Logo Erste Group Warrant ANDRITZ 21.03.2025
Logo Erste Group Warrant ANDRITZ 21.03.2025

Erste Group Warrant ANDRITZ 21.03.2025

ISINAT0000A3AEC2
Exchange
Erste Group
Price

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Redemption information

The maturity date of the product is on 21/03/2025. The redemption price per unit is 0.00 EUR.

Chart
Combination chart with 2 data series.
The chart has 2 X axes displaying Time, and navigator-x-axis.
The chart has 2 Y axes displaying values, and navigator-y-axis.
End of interactive chart.

Performance over a period of less than 12 months is not very meaningful due to its short duration. Past performance does not allow reliable conclusions to be drawn about the future development of a financial instrument. Performance does not take into account any commissions, fees or other charges that have the effect of reducing returns on price development. Source: FactSet

Product profile

Product typeWarrants
SubtypePut
IssuerErste Group Bank AG
UnderlyingANDRITZ AG
Underlying ISINAT0000730007
Multiplier0.1
Maturity21/03/2025
CurrencyEUR
Repayment value0.00 EUR

General attributes

Issue date02/02/2024
Strike price48.00 EUR
Underlying price66.60 EUR
QuantoNein
Start price product1.17 EUR
Exercise styleAmerican

  

  

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Quelle: FactSet Financial data and analysis. Provision of financial market analyses and forecasts through Erste Group Bank AG.