Hướng dẫn sử dụng

CW.VNM.KIS.M.CA.T.25 (HOSE: CVNM2313)

Trading suspension

20

10 (+100%)
05/02/2024 15:00

Open10

High20

Low10

Highest(Listed)760

Lowest(Listed)10

Vol450,100

Foreign Buy370,900

Foreign Sell-

Outst. shares3,000,000

Time to maturity-

Underlying price65,400

Exercise price83,979

Break Even **82,493

S-X *-16,897

MoneynessOTM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
View with CVNM2313: CVNM2310 CVNM2314 CVNM2315 KIS CVNM2312
Trending: HPG (90,612) - NVL (84,653) - DIG (67,266) - MWG (61,916) - FPT (51,811)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (VNM)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CVNM2306260-30 (-10.34%)77,300-5,10774,175KIS12 months
CVNM2310230 (0.00%)450,900-11,79880,652SSI10 months
CVNM2311540-20 (-3.57%)922,900-11,79883,690SSI15 months
CVNM2314450-30 (-6.25%)75,800-18,54888,676KIS12 months
CVNM23151,540-120 (-7.23%)3,500-20,50893,145KIS15 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
CHPG23151,400350 (+33.33%)12,20030,4502,67333,37712 months
CHPG23161,210-20 (-1.63%)122,10030,4501,56233,72815 months
CSTB2312100 (0.00%)91,50027,800-5,53333,83312 months
CSTB2313250-20 (-7.41%)353,40027,800-7,75536,80515 months
CHDB23061,420-110 (-7.19%)124,00023,7004,35924,28512 months
CHPG2319590-50 (-7.81%)39,30030,45033932,47112 months
CMSN2307180 (0.00%)10,20071,400-11,59984,79912 months
CNVL2305470-70 (-12.96%)76,40013,750-3,24918,87912 months
CPDR23052,070-100 (-4.61%)19,70026,8506,62828,50212 months
CPOW230670 (0.00%)11,100-4,89916,13912 months
CSTB23165010 (+25%)49,40027,800-8,53336,58312 months
CVHM23075010 (+25%)104,40040,950-21,71663,06612 months
CVIC2306100-70 (-41.18%)38,90045,400-16,82263,02212 months
CVNM2306260-30 (-10.34%)77,30066,600-5,10774,17512 months
CVRE2308200 (0.00%)22,850-8,48332,33312 months
CHPG2337700-100 (-12.50%)45,30030,45078432,4669 months
CHPG23381,140-50 (-4.20%)320,10030,45045134,55912 months
CHPG23393,430-80 (-2.28%)1,40030,45022837,08215 months
CMSN2316620-30 (-4.62%)322,70071,400-12,57990,17912 months
CMSN23171,180-20 (-1.67%)289,00071,400-15,46896,30815 months
CPOW2313200 (0.00%)162,20011,100-1,78813,2889 months
CPOW2314490-10 (-2%)792,30011,100-2,01114,09112 months
CPOW2315710 (0.00%)400,40011,100-2,35614,87615 months
CSHB2303480-60 (-11.11%)1,087,80011,750-59513,3059 months
CSHB2304310-40 (-11.43%)14,10011,7508413,2169 months
CSHB2305330 (0.00%)20011,750-80514,20512 months
CSHB23061,170-70 (-5.65%)387,40011,750-1,02715,11715 months
CSTB2331100-10 (-9.09%)1,10027,800-7,19935,4999 months
CSTB2332260-20 (-7.14%)433,80027,800-8,08837,18812 months
CSTB23331,330-10 (-0.75%)534,00027,800-8,31138,77115 months
CTPB230532040 (+14.29%)63,60018,150-1,18320,6139 months
CTPB23061,17080 (+7.34%)274,80018,150-1,73822,22812 months
CVHM2316100 (0.00%)103,20040,950-10,28452,0349 months
CVHM2317310-20 (-6.06%)1,509,90040,950-11,39554,82512 months
CVHM231890040 (+4.65%)5,30040,950-12,50657,95615 months
CVIC2312230100 (+76.92%)74,40045,400-6,94554,6459 months
CVIC231342020 (+5%)452,90045,400-8,05657,65612 months
CVIC23141,27050 (+4.10%)1,083,50045,400-9,16760,91715 months
CVNM2314450-30 (-6.25%)75,80066,600-18,54888,67612 months
CVNM23151,540-120 (-7.23%)3,50066,600-20,50893,14515 months
CVPB2317100-10 (-9.09%)6,60018,750-4,12523,2569 months
CVPB231832020 (+6.67%)409,30018,750-4,66624,63612 months
CVPB23191,20040 (+3.45%)590,30018,750-5,19626,23415 months
CVRE231820060 (+42.86%)180,60022,850-8,14931,7999 months
CVRE2319220-20 (-8.33%)68,20022,850-8,92732,65712 months
CVRE2320910-70 (-7.14%)555,70022,850-9,48334,15315 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Underlying stock:VNM
Underlying Issuer:Viet Nam Dairy Products Joint Stock Company (HOSE: VNM)
CW Issuer:KIS Vietnam Securities Corporation (KIS)
CW Type:Call
CW Style:European-style
Settlement Type:Cash-settled
Maturity Period:7 months
Publish date:10/04/2023
Listing date:11/01/2023
First trading date:11/03/2023
Final trading day:05/02/2024
Maturity Date:05/06/2024
Conversion Ratio:10 : 1
Conversion Ratio Adjust:9.7998 : 1
Offering Price:1,100
Exercise price:83,979
Exercise price adjust:82,297
Listed Shares:3,000,000
Outstanding Shares:3,000,000
Documents:Prospectus
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