Certificate ZUERCHER KANTONALBANK P/WTS 25/03/26(TROY OUN)USD
Change-0.01 (-20.00%) Bid0.040 CHF Ask0.050 CHF Underlying price- Last updateDec 11, 2025
20:50:00.051
UTC
Product classification
Warrants
ISIN
CH1446476959
WKN
144647695
Underlying
Underlying price
-
Underlying date/time
Dec 12, 2025
22:00:01.138
Strike
-
Cap
-
Country underlying
-
Issue date
May 26, 2025
Maturity date
open-end
Denomination / nominal
-
Multiplier
-
Currency
CHF
Implied volatility
-
Quanto
no
Listing
SIX Structured Products Exchange
Spread
0.01
Spread homogenised
0.01
Spread in %
25.00%
Issue price
-
Initial valuation date
May 26, 2025
Final valuation date
-
Starting value
3,342.63
Settlement method
Cash settlement
Multiplier
-
Product currency
CHF
Underlying currency
USD
Tax treatment
-
Security type (eusipa Nr.)
Warrants (1130)
Warrants - type
PLAIN VANILLA
Agio in %
-
Agio p.a. in %
-
Leverage
-
Intrinsic Value
CHF 0.00
Time value
CHF 0.04
Break even
-
Moneyness
-
Implied volatility
-
Historic volatility 30 days
13.79%
Historic volatility 250 days
18.45%
Omega
-
Delta
-
Gamma
-
Vega
-
Theta
-
Rho
-