Product Details

BEAR CITI X5 AVA 2

  • ISIN: GB00BL023474
  • Financing Level: 95.5396 USD
  • Bull & Bear
Product Called

BID

- SEK

vol.

03.02.2025 21:55:01

 

Source: Morgan Stanley Europe SE

ASK

- SEK

vol.

03.02.2025 21:55:01

 

Source: Morgan Stanley Europe SE

Daily Change (Bid)

-

- SEK 03.02.2025 21:55:01

Chart info

Risk Factors

Leverage Risk Yes
Market Risk Yes
Counterparty Risk Yes
Currency Risk Yes *

*No currency risk exists if the product in question is based on your domicile currency.

Disclaimer

The financial instruments are associated with risks and therefore you should not buy the financial instruments described on this website unless you are prepared to sustain a total loss of the investment plus any commission or other transaction charges that may be incurred. The financial instruments described on this website are complex securities and may be difficult to understand. You should not buy these securities unless you are a sophisticated investor who understands and has previous experience in investing in such products. Potential investors should read the prospectus before making an investment decision in order to fully understand the potential risks and rewards associated with the securities. The approval of the prospectus by the relevant competent authority should not be understood as an endorsement of the securities.

During periods where the Relevant Underlying is closed any secondary market price may be estimated using an alternative reference asset.

Key figures

Financing Level 95.5396 USD
Reset Level 91.71 USD
Daily Leverage 5
Ratio 11,020.727916
Multiplier 0.000091

Base Data

Name BEAR CITI X5 AVA 2
Short Code BEAR CITI X5 AVA 2
ISIN GB00BL023474
Issuer MORGAN STANLEY & CO. INTERNATIONAL
Currency SEK

Price Data

Daily Change (Bid) -
-
Issuer Call Date 03.02.2025
Last Update 03.02.2025 21:55:01
Day High -

Risk Factors

Leverage Risk Yes
Market Risk Yes
Counterparty Risk Yes
Currency Risk Yes *

*No currency risk exists if the product in question is based on your domicile currency.

Disclaimer

The financial instruments are associated with risks and therefore you should not buy the financial instruments described on this website unless you are prepared to sustain a total loss of the investment plus any commission or other transaction charges that may be incurred. The financial instruments described on this website are complex securities and may be difficult to understand. You should not buy these securities unless you are a sophisticated investor who understands and has previous experience in investing in such products. Potential investors should read the prospectus before making an investment decision in order to fully understand the potential risks and rewards associated with the securities. The approval of the prospectus by the relevant competent authority should not be understood as an endorsement of the securities.

During periods where the Relevant Underlying is closed any secondary market price may be estimated using an alternative reference asset.

Events

Date Events Adjustments Value Before Event Value After Event
03/02/2025 Cash Dividend
  • Financing Level
  • Level
  • Ratio
  • 98.24 USD
  • 94.31 USD
  • 12,558.27
  • 97.07 USD
  • 93.18 USD
  • 12,083.30
04/11/2024 Cash Dividend
  • Financing Level
  • Level
  • Ratio
  • 77.01 USD
  • 73.93 USD
  • 2,055.32
  • 75.80 USD
  • 72.76 USD
  • 1,951.62
05/08/2024 Cash Dividend
  • Financing Level
  • Level
  • Ratio
  • 75.94 USD
  • 72.90 USD
  • 1,293.23
  • 69.86 USD
  • 67.06 USD
  • 875.99
Contact

Contact

Thank you for your time and interest in Exchange Traded Products

Avanza Markets / Client Support

For enquiries or complaints regarding Exchange Traded Products, please use contact details below:

Phone: +46 (0) 8-409 423 23

Email: avanzamarkets@avanza.se

Contact Morgan Stanley

For general enquiries regarding Exchange Traded Products, please use contact details below:

Email: etpsweden@morganstanley.com

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