Warrant Call OMV AG The product related information contained herein is exclusively for information purposes only, intended for current investors or in case these products are displayed further to an individual search. The information does not constitute a recommendation or an offer to buy or an invitation to make a respective offer in relation to any of the products described herein.
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Name
Call OMV AG
ISIN / WKN
AT0000A3R5Y1 / RC1KQU
Underlying
Capital protection amount
-
Participation factor
-
Cap
unlimited
Coupon p.a. in %
0.00%
Underlying price
EUR 46.42 (+0.13%)
Dec 18, 2025 09:41:16.404
Starting value
EUR 0.00
Strike
EUR 60.00
Denomination / nominal
1 unit
About the term
Initial valuation date
Dec 17, 2025
Issue date
Dec 18, 2025
Final valuation date
Mar 19, 2027
Maturity date
Mar 24, 2027
Product classification
Leverage Product without Knock-Out
Security type (eusipa Nr.)
Warrant (2100)
Warrant Type
Call without Cap
Underlying
Country / region of underlying
Austria
Suited market expectation
bullish
Issue price
-
Spread homogenised
0.30
Spread in %
37.50%
Underlying currency
EUR
Settlement method
Cash settlement
Tax treatment
Capital Gains Tax / No EU Withholding Tax
Public offer in
Austria, Germany, Italy, Hungary, Poland, Czech Republic, Slovakia, Bulgaria, Croatia, Liechtenstein, Romania, Slovenia
Agio in %
31.35%
Agio p.a. in %
24.15%
Leverage
42.20
Intrinsic Value
EUR 0.00
Time value
EUR 0.08
Break even
EUR 60.85
Moneyness
0.77
Historic volatility 30 days
16.64%
Historic volatility 250 days
22.65%
Omega
8.2248
Delta
0.1504
Gamma
0.0019
Vega
0.0119
Theta
-0.0002
Rho
0.0065
Product info
Comments