Trade now  Warrant on DAX / Put 

ISIN: DE000LX0ZZ12 | Local ID: LX0ZZ1
0.8700+0.1400 +19.18 % 03.12. 22:34
Bid
0.7700
Bid Size: 20,000
Ask
0.9700
Ask Size: 20,000
TimeSizeBidAskSize
03.12. 22:20:00
20,000
0.78 €
0.98 €
20,000
03.12. 22:18:00
20,000
0.77 €
0.97 €
20,000
03.12. 22:14:00
20,000
0.77 €
0.97 €
20,000
03.12. 22:08:00
20,000
0.77 €
0.97 €
20,000
03.12. 21:59:00
20,000
0.75 €
0.95 €
20,000
03.12. 21:58:00
20,000
0.77 €
0.97 €
20,000
03.12. 21:57:00
20,000
0.76 €
0.96 €
20,000
03.12. 21:56:00
20,000
0.77 €
0.97 €
20,000
03.12. 21:55:00
20,000
0.77 €
0.97 €
20,000
Note:

Master Data

Product Type
775
Type
Put
Strike
11,000.000 Pts
Underlying
DAX
Ratio
0.01
Quanto
no

Trading Information

Maturity
18.03.2022
Last Trading Day
18.03.2022
Valuation Date
25.03.2022
Type of Exercise
European
Settlement
cash
Automatic Exercise
yes
Minimum Trading Size
1
Trading Time
07:30-23:00 am to pm

Key Figures

Leverage
174.21x
Omega
9.8209x
Moneyness
out of the money
Inner Value
- EUR
Time Value
0.8700 EUR
Impl. Vola.
39.57 %
Distance to Strike
-4,156.5000 Pts
Break-Even
10,913.0000 Pts

Underlying

15,161.50 Pts
-1.35 %

Term to Maturity
104 Days

Top Products on DAX

Local ID Type Strike Omega Maturity Ratio
Call
16,200.000 EUR
65.256x
17.12.2021
0.01
Call
16,000.000 EUR
61.917x
17.12.2021
0.01
Call
16,400.000 EUR
57.982x
17.12.2021
0.01
Call
15,800.000 EUR
54.184x
17.12.2021
0.01
Call
17,000.000 EUR
48.071x
21.01.2022
0.01
Local ID Type Strike StopLoss Leverage Maturity Ratio
Put
- EUR
- EUR
380.46x
26.01.2022
0.01
Call
- EUR
- EUR
125.30x
26.01.2022
0.01
Call
- EUR
- EUR
125.30x
25.03.2022
0.01
Call
- EUR
- EUR
103.85x
26.01.2022
0.01
Call
- EUR
- EUR
103.85x
25.03.2022
0.01

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