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13265 (HSBC Put)

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Last Price
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Bid (Delayed*)
-
Ask (Delayed*)
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  • Open
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  • High
    -
  • Low
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  • Previous Close
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  • Turnover
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Underlying (Delayed*)
Ref. Price as at 4pm previous day
89.95
Day close as at
90.00
Change
+0.05
Last Update:     |     (Delayed*) - At least delayed by 15 minutes
Trading Day
Expiry Date 2025-09-23
Last Trading Day 2025-09-17
Days to Maturity 200
Listing Day 2025-01-24
250 (Trading Days)
1000(Trading Days)

Terms

  • Underlying
    HSBC
  • Warrant Type
    Standard
  • Call/Put
    Put
  • Strike
    62.45
  • Moneyness(%)
    29 OTM
  • Last Trading Day
    (Y-M-D)
    2025-09-17
  • Expiry Date
    (Y-M-D)
    2025-09-23
  • Days to Maturity
    200 Day(s)
  • Daily Theta
    (%)
    -1.28%
  • Entitlement Ratio
    10
  • Lot size
    4,000
  • Listing Day
    (Y-M-D)
    2025-01-24
  • Premium(%)
    29.80%
  • Breakeven Point
    61.74
  • Effective Gearing(x)
    8.4 X
  • Gearing(x)
    123.9 X
  • Delta(%)
    6.8%
  • Implied Volatility(%)
    33.07%
  • IV Sensitivity
    (%)
    12.68%
  • 10 Days Historical
    Stock Volatility(%)
    16.34%
  • 30 Days Historical
    Stock Volatility(%)
    14.56%
  • Outstanding Qty
    1.80 M
  • Outstanding Qty(%)
    2.57%
  • Outstanding Qty
    Day Change
    -1,396,000
Last Update:     |     (Delayed*) - At least delayed by 15 minutes
13265 Intraday Chart
Previous Close()
Last Update: 2025-03-07 16:35
HSBC Intraday Chart
Previous Close()
Last Update: 2025-03-07 16:35
13265 vs Market Average
  • Average Bid Ask
    Spread
    SG
    1.35
    Market
    2.81
  • 1 tick Spread
    Duration(%)
    SG
    66.13
    Market
    30.01
  • Liquidity
    (Equivalent shares)
    SG
    52K
    Market
    210K
Last Update: 2025-03-07 15:55
Remarks:
Under the following circumstances, the relevant data of the warrants may be displayed as "N/A":

-when the warrant is close to the expiry date
-when the warrant is far in-the-money or far out-the-money
-when the delta is less than 10% or greater than 90%