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WTI Crude Oil Future Knock-Out Warrant Call

Bid (CHF)
*
37.16
Bid volume 37,300
Ask (CHF)
*
37.17
Ask volume 37,300
% day
*
-0.24 %
Underlying (USD)
*
70.13
Leverage
*
1.68
Stop loss (USD)
28.472
Fin. level 28.472
Ratio
1
*
Updated: 22 Nov. 2024 @ 08:06:17
*
Updated: 22 Nov. 2024 @ 08:07:05

Product chart

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  Current situation New situation Difference
Reference rate 70.130 - -
Financing Level 28.472 -
Stop loss level 28.472 -
Distance to Stop loss (in %) 59.40 % - -
Position Value (CHF) 36.95 - -
Knock-Out Warrant (open end) (CHF) 36.95 - -

The prices shown in the calculator are indicative and do not reflect current or future prices. The calculator assumes a constant financing cost percentage while this percentage may in fact change continuously. The returns on products with an underlying asset that quotes in a different currency can be influenced by exchange rate effects. The calculator does not take into account the difference between bid and offer prices (the spread) and any dividends (and dividend tax). This calculator assumes a constant Gap risk premium, but in reality it can change at any time and therefore have a negative or positive effect on the return. The "Indicative Gap Risk premium" calculated is based on the current bid price and may differ from the actual Gap risk premium. The influence of the periodic rolling of futures is also not taken into account in the calculator. Due to rounding off, displayed values ​​can also deviate from the development of values ​​in reality.

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The underlying prices shown are not real-time prices, i.e. they are delayed due to legal requirements of the data provider. As a consequence, the price of the product on a specific underlying may substantially differ from the price of the product that you would expect on the basis of the underlying price displayed. The published bid and ask prices for products on our website are indicative bid and ask prices of BNP Paribas. These prices may differ from the current (bid and ask) prices on SIX Swiss Exchange or Swiss DOTS. In addition, this website does not display any (bid and ask) prices of other parties. For current (bid and ask) prices, consult the order book of your price information system, or contact your bank or broker. BNP Paribas is in no way liable for the consequences of delayed or incorrect (price) information on our website. ** Based on the highest or lowest price published on this website during the day. *** Based on the daily closing prices. The daily closing price is the average of the last bid and ask price of BNP Paribas of the day. For more information, read the general brochure, the product documentation or call us on 058 212 6850.

Underlying currency
USD
Product currency
CHF
Issue date
7 Jan. 2021
Maturity
Open end
Underlying type
Commodities
Stop loss reset date
Daily
Current future
January 2025
Financing costs ***
4.50 %
% until stop loss
59.40 %
Swiss DOTS
08:00 - 22:00
SSPA class
2200
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