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

Warrants Comparison

Home   /   Warrants   /   Warrants Speedy Check   /   Warrants Comparison

Warrants Comparison

27641 MB-CCB @EC2509A

Call / Underlying: 0939 CCB

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)
13108 CCB 0939 JP 6.61 5.2 ITM 30.61% 21-05-2026  
13145 CCB 0939 CT 6.61 5.2 ITM 29.24% 21-05-2026  
13222 CCB 0939 SG 6.61 5.2 ITM 29.83% 21-05-2026  
13407 CCB 0939 UB 6.61 5.2 ITM 29.63% 21-05-2026  
13483 CCB 0939 MS 6.61 5.2 ITM 28.66% 21-05-2026  
14147 CCB 0939 BP 7.5 7.6 OTM 24.45% 21-08-2025  
16497 CCB 0939 HS 6.61 5.2 ITM 31.98% 21-05-2026  
25158 CCB 0939 BI 6.8 2.4 ITM 26.16% 30-06-2025  
25230 CCB 0939 BP 6.5 6.7 ITM N/A 03-06-2025  
25647 CCB 0939 UB 7.09 1.7 OTM 25.57% 18-07-2025  
25984 CCB 0939 KS 6.48 7.0 ITM 42.32% 28-12-2028  
26070 CCB 0939 JP 6.49 6.9 ITM 34.57% 20-12-2028  
26148 CCB 0939 CT 7.1 1.9 OTM 23.78% 11-07-2025  
27184 CCB 0939 MS 6.49 6.9 ITM 33.98% 19-12-2028  
27677 CCB 0939 JP 7.19 3.2 OTM 26.04% 06-06-2025  
27708 CCB 0939 CI 7.7 10.5 OTM 58.29% 26-05-2025  
27798 CCB 0939 DS 7.2 3.3 OTM 36.44% 30-05-2025  
28676 CCB 0939 MS 7.49 7.5 OTM 25.50% 28-08-2025  
29123 CCB 0939 BP 7.2 3.3 OTM 21.22% 30-05-2025  
29506 CCB 0939 HS 7.1 1.9 OTM 25.25% 16-07-2025  
29519 CCB 0939 BI 7.39 6 OTM 28.40% 23-09-2025  
29618 CCB 0939 BI 7.2 3.3 OTM 22.76% 30-05-2025  
29650 CCB 0939 JP 7.5 7.6 OTM 27.16% 21-08-2025  
29654 CCB 0939 UB 7.5 7.6 OTM 26.69% 21-08-2025  
29905 CCB 0939 CI 6.6 5.3 ITM 33.51% 29-05-2026  

Compare Results


Terms

Code 27641          
Underlying CCB          
Call/Put Call          
Issuer MB          
Warrant Price 0.340          
Strike 7.38          
Maturity Date (D-M-Y) 30-09-2025          
Conversion Ratio 1          
Board Lot 1,000          
Total Issue (Million) 39.85          
Last Trading Date (D-M-Y) 24-09-2025          
Time to Maturity 131day(s)          

Indicators

Implied Volatility 28.84%%          
Hist. Vol (30-days) 35.68%          
Effective Gearing 8.7X          
Gearing 20.5X          
Premium 10.76%          
Outstanding Quantity (M) 0.03          
Outstanding Quantity 0.06%          
Moneyness 5.9 OTM          
Theta -0.8017%          
Delta 42.23%          
Last Update : 22-05-2025 16:20 (15 mins delayed)