Goldman Sachs Put 14 SYV 17.01.2025
/ DE000GP9U997
Goldman Sachs Put 14 SYV 17.01.20.../ DE000GP9U997 /
11/11/2024 10:43:38 AM |
Chg.- |
Bid10:00:26 PM |
Ask10:00:26 PM |
Underlying |
Strike price |
Expiration date |
Option type |
9.91EUR |
- |
- Bid Size: - |
- Ask Size: - |
3 D SYS CORP. DL... |
14.00 - |
1/17/2025 |
Put |
Master data
WKN: |
GP9U99 |
Issuer: |
Goldman Sachs Bank Europe SE |
Currency: |
EUR |
Underlying: |
3 D SYS CORP. DL-,001 |
Type: |
Warrant |
Option type: |
Put |
Strike price: |
14.00 - |
Maturity: |
1/17/2025 |
Issue date: |
7/24/2023 |
Last trading day: |
11/13/2024 |
Ratio: |
1:1 |
Exercise type: |
American |
Quanto: |
No |
Gearing: |
-0.33 |
Leverage: |
Yes |
Calculated values
Fair value: |
10.75 |
Intrinsic value: |
10.75 |
Implied volatility: |
- |
Historic volatility: |
0.71 |
Parity: |
10.75 |
Time value: |
-0.99 |
Break-even: |
4.24 |
Moneyness: |
4.31 |
Premium: |
-0.31 |
Premium p.a.: |
-0.88 |
Spread abs.: |
0.02 |
Spread %: |
0.21% |
Delta: |
- |
Theta: |
- |
Omega: |
- |
Rho: |
- |
Quote data
Open: |
9.91 |
High: |
9.91 |
Low: |
9.91 |
Previous Close: |
9.93 |
Turnover: |
0.00 |
Market phase: |
SU |
All quotes in EUR
Performance
1 Week |
|
|
-0.20% |
1 Month |
|
|
-1.59% |
3 Months |
|
|
-6.24% |
YTD |
|
|
+44.88% |
1 Year |
|
|
+13.91% |
3 Years |
|
|
- |
5 Years |
|
|
- |
10 Years |
|
|
- |
1W High / 1W Low: |
9.93 |
9.91 |
1M High / 1M Low: |
10.29 |
9.68 |
6M High / 6M Low: |
10.96 |
8.85 |
High (YTD): |
9/9/2024 |
10.96 |
Low (YTD): |
1/2/2024 |
7.24 |
52W High: |
9/9/2024 |
10.96 |
52W Low: |
12/27/2023 |
6.74 |
Avg. price 1W: |
|
9.92 |
Avg. volume 1W: |
|
0.00 |
Avg. price 1M: |
|
10.05 |
Avg. volume 1M: |
|
0.00 |
Avg. price 6M: |
|
9.96 |
Avg. volume 6M: |
|
0.00 |
Avg. price 1Y: |
|
9.22 |
Avg. volume 1Y: |
|
0.00 |
Volatility 1M: |
|
24.74% |
Volatility 6M: |
|
23.69% |
Volatility 1Y: |
|
30.35% |
Volatility 3Y: |
|
- |