| Last price paid | n.a. | |
| Change | -20.00% [ -0.01 ] | |
| Last traded volume | n.a. Unit | |
| Cumulative volume | n.a. Unit | |
| Date/time | n.a. n.a. | |
| Initial fixing date | 17.12.2025 |
| Settlement date | 29.12.2025 |
| Last trading | 20.02.2026 |
| Final fixing | 20.02.2026 |
| Currency redemption | CHF |
| Perf. since issue | -91.25% |
| Year to date (YTD) | -77.78% |
| 1 month | -83.33% |
| 3 months | n.a. |
| 1 year | n.a. |
| 3 years | n.a. |
| Issue price | 0.12 |
| Underlying price on issue | 5'730.92 |
| Premium | 0.00% |
| Premium p.a. | 0.18% |
| Leverage | 502.96 |
| Implied volatility | 0.03 |
| ISIN | CH1507467285 |
| Symbol | SX5ZGZ |
| Security | 150746728 |
| Exchange | SIX Structured Products |
| Currency | CHF |
| Expiry | 27.02.2026 |
| Underlying | EURO STOXX 50 Price EUR, EU0009658145 |
| Underlying ISIN | EU0009658145 |
| Strike | 6'100.00 |
| C/P type | call |
| Subscription ratio | 200.00 |
| Issuer | Zuercher Kantonalbank |
| Exercise type | European |
| Delivery of securities | Automatic |
| Minimum execution | 200 |
| Value day | 17.12.2025 |
| Premium | 0.34% |
| Premium p.a. | 17.82% |
| Leverage | 2'643.93 |
| Implied volatility | 2.61% |
| Moneyness | out-of-the-money |
| Leverage | 502.9552 |
| Delta | 0.1902 |
| Gamma | 0.0000 |
| Theta | -0.0026 |
| Rho | 0.0010 |
| Vega | 0.0104 |
| Fair value | 0.01 |
| Intrinsic value | n.a. |
| Break-even | 6'102.30 |
| SSPA value at risk | n.a. |
| SSPA risk rating | n.a. |
| SSPA derivative category | Leverage |
| SSPA code | Warrant (2100) |
| Name | Price |
|---|---|
| KUEHNE & NAGEL | 187.25 |
| SWISSCOM N | 671.50 |
| ZURICH INSURANCE | 570.80 |
| Alcon AG | 60.32 |
| Swiss Re | 132.30 |