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Put Warrants on Allianz SE

  • Valor 46534895
  • ISIN CH0465348958
  • Symbol ALVXJB
  • SVSP Category Leverage
  • SVSP Type Warrants








as of:
Distance to strike (%) 18.40%
Intrinsic value 0.00
Delta -0.037
Leverage 12.17
Gearing 304.15
Implied volatility 33.22%
days to maturity 59
SSPA VaR* n.a.
SSPA RiskRating* n.a.

*All statements without guarantee.

Daily high (bid) 0.01
Daily low (bid) 0.01
Initial fixing date 01/03/2019
Issue date 01/03/2019
Maturity date 20/12/2019
Redemption date 30/12/2019
Last trading day 20/12/2019
Issuer Bank Julius Baer & Co. AG, Zurich
Underlying Allianz SE
Issue price 0.26
Currency CHF
Listing Yes
Ratio 40:1
Strike 180
Break-even 179.20
Payment Scenario Warrants
market expectation
  • Warrant (Call): Rising underlying, rising volatility
  • Warrant (Put): Falling underlying, rising volatility
  • Small investment generating a leveraged performance relative to the underlying
  • ncreased risk of total loss (limited to initial investment)
  • Suitable for speculation or hedging
  • Daily loss of time value (increases as product expiry approaches) -Continuous monitoring required

Allianz SE

  • Ticker SymbolALV GY
  • Valor322646
  • ISINDE0008404005

221.00 EUR

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