SIX Structured Products | Bid | Ask | Notation | |
---|---|---|---|---|
Please note that data is only available after start of trading. |
Closing prev. day | 2.950 | ||||
Diff. absolute / % | 0.14 | +5.04% |
Last Price | 1.430 | Volume | 3,000 | |
Time | 15:26:20 | Date | 29/10/2024 |
Details | Underlying | Payment profile | Risk Indicator | Information & Tools | Similar Products |
Name | Call-Warrant |
ISIN | CH1338517225 |
Valor | 133851722 |
Symbol | PLTZMZ |
Strike | 32.00 USD |
Type | Warrants |
Type | Bull |
Ratio | 10.00 |
SVSP Code | 2100 |
COSI Product | No |
Exercise type | American |
Currency | Swiss Franc |
First Trading Date | 12/07/2024 |
Date of maturity | 27/06/2025 |
Last trading day | 20/06/2025 |
Settlement Type | Cash payout |
IRS 871m | Potentially in scope for combined transactions |
Currency safeguarded | No |
Pricing | Clean |
Issuer | Zürcher Kantonalbank |
Leverage | 1.95 |
Delta | 0.91 |
Gamma | 0.00 |
Vega | 0.08 |
Distance to Strike | -29.84 |
Distance to Strike in % | -48.25% |
Average Spread | 0.35% |
Last Best Bid Price | 2.77 CHF |
Last Best Ask Price | 2.78 CHF |
Last Best Bid Volume | 50,000 |
Last Best Ask Volume | 50,000 |
Average Buy Volume | 50,000 |
Average Sell Volume | 50,000 |
Average Buy Value | 143,073 CHF |
Average Sell Value | 143,573 CHF |
Spreads Availability Ratio | 98.53% |
Quote Availability | 98.53% |