ELEKTGAR2VB-AFT
ISIN: AT000B055918
Information about issue
| Kind of investment instrument | non-leverage inv.certif. |
| Market | Free market |
| Trading group | 8 |
| Number of issued pieces | 1,000,000 |
| Trading currency | CZK |
| Type of certificate | Guaranteed |
| Underlying asset | PHELIX BASE LOAD 1Y FUTURE |
| Issue date | 3/28/2008 |
| Entitlement | 0.0000 |
| Form of final settlement | cash delivery |
| Currency of final settlement | CZK |
| Maturity date | 11/28/2011 |
| Risk factor | 1 |
| Final Terms | Link to issuer's document |
Information about issuer
| Issuer | Österreichische Volksbanken-Aktiengesellschaft |
| Street | Kolingasse 19 |
| Post code | A1090 |
| Town | Vienna |
| WWW | www.vb-si.at |
Other instruments of issuer
Issuer's business activity
banking facilities
Price [CZK]
Trade value
[CZKthnd]
9/3/2010 SPAD
| Closed price [CZK] | 97.38 |
| Daily change [%] | 0.17 |
| Open price [CZK] | 97.21 |
| Minimal price of trade [CZK] | 96.38 |
| Maximal price of trade [CZK] | 96.38 |
| Number of trades | 1 |
| Trade value [CZKthnd] | 470 |
| Trade volume [pcs] | 4,878 |
| Standard quantity [pcs] | 5,000 |
9/3/2010 | 4:07 PM SPAD
| Actual price [CZK] | 97.38 |
| Price of the last trade [CZK] | 96.38 |
| The best price - bid [CZK] | 96.38 |
| The best price - ask [CZK] | 98.38 |
| Trade value [CZKthnd] | 470 |
| Trade volume [pcs] | 4,878 |
| Date | Actual price [CZK] | The best price - bid [CZK] | The best price - ask [CZK] |
| 9/3/2010 4:00:00 PM | 97.38 | 96.38 | 98.38 |
| 9/3/2010 3:34:23 PM | 97.38 | 96.38 | 98.38 |
| 9/3/2010 3:32:40 PM | 97.38 | 0.00 | 99,999,999,999.99 |
| 9/3/2010 1:19:42 PM | 97.38 | 96.38 | 98.38 |
| 9/3/2010 9:15:00 AM | 97.21 | 96.21 | 98.21 |
| 9/2/2010 4:17:39 PM | 97.21 | 96.21 | 98.21 |
| Date | Price [CZK] | Trade value [CZK] |
| 9/3/2010 3:34:11 PM | 96.38 | 470,142 |