Hang Seng Long 20687.95520250411

DE000A4JHFR9 
HSI 
Raydius 
20718.669 
Open-ended 
The data below is refreshed automatically at least every 15 minutes

This product is a bearer bond issued under German law represented by a global certificate and evidenced in the form of a book entry transferable Open End Turbo Warrant. The product is intended for retail investors who pursue the disproportionate participation in price changes or hedging and have a short-term investment horizon. This product is intended for clients with advanced knowledge and / or experience with leveraged financial products. The investor may bear losses up to the total loss of the capital invested and attaches no importance to a capital protection.

Quotes and orders

Bid
--
units
Ask
15.479
10 units
Spread
-- / --%
Quote/Order time1
--
Change compared to previous day (Bid)
-- / --%
Product tick size
0.001
Last MarketMaker Bid / Ask
13.358 / 13.958
Previous Session Closed Price
12.734

* A quote is a price offered by a Market Maker that a buyer or seller is willing to pay for a security. An order is a request to buy or sell a security at a specified price. When a trader places a quote, they are essentially saying that they are willing to buy or sell a security at the specified price. When a trader places an order, they are essentially saying that they want to buy or sell a security at the best available price.

Order Book Depth

VolumeBidAskVolume
----15.47910

* The order book depth shows the number of orders at each price level. The order book depth is a measure of the supply and demand of a security at various prices.

Latest trades

Trade time1PriceVolume
2025-04-30 16:42:43.83212.7342
2025-04-30 15:53:36.86812.864700
2025-04-30 15:03:54.49414.1695
2025-04-30 13:10:28.70015.099700

Pre-trade and post-trade data

Pre-trade:

* Pre-trade data is information about the supply and demand for a security before it is traded. This information can be used by traders to make informed decisions about whether to buy or sell a security.

Post-trade2:
//

* Post-trade data is information about trades that have already been executed. This information can be used by traders to analyze market trends, identify opportunities, and manage risk.

Key documents

Master data

Security
WKN
A4JHFR
International Securities Identification Number (ISIN)
DE000A4JHFR9
Security type
Derivative security
Product type
Knock-Out Warrant
Participation Type
Long
Underlying instrument issuer identifier
HK0000004322
Underlying instrument code
.HSI
Strike
20718.669
Knock-Out Barrier
20718.669
Multiplier
0.01
Issue, trading, settlement and redemption currency
EUR
Maximum Order Size (Units)
150,000
First Trading Day
11/04/2025
Last Trading Day
Open-ended
Listing date
11/04/2025
Final Valuation Date/Maturity Date
Open-ended
Delivery type
Cash settled
Issuer name
Raydius GmbH
Issuer Address
Raydius GmbH Westhafen Tower Westhafenplatz 1 60327 Frankfurt a. M. Bundesrepublik Deutschland
Issuer Email Address
contact@raydius.de
Issuer Service Phone Number
+49 (0) 69 4272 991 14
  1. Time shown in CE(S)T
  2. Post trade data is provided for the trading session ending at 23:00 CE(S)T on the date selected