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Warrants Comparison

15810 UB-HSI @EC2510E

Call / Underlying: HSI HANG SENG INDEX

Warrants Comparison

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Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
13247 HANG SENG INDEX HSI GJ 21,900 6.8 ITM 31.09% 27-06-2025  
13272 HANG SENG INDEX HSI UB 25,000 6.4 OTM 21.92% 30-07-2025  
13330 HANG SENG INDEX HSI JP 25,125 6.9 OTM 22.16% 30-07-2025  
13372 HANG SENG INDEX HSI SG 25,125 6.9 OTM 21.93% 30-07-2025  
13433 HANG SENG INDEX HSI GJ 22,300 5.1 ITM 24.28% 27-06-2025  
13522 HANG SENG INDEX HSI BI 22,311 5.1 ITM 21.00% 27-06-2025  
13523 HANG SENG INDEX HSI BI 25,125 6.9 OTM 22.16% 30-07-2025  
13621 HANG SENG INDEX HSI CT 23,800 1.3 OTM 21.90% 28-08-2025  
13626 HANG SENG INDEX HSI CT 25,125 6.9 OTM 21.57% 30-07-2025  
14110 HANG SENG INDEX HSI GJ 23,900 1.7 OTM 24.90% 28-08-2025  
14241 HANG SENG INDEX HSI GJ 25,125 6.9 OTM 19.90% 29-09-2025  
14265 HANG SENG INDEX HSI MS 25,125 6.9 OTM 21.37% 29-09-2025  
14351 HANG SENG INDEX HSI JP 23,000 2.1 ITM 21.13% 28-08-2025  
14352 HANG SENG INDEX HSI JP 25,000 6.4 OTM 22.56% 28-08-2025  
14353 HANG SENG INDEX HSI JP 24,000 2.1 OTM 22.23% 28-08-2025  
14357 HANG SENG INDEX HSI JP 25,100 6.8 OTM 22.74% 29-09-2025  
14479 HANG SENG INDEX HSI GJ 25,000 6.4 OTM 20.03% 29-09-2025  
14499 HANG SENG INDEX HSI UB 23,115 1.7 ITM 21.85% 28-08-2025  
14500 HANG SENG INDEX HSI UB 24,120 2.6 OTM 22.29% 28-08-2025  
14502 HANG SENG INDEX HSI UB 25,125 6.9 OTM 23.24% 28-08-2025  
14988 HANG SENG INDEX HSI HS 25,125 6.9 OTM 22.31% 28-08-2025  
15296 HANG SENG INDEX HSI CT 25,125 6.9 OTM 21.15% 29-09-2025  
15634 HANG SENG INDEX HSI MS 24,120 2.6 OTM 21.85% 28-08-2025  
15674 HANG SENG INDEX HSI HS 24,120 2.6 OTM 22.07% 28-08-2025  
15676 HANG SENG INDEX HSI SG 24,120 2.6 OTM 22.07% 28-08-2025  
15703 HANG SENG INDEX HSI SG 23,115 1.7 ITM 22.50% 28-08-2025  
15707 HANG SENG INDEX HSI CT 24,120 2.6 OTM 20.96% 28-08-2025  
15774 HANG SENG INDEX HSI JP 22,500 4.3 ITM 22.72% 30-10-2025  
15777 HANG SENG INDEX HSI JP 23,500 0.0 ATM 22.55% 30-10-2025  
15778 HANG SENG INDEX HSI JP 24,500 4.2 OTM 22.50% 30-10-2025  
15780 HANG SENG INDEX HSI JP 21,500 8.5 ITM 22.78% 30-10-2025  
15781 HANG SENG INDEX HSI SG 22,500 4.3 ITM 22.80% 30-10-2025  
15807 HANG SENG INDEX HSI UB 25,000 6.4 OTM 23.02% 30-10-2025  
15808 HANG SENG INDEX HSI UB 24,000 2.1 OTM 22.85% 30-10-2025  
15809 HANG SENG INDEX HSI UB 23,000 2.1 ITM 22.82% 30-10-2025  
15811 HANG SENG INDEX HSI UB 22,000 6.4 ITM 23.21% 30-10-2025  
15924 HANG SENG INDEX HSI GJ 22,600 3.8 ITM 27.54% 30-10-2025  
15925 HANG SENG INDEX HSI GJ 25,100 6.8 OTM 22.80% 30-10-2025  
15956 HANG SENG INDEX HSI HS 21,607 8.1 ITM 23.73% 30-10-2025  
15964 HANG SENG INDEX HSI HS 23,115 1.7 ITM 23.30% 30-10-2025  
15965 HANG SENG INDEX HSI HS 22,612 3.8 ITM 22.36% 30-10-2025  
15970 HANG SENG INDEX HSI MS 21,607 8.1 ITM 26.48% 30-10-2025  
15971 HANG SENG INDEX HSI MS 22,110 5.9 ITM 23.11% 30-10-2025  
15978 HANG SENG INDEX HSI HS 22,110 5.9 ITM 23.84% 30-10-2025  
16005 HANG SENG INDEX HSI JP 22,050 6.2 ITM 23.05% 30-10-2025  
16013 HANG SENG INDEX HSI JP 23,100 1.7 ITM 22.42% 30-10-2025  
16015 HANG SENG INDEX HSI JP 25,125 6.9 OTM 22.93% 30-10-2025  
16019 HANG SENG INDEX HSI SG 21,607 8.1 ITM 22.97% 30-10-2025  
16025 HANG SENG INDEX HSI SG 23,115 1.7 ITM 22.37% 30-10-2025  
16101 HANG SENG INDEX HSI CT 22,612 3.8 ITM N/A 30-10-2025  
