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SIX Swiss Exchange, Structured Products
Valuation USD 6,475.00
20.09.19 17:15:00
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Bid 6,475.00
23.09.19 09:27:36
Ask 6,825.00
23.09.19 09:27:36
Bid Vol. 10
Ask Vol. 10
Open ---
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Close 1,200.00
14.03.12
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Day low ---
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Value 10'216'134
ISIN GB00B6KSWD21
Type Derivative
Maturity 26.07.21
Termsheet
 
New order
Buy
Quantity
Sell Order creation
Detailed product info
Underlying
Devisen USD/JPY
Category
Leverage Products
Name
Warrant
Name
Volatility Certificate
Style
E
Strike price
0.16
Underlying Strike Price 1
0.16
Strike currency
JPY
Maturity date
26.07.2021
Ratio
1.00
Subtyp
Put
Issuer
Goldman Sachs
Termsheet
 
Premium
Premium PA
Break even
Gearing
Leverage (%)
Intrinsic value
Delta
Days to maturity
671
Spread (%)
5.26%
Spread average in (%)
5.27%
° Turnover CHF
0.00
Gamma
Rho
Vega
Theta 1 day
Theta 7 days
Listing date
02.08.2011
Exercise date
26.07.2021
Last trading date
26.07.2021
Management fees
Spread
Bid Size °
92'770.00
Ask Size °
75'270.00
Redemption Max
ImplVola Bid
ImplVola Ask
Underlying asset class
Currency
Underlying type
Single
Underlying sector
Underlying
No results
Close 31 Dec USD 5550
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Info
Name: SIX Swiss Exchange, Structured Products
Domicile: CH
URL: www.six-structured-products.com
Exchange code: 880
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