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Last update time: 31/10/2025 16:20 (15 minutes delayed)
Terms
Code 17363 Compare
Name CI-HSBC@EP2606A
Underlying HSBC HOLDINGS
Type Put
Issuer CI
Warrants Price(HKD) 0.031  
Strike 81.500   0.000
Maturity Date(D/M/Y) 23/06/2026  
Conversion Ratio 50  
Board Lot 20,000  
Total Issue(M) 100  
Last Trading Date(D/M/Y) 17/06/2026  
Time to Maturity(Days) 235day(s)  
Daily Theta (%) -0.89  
Indicators
Implied Volatility(%) 32.30 %  
Delta(%) 10.24 %  
30 Hist. Vol (30-days)(%) 26.277 %  
Gearing(X) 69.74 X  
Effective Gearing(X) 7.14 X  
Premium(%) 26.04 %  
Sync Index (%) 0  
Outstanding Qty(M) 3.74  
Outstanding Qty(%) 3.74 %  
Moneyness 24.61 OTM
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