Information produit
Caractéristiques
 
 
US DOLLAR / EURO OPTIONS
 


Codes et classification
Mnemo DEX Marché NYSE Liffe Amsterdam Vol. 25 19/11/09
Type d'exercice Européen Devise P.O. 9,162
 US Dollar / Euro Options
Taille du contrat 100
Quotité/Taille du contrat USD 10.000
Mois d'échéance 1) Initial lifetime: 1, 2, and 3 months. Cycle: all months
2) Initial lifetime: 6, 9 and 12 months. Cycle: March, June, September and December
3) Initial lifetime: 2 years. Cycle: September
Cotation Euros per USD 100
Echelon minimum de cotation EUR 0.01 (= EUR 1 per contract)
Dernier jour de négociation Trading in expiring currency derivatives have the EuroFX rate as their settlement basis and ends at 13.00 Amsterdam time on the third Friday of the expiry month, provided this is a business day. If it is not, the previous business day will be the last day of trading.
Compens. EuroFX rate contracts: Cash settlement, based on the value of the Euro / US Dollar rate set by EuroFX at 13.00 Amsterdam time. For DEX, the inverse value of the EuroFX Euro / US Dollar rate is used and rounded off to four decimal places.
Heures de cotation 9.00 – 17.30 Amsterdam time
Compensation LCH.Clearnet S.A.
Type d'option European style. Holders of long positions are not entitled to exercise their options before the exercise date.
Mis à jour 21/09/07

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