Home   /   Warrants   /   Warrants Speedy Check   /   Warrants Comparison
Non-collateralized Nature of Structured Products

Warrants Comparison

Home   /   Warrants   /   Warrants Speedy Check   /   Warrants Comparison

Warrants Comparison

27144 MSMTUAN@EC2509A

Call / Underlying: 3690 MEITUAN-W

Warrants Comparison

  • +/-30
    • +/-30
    • +/-60
    • +/-90
    • +/-120
  • +/-5%
    • +/-5%
    • +/-10%
    • +/-15%
    • +/-20%
  • 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)
16290 MEITUAN-W 3690 JP 145.55 6.7 OTM 52.24% 24-10-2025  
16368 MEITUAN-W 3690 CI 133 2.5 ITM 54.10% 28-10-2025  
16386 MEITUAN-W 3690 HU 145.65 6.8 OTM 50.92% 17-10-2025  
16391 MEITUAN-W 3690 UB 145.65 6.8 OTM 52.06% 17-10-2025  
16409 MEITUAN-W 3690 MS 145.65 6.8 OTM 51.49% 17-10-2025  
16455 MEITUAN-W 3690 BP 145.65 6.8 OTM 50.92% 17-10-2025  
16471 MEITUAN-W 3690 GJ 140.1 2.7 OTM 51.77% 30-09-2025  
24677 MEITUAN-W 3690 MB 143.2 5 OTM 83.38% 04-08-2025  
26428 MEITUAN-W 3690 BI 140 2.6 OTM 52.25% 30-09-2025  
26516 MEITUAN-W 3690 SG 143.3 5.1 OTM 49.43% 28-07-2025  
26549 MEITUAN-W 3690 UB 143.3 5.1 OTM 47.74% 28-07-2025  
26553 MEITUAN-W 3690 HS 143.3 5.1 OTM 46.90% 28-07-2025  
26555 MEITUAN-W 3690 CT 143.3 5.1 OTM 49.00% 28-07-2025  
26601 MEITUAN-W 3690 JP 143.3 5.1 OTM 50.27% 28-07-2025  
26658 MEITUAN-W 3690 BP 143.3 5.1 OTM 50.56% 04-08-2025  
26680 MEITUAN-W 3690 BI 143.3 5.1 OTM 50.69% 28-07-2025  
26696 MEITUAN-W 3690 DS 143.3 5.1 OTM 55.37% 28-07-2025  
26731 MEITUAN-W 3690 UB 140.1 2.7 OTM 50.19% 23-09-2025  
26782 MEITUAN-W 3690 JP 140.1 2.7 OTM 51.74% 23-09-2025  
26813 MEITUAN-W 3690 BP 130 4.7 ITM 43.94% 03-06-2025  
27146 MEITUAN-W 3690 HS 140.1 2.7 OTM 51.12% 23-09-2025  
27195 MEITUAN-W 3690 CI 143.1 4.9 OTM 47.85% 28-07-2025  
27519 MEITUAN-W 3690 MS 143.99 5.6 OTM 48.41% 18-07-2025  

Compare Results


Terms

Code 27144          
Underlying MEITUAN-W          
Call/Put Call          
Issuer MS          
Warrant Price 0.147          
Strike 139.99          
Maturity Date (D-M-Y) 23-09-2025          
Conversion Ratio 0.01          
Board Lot 10,000          
Total Issue (Million) 109          
Last Trading Date (D-M-Y) 17-09-2025          
Time to Maturity 126day(s)          

Indicators

Implied Volatility 49.11%%          
Hist. Vol (30-days) 66.77%          
Effective Gearing 5.0X          
Gearing 9.3X          
Premium 13.41%          
Outstanding Quantity (M) 32.16          
Outstanding Quantity 29.50%          
Moneyness 2.6 OTM          
Theta -0.6256%          
Delta 53.39%          
Last Update : 20-05-2025 16:20 (15 mins delayed)