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Warrants Comparison

29122 BP-BYD @EC2506A

Call / Underlying: 1211 BYD COMPANY

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Code Underlying Underlying Code Issuer Strike Moneyness Implied Volatility(%) Maturity Date
(D-M-Y)
13439 BYD COMPANY 1211 HU 320.2 28.0 ITM 55.25% 26-06-2025  
13728 BYD COMPANY 1211 CI 568.88 28 OTM 45.92% 29-12-2025  
14239 BYD COMPANY 1211 CT 550 23.7 OTM 48.31% 25-08-2025  
14440 BYD COMPANY 1211 DS 550.5 23.8 OTM 56.11% 18-08-2025  
14493 BYD COMPANY 1211 UB 550.5 23.8 OTM 49.89% 18-08-2025  
14536 BYD COMPANY 1211 HS 550.5 23.8 OTM 49.99% 25-08-2025  
14554 BYD COMPANY 1211 JP 550.5 23.8 OTM 50.49% 18-08-2025  
15177 BYD COMPANY 1211 SG 590 32.7 OTM 54.10% 23-09-2025  
15208 BYD COMPANY 1211 BI 560 26 OTM 50.91% 03-10-2025  
15261 BYD COMPANY 1211 BP 549.5 23.6 OTM 47.97% 18-08-2025  
15311 BYD COMPANY 1211 MS 590.5 32.8 OTM 54.92% 16-09-2025  
15370 BYD COMPANY 1211 UB 590.5 32.8 OTM 54.39% 16-09-2025  
16387 BYD COMPANY 1211 HU 569.38 28.1 OTM 47.70% 18-12-2025  
16413 BYD COMPANY 1211 UB 569.38 28.1 OTM 49.36% 18-12-2025  
16662 BYD COMPANY 1211 GJ 569.38 28.1 OTM 49.77% 18-12-2025  
16718 BYD COMPANY 1211 JP 590.5 32.8 OTM 54.39% 16-09-2025  
16762 BYD COMPANY 1211 GJ 550.5 23.8 OTM N/A 20-08-2025  
16780 BYD COMPANY 1211 BP 590.5 32.8 OTM N/A 16-09-2025  
24902 BYD COMPANY 1211 BP 300 32.5 ITM 34.13% 03-10-2025  
24949 BYD COMPANY 1211 MS 299.99 32.5 ITM N/A 29-05-2025  
25109 BYD COMPANY 1211 HS 300.19 32.5 ITM N/A 22-05-2025  
25376 BYD COMPANY 1211 SG 300.19 32.5 ITM N/A 22-05-2025  
25506 BYD COMPANY 1211 JP 300.19 32.5 ITM N/A 22-05-2025  
25676 BYD COMPANY 1211 GJ 300.19 32.5 ITM N/A 22-05-2025  
25728 BYD COMPANY 1211 BI 299.79 32.6 ITM N/A 30-05-2025  
25799 BYD COMPANY 1211 CI 320 28.0 ITM 60.01% 04-07-2025  
27207 BYD COMPANY 1211 UB 300.2 32.5 ITM 58.70% 25-09-2025  
27570 BYD COMPANY 1211 GJ 320.2 28.0 ITM 62.32% 26-06-2025  
27630 BYD COMPANY 1211 MS 320.2 28.0 ITM 51.46% 26-06-2025  
27707 BYD COMPANY 1211 BI 320.2 28.0 ITM 62.32% 26-06-2025  
29225 BYD COMPANY 1211 DS 320.2 28.0 ITM 51.46% 26-06-2025  
29250 BYD COMPANY 1211 CT 300 32.5 ITM N/A 22-05-2025  
29666 BYD COMPANY 1211 HS 320.2 28.0 ITM 51.46% 26-06-2025  

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Terms

Code 29122          
Underlying BYD COMPANY          
Call/Put Call          
Issuer BP          
Warrant Price 1.130          
Strike 320          
Maturity Date (D-M-Y) 26-06-2025          
Conversion Ratio 0.01          
Board Lot 5,000          
Total Issue (Million) 70          
Last Trading Date (D-M-Y) 20-06-2025          
Time to Maturity 37day(s)          

Indicators

Implied Volatility 67.02%%          
Hist. Vol (30-days) 69.40%          
Effective Gearing N/AX          
Gearing 3.9X          
Premium -2.61%          
Outstanding Quantity (M) 0.00          
Outstanding Quantity 0.00%          
Moneyness 28.0 ITM          
Theta -0.1834%          
Delta N/A          
Last Update : 20-05-2025 16:20 (15 mins delayed)