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13111 CTLENOV@EC2606A

Call / Underlying: 0992 LENOVO GROUP

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Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
13188 LENOVO GROUP 0992 JP 11.62 21.5 OTM 44.01% 23-06-2026  
13212 LENOVO GROUP 0992 UB 11.62 21.5 OTM 43.62% 23-06-2026  
15685 LENOVO GROUP 0992 HS 11.62 21.5 OTM 43.23% 23-06-2026  
15911 LENOVO GROUP 0992 SG 11.62 21.5 OTM 42.83% 23-06-2026  
15927 LENOVO GROUP 0992 GJ 11.62 21.5 OTM 43.62% 23-06-2026  
16281 LENOVO GROUP 0992 CI 11.62 21.5 OTM 42.03% 23-06-2026  
16632 LENOVO GROUP 0992 MS 11.69 22.3 OTM 39.06% 01-06-2026  
16783 LENOVO GROUP 0992 BP 11.71 22.5 OTM 41.94% 22-05-2026  
19955 LENOVO GROUP 0992 MS 11.39 19.1 OTM 44.99% 30-12-2027  

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Terms

Code 13111          
Underlying LENOVO GROUP          
Call/Put Call          
Issuer CT          
Warrant Price 0.059          
Strike 11.6          
Maturity Date (D-M-Y) 30-06-2026          
Conversion Ratio 0.1          
Board Lot 2,000          
Total Issue (Million) 100          
Last Trading Date (D-M-Y) 24-06-2026          
Time to Maturity 197day(s)          

Indicators

Implied Volatility 43.37%%          
Hist. Vol (30-days) 26.15%          
Effective Gearing 5.5X          
Gearing 16.2X          
Premium 27.51%          
Outstanding Quantity (M) 4.53          
Outstanding Quantity 4.53%          
Moneyness 21.3 OTM          
Theta -0.6988%          
Delta 33.97%          
Last Update : 15-12-2025 16:20 (15 mins delayed)