Product Search
Product Type:
Derivative Warrants
Callable Bull / Bear Contracts
Inline Warrants
Derivative Warrant Search
Warrant Code:
(If specified, the following criteria will be ignored)
Underlying:
All
00001 - CKH HOLDINGS
00002 - CLP HOLDINGS
00003 - HK & CHINA GAS
00004 - WHARF HOLDINGS
00005 - HSBC HOLDINGS
00006 - POWER ASSETS
00008 - PCCW
00011 - HANG SENG BANK
00012 - HENDERSON LAND
00016 - SHK PPT
00017 - NEW WORLD DEV
00019 - SWIRE PACIFIC A
00020 - SENSETIME-W
00027 - GALAXY ENT
00066 - MTR CORPORATION
00135 - KUNLUN ENERGY
00144 - CHINA MER PORT
00148 - KINGBOARD HLDG
00152 - SHENZHEN INT'L
00168 - TSINGTAO BREW
00175 - GEELY AUTO
00189 - DONGYUE GROUP
00241 - ALI HEALTH
00257 - EB ENVIRONMENT
00267 - CITIC
00268 - KINGDEE INT'L
00270 - GUANGDONG INV
00285 - BYD ELECTRONIC
00288 - WH GROUP
00291 - CHINA RES BEER
00293 - CATHAY PAC AIR
00316 - OOIL
00354 - CHINASOFT INT'L
00358 - JIANGXI COPPER
00384 - CHINA GAS HOLD
00386 - SINOPEC CORP
00388 - HKEX
00390 - CHINA RAILWAY
00489 - DONGFENG GROUP
00522 - ASMPT
00552 - CHINACOMSERVICE
00576 - ZHEJIANGEXPRESS
00669 - TECHTRONIC IND
00688 - CHINA OVERSEAS
00696 - TRAVELSKY TECH
00700 - TENCENT
00728 - CHINA TELECOM
00753 - AIR CHINA
00762 - CHINA UNICOM
00763 - ZTE
00772 - CHINA LIT
00778 - FORTUNE REIT
00780 - TONGCHENGTRAVEL
00788 - CHINA TOWER
00823 - LINK REIT
00836 - CHINA RES POWER
00857 - PETROCHINA
00867 - CMS
00868 - XINYI GLASS
00880 - SJM HOLDINGS
00881 - ZHONGSHENG HLDG
00883 - CNOOC
00902 - HUANENG POWER
00914 - CONCH CEMENT
00916 - CHINA LONGYUAN
00939 - CCB
00941 - CHINA MOBILE
00956 - CHINA SUNTIEN
00960 - LONGFOR GROUP
00966 - CHINA TAIPING
00968 - XINYI SOLAR
00981 - SMIC
00992 - LENOVO GROUP
00998 - CITIC BANK
01024 - KUAISHOU-W
01038 - CKI HOLDINGS
01044 - HENGAN INT'L
01055 - CHINA SOUTH AIR
01066 - WEIGAO GROUP
01088 - CHINA SHENHUA
01093 - CSPC PHARMA
01109 - CHINA RES LAND
01113 - CK ASSET
01114 - BRILLIANCE CHI
01128 - WYNN MACAU
01138 - COSCO SHIP ENGY
01157 - ZOOMLION
01171 - YANKUANG ENERGY
01177 - SINO BIOPHARM
01186 - CHINA RAIL CONS
01193 - CHINA RES GAS
01208 - MMG
01209 - CHINA RES MIXC
01211 - BYD COMPANY
01258 - CHINFMINING
01288 - ABC
01299 - AIA
01308 - SITC
01313 - CR BLDG MAT TEC
01336 - NCI
01339 - PICC GROUP
01347 - HUA HONG SEMI
01357 - MEITU
01368 - XTEP INT'L
01378 - CHINAHONGQIAO
01385 - SHANGHAI FUDAN
01398 - ICBC
01519 - J&T EXPRESS-W
01548 - GENSCRIPT BIO
01658 - PSBC
01766 - CRRC
01772 - GANFENGLITHIUM
01776 - GF SEC
01787 - SD GOLD
01797 - EAST BUY
01798 - DATANG RENEW
01799 - XINTE ENERGY
01800 - CHINA COMM CONS
01801 - INNOVENT BIO
01810 - XIAOMI-W
01816 - CGN POWER
01818 - ZHAOJIN MINING
01833 - PA GOODDOCTOR
01876 - BUD APAC
01880 - CTG DUTY-FREE
01888 - KB LAMINATES
01898 - CHINA COAL
01913 - PRADA
01919 - COSCO SHIP HOLD
01928 - SANDS CHINA LTD
01929 - CHOW TAI FOOK
01951 - JXR
01988 - MINSHENG BANK
01997 - WHARF REIC
02013 - WEIMOB INC
02015 - LI AUTO-W
02018 - AAC TECH
02020 - ANTA SPORTS
02057 - ZTO EXPRESS-W
02196 - FOSUN PHARMA
02208 - GOLDWIND
02269 - WUXI BIO
02282 - MGM CHINA
02313 - SHENZHOU INTL
02318 - PING AN
02319 - MENGNIU DAIRY
02328 - PICC P&C
02331 - LI NING
02333 - GWMOTOR
02338 - WEICHAI POWER
02357 - AVICHINA
02359 - WUXI APPTEC
02380 - CHINA POWER
02382 - SUNNY OPTICAL
