Real-time Bid/Ask 10:02:13 27/06/2024 BST | ||
101.2 CHF / 101.7 CHF | +0.10% |
3 months | +0.05% |
Comparison chart between the derivative product and it's underlying value
Static data
Product type | Reverse Convertibles |
---|---|
Buy / Sell | CALL |
Underlying | DAX |
Issuer | Bank Julius Bär |
MBNSJB | |
ISIN | CH1292534257 |
Date issued | 17/01/2024 |
Strike | 16,432 PTS |
Maturity | 17/01/2025 (204 Days) |
Parity | 1 : 1 |
Emission price | 100 CHF |
Emission volume | N/A |
Settlement | cash |
Currency | CHF |
Technical Indicators
Highest since issue | 101.5 CHF |
---|---|
Lowest since issue | 100.7 CHF |
Spread | 5 CHF |
Spread % | 0.49% |
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