CW TCB-HSC-MET10 (HOSE: CTCB2215)
1,840
Open1,860
High1,860
Low1,840
Highest(Listed)2,700
Lowest(Listed)1,030
Vol38,500
Foreign Buy-
Foreign Sell-
Outst. shares10,000,000
Time to maturity-
Underlying price34,000
Exercise price26,500
Break Even **33,860
S-X *7,500
MoneynessITM
Moneyness
Peer Underlying Stock (TCB)
CW code | Close | Change | Volume | S-X* | Break Even** | CW Issuer | Maturity Period |
---|---|---|---|---|---|---|---|
CTCB2302 | 7,040 | 30 (+0.43%) | 5,300 | 21,350 | 48,120 | ACBS | 12 months |
CTCB2307 | 3,950 | 100 (+2.60%) | 32,300 | 14,350 | 49,800 | HCM | 12 months |
CTCB2309 | 4,860 | 160 (+3.40%) | 23,200 | 13,350 | 49,580 | BSI | 12 months |
CTCB2310 | 1,890 | 70 (+3.85%) | 582,600 | 13,350 | 50,120 | SSI | 12 months |
CTCB2312 | 5,240 | 140 (+2.75%) | 11,500 | 15,750 | 48,320 | VPBankS | 7 months |
CTCB2401 | 6,910 | 310 (+4.70%) | 1,100 | 14,350 | 47,820 | VCI | 6 months |
Peer Issuer (HCM)
CW code | Close | Change | Volume | Underlying price | S-X* | Break Even** | Maturity Period |
---|---|---|---|---|---|---|---|
CFPT2310 | 5,640 | 270 (+5.03%) | 56,400 | 127,600 | 43,088 | 129,124 | 12 months |
CHPG2329 | 1,250 | 150 (+13.64%) | 519,700 | 29,300 | 300 | 31,500 | 12 months |
CMBB2312 | 2,050 | 110 (+5.67%) | 116,300 | 22,900 | 3,400 | 23,600 | 12 months |
CMSN2311 | 350 | -10 (-2.78%) | 149,600 | 71,100 | -17,400 | 91,300 | 12 months |
CMWG2310 | 1,770 | 280 (+18.79%) | 110,900 | 58,300 | 3,800 | 63,350 | 12 months |
CSTB2325 | 570 | 120 (+26.67%) | 6,800 | 28,100 | -3,400 | 33,780 | 12 months |
CTCB2307 | 3,950 | 100 (+2.60%) | 32,300 | 48,350 | 14,350 | 49,800 | 12 months |
CVHM2311 | 200 | 10 (+5.26%) | 260,200 | 41,150 | -19,350 | 61,500 | 12 months |
CVPB2312 | 620 | 20 (+3.33%) | 345,000 | 18,750 | -1,266 | 21,198 | 12 months |
CVRE2313 | 220 | -30 (-12%) | 92,100 | 23,350 | -6,150 | 30,380 | 12 months |
Underlying stock: | TCB |
Underlying Issuer: | Vietnam Technological and Commercial Joint Stock Bank (HOSE: TCB) |
CW Issuer: | Ho Chi Minh City Securities Corporation (HCM) |
CW Type: | Call |
CW Style: | European-style |
Settlement Type: | Cash-settled |
Maturity Period: | 9 months |
Publish date: | 12/01/2022 |
Listing date: | 01/13/2023 |
First trading date: | 01/17/2023 |
Final trading day: | 09/01/2023 |
Maturity Date: | 09/05/2023 |
Conversion Ratio: | 4 : 1 |
Offering Price: | 1,700 |
Exercise price: | 26,500 |
Listed Shares: | 10,000,000 |
Outstanding Shares: | 10,000,000 |
Documents: | Prospectus |