NATIXIS
Codes et Classification
CodeKN2MarchéEuronext ParisVol.-21/05/19
Type d'exerciceEuropeanDeviseP.O.-21/05/19
Sous-jacent
NomNATIXISISINFR0000120685MarchéEuronext Paris
DeviseAchat4.9721/05/19 17:40Vente5.04221/05/19 17:40
HeureCETDernier4.97621/05/19 17:35Var. J/J-1
0.63
Volume4,663,620+Haut5.016+Bas4.953
Bid and Ask (€) 21/05/19
Achat0.50Taille500(17:00:21)
Vente0.60Taille500(17:00:21)
Derniers (€)
Compens. 5 Jours (€)
0.5521/05/19
0.5220/05/19
0.6717/05/19
0.6916/05/19
0.6415/05/19
Séance du
Dernier (€)-
Qte Dernier0
Var. J/J-1 (%)0
Qte Jour0
Compens. (21/05/19)0.55
P.O. ()0
Jour
Ouv. (€)-
+Haut (€)-
+Bas (€)-
Semaine
+Haut (€)0.00
+Bas (€)0.00

Note: Settlement price is for the trading day 21/05/19

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.