Graphic Strip - FAQs

Foreign Exchange Derivatives

 
Weekly Derivatives Specifications
What are weekly derivatives?
What is the last trading day for a series of weekly derivatives?
How is the final settlement price set for weekly derivatives?
What is the difference between weekly and monthly derivatives?
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  Specifications
What is the life span of a monthly derivatives series?
What is the last trading day for monthly derivatives series?
On which day of the month is the final settlement price set?
How is the final settlement price set?
What is the Underlying Asset Multiplier?
What are the rules defining the setting of strike intervals for a new option series?
What are the rules defining the opening of additional strike prices for existing option series?
What are the open position limits?
What is the method of settling derivatives and when is the settlement date?
What is Mark to Market (MTM)?
Are TASE index options European or American options?
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  Trading
What is the trading method for derivatives at TASE?
What is the trading schedule for the derivatives market?
How are option prices quoted and what is the minimum tick size?
How are future prices quoted and what is the minimum tick size?
What types of orders can be submitted for derivatives trading?
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  General
Which currency pairs are available as underlying FX derivatives on TASE?
What are the rules for derivatives trading?
What are the parameters used to calculate the margin requirements?
Where can I find information regarding historical settlement prices and upcoming expiry dates?
Where can I find information regarding FX Derivatives specifications?
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