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Warrants Comparison

13575 MSMTUAN@EP2508A

Put / Underlying: 3690 MEITUAN-W

Warrants Comparison

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Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
13242 MEITUAN-W 3690 DS 119 7.9 OTM 35.35% 28-07-2025  
13314 MEITUAN-W 3690 UB 118.9 8 OTM 37.93% 21-07-2025  
13394 MEITUAN-W 3690 HU 116.6 9.8 OTM 40.63% 08-08-2025  
13408 MEITUAN-W 3690 JP 139.99 8.4 ITM 48.69% 01-09-2025  
13412 MEITUAN-W 3690 JP 118.9 8 OTM 39.29% 21-07-2025  
13438 MEITUAN-W 3690 MS 118.9 8 OTM 36.07% 21-07-2025  
13542 MEITUAN-W 3690 UB 139.89 8.3 ITM 47.11% 25-08-2025  
13555 MEITUAN-W 3690 CT 139.89 8.3 ITM 47.11% 25-08-2025  
13580 MEITUAN-W 3690 SG 139.89 8.3 ITM 45.69% 25-08-2025  
13744 MEITUAN-W 3690 BI 139.89 8.3 ITM 49.77% 22-10-2025  
13941 MEITUAN-W 3690 GJ 139.89 8.3 ITM 48.05% 25-08-2025  
13994 MEITUAN-W 3690 HS 139.89 8.3 ITM 43.79% 25-08-2025  
14145 MEITUAN-W 3690 CI 140.08 8.4 ITM 43.64% 25-08-2025  
14236 MEITUAN-W 3690 JP 139.89 8.3 ITM 46.11% 22-10-2025  
15819 MEITUAN-W 3690 GJ 118.9 8 OTM 34.15% 21-07-2025  
15864 MEITUAN-W 3690 CI 116.5 9.8 OTM 43.24% 01-08-2025  
15877 MEITUAN-W 3690 JP 123 4.8 OTM 51.57% 10-10-2025  
16062 MEITUAN-W 3690 MS 122.99 4.8 OTM 44.86% 02-10-2025  
16119 MEITUAN-W 3690 UB 122.9 4.9 OTM 48.84% 02-10-2025  
16197 MEITUAN-W 3690 CT 116.5 9.8 OTM 46.13% 01-08-2025  
16234 MEITUAN-W 3690 HS 122.9 4.9 OTM 45.02% 02-10-2025  
16254 MEITUAN-W 3690 CT 122.9 4.9 OTM 42.72% 02-10-2025  
16674 MEITUAN-W 3690 SG 122.9 4.9 OTM 48.84% 02-10-2025  
16876 MEITUAN-W 3690 GJ 122.9 4.9 OTM 49.24% 17-10-2025  
16932 MEITUAN-W 3690 BI 120 7.1 OTM 49.70% 28-11-2025  
17134 MEITUAN-W 3690 DS 122.9 4.9 OTM 54.34% 02-10-2025  
17465 MEITUAN-W 3690 CT 140 8.4 ITM 46.54% 22-10-2025  
17466 MEITUAN-W 3690 SG 139.89 8.3 ITM 46.78% 22-10-2025  
27873 MEITUAN-W 3690 MS 139.99 8.4 ITM 46.28% 30-10-2025  
28154 MEITUAN-W 3690 UB 139.89 8.3 ITM 46.11% 22-10-2025  
29446 MEITUAN-W 3690 HS 139.89 8.3 ITM 45.78% 22-10-2025  

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Terms

Code 13575          
Underlying MEITUAN-W          
Call/Put Put          
Issuer MS          
Warrant Price 0.165          
Strike 139.89          
Maturity Date (D-M-Y) 25-08-2025          
Conversion Ratio 0.01          
Board Lot 10,000          
Total Issue (Million) 99          
Last Trading Date (D-M-Y) 19-08-2025          
Time to Maturity 66day(s)          

Indicators

Implied Volatility 45.69%%          
Hist. Vol (30-days) 43.66%          
Effective Gearing 4.8X          
Gearing 7.8X          
Premium 4.50%          
Outstanding Quantity (M) 0.12          
Outstanding Quantity 0.12%          
Moneyness 8.3 ITM          
Theta -0.5881%          
Delta 61.72%          
Last Update : 20-06-2025 13:05 (15 mins delayed)