Sfe spi200 futures trading times

Posted: morsi On: 16.06.2017

AP*0 | All Futures Contracts for SFE SPI Index

The Special Opening Quotation of the respective underlying index on the Last Trading Day. This means that the first traded price of each component stock may occur at any time between ASX market open and ASX market close including the Closing Single Price Auction on the Last Trading Day.

Should any component stock not have traded by ASX market close on the Last Trading Day, the last traded price of that stock will be used to calculate the Special Opening Quotation.

The ASX Group's activities span primary and secondary market services, including capital formation and hedging, trading and price discovery Australian Securities Exchange central counter party risk transfer ASX Clearing Corporation ; and securities settlement for both the equities and fixed income markets ASX Settlement Corporation. Skip to content googletag. Index derivatives Contract specifications.

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Non-expiring contracts will continue to trade as per the stated trading hours. Position limit None Daily price limit None CFTC approved Yes 1. Unless otherwise indicated, all times are Sydney times. Commodity code VI Minimum price movement 0. For example, the February VIX will expire 30 days prior to the third Thursday in March.

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The non-expiring contract will continue to trade as per the stated trading hours. The cash settlement price will be calculated to 2 decimal places 0.

On the second business day after expiry, ASX Clear Futures settles cash flows as a result of the settlement price. Position limit None Daily price limit None CFTC approved No Top. Prices and research Prices Company information Announcements ASX BookBuild Announcements Dividends Upcoming floats ASX 24 reports Codes and descriptors Charting Calculators Find a broker Broker Reports.

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Follow us on Twitter Visit us on LinkedIn Subscribe on YouTube. All trading in expiring contracts ceases at The first business day after expiry, ASX Clear Futures publishes the final settlement price of the contract.

Trading to cease in the expiring contract at Settlement Day is the business day after the last trading day.

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