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Axa Factor 10x Long Certificate

Bid (CHF)
*
4.45
Bid volume 453
Ask (CHF)
*
4.59
Ask volume 453
% day
*
-4.30 %
Underlying (EUR)
*
34.205
Leverage
10.00
*
Updated: 22 Nov. 2024 @ 21:01:10
*
Updated: 22 Nov. 2024 @ 21:01:09

Product chart

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Date Reset type Cash value Reset threshold Reference price (last reset)
22 Nov. 2024 18:50 End of day 4.69 31.013 34.08
21 Nov. 2024 18:14 End of day 4.87 31.122 34.2
20 Nov. 2024 18:19 End of day 4.64 30.967 34.03
19 Nov. 2024 18:11 End of day 4.66 30.976 34.04
18 Nov. 2024 18:21 End of day 4.97 31.168 34.25
15 Nov. 2024 18:26 End of day 4.5 30.831 33.88
14 Nov. 2024 18:18 End of day 4.21 30.612 33.64
13 Nov. 2024 18:18 End of day 3.83 30.303 33.3
12 Nov. 2024 18:40 End of day 3.72 30.212 33.2
11 Nov. 2024 18:13 End of day 5.27 31.122 34.2
8 Nov. 2024 18:10 End of day 4.81 30.813 33.86

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
EUR
Product currency
CHF
Issue date
18 Apr. 2024
Maturity
Open end
Cash value
4.69
Reset threshold
31.01
% until reset threshold
9.00 %
Reference price (last reset)
34.08
Exchange rate
1.0735
Underlying type
Shares
Financing costs ***
3.00 %
Swiss DOTS
08:00 - 22:00
SSPA class
2300
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