What happens at the end of the Structured Product term?
At the end of the term, the Structured Product will be redeemed. This means that we will automatically sell the Investment Note and credit your stockbrokers account with the payout you are due. If you want the cash to be withdrawn from your stockbrokers account, you just need to give us that instruction over the phone or use our online cash management service.
It will be paid to your stockbrokers account on the redemption date or when you choose to sell the Structured Product.