Hướng dẫn sử dụng

CW MBB/9M/SSI/C/EU/Cash-14 (HOSE: CMBB2309)

Trading suspension

850

(%)
05/02/2024 15:00

Open850

High910

Low800

Highest(Listed)1,780

Lowest(Listed)380

Vol621,100

Foreign Buy-

Foreign Sell-

Outst. shares35,000,000

Time to maturity-

Underlying price22,400

Exercise price19,000

Break Even **22,400

S-X *3,400

MoneynessITM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Trending: HPG (93,537) - NVL (93,478) - DIG (63,052) - MWG (60,108) - FPT (50,219)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (MBB)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CMBB23063,330 (0.00%)6,9005,20723,185ACBS12 months
CMBB23121,970-10 (-0.51%)238,0003,10023,440HCM12 months
CMBB231492010 (+1.10%)661,5002,60023,680SSI10 months
CMBB23151,290-10 (-0.77%)241,4002,60025,160SSI15 months
CMBB2317710-30 (-4.05%)222,2002,60023,550VND9 months
CMBB23181,500 (0.00%)3,5004,60024,000VND10 months
CMBB24011,54040 (+2.67%)8002,60023,080VCI6 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
CACB2305890-10 (-1.11%)249,30027,7003,70029,34012 months
CFPT23133,42040 (+1.18%)231,500131,00031,000134,20010 months
CFPT23144,010 (0.00%)159,300131,00031,000140,10015 months
CHPG233184010 (+1.20%)1,446,00030,4502,45033,04012 months
CHPG2332830-10 (-1.19%)125,70030,4501,95033,48013 months
CHPG2333850-10 (-1.16%)121,60030,4501,45034,10014 months
CHPG2334690-10 (-1.43%)1,738,50030,45095035,02015 months
CMBB231492010 (+1.10%)661,50022,6002,60023,68010 months
CMBB23151,290-10 (-0.77%)241,40022,6002,60025,16015 months
CMSN2313830 (0.00%)33,10070,800-9,20088,30012 months
CMWG23131,870-90 (-4.59%)971,30058,9008,90061,22010 months
CMWG23141,420-40 (-2.74%)3,061,80058,9006,90066,20015 months
CSTB2327170-20 (-10.53%)318,40027,600-4,40033,02010 months
CSTB2328470 (0.00%)75,50027,600-5,40036,76015 months
CTCB23101,870-30 (-1.58%)688,40048,50013,50049,96012 months
CVHM2313330-10 (-2.94%)98,40040,350-9,65053,30012 months
CVIB2304920-40 (-4.17%)541,20021,5502,67122,35310 months
CVIB2305630-20 (-3.08%)844,80021,55078324,33515 months
CVIC2308280-20 (-6.67%)634,80045,000-5,00052,80010 months
CVIC2309360-20 (-5.26%)895,60045,000-7,00055,60012 months
CVNM2310220-10 (-4.35%)8,30066,500-11,89880,55410 months
CVNM2311520-20 (-3.70%)849,90066,500-11,89883,49415 months
CVPB2314160 (0.00%)426,10018,500-4,37623,48610 months
CVPB2315270-10 (-3.57%)714,70018,500-4,85224,89715 months
CVRE2315210 (0.00%)421,10022,500-7,50031,68012 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:9 months
Publish date:08/04/2023
Listing date:08/22/2023
First trading date:08/24/2023
Final trading day:05/02/2024
Maturity Date:05/06/2024
Conversion Ratio:4 : 1
Offering Price:1,000
Exercise price:19,000
Listed Shares:35,000,000
Outstanding Shares:35,000,000
Documents:Prospectus
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