Ungarn 4,500%
EO-Bonds 2025(34)
ISIN: XS2971936948WKN: A3L708Symbol: A3L708Währung: EUR
100,90 %
0 %
0
Börse:
Stand:
12.12.
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|---|---|---|---|---|
| Düsseldorf | 100,70% | 12.12. | ||
| Frankfurt | 100,50% | 12.12. | ||
| Hamburg | 100,70% | 12.12. | ||
| Hannover | 100,75% | 12.12. | ||
| München | 100,75% | 12.12. | ||
| Tradegate | 100,90% | 12.12. | ||
| L&S | 100,26% | 12.12. | ||
| Quotrix | 100,88% | 12.12. | ||
| Stuttgart | 100,50% | 12.12. |
Statistiken
| 7 Tage | 1 Monat | 6 Monate | 1 Jahr | 3 Jahre | 5 Jahre | |
|---|---|---|---|---|---|---|
| Performance [%] | -1,44 | -2,78 | +0,38 | |||
| Volatilität [%] | 3,041 | 3,946 | 3,779 | |||
| Sharpe-Ratio | -30,56 | -9,045 | -0,3155 | |||
| Hoch | 102,37 | 103,78 | 104,02 | |||
| Tief | 100,90 | 100,90 | 100,33 | |||
| Hist. Kurs | 102,37 | 103,78 | 100,52 | |||
| ∅-Preis | 101,70 | 102,50 | 102,09 | |||
| ∅-Volumen | 2,25 Mio. | 1,16 Mio. | 788,33 Tsd. | |||
| Max. Verlust [%] | -1,436 | -2,778 | -2,999 | |||
| Max. Verlustperiode (Handelstage) | 4 | 21 | 29 | |||
| Max. Verlustperiode (Kalendertage) | 6 | 29 | 41 |
Kursdaten
- Eröffnungskurs100,90
- Tageshoch100,90
- Tagestief100,90
- Kurs (12.12.2025)100,90
Kursdaten Vortag
- Vortag-Eröffnung101,47
- Vortag-Hoch101,47
- Vortag-Tief100,90
- Vortag-Schlusskurs100,90
Stammdaten
- WertpapiertypAnleihe
- ISINXS2971936948
- WKNA3L708
- EmittentUngarn, Republik
- Sitz Emitt.Ungarn
- NotierungseinheitProzent
- WährungEUR
- Stückelung1.000,00
- Kupon4,500
- KupontypFest
- Zinstermin16.6.
- Emissionsdatum14.01.2025
- Fälligkeit16.06.2034
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