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MULTI LEVDAX5 SG ISSUER 21/01/2022
ISINLU1917989375CodeZ0114ProductMulti Warrants


TypeCall StyleEuropean Ratio / Parity (*)1  
Admission Date13/12/2018 Maturity Date21/01/2022 
UnderlyingLEVDAX X5 (TOTAL RETURN) EUR 
Underlying CurrencyEuros Underlying ISINDE000A1EXY10 
IssuerSOCIETE GENERALE ISSUER 
DateLastHighLowAvg.VolumeTurnoverCloseCierre
19/04/2021Close114.20114.20114.20114.20839,478.60114.20
26/03/2021Close90.7690.7690.7690.76443,993.4490.76
X
19/04/2021 17:30:00
BidAsk
OrdersVolumePricePriceVolumeOrders
1800111.9000- - -
Data Delayed 15 minutes.


(*) Ratio / Parity: For further information, please refer to New Listing section.

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