Symbol
|
RAMALV | RAMABV |
---|---|---|
Name | Reverse Convertible | Reverse Convertible |
Underlying
|
AMS-OSRAM AG | AMS-OSRAM AG |
Issuer
|
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Date of maturity
|
04.08.2025 | 30.12.2025 |
Ratio | 0.000619 | 0.000257 |
Strike price
|
6.193 | 5.132 |
Max. yield p.a. | 46.50% | 24.49% |
Bid | 97.00 | 95.40 |
Ask | 98.90 | 97.30 |