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Warrants Comparison

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Warrants Comparison

15764 CT-HSBC@EC2512A

Call / Underlying: 0005 HSBC HOLDINGS

Warrants Comparison

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Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
13397 HSBC HOLDINGS 0005 BP 98 6.2 OTM 20.70% 03-10-2025  
13416 HSBC HOLDINGS 0005 HU 98 6.2 OTM 20.29% 08-08-2025  
13519 HSBC HOLDINGS 0005 BI 98.05 6.3 OTM 20.45% 01-08-2025  
13631 HSBC HOLDINGS 0005 UB 93.88 1.8 OTM 20.56% 02-09-2025  
13721 HSBC HOLDINGS 0005 JP 100.68 9.1 OTM 24.26% 22-08-2025  
13799 HSBC HOLDINGS 0005 GJ 98.05 6.3 OTM 24.25% 25-09-2025  
13821 HSBC HOLDINGS 0005 MS 95 3 OTM 21.64% 26-08-2025  
14646 HSBC HOLDINGS 0005 MS 100.78 9.2 OTM 24.12% 15-08-2025  
14878 HSBC HOLDINGS 0005 DS 90 2.4 ITM 27.24% 13-02-2026  
15635 HSBC HOLDINGS 0005 MS 98.05 6.3 OTM 22.72% 25-09-2025  
15769 HSBC HOLDINGS 0005 JP 95 3 OTM 24.34% 09-01-2026  
15784 HSBC HOLDINGS 0005 SG 93.5 1.4 OTM 22.39% 09-10-2025  
15793 HSBC HOLDINGS 0005 UB 85.88 6.9 ITM 28.20% 09-10-2025  
15939 HSBC HOLDINGS 0005 UB 95.05 3 OTM 24.17% 02-01-2026  
15974 HSBC HOLDINGS 0005 BI 93.55 1.4 OTM 20.49% 30-09-2025  
15980 HSBC HOLDINGS 0005 CT 95.05 3 OTM N/A 02-01-2026  
15989 HSBC HOLDINGS 0005 CT 85.93 6.9 ITM 26.37% 30-09-2025  
15992 HSBC HOLDINGS 0005 CT 93.55 1.4 OTM 23.59% 30-09-2025  
16010 HSBC HOLDINGS 0005 JP 93.55 1.4 OTM 22.56% 30-09-2025  
16011 HSBC HOLDINGS 0005 JP 85.93 6.9 ITM 29.80% 30-09-2025  
16076 HSBC HOLDINGS 0005 BP 85.93 6.9 ITM 23.54% 03-10-2025  
16086 HSBC HOLDINGS 0005 SG 85.93 6.9 ITM 25.17% 30-09-2025  
16087 HSBC HOLDINGS 0005 SG 88.05 4.6 ITM 24.12% 17-12-2025  
16112 HSBC HOLDINGS 0005 UB 88.05 4.6 ITM 24.53% 17-12-2025  
16217 HSBC HOLDINGS 0005 BP 95.05 3 OTM 20.94% 19-08-2025  
16275 HSBC HOLDINGS 0005 MS 85.93 6.9 ITM 25.77% 30-09-2025  
16309 HSBC HOLDINGS 0005 MS 88.05 4.6 ITM 23.30% 17-12-2025  
16325 HSBC HOLDINGS 0005 BP 88.05 4.6 ITM 22.69% 17-12-2025  
16345 HSBC HOLDINGS 0005 BI 88.05 4.6 ITM 23.71% 17-12-2025  
16451 HSBC HOLDINGS 0005 BP 100.78 9.2 OTM 22.30% 15-08-2025  
16490 HSBC HOLDINGS 0005 JP 88.05 4.6 ITM 25.35% 17-12-2025  
17049 HSBC HOLDINGS 0005 MS 95.05 3 OTM 23.42% 02-01-2026  
17113 HSBC HOLDINGS 0005 BI 95.05 3 OTM 22.48% 02-01-2026  
17130 HSBC HOLDINGS 0005 SG 95.05 3 OTM 23.99% 02-01-2026  
22660 HSBC HOLDINGS 0005 KS 86.797 5.9 ITM 21.90% 08-12-2028  
24878 HSBC HOLDINGS 0005 JP 86.797 5.9 ITM 21.99% 01-12-2028  
25416 HSBC HOLDINGS 0005 CT 86.84 5.9 ITM 26.71% 01-12-2028  
25679 HSBC HOLDINGS 0005 MS 86.847 5.9 ITM 20.34% 01-12-2028  
25730 HSBC HOLDINGS 0005 BI 86.84 5.9 ITM 20.75% 01-12-2028  
25877 HSBC HOLDINGS 0005 UB 86.847 5.9 ITM 21.18% 01-12-2028  
29349 HSBC HOLDINGS 0005 MB 88.88 3.7 ITM 21.06% 02-12-2025  

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Terms

Code 15764          
Underlying HSBC HOLDINGS          
Call/Put Call          
Issuer CT          
Warrant Price 0.165          
Strike 88          
Maturity Date (D-M-Y) 24-12-2025          
Conversion Ratio 0.02          
Board Lot 2,000          
Total Issue (Million) 120          
Last Trading Date (D-M-Y) 18-12-2025          
Time to Maturity 187day(s)          

Indicators

Implied Volatility 25.17%%          
Hist. Vol (30-days) 12.49%          
Effective Gearing 6.9X          
Gearing 11.2X          
Premium 4.34%          
Outstanding Quantity (M) 4.40          
Outstanding Quantity 3.67%          
Moneyness 4.6 ITM          
Theta -0.3159%          
Delta 61.66%          
Last Update : 20-06-2025 16:20 (15 mins delayed)