Non-collateralized Nature of Structured Products

Home   /   Warrants   /   Warrants Speedy Check   /   Warrants Comparison

Warrants Comparison

14635 DS-BYD @EC2611A

Call / Underlying: 1211 BYD COMPANY

Warrants Comparison

  • or
Compare up to five warrants

Select Warrants to compare


You can select up to five warrants
Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
16462 BYD COMPANY 1211 SG 128.9 30.9 OTM 41.23% 27-03-2026  
17118 BYD COMPANY 1211 UB 128.9 30.9 OTM 41.23% 27-03-2026  
18198 BYD COMPANY 1211 MS 128.433 30.4 OTM 40.90% 13-11-2026  
18228 BYD COMPANY 1211 BI 131.88 33.9 OTM 43.01% 30-07-2026  
18237 BYD COMPANY 1211 UB 128.433 30.4 OTM 40.41% 13-11-2026  
18941 BYD COMPANY 1211 SG 128.433 30.4 OTM 41.39% 13-11-2026  
19004 BYD COMPANY 1211 CT 128.28 30.2 OTM 43.24% 13-11-2026  
19064 BYD COMPANY 1211 HS 131.98 34 OTM 41.27% 23-07-2026  
19086 BYD COMPANY 1211 BP 131.98 34 OTM 40.84% 23-07-2026  
19097 BYD COMPANY 1211 SG 131.98 34 OTM 42.13% 23-07-2026  
19111 BYD COMPANY 1211 DS 131.98 34 OTM 38.48% 23-07-2026  
19114 BYD COMPANY 1211 UB 131.98 34 OTM 41.27% 23-07-2026  
19924 BYD COMPANY 1211 GJ 131.98 34 OTM 42.98% 23-07-2026  
19990 BYD COMPANY 1211 BP 132 34 OTM 41.79% 03-03-2026  
20077 BYD COMPANY 1211 JP 131.98 34 OTM 41.70% 23-07-2026  
20097 BYD COMPANY 1211 MS 131.98 34 OTM 40.40% 23-07-2026  
20104 BYD COMPANY 1211 CT 131.8 33.8 OTM 43.28% 23-07-2026  
20126 BYD COMPANY 1211 CI 131.98 34 OTM 42.98% 23-07-2026  
20218 BYD COMPANY 1211 MS 132.1 34.1 OTM 42.48% 24-02-2026  
20233 BYD COMPANY 1211 JP 132.1 34.1 OTM 41.72% 24-02-2026  
21562 BYD COMPANY 1211 HS 128.8 30.8 OTM 39.64% 08-04-2026  
21622 BYD COMPANY 1211 GJ 132.1 34.1 OTM 42.61% 26-02-2026  
21648 BYD COMPANY 1211 CT 128.9 30.9 OTM 40.22% 30-03-2026  
21676 BYD COMPANY 1211 BI 128.88 30.8 OTM 44.88% 29-10-2026  
23055 BYD COMPANY 1211 HU 128.98 30.9 OTM 40.01% 22-10-2026  

Compare Results


Terms

Code 14635          
Underlying BYD COMPANY          
Call/Put Call          
Issuer DS          
Warrant Price 0.052          
Strike 128.333          
Maturity Date (D-M-Y) 20-11-2026          
Conversion Ratio 0.006          
Board Lot 5,000          
Total Issue (Million) 100          
Last Trading Date (D-M-Y) 16-11-2026          
Time to Maturity 343day(s)          

Indicators

Implied Volatility 45.56%%          
Hist. Vol (30-days) 29.45%          
Effective Gearing 4.2X          
Gearing 11.4X          
Premium 39.09%          
Outstanding Quantity (M) 100.00          
Outstanding Quantity 100.00%          
Moneyness 30.3 OTM          
Theta -0.4152%          
Delta 36.76%          
Last Update : 12-12-2025 16:20 (15 mins delayed)