SECURITIES

17 Dec 2021 12:56

NOTIFICATION OF CHANGE IN THE INDEX OF THE AFFECTED SECURITIES

17 December 2021

LEI: 2138003QW2ZAYZODBU23

WISDOMTREE MULTI ASSET ISSUER PUBLIC LIMITED COMPANY (THE “ISSUER”)(a public company incorporated with limited liability in Ireland)

(1) WISDOMTREE FTSE 100 2X DAILY LEVERAGED (ISIN: IE00B94QKC83)(2) WISDOMTREE FTSE 100 3X DAILY LEVERAGED (ISIN: IE00B88D2999)(3) WISDOMTREE FTSE 250 2X DAILY LEVERAGED (ISIN: IE00B94QKJ52)(TOGETHER THE “GBP LIBOR AFFECTED SECURITIES”)

(4) WISDOMTREE FTSE MIB 3X DAILY LEVERAGED (ISIN: IE00B8NB3063)(5) WISDOMTREE FTSE MIB 3X DAILY SHORT (ISIN: IE00B873CW36)(TOGETHER THE “EONIA AFFECTED SECURITIES” AND TOGETHER WITH THE GBP LIBOR AFFECTED SECURITIES, THE “AFFECTED SECURITIES”)

NOTIFICATION OF CHANGE IN THE INDEX OF THE AFFECTED SECURITIES

Terms not defined in this notice shall have the meaning ascribed to them in the Issuer’s Base Prospectus dated 2 November 2021.

The Index Provider in respect of the Affected Securities is FTSE Russell (the “Affected Securities Index Provider”).

The Issuer wishes to notify holders of the Affected Securities that it has been notified by the Affected Securities Index Provider that in consideration of the upcoming discontinuation of:

(1) GBP London Interbank Offered Rate (GBP LIBOR), the Affected Securities Index Provider on 22 November 2021 switched the rate used in the Index of the GBP LIBOR Affected Products from GBP LIBOR to Sterling OverNight Index Average (SONIA); and

(2) Euro OverNight Index Average (EONIA), the Affected Securities Index Provider will on 3 January 2022 switch the rate used in the Index of the EONIA Affected Products from EONIA to Euro Short-Term Rate (€STR), introduced by the ECB;

The Issuer refers holders of the Affected Securities to the following document issued by the Affected Securities Index Provider in respect of the Affected Securities: https://research.ftserussell.com/products/downloads/FTSE_Daily_Leveraged_Indices.pdf

The Issuer refers holders of the Affected Securities to the Risk Factors set out on page 19 (The actions of the Index Sponsor, including any change in the composition or discontinuance of an Index, could adversely affect the market value of the ETP Securities referencing such Index) and page 35 (Regulation and reform of benchmarks, including LIBOR, EURIBOR and other interest rate, commodity, foreign exchange rate and other type of benchmarks) in the Prospectus.

For further information, please contact: europesupport@wisdomtree.com

Date   Source Headline
17th Sep 20198:17 amGNWBoost Issuer PLC - Daily Fund Prices
16th Sep 20198:07 amGNWBoost Issuer PLC - Daily Fund Prices
13th Sep 20194:57 pmGNWNotice in Respect of Compulsory Redemptions
13th Sep 20192:38 pmGNWNotice in Respect of Compulsory Redemptions
13th Sep 201910:51 amGNWNotice in Respect of Issuer and Product Name Changes and Compulsory Redemptions
13th Sep 20198:41 amGNWBoost Issuer PLC - Daily Fund Prices
12th Sep 20198:14 amGNWBoost Issuer PLC - Daily Fund Prices
11th Sep 20198:15 amGNWBoost Issuer PLC - Daily Fund Prices
10th Sep 20198:24 amGNWBoost Issuer PLC - Daily Fund Prices
9th Sep 20199:01 amGNWBoost Issuer PLC - Daily Fund Prices
6th Sep 20198:12 amGNWBoost Issuer PLC - Daily Fund Prices
5th Sep 20198:18 amGNWBoost Issuer PLC - Daily Fund Prices
4th Sep 20198:16 amGNWBoost Issuer PLC - Daily Fund Prices
3rd Sep 20198:15 amGNWBoost Issuer PLC - Daily Fund Prices
2nd Sep 20198:19 amGNWBoost Issuer PLC - Daily Fund Prices
30th Aug 20198:10 amGNWBoost Issuer PLC - Daily Fund Prices
29th Aug 20198:26 amGNWBoost Issuer PLC - Daily Fund Prices
28th Aug 20198:03 amGNWBoost Issuer PLC - Daily Fund Prices
27th Aug 20196:42 amGNWBoost Issuer PLC - Daily Fund Prices
26th Aug 20199:27 amGNWBoost Issuer PLC - Daily Fund Prices
23rd Aug 20198:07 amGNWBoost Issuer PLC - Daily Fund Prices
22nd Aug 20198:01 amGNWBoost Issuer PLC - Daily Fund Prices
21st Aug 20198:18 amGNWBoost Issuer PLC - Daily Fund Prices
20th Aug 20198:25 amGNWBoost Issuer PLC - Daily Fund Prices
19th Aug 20198:54 amGNWBoost Issuer PLC - Daily Fund Prices
16th Aug 20198:19 amGNWBoost Issuer PLC - Daily Fund Prices
15th Aug 20198:11 amGNWBoost Issuer PLC - Daily Fund Prices
14th Aug 20198:14 amGNWBoost Issuer PLC - Daily Fund Prices
13th Aug 20198:19 amGNWBoost Issuer PLC - Daily Fund Prices
9th Aug 20197:16 amGNWBoost Issuer PLC - Daily Fund Prices
8th Aug 20197:41 amGNWBoost Issuer PLC - Daily Fund Prices
7th Aug 20197:28 amGNWBoost Issuer PLC - Daily Fund Prices
6th Aug 20198:09 amGNWBoost Issuer PLC - Daily Fund Prices
5th Aug 20198:12 amGNWBoost Issuer PLC - Daily Fund Prices
2nd Aug 20198:10 amGNWBoost Issuer PLC - Daily Fund Prices
1st Aug 20198:23 amGNWBoost Issuer PLC - Daily Fund Prices
31st Jul 201911:26 amGNWChange of Name
31st Jul 20198:14 amGNWBoost Issuer PLC - Daily Fund Prices
30th Jul 20198:22 amGNWBoost Issuer PLC - Daily Fund Prices
29th Jul 20197:59 amGNWBoost Issuer PLC - Daily Fund Prices
26th Jul 20197:55 amGNWBoost Issuer PLC - Daily Fund Prices
25th Jul 20197:53 amGNWBoost Issuer PLC - Daily Fund Prices
24th Jul 20198:33 amGNWBoost Issuer PLC - Daily Fund Prices
23rd Jul 20198:11 amGNWBoost Issuer PLC - Daily Fund Prices
22nd Jul 20198:33 amGNWBoost Issuer PLC - Daily Fund Prices
19th Jul 20198:18 amGNWBoost Issuer PLC - Daily Fund Prices
18th Jul 20198:02 amGNWBoost Issuer PLC - Daily Fund Prices
17th Jul 20196:10 amGNWBoost Issuer PLC - Daily Fund Prices
16th Jul 20198:15 amGNWBoost Issuer PLC - Daily Fund Prices
15th Jul 20197:41 amGNWBoost Issuer PLC - Daily Fund Prices

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