Non-collateralized nature of structured products
Search
/ / EN

Disclaimers (Hong Kong)

Access to these web pages, including posted documents and information, (together, "Materials") is subject to the disclaimers and covenants set out below and published on this website.

The Materials are produced by UBS Securities Asia Limited, which is regulated by the Securities and Futures Commission of Hong Kong. The financial products described in this website ("Structured Products") are only directed at and intended for residents of Hong Kong. The Materials must not be accessed, used, relied or acted upon by persons outside of Hong Kong. Residents of other countries wishing to effect transactions in relation to any Structured Products should contact their traditional brokers.

There may be local laws and regulations which prohibit or limit your rights to access, download, distribute, disseminate, share or otherwise use any or all of the Materials and UBS AG, UBS Securities Asia Limited and their respective subsidiaries and affiliates (collectively "UBS Group") accept no liability or responsibility whatsoever for your actions in breach of any laws or regulations of the country in which you are a resident of.

UBS Group further specifically disclaims and accepts no liability or responsibility whatsoever for the access, downloading, distribution, dissemination, sharing or other use of any Materials by or to individuals or entities which provide false information regarding their place of residence.

Please confirm that you are a resident of Hong Kong. By selecting your place of residence, you confirm that you are not a US Person (as defined under the Regulation S promulgated under the US Securities Act of 1933) and have read, understood and accept the disclaimers and covenants as stated above.

28094 Warrants Analyzer Comparison

28094 CTCall
Select Warrants to compare *You can select up to five Warrants
Code
Underlying
Issuer
Strike
Moneyness
Implied Volatility (%)
Maturity (Y-M-D)
27896 HSI JP 24,000 OTM 5% 24.88 2025-04-29
28000 HSI UB 24,000 OTM 5% 24.98 2025-04-29
28001 HSI UB 25,000 OTM 9.4% 26.3 2025-04-29
28002 HSI UB 26,000 OTM 13.8% 32.91 2025-04-29
28004 HSI SG 24,900 OTM 9% 25.4 2025-04-29
28022 HSI JP 24,500 OTM 7.2% 24.86 2025-04-29
28023 HSI JP 25,000 OTM 9.4% 26.17 2025-04-29
28024 HSI JP 26,000 OTM 13.8% 32.85 2025-04-29
28057 HSI MS 25,000 OTM 9.4% 28.45 2025-04-29
28093 HSI CT 26,088 OTM 14.2% 33.55 2025-04-29
28096 HSI CT 24,200 OTM 5.9% 23.11 2025-04-29
28192 HSI HS 25,000 OTM 9.4% 26.67 2025-04-29
28195 HSI HS 26,000 OTM 13.8% 33.34 2025-04-29
28272 HSI UB 24,622 OTM 7.8% 24.11 2025-04-29
28323 HSI HS 24,622 OTM 7.8% 23.43 2025-04-29
28336 HSI MS 24,600 OTM 7.7% 25.74 2025-04-29
28381 HSI SG 24,321 OTM 6.4% 24.93 2025-04-29
28382 HSI SG 26,218 OTM 14.7% 34.5 2025-04-29
28389 HSI MS 26,130 OTM 14.4% 34.3 2025-04-29

Results

Code28094
UnderlyingHSI
IssuerCT
TypeCall
Strike25,000
Maturity
(Y-M-D)
2025-04-29
Conversion ratio8,400
Last price (HKD)0.011
Change (%)-21.43%
Effective gearing (x)29.1x
Implied volatility (%)27.12%
Delta (%)11.77%
Moneyness (%)OTM 9.4%
Underlying price22,849.81
Outstanding
(Million shares/%)
9.88M (4.94%)
Board lot10,000
Last updated: 2025-04-03 16:35 (15 mins delayed)