| Terms | 
|---|
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Redemption at the option of the Issuer (aka Issuer Call Option)/Optional Redemption Amount(s)// | 
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Redemption at the option of the Issuer (aka Issuer Call Option)/Optional Redemption Amount(s)/Structured Notes/ | 
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Residual Maturity Redemption Option/Optional Redemption Amount(s)// | 
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Clean-up Redemption Option/Optional Redemption Amount(s)// | 
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Redemption at the Option of the Noteholders/Optional Redemption Amount(s)// | 
| PART A - CONTRACTUAL TERMS/PROVISIONS RELATING TO REDEMPTION/Redemption at the Option of the Issuer/Optional Redemption Amount(s) of each Note// | 
Documentation
        Tags
        - Issuer
- Investor
- Structured Products
- CAST specific components
- CAST based on BDT
1.5.2.3
    Optional Redemption Amount
Last update, October 28
        Standards
| Framework | Path | Description | 
|---|---|---|
| bdt | Optional Redemption Amount [BDT.attribute.optional]Issuance/Issuance/OptionalRedemptionAmount/Optional Redemption Amount |