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BASF Capped Bonus
NSINKE2559ISINDE000KE25591Product typeCapped Bonus

Bid
39.56EUR
10,000 pcs
Ask
-EUR
Change
- 1.05 %
06.07.2022 15:03:16
Underlying
The price displayed for this underlying is merely an indication. It is not a traded price on the reference exchange (see final terms) but an approximated value in real time. The price indication is merely an approximate and non-binding information and has no effect on the redemption price at maturity or (if applicable to the product type) for a knock out or barrier breach event.

Price indications are provided in cooperation with TTMzero.

Indications are generally published between 8am and 10pm. The daily close reflects the last indication price of the day and not the official close at the reference exchange. Absolute and relative changes are based on the close of the indication of the prior day and may vary from the reference exchange values.
39.62EUR
Indication
06.07.2022 15:04:01
Product Description
Underlying
NameBASF
WKNBASF11
ISINDE000BASF111
Price SourceCiti Indication by TTMZero
Last39.62 EUR
Last Date06.07.2022 15:04:01
Statistics
Close40.39 EUR
Change (absolute)
 -0.76 EUR
Change (%) -1.89%
Daily High40.51 EUR
Daily Low39.5 EUR
High (52 weeks)69.51 EUR
Low (52 weeks)39.4 EUR
Video - 05.07.2022
Base Data
ISINDE000KE25591
WKNKE2559
Product TypeCapped Bonus
Issue Date07/01/2021
Maturity Date15/09/2022
Ratio1
Barrier52.5 EUR
Bonus Level84 EUR
Cap84 EUR
Settlement MethodCash or Physical Settlement
QuantoNo
Key Data
Barrier reachedYes
Risk Buffer-
Bonus Amount-
Bonus Yield-
Bonus Yield (% p.a.)-
Maximum Yield-
Maximum Yield p.a. -
Agio
Delta1
Trigger Probability
Trigger Probability99.9%
Last update: 04.03.2022 12:14:51
The trigger probability describes the mathematical probability that the barrier of this product will be breached until the maturity date of the product. The implied volatility is used for the calculation.
Provided byTTMzero GmbH
Trigger Probability Chart
Downloads
TypeTitle
Warrants and Certificates are debt securities. Investors bear the credit risk of the issuer. 
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