Real-time Bid/Ask 07:46:11 04/07/2024 pm IST | ||
0.045 EUR / 0.055 EUR | +316.67% |
|
Current month | -20.00% | ||
1 month | -87.88% |
28/06/2024 | 01/07/2024 | 02/07/2024 | 03/07/2024 | 04/07/2024 | |
---|---|---|---|---|---|
Last | 0.015 € | 0.012 € | 0.012 € | 0.012 € | 0.047 € |
Change | +7.14% | -20.00% | 0.00% | 0.00% | +316.67% |
1 week | -25.00% | ||
Current month | -20.00% | ||
1 month | -87.88% | ||
3 months | -94.78% | ||
6 months | -98.50% | ||
Current year | -98.65% | ||
1 year | -98.40% |
Date | Opening | High | Low | End-of-day | Volume |
---|
Product type | Warrants |
---|---|
Buy / Sell | CALL |
Underlying | CONTINENTAL AG |
Issuer | J.P. Morgan |
WKN | JS891T |
ISIN | DE000JS891T2 |
Date issued | 08/03/2023 |
Strike | 80 € |
Maturity | 20/12/2024 (169 Days) |
Parity | 10 : 1 |
Emission price | 1.15 € |
Emission volume | N/A |
Settlement | règlement en espèces |
Currency | EUR |
Highest since issue | 1.51 € |
---|---|
Lowest since issue | 0.012 € |
Delta | 0.1x |
Omega | 11.01 |
Premium | 37.67x |
Gearing | 114.67x |
Moneyness | 0.7310 |
Difference Strike | 21.43 € |
Difference Strike % | +26.79% |
Spread | 0.01 € |
Spread % | 17.86% |
Theoretical value | 0.0500 |
Implied Volatility | 30.89 % |
Total Loss Probability | 93.61 % |
Intrinsic value | 0.000000 |
Present value | 0.0500 |
Break even | 80.50 € |
Theta | -0x |
Vega | 0.01x |
Rho | 0x |