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CW MBB/6.5M/SSI/C/EU/Cash-02 (HOSE: CMBB1903)

Trading suspension

10

-10 (-50%)
04/20/2020 15:00

Open20

High20

Low10

Highest(Listed)4,400

Lowest(Listed)10

Vol122,770

Foreign Buy-

Foreign Sell-

Outst. shares3,000,000

Time to maturity-

Underlying price16,650

Exercise price22,000

Break Even **22,010

S-X *-5,350

MoneynessOTM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Trending: HPG (46,648) - MWG (39,706) - DIG (37,687) - NVL (35,292) - FPT (31,641)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (MBB)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CMBB23063,250-10 (-0.31%)124,7005,00723,046ACBS12 months
CMBB23121,940 (0.00%)343,2002,90023,380HCM12 months
CMBB2314890 (0.00%)317,6002,40023,560SSI10 months
CMBB23151,250-20 (-1.57%)335,7002,40025,000SSI15 months
CMBB2317680-10 (-1.45%)283,5002,40023,400VND9 months
CMBB23181,48030 (+2.07%)20,0004,40023,920VND10 months
CMBB24011,500-50 (-3.23%)29,0002,40023,000VCI6 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted

Peer Issuer (SSI)

CW codeCloseChangeVolumeUnderlying priceS-X*Break Even**Maturity Period
CACB2305840 (0.00%)1,057,50027,5003,50029,04012 months
CFPT23132,960-150 (-4.82%)382,700125,90025,900129,60010 months
CFPT23143,600-130 (-3.49%)503,000125,90025,900136,00015 months
CHPG233166060 (+10%)3,245,90028,65065031,96012 months
CHPG233265030 (+4.84%)293,30028,65015032,40013 months
CHPG233369060 (+9.52%)354,10028,650-35033,14014 months
CHPG233456010 (+1.82%)2,050,90028,650-85033,98015 months
CMBB2314890 (0.00%)317,60022,4002,40023,56010 months
CMBB23151,250-20 (-1.57%)335,70022,4002,40025,00015 months
CMSN231378010 (+1.30%)197,20069,800-10,20087,80012 months
CMWG23131,62060 (+3.85%)1,351,40055,7005,70059,72010 months
CMWG23141,25040 (+3.31%)1,336,30055,7003,70064,50015 months
CSTB2327230-60 (-20.69%)215,40027,550-4,45033,38010 months
CSTB232848010 (+2.13%)110,80027,550-5,45036,84015 months
CTCB23101,82090 (+5.20%)883,20048,20013,20049,56012 months
CVHM2313320 (0.00%)118,40041,100-8,90053,20012 months
CVIB2304870-40 (-4.40%)620,20021,2002,32122,16410 months
CVIB2305610-40 (-6.15%)1,445,80021,20043324,22215 months
CVIC2308230-20 (-8%)191,40044,450-5,55052,30010 months
CVIC2309330 (0.00%)267,10044,450-7,55055,30012 months
CVNM2310240-20 (-7.69%)55,50065,600-12,79880,75010 months
CVNM231150030 (+6.38%)452,40065,600-12,79883,29815 months
CVPB231417010 (+6.25%)306,90018,400-4,47623,52410 months
CVPB2315260 (0.00%)316,90018,400-4,95224,83915 months
CVRE231523020 (+9.52%)687,90023,400-6,60031,84012 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Underlying stock:MBB
Underlying Issuer:Military Commercial Joint Stock Bank (HOSE: MBB)
CW Issuer:SSI Securities Corporation (SSI)
CW Type:Call
CW Style:European-style
Settlement Type:Cash-settled
Maturity Period:6 months
Publish date:10/07/2019
Listing date:10/22/2019
First trading date:10/24/2019
Final trading day:04/20/2020
Maturity Date:04/22/2020
Conversion Ratio:1 : 1
Offering Price:4,000
Exercise price:22,000
Listed Shares:3,000,000
Outstanding Shares:3,000,000
Documents:Prospectus
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