Warrant Put Oesterreichische Post AG

BidEUR 0.010
May 02, 2024 15:29:59.323 UTC
AskEUR 0.030
May 02, 2024 15:29:59.323 UTC
chg. 1D--
May 02, 2024 15:29:59.323 UTC
Underlying price (indicative) 30.18 (+0.75%)
May 02, 2024 19:54:40.000 UTC
StrikeEUR 25.00 Cap- Leverage100.58

Name
Warrant - Oesterreichische Post AG
ISIN / WKN
AT0000A33M73 / RC085W
Underlying price (indicative)
EUR 30.18 (+0.75%)
May 02, 2024 19:54:40.000
Strike
EUR 25.00
Cap
unlimited
Type of exercise
American
Tradeable unit/nominal value
1 unit
Multiplier
0.1
Product currency
EUR
Implied volatility
28.30%
Listing
Vienna, Stuttgart
About the term

Initial valuation date
Apr 04, 2023
Issue date
Apr 05, 2023
Final valuation date
Sep 20, 2024
Maturity date
Sep 25, 2024

Product classification
Leverage Product without Knock-Out
Security type (Eusipa No.)
Warrant (2100)
Warrant Type
Put without Cap
Country / region of underlying
Austria
Suited market expectation
bearish
Issue price
0.15 EUR
Spread homogenised
0.20
Spread (in %)
200.00%
Underlying currency
EUR
Settlement method
Cash settlement
Taxation
Capital Gains Tax / no Foreign Capital Gains Tax
Public offer possible in
Austria, Germany, Italy, Hungary, Poland, Czech Republic, Slovakia, Bulgaria, Croatia, Romania, Slovenia
Agio
17.94%
Agio p.a. in %
45.91%
Leverage
100.58
Instrinsic value
EUR 0.00
Time value
EUR 0.02
Break even
EUR 24.80
Moneyness
0.83
Historic volatility 30 days
20.00%
Historic volatility 250 days
15.00%
Omega
13.0718
Delta
-0.0869
Gamma
0.0034
Vega
0.0029
Theta
-0.0002
Rho
-0.0011
Description

Put warrants enable investors to participate with a leverage effect in falling underlying prices. In addition to the performance of the underlying, the volatility of the underlying has substantial influence on the pricing of the warrant.

Warrants provide for above average profit opportunities but bear as well an increased risk to incur a total loss. Thus is particularly important that the investor continuously observes the position.

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INFORMATION

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