All Data
| Bid Quantity | Bid Price | Ask Price | Ask Quantity |
|---|---|---|---|
| 2,000 | 95.83 | 97.40 | 33,000 |
| 11,000 | 95.76 | 98.20 | 6,000 |
| 3,000 | 95.75 | ||
| 3,000 | 95.72 | ||
| 7,000 | 95.70 |
| Name | Db Zc 31lg27 |
| ISIN code | XS2011151839 |
| Last trade price | 97.40 |
| Last contract quantity | 17,000 |
| Date and time | 12-16-2025 09:00 AM |
| Var % | +1.03 |
| Method of execution | ORDER BOOK |
| Reference price | 97.42 |
| Daily quantity | 31,000 |
| Daily turnover | 30,201 |
| Minimum | 91.07 |
| Maximum | 98.25 |
| Lot size | 1,000 |
| Trading hours | 9:00 17:30 |
| Issuer | Deutsche Bank Ag. |
| Category | Other Debt Instruments |
| Maturity | 07/31/2027 |
| Trading currency | EUR |
| Periodic Coupon Rate | |
| Annual Coupon Rate | |
| Coupon frequency | |
| Trading Type | Dirty |
| Legenda | |