Delayed quote
Official
05/13/2024 -
18:35:00
|
Bid
- -
-
|
Bid Volume |
Ask
- -
-
|
Ask Volume |
---|---|---|---|---|
0.025
+0.005
(
+25.00% )
|
-
|
- |
-
|
- |
Essential data
Underlying quote
Last quote
|
Strike (distance %)
Product category
|
---|---|
8,209.28
-9.86
(
-0.12% )
05/13/2024 18:05:02 |
5,550.00
EUR (+32.39%)
Warrant Put
|
Prospectus | N.A |
Master data
Issuer | Goldman Sachs Bank Europe SE |
---|---|
Product | CAC40/GSB P-WT 24 |
Domicile | DE |
Issue Date | 08/11/2022 |
Maturity Date | 06/21/2024 |
Last Listing Date | - |
Issue Volume | 10,000,000 |
Issue Price | 4.17 |
Instr. Unit | Piece/unit |
CCY | EUR |
ISIN | DE000GK8XK02 |
Valor | 121002738 |
Symbol | 6QJ5H |
Call by Holder | No |
Call by Issuer | No |
Important data
Strike | 5,550.00 EUR |
---|---|
Ratio | 100:1 |
Instrument type | Leveraged products |
Type | Put |
Intrinsic Value | - |
Implied Vol | - |
Moneyness | - |
Gear | - |
Delta | - |
Gamma | - |
Vega | - |
Omega | - |
Rho | - |
Theta | - |
Break Even | - |
Main data
Last | - | 18:35:00 | 0.025 |
---|---|---|---|
Close | - | 05/13/2024 | 0.025 |
Day Change % | - | - | +25.00% |
Day Change | - | - | +0.005 |
Volume | - | - | - |
Turnover | - | - | 7,860.00 |
Previous year close | - | 12/29/2023 | 0.235 |
YTD % | - | - | -89.36% |
Eusipa coding
Eusipa Category | Leverage without Knock-Out |
---|---|
EUSIPA Class | Warrant (2100) |
Product Class | Warrant Put |
Difference trading
Open | - | - | - |
---|---|---|---|
Bid | - | - | - |
Bid Size | - | - | - |
Ask | - | - | - |
Ask Size | - | - | - |
Difference price
Previous Day High | 0.045 |
---|---|
Previous Day Low | 0.02 |