CAPGEMINI
Codes et Classification
CodeCP1MarchéEuronext ParisVol.2,10015/02/19
Type d'exerciceAmericanDeviseP.O.45,11614/02/19
Sous-jacent
NomCAPGEMINIISINFR0000125338MarchéEuronext Paris
DeviseAchat101.6015/02/19 17:40Vente102.9015/02/19 17:40
HeureCETDernier102.5515/02/19 17:35Var. J/J-1
0.2
Volume562,470+Haut102.85+Bas100.35
Bid and Ask (€) 15/02/19
Achat-Taille0()
Vente0.08Taille10(17:29:58)
Derniers (€)13/02/19
1.0815:15:55
Compens. 5 Jours (€)
0.0115/02/19
0.0114/02/19
1.0713/02/19
2.1012/02/19
1.7411/02/19
Séance du13/02/19 15:15
Dernier (€)1.08
Qte Dernier10
Var. J/J-1 (%)-48.57
Qte Jour10
Compens. (15/02/19)0.01
P.O. (14/02/19)290
Jour
Ouv. (€)1.08
+Haut (€)1.08
+Bas (€)1.08
Semaine
+Haut (€)1.44
+Bas (€)1.08

Note: Settlement price is for the trading day 15/02/19

Vol - (Volume) is the number of contracts traded in the most recent transaction.

Day's Volume - Number of trades that have taken place so far in the trading day. This figure updates as the day progresses and more trades take place.

+/- Price of last trade compared to yesterday's settlement price.

Comp - The previous day's settlement price.

P.O. - (Open Interest) is the outstanding long and short positions of the previous trading day updated in the morning each day.