Redemption at maturity: if all indices ≥65% of initial, pay 131.20% (annual 10.40%); otherwise principal loss proportional to worst index (up to total loss)
Subscription period: 2026.05.22~2026.06.01, payment date 2026.06.02
Issuance may be cancelled if total subscription amount is less than KRW 300mn
Not listed; early redemption at ≥95% of fair value (≥90% within first 6 months)