Market Notice
There is currently a price interruption. If it is a product with a single price fixing on the day, please note the underlying trading model. Trading is not possible at the moment.
Fidelity National Information Services Inc./OS/Call [30]/MS
- BID
-
- ASK
-
- 0 Units0 Units
- 07/20, 22:00:30 PM
Product class
Warrant - Discount
Last exchange day
19/03/2027
Performance (1M)
10.13%
Basis price
30.0000 [USD]
Cap
35.00 [USD]
Leverage
-
Delta
-
Agio p.a. in %
-
Implicit volatility
-
Ø Tradable bid size main / secondary
0/0
Ø Tradable ask size main / secondary
0/0
Spread main / secondary
0.00/0.00
Tax presence main / secondary
-/-
Fidelity National Information Services Inc. ISIN: US31620M1062
37.00 / 37.07 | 0.44 (1.203%)Bid/Ask| Change
Trade further warrants for Fidelity National Information Services, Inc. without exchange fees.
Facts & figures
Price data
| TRADE PLATFORM | Börse Stuttgart (XSTU) | |
| LAST PRICE | 4.15 G | 0 Units |
| PRICE DETERMINATION TIME | 07/20/2026 / 07:25:22 PM | |
| DAILY VOLUME (UNITS) | 0 | |
| DAILY HIGH / LOW | 4.15 | 4.1 |
| PREV. DAY'S PRICE | 4.13 | (07/17) |
| CHANGE DAY BEFORE | +0.02 | 0.48 % |
| 52 WEEK HIGH / LOW | (-) | (-) |
Indicators
| TIME OF CALCULATION | 01:27:01 AM (07/21/2026) |
| AGIO P.A. IN % | - |
| LEVERAGE | - |
| DELTA | - |
| IMPLICIT VOLATILITY | - |
| OMEGA | - |
| THETA | - |
| VEGA | - |
Master Data
| WKN | MR1MTG |
| ISIN | DE000MR1MTG4 |
| SYMBOL | - |
| EXCHANGE SEGMENT | Freiverkehr |
| TYPE OF FINANCIAL INSTRUMENT | Leverage Product |
| PRODUCT CLASS | Warrant - Discount |
| PRODUCT NAME | Discount Call Fidelity National Information Services emittiert von Morgan Stanley & Co. Int. plc |
| ISSUER | Morgan Stanley & Co. International plc |
| TRADING SEGMENT | EASY EUWAX |
| OPTION TYPE | call |
| UNDERLYING | FIDELITY NATL INFORMATION SERVICES COM USD0.01 |
| BASIS PRICE | 30.0000 [USD] |
| CAP | 35.00 [USD] |
| KNOCKIN LEVEL | - [-] |
| RANGE | - - - |
| MULTIPLIER | 1.00 |
| EXERCISE TYPE | European |
| TRADING CURRENCY | Euro |
| NOMINAL CURRENCY | EUR |
| SETTLEMENT CURRENCY | Euro |
| SMALLEST TRADABLE UNIT | 1.00 |
| MINIMUM QUOTATION EUR | 3,000.00 |
| MINIMUM QUOTATION UNITS | 10,000.00 |
| LAST VALUATION DAY | 19/03/2027 |
| PAYMENT DATE | 30/03/2027 |
| FIRST EXCHANGE DAY | 12/06/2026 |
| LAST EXCHANGE DAY | 19/03/2027 |
| TRADING HOURS | 08:00:00 AM - 10:00:00 PM |
| QUOTATION | fortlaufende Auktion |
| ISSUE VOLUME | 4,600,000 |
| QUANTO | No |
Underlying
| WKN | A0H1FP |
| ISIN | US31620M1062 |
| SYMBOL | FIS |
| NOMINAL CURRENCY | US Dollar |
| TYPE OF UNDERLYING | Equity |
| COUNTRY OF THE HOME STOCK EXCHANGE | Germany |
Issuer
| NAME | Morgan Stanley & Co. International plc |
| ADDRESS | Morgan Stanley & Co. International plc
25 Cabot Square, Canary Wharf
E14 4QA London
Großbritannien |
| EMAIL ADDRESS | strukturierte-produkte@morganstanley.com |
| SERVICE PHONE NUMBER | 069 21661234 |
| URL | https://zertifikate.morganstanley.com/ |
| DOCUMENTS | PRIIP / KID (english) |
| ISSUER PORTRAIT | PDF |
Product Description
This (call) discount warrant is linked to Fidelity National Information Services Inc., the underlying instrument, and has a term ending on March 30, 2027. In contrast to a classic warrant on the same underlying, the investor receives a discount. In return, however, he only participates in the positive performance of the underlying up to a cap of USD 35.00. If, at the end of the term, the price of the underlying is at or above the strike price of USD 30.00 and at or below the cap, the redemption amount is calculated as the difference between the price of the underlying and the strike price, adjusted for the multiplier of 1.00. As a result of the cap, the maximum repayment amount is USD 5.00 (cap less strike price, times the multiplier). If the underlying is traded below the strike price, the product will expire worthless.