Hướng dẫn sử dụng

CW.MSN.KIS.M.CA.T.08 (HOSE: CMSN2014)

Trading suspension

390

-110 (-22%)
02/26/2021 15:00

Open260

High490

Low260

Highest(Listed)3,790

Lowest(Listed)260

Vol291,100

Foreign Buy9,980

Foreign Sell2,340

Outst. shares2,500,000

Time to maturity-

Underlying price90,300

Exercise price87,878

Break Even **90,692

S-X *3,462

MoneynessITM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Trending: HPG (45,070) - DIG (36,985) - NVL (35,814) - MWG (35,760) - FPT (30,646)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (MSN)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CMSN2302950190 (+25%)326,7003,80071,700ACBS12 months
CMSN2307170 (0.00%)57,200-13,19984,699KIS12 months
CMSN231136030 (+9.09%)161,000-18,70091,380HCM12 months
CMSN231378010 (+1.30%)197,200-10,20087,800SSI12 months
CMSN2316580120 (+26.09%)115,600-14,17989,779KIS12 months
CMSN23171,110120 (+12.12%)188,900-17,06895,748KIS15 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted

Peer Issuer (KIS)

CW codeCloseChangeVolumeUnderlying priceS-X*Break Even**Maturity Period
CHPG23151,540-10 (-0.65%)1,80028,65087333,93712 months
CHPG231691020 (+2.25%)323,00028,650-23832,52815 months
CSTB231211010 (+10%)660,90027,550-5,78333,88312 months
CSTB2313250 (0.00%)425,90027,550-8,00536,80515 months
CHDB23061,48060 (+4.23%)115,30024,4505,10924,49412 months
CHPG231940050 (+14.29%)236,30028,650-1,46131,71112 months
CMSN2307170 (0.00%)57,20069,800-13,19984,69912 months
CNVL2305810-30 (-3.57%)2,70014,600-2,39920,23912 months
CPDR23052,060110 (+5.64%)22,40026,9506,72828,46212 months
CPOW230670 (0.00%)214,80010,950-5,04916,13912 months
CSTB23169010 (+12.50%)320,20027,550-8,78336,78312 months
CVHM23075010 (+25%)133,60041,100-21,56663,06612 months
CVIC2306240 (0.00%)26,10044,450-17,77264,14212 months
CVNM2306260-20 (-7.14%)18,50065,600-6,10774,17512 months
CVRE2308220-80 (-26.67%)6,70023,400-7,93332,43312 months
CHPG2337530110 (+26.19%)20,10028,650-1,01631,7869 months
CHPG233890070 (+8.43%)271,40028,650-1,34933,59912 months
CHPG23392,960260 (+9.63%)8,00028,650-1,57236,14215 months
CMSN2316580120 (+26.09%)115,60069,800-14,17989,77912 months
CMSN23171,110120 (+12.12%)188,90069,800-17,06895,74815 months
CPOW2313210-10 (-4.55%)175,70010,950-1,93813,3089 months
CPOW2314480-20 (-4%)397,30010,950-2,16114,07112 months
CPOW2315700-20 (-2.78%)57,00010,950-2,50614,85615 months
CSHB2303500-40 (-7.41%)41,90011,600-74513,3459 months
CSHB2304290-10 (-3.33%)44,90011,600-6613,1169 months
CSHB2305320-10 (-3.03%)29,70011,600-95514,15512 months
CSHB23061,170-30 (-2.50%)177,90011,600-1,17715,11715 months
CSTB2331100 (0.00%)27,550-7,44935,4999 months
CSTB2332260-10 (-3.70%)345,00027,550-8,33837,18812 months
CSTB23331,340-20 (-1.47%)510,40027,550-8,56138,79115 months
CTPB2305260-40 (-13.33%)198,50017,500-1,83320,3739 months
CTPB23061,090-30 (-2.68%)474,00017,500-2,38822,06812 months
CVHM2316110-10 (-8.33%)100,10041,100-10,13452,1149 months
CVHM2317340-20 (-5.56%)787,90041,100-11,24555,06512 months
CVHM2318820-170 (-17.17%)84,40041,100-12,35657,55615 months
CVIC2312140-20 (-12.50%)162,30044,450-7,89553,7459 months
CVIC2313390-20 (-4.88%)1,178,20044,450-9,00657,35612 months
CVIC23141,270-10 (-0.78%)208,90044,450-10,11760,91715 months
CVNM231443010 (+2.38%)222,60065,600-19,54888,51912 months
CVNM23151,47050 (+3.52%)38,20065,600-21,50892,87015 months
CVPB2317120 (0.00%)56,20018,400-4,47523,3329 months
CVPB2318300 (0.00%)1,178,80018,400-5,01624,56012 months
CVPB23191,19020 (+1.71%)130,60018,400-5,54626,21515 months
CVRE2318160 (0.00%)50023,400-7,59931,6399 months
CVRE231926050 (+23.81%)1,192,20023,400-8,37732,81712 months
CVRE23201,120130 (+13.13%)89,60023,400-8,93334,57315 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Underlying stock:MSN
Underlying Issuer:Masan Group Corporation (HOSE: MSN)
CW Issuer:KIS Vietnam Securities Corporation (KIS)
CW Type:Call
CW Style:European-style
Settlement Type:Cash-settled
Maturity Period:4 months
Publish date:11/03/2020
Listing date:11/30/2020
First trading date:12/02/2020
Final trading day:02/26/2021
Maturity Date:03/02/2021
Conversion Ratio:10 : 1
Conversion Ratio Adjust:9.8817 : 1
Offering Price:1,100
Exercise price:87,878
Exercise price adjust:86,838
Listed Shares:2,500,000
Outstanding Shares:2,500,000
Documents:Prospectus
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