FIDBK/BNPI P-WT 25
OF2NB
EUR
No chart data available
Market:
XMLI
Closed
 
...
Large gap with delayed quotes
Delayed quote

Official
01/03/2025 - 18:35:00
Bid
- - -
Bid
Volume
Ask
- - -
Ask
Volume
0.265
-0.04 ( -13.11% )
-
-
-
-
More information
Essential data
Underlying quote
Last quote
Strike (distance %)
Product category
42,732.13
+339.86 ( +0.80% )
01/03/2025 16:50:07
39,000.00  EUR (+8.73%)
Warrant Put
Prospectus N.A

Master data

Issuer BNP Paribas Issuance B.V.
Product FIDBK/BNPI P-WT 25
Domicile NL
Issue Date -
Maturity Date 03/21/2025
Last Listing Date -
Issue Volume 100,000
Issue Price 1.56
Instr. Unit Piece/unit
CCY EUR
ISIN NLBNPFR1YJ37
Valor 133146628
Symbol OF2NB
Call by Holder No
Call by Issuer No

Important data

Strike 39,000.00 USD
Ratio 1000:1
Instrument type Leveraged products
Type Put
Intrinsic Value -
Implied Vol -
Moneyness -
Gear -
Delta -
Gamma -
Vega -
Omega -
Rho -
Theta -
Break Even -

Main data

Last - 18:35:00 0.265
Close - 01/02/2025 0.305
Day Change % - - -13.11%
Day Change - - -0.04
Volume - - -
Turnover - - 76,700.00
Previous year close - 12/31/2024 0.265
YTD % - - +15.09%

Eusipa coding

Eusipa Category Leverage without Knock-Out
EUSIPA Class Warrant (2100)
Product Class Warrant Put
Eusipa

Difference trading

Open - 10:08:52 0.295
Bid - - -
Bid Size - - -
Ask - - -
Ask Size - - -

Difference price

Previous Day High 0.305
Previous Day Low 0.235