Hướng dẫn sử dụng

CW TCB/6M/SSI/C/EU/Cash-05 (HOSE: CTCB2005)

Trading suspension

1,530

-110 (-6.71%)
11/26/2020 15:00

Open1,530

High1,650

Low1,490

Highest(Listed)3,330

Lowest(Listed)610

Vol213,860

Foreign Buy-

Foreign Sell-

Outst. shares3,000,000

Time to maturity-

Underlying price23,600

Exercise price22,000

Break Even **23,530

S-X *1,600

MoneynessITM

(*)S-X: Underlying price - Exercise price adjusted; (**)Exercise price adjusted + Price of CW * Conversion ratio adjusted
Trending: HPG (45,294) - NVL (36,284) - DIG (34,480) - MWG (33,802) - FPT (32,336)
1 day | 5 day | 3 months | 6 months | 12 months

Moneyness

Peer Underlying Stock (TCB)

CW codeCloseChangeVolumeS-X*Break Even**CW IssuerMaturity Period
CTCB23026,64030 (+0.45%)20,70019,85046,920ACBS12 months
CTCB23073,510-400 (-10.23%)28,30012,85048,040HCM12 months
CTCB23094,46050 (+1.13%)31,30011,85048,380BSI12 months
CTCB23101,730-10 (-0.57%)848,50011,85048,840SSI12 months
CTCB23124,760100 (+2.15%)20014,25046,880VPBankS7 months
CTCB24016,080-420 (-6.46%)2,500,20012,85046,160VCI6 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
CACB230584010 (+1.20%)246,00027,0003,00029,04012 months
CFPT23133,110310 (+11.07%)1,090,900127,30027,300131,10010 months
CFPT23143,730280 (+8.12%)970,800127,30027,300137,30015 months
CHPG2331600-20 (-3.23%)1,657,80028,35035031,60012 months
CHPG2332620-30 (-4.62%)532,70028,350-15032,22013 months
CHPG2333630-30 (-4.55%)1,522,60028,350-65032,78014 months
CHPG2334550 (0.00%)377,60028,350-1,15033,90015 months
CMBB2314890-10 (-1.11%)529,70022,4002,40023,56010 months
CMBB23151,270 (0.00%)686,50022,4002,40025,08015 months
CMSN2313770-20 (-2.53%)64,40068,000-12,00087,70012 months
CMWG23131,560100 (+6.85%)609,00055,6005,60059,36010 months
CMWG23141,21070 (+6.14%)585,70055,6003,60064,10015 months
CSTB2327290-40 (-12.12%)24,60027,600-4,40033,74010 months
CSTB2328470-30 (-6%)76,10027,600-5,40036,76015 months
CTCB23101,730-10 (-0.57%)848,50046,85011,85048,84012 months
CVHM231332020 (+6.67%)346,90041,150-8,85053,20012 months
CVIB230491040 (+4.60%)286,30021,4002,52122,31510 months
CVIB230565020 (+3.17%)825,00021,40063324,44815 months
CVIC230825010 (+4.17%)199,70044,400-5,60052,50010 months
CVIC230933010 (+3.13%)135,60044,400-7,60055,30012 months
CVNM2310260 (0.00%)27,70065,400-12,99880,94610 months
CVNM2311470-20 (-4.08%)1,558,20065,400-12,99883,00415 months
CVPB2314160-20 (-11.11%)99,10018,300-4,57623,48610 months
CVPB2315260 (0.00%)140,00018,300-5,05224,83915 months
CVRE2315210-10 (-4.55%)132,20022,750-7,25031,68012 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:6 months
Publish date:05/29/2020
Listing date:06/11/2020
First trading date:06/15/2020
Final trading day:11/26/2020
Maturity Date:11/30/2020
Conversion Ratio:1 : 1
Offering Price:3,000
Exercise price:22,000
Listed Shares:3,000,000
Outstanding Shares:3,000,000
Documents:Prospectus
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