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ZKB Put Warrant auf
EUR/CHF

ISIN: CH1338506178 Security: 133850617 Symbol: EURYYZ Life cycle
Secondary market

Bid Price 0.35

Ask Price 0.36

Currency CHF

Exchange SIX Structured Products

Volume 150'000.00

Volume 150'000.00

Date/time (delayed) 21.06.2024 05:15:01

Sell Buy 

Product Download

Security PDF for download Publication date
Termsheet 24.05.2024
Key Information Document DE 24.05.2024
Key Information Document EN 24.05.2024
Key Information Document FR 24.05.2024
Key Information Document IT 24.05.2024

Price data

  Bid Ask
Price 0.35 0.36
Volume 150'000.00 150'000.00
Date/time 21.06.24 17:15 21.06.24 17:15

Current data

Last price paid 0.36
Change -2.70% [ -0.01 ]
Last traded volume n.a. Unit
Cumulative volume n.a. Unit
Date/time 21.06.2024 17:20

Life cycle

Fixing19.12.2025
Settlement date31.05.2024
Last trading19.12.2025
Final fixing19.12.2025
Currency redemptionCHF

Performance

Perf. since issue +77.50%
Year to date (YTD) n.a.
1 month n.a.
3 months n.a.
1 year n.a.
3 years n.a.

Key figures on issue

Issue price0.20
Underlying price on issue0.99
Premium0.40%
Premium p.a.0.25%
Leverage1.73
Implied volatility0.84

Reference data

ISIN CH1338506178
Symbol EURYYZ
Security 133850617
Exchange SIX Structured Products
Currency CHF
Expiry 30.12.2025
Underlying EUR/CHF, EU0009654078
Underlying ISIN EU0009654078
Strike 0.93
C/P type put
Subscription ratio 0.10
Issuer Zürcher Kantonalbank
Exercise type European
Delivery of securities Automatic
Minimum execution 0.1
Value day 24.05.2024

Key figures

Premium 39.81%
Premium p.a. 24.55%
Leverage 2.69
Implied volatility 83.75%
Moneyness out-of-the-money
Leverage 1.7343
Delta -0.6748
Gamma 0.0711
Theta -0.0003
Rho -0.0099
Vega 0.0040
Fair value 0.36
Intrinsic value n.a.
Break-even 0.58
SSPA value at risk n.a.
SSPA risk rating n.a.

Product type

SSPA derivative category Leverage
SSPA code Warrant (2100)

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