16111 HANG SENG INDEX HSI UB 21,607 8.1 ITM 22.97% 30-10-2025  
16114 HANG SENG INDEX HSI UB 22,612 3.8 ITM 22.98% 30-10-2025  
16147 HANG SENG INDEX HSI MS 23,115 1.7 ITM 22.56% 30-10-2025  
16172 HANG SENG INDEX HSI HS 25,125 6.9 OTM 22.62% 30-10-2025  
16331 HANG SENG INDEX HSI MS 22,612 3.8 ITM 22.98% 30-10-2025  
16340 HANG SENG INDEX HSI HS 24,120 2.6 OTM 22.40% 30-10-2025  
16417 HANG SENG INDEX HSI JP 24,120 2.6 OTM 22.57% 30-10-2025  
16420 HANG SENG INDEX HSI SG 24,120 2.6 OTM 22.24% 30-10-2025  
16473 HANG SENG INDEX HSI BI 23,115 1.7 ITM 23.49% 30-10-2025  
16474 HANG SENG INDEX HSI BI 24,120 2.6 OTM 21.39% 30-10-2025  
16542 HANG SENG INDEX HSI UB 23,617 0.5 OTM 22.67% 30-10-2025  
16613 HANG SENG INDEX HSI HS 23,617 0.5 OTM 22.19% 30-10-2025  
16815 HANG SENG INDEX HSI BP 25,125 6.9 OTM 22.93% 30-10-2025  
16978 HANG SENG INDEX HSI JP 24,800 5.5 OTM 22.91% 27-11-2025  
17092 HANG SENG INDEX HSI UB 24,924 6 OTM 22.95% 27-11-2025  
17112 HANG SENG INDEX HSI BI 24,924 6 OTM 22.42% 27-11-2025  
17144 HANG SENG INDEX HSI GJ 24,924 6 OTM 24.28% 27-11-2025  
17191 HANG SENG INDEX HSI MS 24,924 6 OTM 22.55% 27-11-2025  
17192 HANG SENG INDEX HSI MS 24,120 2.6 OTM 21.90% 30-10-2025  
17229 HANG SENG INDEX HSI SG 24,924 6 OTM 22.42% 27-11-2025  
17235 HANG SENG INDEX HSI HS 24,924 6 OTM 21.76% 27-11-2025  
17305 HANG SENG INDEX HSI CT 24,120 2.6 OTM 21.06% 30-10-2025  
17476 HANG SENG INDEX HSI UB 24,622 4.8 OTM 22.99% 30-10-2025  
17499 HANG SENG INDEX HSI HS 24,622 4.8 OTM 23.06% 30-10-2025  
25830 HANG SENG INDEX HSI JP 25,000 6.4 OTM 22.35% 30-12-2026  
25916 HANG SENG INDEX HSI UB 25,000 6.4 OTM 21.32% 30-12-2026  
25985 HANG SENG INDEX HSI HS 25,125 6.9 OTM 19.96% 30-12-2026  
26149 HANG SENG INDEX HSI SG 25,125 6.9 OTM 22.33% 30-12-2026  
27569 HANG SENG INDEX HSI GJ 25,000 6.4 OTM 22.63% 30-12-2026  
27695 HANG SENG INDEX HSI MS 25,125 6.9 OTM 22.03% 30-12-2026  
27990 HANG SENG INDEX HSI BI 25,000 6.4 OTM 21.33% 29-09-2025  
28553 HANG SENG INDEX HSI HS 25,125 6.9 OTM 21.37% 29-09-2025  
28607 HANG SENG INDEX HSI UB 25,125 6.9 OTM 21.88% 29-09-2025  
28708 HANG SENG INDEX HSI SG 25,125 6.9 OTM 22.24% 29-09-2025  
28718 HANG SENG INDEX HSI JP 25,125 6.9 OTM 22.32% 29-09-2025  
29583 HANG SENG INDEX HSI BI 25,125 6.9 OTM 22.62% 30-12-2026  
29720 HANG SENG INDEX HSI JP 22,200 5.5 ITM 21.02% 27-06-2025  
29826 HANG SENG INDEX HSI CT 22,311 5.1 ITM 0.00% 27-06-2025  
29828 HANG SENG INDEX HSI UB 21,909 6.8 ITM 32.08% 27-06-2025  
29861 HANG SENG INDEX HSI HS 22,311 5.1 ITM 26.68% 27-06-2025  
29863 HANG SENG INDEX HSI HS 21,909 6.8 ITM 35.91% 27-06-2025  
29935 HANG SENG INDEX HSI SG 22,311 5.1 ITM 21.00% 27-06-2025  

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Terms

Code 15810          
Underlying HANG SENG INDEX          
Call/Put Call          
Issuer UB          
Warrant Price 0.158          
Strike 22,600          
Maturity Date (D-M-Y) 30-10-2025          
Conversion Ratio 0.00009          
Board Lot 10,000          
Total Issue (Million) 300          
Last Trading Date (D-M-Y) 23-10-2025          
Time to Maturity 132day(s)          

Indicators

Implied Volatility 22.89%%          
Hist. Vol (30-days) 19.31%          
Effective Gearing 8.4X          
Gearing 12.9X          
Premium 3.88%          
Outstanding Quantity (M) 0.01          
Outstanding Quantity 0.00%          
Moneyness 3.8 ITM          
Theta -0.4007%          
Delta 64.64%          
Last Update : 20-06-2025 12:05 (15 mins delayed)