Put-Warrant

Symbol: EURJGZ
Underlyings: Devisen EUR/USD
ISIN: CH1305138237
Issuer:
Zürcher Kantonalbank
Trade

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SIX Structured Products trading

SIX Structured Products Bid Ask Notation
Price Time-delayed price
22.11.24
10:48:00
0.350
0.360
CHF
Volume
175,000
175,000

Performance

Closing prev. day 0.270
Diff. absolute / % 0.04 +14.81%

Determined prices

Last Price - Volume -
Time - Date -

More Product Information

Core Data

Name Put-Warrant
ISIN CH1305138237
Valor 130513823
Symbol EURJGZ
Strike 1.08 USD
Type Warrants
Type Bear
Ratio 0.10
SVSP Code 2100
COSI Product No
Exercise type European
Currency Swiss Franc
First Trading Date 22/02/2024
Date of maturity 31/12/2024
Last trading day 20/12/2024
Settlement Type Cash payout
IRS 871m Not applicable
Currency safeguarded No
Pricing Dirty
Issuer Zürcher Kantonalbank

Underlyings

Name Devisen EUR/USD
ISIN EU0009652759
Price 1.0391
Date 22/11/24 11:08
Ratio 0.10

Key data

Implied volatility 0.08%
Leverage 30.74
Delta -0.85
Gamma 8.63
Vega 0.00
Distance to Strike -0.03
Distance to Strike in % -3.13%

market maker quality Date: 20/11/2024

Average Spread 4.16%
Last Best Bid Price 0.26 CHF
Last Best Ask Price 0.27 CHF
Last Best Bid Volume 200,000
Last Best Ask Volume 200,000
Average Buy Volume 222,554
Average Sell Volume 222,554
Average Buy Value 52,393 CHF
Average Sell Value 54,619 CHF
Spreads Availability Ratio 100.00%
Quote Availability 100.00%

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