Ticker Price Underly. Quote U. S-Type Issuer Strike Maturity Ratio Premium p.a. Dist. S1 % Lever. % ø-Spr. 5d ø-Turn. 5d TS
ALZJJB 0.02 Allianz SE 200.98 Put Bank Julius Bär 115.00 18.09.2020 60.00 2,675.22% 38.52 0.00% 66.67% 0.00
 
ALZDJB 0.02 Allianz SE 200.98 Put Bank Julius Bär 130.00 18.09.2020 60.00 1,426.53% 30.50 0.00% 66.67% 0.00
 
ALVRJB 0.28 Allianz SE 200.98 Put Bank Julius Bär 190.00 18.09.2020 30.00 29.58% -1.57 13.40% 2.20% 0.00
 
ALVPJB 0.51 Allianz SE 200.98 Put Bank Julius Bär 215.00 18.09.2020 60.00 2.95% -14.94 7.06% 1.57% 0.00
 
ALVOJB 0.10 Allianz SE 200.98 Put Bank Julius Bär 160.00 18.12.2020 60.00 58.60% 14.47 4.31% 7.46% 0.00
 
ALVKJB 0.02 Allianz SE 200.98 Put Bank Julius Bär 150.00 18.09.2020 60.00 548.46% 19.81 0.09% 35.43% 0.00
 
ALVIJB 0.19 Allianz SE 200.98 Put Bank Julius Bär 180.00 18.12.2020 60.00 29.54% 3.77 6.70% 3.95% 0.00
 
ALVHJB 0.04 Allianz SE 200.98 Put Bank Julius Bär 170.00 18.09.2020 60.00 168.60% 9.12 3.53% 13.68% 0.00
 
ALVCJB 0.04 Allianz SE 200.98 Put Bank Julius Bär 122.00 18.12.2020 60.00 141.35% 34.78 0.12% 26.03% 0.00
 
ALVAJB 0.06 Allianz SE 200.98 Put Bank Julius Bär 140.00 18.12.2020 60.00 98.21% 25.16 1.12% 14.71% 0.00