Filtres: Produits Dérivés

Place boursière

Emetteur

Type de produit

Type

Maturité

Disponible seulement pour les produits à effet de levier

Levier / Elasticité

Filtres: Sous-jacent

OU

Type de valeur

Pays de la valeur

Indices & Marchés

Mes Listes

49 Produits Dérivés

8d0532a72ab56.zOEwZH5tGsmLqYX3Lk0hv2FAtJnDN9cSCRfflGgXj2w.gJFpIx0vd_7-yv-PbQBxjlBw8d2AZZFjJGeS_xxF5jz51wADKhRJpPPKzA
MnemoSous-jacentVaria.TypeType de produit Maturité Elasticité Levier ParitéCoursEmetteur
-1,91% CALL Warrants 28/06/2024 - 50

0.19

0.25

ZKB
-1,91% CALL Warrants 28/06/2024 35.76x - 50

0.035

0.025

ZKB
-1,91% CALL Warrants 28/06/2024 24.83x - 50

0.11

0.1

ZKB
-1,91% CALL Warrants 28/06/2024 26.67x - 50

0.015

0.005

ZKB
-1,91% CALL Obligations Convertibles 17/06/2024 - 0.185

103.59

102.99

ZKB
-1,91% CALL Warrants 28/06/2024 29.85x - 50

0.02

0.01

ZKB
-1,91% CALL Certificats Bonus 19/06/2024 0.68x 1

101.82

102.06

ZKB
-1,91% CALL Obligations Convertibles 05/07/2024 - 0.13

105.03

104.43

ZKB
-1,91% CALL Obligations Convertibles 03/07/2024 - 0.13

107.24

106.64

ZKB
-1,91% CALL Obligations Convertibles 29/07/2024 - 0.193

103

102.4

ZKB
-1,91% CALL Obligations Convertibles 25/07/2025 - 1

103.07

102.57

ZKB
-1,91% CALL Obligations Convertibles 26/07/2024 - 0.194

103.12

102.52

ZKB
-1,91% CALL Obligations Convertibles 14/08/2024 - 0.141

104.78

104.18

ZKB
-1,91% CALL Warrants 27/09/2024 11.72x - 50

0.14

0.13

ZKB
-1,91% CALL Warrants 27/09/2024 15.64x - 50

0.04

0.03

ZKB
-1,91% CALL Obligations Convertibles 28/08/2024 - 0.133

103.9

103.4

ZKB
-1,91% CALL Obligations Convertibles 25/02/2025 - 0.12

98.96

98.26

ZKB
-1,91% CALL Warrants 27/09/2024 15.61x - 50

0.02

0.01

ZKB
-1,91% CALL Obligations Convertibles 04/10/2024 - 0.174

103.33

102.83

ZKB
-1,91% CALL Obligations Convertibles 14/04/2025 - 0.132

104.71

104.21

ZKB
-1,91% CALL Obligations Convertibles 28/10/2024 - 0.168

102.24

101.64

ZKB
-1,91% CALL Obligations Convertibles 27/11/2024 - 1

93.72

93.75

ZKB
-1,91% CALL Obligations Convertibles 23/12/2024 - 0.195

110.6

110.1

ZKB
-1,91% CALL Warrants 27/01/2025 9.12x - 50

0.13

0.12

ZKB
-1,91% CALL Warrants 27/01/2025 11.5x - 50

0.045

0.035

ZKB
-1,91% CALL Obligations Convertibles 10/01/2025 - 0.154

107.09

106.59

ZKB
-1,91% CALL Warrants 27/01/2025 8.1x - 50

0.23

0.22

ZKB
-1,91% CALL Obligations Convertibles 03/02/2025 - 0.159

108.61

108.11

ZKB
-1,91% CALL Warrants 27/01/2025 10.46x - 50

0.075

0.065

ZKB
-1,91% CALL Warrants 27/01/2025 8.36x - 50

0.18

0.17

ZKB
-1,91% CALL Warrants 27/09/2024 13.97x - 50

0.085

0.075

ZKB
-1,91% CALL Warrants 28/03/2025 7.05x - 50

0.23

0.22

ZKB
-1,91% CALL Warrants 28/03/2025 8.46x - 50

0.13

0.12

ZKB
-1,91% CALL Obligations Convertibles 12/02/2025 - 0.172

100

99.3

ZKB
-1,91% CALL Obligations Convertibles 22/08/2025 - 0.184

106.39

105.89

ZKB
-1,91% CALL Obligations Convertibles 18/02/2025 - 1

87.92

83.65

ZKB
-1,91% CALL Obligations Convertibles 04/03/2025 - 0.175

106.39

105.89

ZKB
-1,91% CALL Obligations Convertibles 26/02/2025 - 1

103.3

102.8

ZKB
-1,91% CALL Obligations Convertibles 26/02/2025 - 1

103.7

103.2

ZKB
-1,91% CALL Warrants 28/03/2025 5.99x - 50

0.36

0.35

ZKB