Delayed quote
Last quote
02/20/2024 -
16:00:00
|
Bid
- -
-
|
Bid Volume |
Ask
- -
-
|
Ask Volume |
---|---|---|---|---|
111.56 %
+1.60
(
+1.46% )
|
-
%
|
- |
-
%
|
- |
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 % |