Options Market Information:
| Daily Expiry |
Trading Hours |
Trade Per |
Min. Trade (Base Ccy) |
Last Trade |
Basis of Expiry |
| Australia 200 Option CFDs on Cash |
10.00-15.59 |
1 |
A$1 |
15.59 daily |
Official ASX cash settlement closing level after the auction at approx. 16.10 |
UK 100 Option CFDs on Cash
|
08.00-16.29
|
1
|
£2
|
16.29 daily
|
Official FTSE cash settlement closing level after the auction at aprrox.16:36.
|
Wall Street Option CFDs on Cash
|
02.00-15.59
|
1
|
$2
|
15.59 daily
|
Official Dow Jones cash settlement closing level at approx. 16:03.
|
US Crude Oil Option CFDs on Futures
|
02.00-13.25
|
1
|
$2
|
13.25 daily
|
Official NYMEX Near month Futures settlement level at 13:30 (printed about 20min later).
|
Currency Option CFDs on FX Futures
|
02.00-13.55
|
1
|
2
|
13.55 daily
|
Official Bloomberg retail spot rate at (or first print Immediately after) 14:00.
|
Monthly Expiry
|
Trading Hours
|
Trade Per
|
Min Trade (Base Ccy)
|
Last Trade
|
Basis of Expiry
|
Australia 200 Option CFDs On Cash
|
10.00-16.00
|
1
|
$10AUD
|
16.00 on the Wednesday before the 3rd business Thursday
|
Official ASX settlement price on last day of trading
|
UK 100 Option CFDs on Cash
|
08.00-21.00
|
1
|
£10
|
10.00 on the 3rd business Friday of the contract month.
|
Official LIFFE settlement price on last day of trading.
|
Germany 30 Option CFDs on Cash
|
08.00-16.29
|
1
|
eur10
|
12.00 on the 3rd business Friday of the contract month.
|
Official EUREX settlement price on last day of trading.
|
US SP 500 Option CFDs on Futures
|
08.30-15.15
|
0.1
|
$10
|
15.00 on the 3rd Friday of the contract month.
|
Official CME settlement price on last day of trading at 15:15.
|
Currency Option CFDs on FX Spot
|
23 hours
|
1
|
10
|
Contact dealer for Expiry dates
|
Official IMM settlement price
|
Wall Street Option CFDs on Futures
|
08.30-15.15
|
1
|
$10
|
15:00 on the 3rd Friday of the contract month
|
Official CBOT settlement price on last day of trading at 15:15.
|
Quarterly Expiry
|
Trading Hours
|
Trade Per
|
Min Trade (Base Ccy)
|
Last Trade
|
Basis of Expiry
|
Wall Street Option CFDs on Futures
|
08.30-15.15
|
1
|
$10
|
15:00 on the 3rd Thursday of the contract month
|
Official CBOT settlement price of contract month (Special Opening Quotation calculated
from 08:30).
|
US SP 500 Option CFDs on Futures
|
08.30-15.15
|
0.1
|
$10
|
15.00 on the 3rd Thursday of the contract month
|
Official CME settlement price of contract month (Special Opening Quotation calculated from 08:30).
|
Binary Options
|
Trading Hours
|
Trade Per
|
Min Trade (Base Ccy)
|
Last trading on Expiry
|
Settlement Basis
|
Australia 200 Daily
|
10.00-15.59
|
1
|
$1AUD
|
15.59 daily
|
Official Cash settlement of ASX at 4pm
|
UK 100 Daily
|
08.00-16.29
|
1
|
£1
|
16.29 daily
|
Official Cash settlement of FTSE after auction at 16.30
|
Wall Street Daily
|
01.00-14.59
|
1
|
$1
|
15.59 daily
|
Official Cash settlement of Wall Street at 15.03
|
US Crude Oil Daily
|
01.00-13.25
|
1
|
$1
|
13.25 daily
|
Official settlement price from NYMEX at 13.30
|
| Currency Daily |
01.00-13.55
|
1
|
$1
|
13.55 daily
|
First print from Bloomberg at or after 14.00
|