Hướng dẫn sử dụng

CW TCB/8M/SSI/C/EU/Cash-12 (HOSE: CTCB2112)

Trading suspension

10

(%)
06/29/2022 15:00

Open10

High10

Low10

Highest(Listed)2,140

Lowest(Listed)10

Vol397,500

Foreign Buy-

Foreign Sell-

Outst. shares23,000,000

Time to maturity-

Underlying price36,750

Exercise price55,000

Break Even **55,050

S-X *-18,250

MoneynessOTM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Trending: HPG (60,223) - MWG (47,816) - DIG (47,441) - NVL (46,180) - FPT (37,979)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (TCB)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CTCB23026,950-90 (-1.28%)23,80020,90047,850ACBS12 months
CTCB23073,940-10 (-0.25%)17,30013,90049,760HCM12 months
CTCB23094,790-70 (-1.44%)131,50012,90049,370BSI12 months
CTCB23101,860-30 (-1.59%)932,10012,90049,880SSI12 months
CTCB23125,25010 (+0.19%)17,90015,30048,350VPBankS7 months
CTCB24016,810-100 (-1.45%)16,70013,90047,620VCI6 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
CACB2305880 (0.00%)287,90027,6503,65029,28012 months
CFPT23133,400320 (+10.39%)289,700131,30031,300134,00010 months
CFPT23144,010300 (+8.09%)331,200131,30031,300140,10015 months
CHPG2331790110 (+16.18%)2,372,50030,1502,15032,74012 months
CHPG2332820110 (+15.49%)1,407,50030,1501,65033,42013 months
CHPG2333830110 (+15.28%)324,40030,1501,15033,98014 months
CHPG233466070 (+11.86%)1,787,80030,15065034,78015 months
CMBB2314970 (0.00%)219,90022,7502,75023,88010 months
CMBB23151,330-20 (-1.48%)187,60022,7502,75025,32015 months
CMSN2313830 (0.00%)355,50071,200-8,80088,30012 months
CMWG23132,00060 (+3.09%)994,10059,3009,30062,00010 months
CMWG23141,500130 (+9.49%)5,396,00059,3007,30067,00015 months
CSTB2327210-30 (-12.50%)954,60028,300-3,70033,26010 months
CSTB2328470-10 (-2.08%)39,10028,300-4,70036,76015 months
CTCB23101,860-30 (-1.59%)932,10047,90012,90049,88012 months
CVHM2313320 (0.00%)151,50041,050-8,95053,20012 months
CVIB2304960-30 (-3.03%)600,20021,7002,82122,50410 months
CVIB2305670-10 (-1.47%)187,90021,70093324,56115 months
CVIC230829030 (+11.54%)395,30045,000-5,00052,90010 months
CVIC230937020 (+5.71%)429,90045,000-7,00055,70012 months
CVNM231027030 (+12.50%)260,20068,000-10,39881,04410 months
CVNM231159090 (+18%)1,330,70068,000-10,39884,18015 months
CVPB2314170 (0.00%)75,00018,800-4,07623,52410 months
CVPB2315270-10 (-3.57%)612,60018,800-4,55224,89715 months
CVRE2315210-20 (-8.70%)521,80023,350-6,65031,68012 months
(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Underlying stock:TCB
Underlying Issuer:Vietnam Technological and Commercial Joint Stock Bank (HOSE: TCB)
CW Issuer:SSI Securities Corporation (SSI)
CW Type:Call
CW Style:European-style
Settlement Type:Cash-settled
Maturity Period:8 months
Publish date:11/01/2021
Listing date:11/22/2021
First trading date:11/24/2021
Final trading day:06/29/2022
Maturity Date:07/01/2022
Conversion Ratio:5 : 1
Offering Price:1,970
Exercise price:55,000
Listed Shares:23,000,000
Outstanding Shares:23,000,000
Documents:Prospectus
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