|
LISTED CONTRACTS AT MexDer
|
|
OPTIONS CONTRACTS |
TICKER |
|
|
|
INDEX |
Futures on the Mexican Stock Exchange
Index |
IP |
|
,
|
|
SINGLE STOCK |
América Móvil L |
AX
|
|
, |
|
|
Cemex CPO
Walmex V
Naftrac 02
|
CX
WA
NA
|
|
,
,
,
|
|
ETF´s
|
ETF´S Specific Terms |
-- |
|
, |
|
|
|
|
|
|
|
|
“Nasdaq 100-Index Tracking StockSM QQQQSM |
QQ |
|
, |
|
CURRENCIES
|
"iShares S&P 500 Indexâ" IVV
United States of America-Dollar
|
IV
DA |
|
,
, |
OPTIONS CONTRACTS
|
Contract Characteristics |
STOCK INDEX OPTIONS CONTRACTS |
|
Futures on the Mexican Stock Exchange Index
IP |
|
Contract Size |
$10.00 (ten pesos 00/100) multiplied by the Premium of the Option Contract. |
|
Contract Kind |
Call
Put |
|
Contract Style |
European |
|
Delivery Months |
Quarterly cycle for up to one year: March, June, September, December. |
|
Strike Price |
It will be expressed on IPC Index points and they will be multiples of 50 units. |
|
Maturity Symbols |
|
|
CALL |
PUT |
|
MAR |
C |
O |
|
JUN |
F |
R |
|
SEP |
I |
U |
|
DEC |
L |
X |
|
|
Trading Symbol |
IP plus 5 digits to specify the strike and another digit which specifies the Contract type and maturity month:
IP 10500C = CALL Option March
IP 10500X = PUT Option December |
|
Unit quoted |
Points of the IPC |
|
Minimum premium fluctuation (Tick) |
1.00 point of the IPC |
|
Trading Hours |
07:30 to 15:00 hours (GMT -06:00) |
|
Last day of trading and maturity date |
Third Friday of the maturity month or the previous business day in case that Friday is a holiday. |
|
Settlement day |
Next business day after maturity date. |
|
Contract Characteristics |
UNITED STATES OF AMERICA - DOLLAR
OPTIONS CONTRACTS |
|
Dollar of the United States of America DA
|
|
Contract size |
$10,000.00 (ten thousand US dollars 00/100) |
|
Contract Kind |
Call
Put |
|
Contract Style |
European. |
|
Delivery Months |
Quarterly cycle for up to one year: March, June, September, December. |
|
Strike Price |
It will be expressed in Mexican Pesos in accordance with the spot price of the USD and in multiples of 0.05 MXP. |
|
Maturity Symbols |
|
|
CALL |
PUT |
|
MAR |
C |
O |
|
JUN |
F |
R |
|
SEP |
I |
U |
|
DIC |
L |
X |
|
|
Trading Symbol |
DA plus up to five digits will be added to specify Strike Price and one more digit to specify Contract type and maturity month:
DA 11250C = CALL Option March.
DA 11200X = PUT Option December. |
|
Unit quoted |
Pesos and cents per linked unit. |
|
Minimum price fluctuation
(Tick value) |
Minimum Premium Fluctuation of $0.001 (one thousandth of a Mexican Peso). |
|
Trading Hours |
07:30 to 14:00 hours (GMT -06:00) |
|
Last day of trading and maturity date |
The maturity date of the monthly MXP / USD futures contract listed in MexDer for the maturity month of the series. |
|
Settlement day |
Second following business day after maturity date. |
|
Contract Characteristics |
INDIVIDUAL STOCK OPTIONS CONTRACTS |
|
América Móvil, S.A. de C.V.
AX
(Physical Delivery) |
|
Contract Size |
100 Stocks per Option Contract |
|
Contract Kind |
Call
Put |
|
Contract Style |
American |
|
Delivery Months |
Quarterly cycle for up to one year: March, June, September, December. |
|
Strike Price |
They will be different one of the other depending on the price of the Underlying Stock and always will be multiples of an interval. |
|
Maturity Symbols |
| |