PX1/NATIXIS 25
0034N
EUR
No chart data available
Market:
EPA
Closed
 
...
Delayed quote
Last quote
02/20/2024 - 16:00:00
Bid
- - -
Bid
Volume
Ask
- - -
Ask
Volume
111.56 %
+1.60 ( +1.46% )
- %
-
- %
-
More information
Essential data
Underlying quote
Last quote
Strike (distance %)
Product category
-
- ( - )
- -
- EUR (%)
-
Prospectus N.A

Master data

Issuer NATIXIS
Product PX1/NATIXIS 25
Domicile FR
Issue Date 06/03/2015
Maturity Date 09/10/2025
Last Listing Date -
Issue Volume -
Issue Price 100.00
Instr. Unit Nominal (par value/face value)
CCY EUR
ISIN FR0012674943
Valor 28318114
Symbol 0034N
Call by Holder No
Call by Issuer No

Important data

Strike -
Ratio
Instrument type Structured instruments

Main data

Last - 16:00:00 +111.56%
Close - 02/20/2024 +111.56%
Day Change % - - +1.46%
Day Change - - +1.60
Volume - - -
Turnover - - 345,836.00
Previous year close - 12/13/2023 +110.35%
YTD % - - +1.10%

Eusipa coding

Eusipa Category
EUSIPA Class
Product Class -

Difference trading

Open - - -
Bid - - -
Bid Size - - -
Ask - - -
Ask Size - - -

Difference price

Previous Day High 111.56  %
Previous Day Low 111.56  %