Data DEBUG
Request:
https://api.data.payoff.ch/v2/strproducts/CH1530924211 Response:
{
"meta": {
"id": 30712246,
"categoryId": 20,
"subCategoryId": 2100,
"ibtTypeCode": 100002,
"hasMultipleUnderlyings": false,
"numUnderlyings": 1,
"issuerRef": "ZKB",
"hasExtendedTradingHours": true,
"denomination": "1.00000",
"productNameFull": "ZKB Put Warrant, 2026-15.01.2027 auf Bristol-Myers Squibb Co",
"guarantorRef": null
},
"basic": {
"isin": "CH1530924211",
"wkn": null,
"valor": "153092421",
"symbol": "BMYBIZ",
"name": "Put Warrant auf Bristol-Myers Squibb",
"descriptionTemplate": "template-2100-s",
"termsheetUrlDe": "\/termsheets\/CH1530924211_de_20260211_010545.pdf",
"termsheetUrlEn": "\/termsheets\/CH1530924211_en_20260211_011252.pdf"
},
"highlights": {
"strikeLevel": "60",
"leverage": "5.84",
"tradingCurrencyCode": "CHF"
},
"static": {
"categoryName": "Hebelprodukte",
"subCategoryName": "Warrant",
"issuerName": "Zürcher Kantonalbank",
"issuerRatings": "Aaa \/ AAA \/ AAA",
"tradingCurrencyCode": "CHF",
"underlying": "Bristol-Myers Squibb",
"tradingExchangeName": "SIX Structured Products",
"ratio": "5",
"isCollateralised": "Nein",
"issuePrice": "1.29",
"firstTradingDate": "10.02.2026",
"lastTradingDate": "15.01.2027",
"redemptionDate": "25.01.2027",
"paymentType": "bar",
"mgmtFeePa": null,
"isCallable": "Nein",
"isAutoCallable": "Nein",
"direction": "Short",
"strikeLevel": "60"
},
"market": {
"tradingExchangeName": "SIX Structured Products",
"tradingCurrencyCode": "CHF",
"bid": "1.180",
"bidSize": "0",
"ask": "1.190",
"askSize": "0",
"last": "1.180",
"change": "+0.03",
"performanceWeek": "-4.84%",
"performanceYtd": null,
"lastDateTime": "22.04.2026 22:10:00"
},
"chart": [
{
"ttsId": "tts-818515",
"name": "Bristol-Myers Squibb"
}
],
"keyfigures": {
"daysToMaturity": "267",
"distToStrikeRate": "-1.92%"
},
"underlyings": [
{
"isin": "US1101221083",
"valor": "914188",
"name": "Bristol-Myers Squibb",
"symbol": "BMY",
"tradingExchangeName": "SIX Structured Products",
"tradingCurrencyCode": "USD",
"strikeLevel": "60.00",
"bid": "58.85",
"bidSize": "500",
"ask": "59.00",
"askSize": "3'000",
"last": "58.80",
"change": null,
"distToStrikeRate": "-1.92%",
"lastDateTime": "22.04.2026 22:00:02"
}
],
"similars": [
{
"name": "Call Warrant auf Bristol-Myers Squibb",
"isin": "CH1539177753",
"symbol": "BMYP3Z",
"categoryName": "Hebelprodukte",
"issuerName": "Zürcher Kantonalbank",
"isAd": false
},
{
"name": "Call Warrant auf Bristol-Myers Squibb",
"isin": "CH1534678532",
"symbol": "BMY1TZ",
"categoryName": "Hebelprodukte",
"issuerName": "Zürcher Kantonalbank",
"isAd": false
},
{
"name": "Put Warrant auf Bristol-Myers Squibb",
"isin": "CH1534676791",
"symbol": "BMYP8Z",
"categoryName": "Hebelprodukte",
"issuerName": "Zürcher Kantonalbank",
"isAd": false
}
],
"events": [
],
"greeks": {
"delta": "-0.59",
"gamma": "0.028",
"moneyness": "ITM",
"gearing": "9.97",
"leverage": "5.84"
}
}
BMYBIZ
Put Warrant auf Bristol-Myers Squibb
Der von Zürcher Kantonalbank emittierte Warrant eignet sich für Investoren, welche kurzfristig eine negative Wertentwicklung des Underlyings Bristol-Myers Squibb erwarten.
Stammdaten
- KategorieHebelprodukte
- TypWarrant
- EmittentZürcher Kantonalbank
- Ratings (Moody's/S&P/Fitch)Aaa / AAA / AAA
- HandelswährungCHF
- BasiswertBristol-Myers Squibb
- HandelsplatzSIX Structured Products
- Ratio5
- PfandbesichertNein
- Ausgabepreis1.29
- Erster Handelstag10.02.2026
- Letzter Handel15.01.2027
- Rückzahlungsdatum25.01.2027
- Auszahlungsartbar
- CallableNein
- AutocallableNein
- MarkterwartungShort
- Ausübungspreis60
Marktdaten
- BörsenplatzSIX Structured Products
- HandelswährungCHF
- Geldkurs1.180
- Geld Volumen0
- Briefkurs1.190
- Brief Volumen0
- Letzter Kurs1.180
- Veränderung+0.03
- Performance (1 Woche)-4.84%
- Kurswerte vom22.04.2026 22:10:00
Kennzahlen
- Tage bis Verfall267
- Abstand zum Strike-1.92%
Griechen
- Delta-0.59
- Gamma0.028
- MoneynessITM
- Gearing9.97
- Hebel5.84
Chart
Basiswert: Bristol-Myers Squibb
- Bristol-Myers Squibb
- ISINUS1101221083
- Valor914188
- BasiswertBristol-Myers Squibb
- SymbolBMY
- BörsenplatzSIX Structured Products
- HandelwährungUSD
- Strike-Level60.00
- Geldkurs58.85
- Geld Volumen500
- Briefkurs59.00
- Brief Volumen3'000
- Letzter Kurs58.80
- Distanz zum Ausübungspreis-1.92%
- Kurswerte vom22.04.2026 22:00:02
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