Last price paid | 3.32 | |
Change | [ ] | |
Last traded volume | n.a. Unit | |
Cumulative volume | 3'000.00 Unit | |
Date/time | 30.06.2022 17:15 |
Fixing | |
Settlement date | |
Last trading | |
Final fixing | |
Currency redemption |
Perf. since issue | |
Year to date (YTD) | |
1 month | |
3 months | |
1 year | |
3 years |
Issue price | |
Underlying price on issue | |
Premium | |
Premium p.a. | |
Leverage | |
Implied volatility |
ISIN | |
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Security | |
Exchange | |
Currency | |
Expiry | |
Underlying | |
Underlying ISIN | |
Funding level | |
Stop-loss level | |
Distance to stop-loss level | |
Long/Short type | |
Subscription ratio | |
Issuer | |
Exercise type | |
Minimum execution | |
Value day |
Premium | |
Premium p.a. | |
Leverage | |
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Delta | |
Intrinsic value | |
Break-even | |
SSPA value at risk | |
SSPA risk rating |
SSPA derivative category | |
SSPA code | () |
Name | Price |
---|---|
Credit Suisse | 5.428 |
ZURICH INSURANCE | 415.10 |
Swiss Re | 73.90 |
CIE FIN RICHEMONT | 101.15 |
ABB Ltd | 25.33 |
Name | Price |
---|---|
NOVARTIS N | 79.20 |
Givaudan | 3'305.00 |
ROCHE GS | 314.90 |
SGS N | 2'160.00 |
Lonza Group | 503.20 |