02388 - BOC HONG KONG
02423 - BEKE-W
02600 - CHALCO
02601 - CPIC
02618 - JD LOGISTICS
02628 - CHINA LIFE
02688 - ENN ENERGY
02689 - ND PAPER
02800 - TRACKER FUND
02822 - CSOP A50 ETF
02823 - ISHARES A50
02828 - HSCEI ETF
02840 - SPDR GOLD TRUST
02883 - CHINA OILFIELD
02888 - STANCHART
02899 - ZIJIN MINING
03033 - CSOP HS TECH
03188 - CAM CSI300
03319 - A-LIVING
03323 - CNBM
03328 - BANKCOMM
03606 - FUYAO GLASS
03690 - MEITUAN-W
03692 - HANSOH PHARMA
03759 - PHARMARON
03800 - GCL TECH
03808 - SINOTRUK
03888 - KINGSOFT
03898 - TIMES ELECTRIC
03900 - GREENTOWN CHINA
03908 - CICC
03968 - CM BANK
03988 - BANK OF CHINA
03993 - CMOC
03998 - BOSIDENG
06030 - CITIC SEC
06060 - ZA ONLINE
06066 - CSC
06110 - TOPSPORTS
06186 - CHINA FEIHE
06618 - JD HEALTH
06690 - HAIER SMARTHOME
06837 - HAITONG SEC
06862 - HAIDILAO
06865 - FLAT GLASS
06881 - CGS
06886 - HTSC
06969 - SMOORE INTL
06993 - BLUE MOON GROUP
09618 - JD-SW
09626 - BILIBILI-W
09633 - NONGFU SPRING
09696 - TIANQI LITHIUM
09698 - GDS-SW
09863 - LEAPMOTOR
09866 - NIO-SW
09868 - XPENG-W
09888 - BIDU-SW
09896 - MNSO
09901 - NEW ORIENTAL-S
09922 - JIUMAOJIU
09926 - AKESO
09961 - TRIP.COM-S
09988 - BABA-W
09992 - POP MART
09999 - NTES-S
ALP - Alphabet Inc.
AMD - Advanced Micro Devices, Inc.
AMZN - Amazon.com, Inc.
APP - Apple Inc.
AUH - Australian Dollar / HK Dollar
CNH - US Dollar / CNH
CYH - CNH / HK Dollar
DJI - Dow Jones Industrial Average
EUH - Euro / HK Dollar
EUR - Euro / US Dollar
GBH - British Pound Sterling / HK Dollar
GBP - British Pound Sterling / US Dollar
GOLD - One Fine Troy Oz of Gold
HSCEI - Hang Seng China Enterprises Index
HSI - Hang Seng Index
HSTEC - Hang Seng TECH Index
META - Meta Platforms, Inc.
MSFT - Microsoft Corporation
NDX - NASDAQ-100 Index
NIK - Nikkei 225 Index
NVDA - Nvidia Corporation
NZH - New Zealand Dollar / HK Dollar
OIL - Oil Futures Contract
SPX - S&P 500 Index
TSLA - Tesla, Inc.
YEH - Japanese Yen (x100)/HK Dollar
YEN - US Dollar / Japanese Yen
(please specify either issuer or underlying)
Issuer:
All
BI - BOCI Asia Ltd.
BP - BNP Paribas Issuance B.V.
CI - CITIC Securities Brokerage (HK) Ltd.
CS - Credit Suisse AG
CT - Citigroup Global Markets Europe AG
DS - DBS Bank Ltd.
EA - The Bank of East Asia, Ltd.
GJ - Guotai Junan Securities (Hong Kong) Ltd.
GS - Goldman Sachs Structured Products (Asia) Ltd.
HS - Hongkong and Shanghai Banking Corporation Ltd., The
HU - Huatai Financial Holdings (Hong Kong) Ltd.
JP - J.P. Morgan Structured Products B.V.
KS - Korea Investment & Securities Asia Ltd.
MB - Macquarie Bank Ltd.
MS - Morgan Stanley Asia Products Ltd.
SG - SG Issuer
UB - UBS AG
Call/Put*:
All
Call
Put
Warrant Type*:
All
Standard
Exotic
Listing*:
All
<=1 month
>1 - 3 months
>3 - 6 months
>6 months
Maturity*:
All
<=1 month
>1 - 3 months
>3 - 6 months
>6 months
Strike*:
To
(If specified, please select underlying)
Delta (%)*:
To
(If specified, please select underlying)
Implied Volatility (%)*:
To
(If specified, please select underlying)
Outstanding Quantity (%)*:
To
* - Optional
Download full list
Note
Following the completion of merger of UBS AG and Credit Suisse AG, UBS AG has succeeded the obligations of Credit Suisse AG as an issuer of the structured products. For details, please refer to the issuer's announcement available at
www.hkexnews.hk
.