Product information
Terms | Description |
---|---|
Contract name | VN30 Index Futures |
Ticker | Hanoi Stock Exchange allocates futures tickers in accordance with ticker structure as stipulated by Vietnam Stock Exchange |
Underlying asset | VN30 Index |
Contract size | 100,000 VND x VN30 Index point |
Multiplier | 100,000 VND |
Listing date | 10/08/2017 |
Trading method | Matching and Put-through |
Delivery month | Current month, next month, last two months of the next quarter. For example, the current month is April. The maturity months are April, May, June and September |
Trading hour | Opening: 15 minutes before the underlying market. Closing: the same time with the underlying market |
Tick size | 0.1 index point |
Trading unit | 01 contract |
Reference price | Day-end settlement price of previous trading day or theoretical price |
Collar | +/-7% in comparison with reference price |
Order limit | 500 contracts/order |
Position limit | According to VSD regulations |
Last trading date | The third Thursday of the delivery month. In case the final trading day falls on holidays, it will be the previous trading day |
Final settlement date | The business day after final trading day |
Payment method | By cash |
Principle of determining day-end settlement price | As stipulated by Vietnam Securities Depository |
Principle of determining final settlement price | The simple arithmetic average of the index in the last 30 minutes of the last trading day (including 15 minutes of continuous order matching and 15 minutes of closing periodical order matching), after excluding 3 highest index values and 3 lowest index values of the continuous order matching session |
Margin rate | As stipulated by VSD |
Service price | Collecting service fee as stipulated by Ministry of Finance |
Terms | Description |
---|---|
Contract name | VN30 Index Futures |
Ticker | Hanoi Stock Exchange allocates futures tickers in accordance with ticker structure as stipulated by Vietnam Stock Exchange |
Underlying asset | VN30 Index |
Contract size | 100,000 VND x VN30 Index point |
Multiplier | 100,000 VND |
Listing date | 10/08/2017 |
Trading method | Matching and Put-through |
Delivery month | Current month, next month, last two months of the next quarter. For example, the current month is April. The maturity months are April, May, June and September |
Trading hour | Opening: 15 minutes before the underlying market. Closing: the same time with the underlying market |
Tick size | 0.1 index point |
Trading unit | 01 contract |
Reference price | Day-end settlement price of previous trading day or theoretical price |
Collar | +/-7% in comparison with reference price |
Order limit | 500 contracts/order |
Position limit | According to VSD regulations |
Last trading date | The third Thursday of the delivery month. In case the final trading day falls on holidays, it will be the previous trading day |
Final settlement date | The business day after final trading day |
Payment method | By cash |
Principle of determining day-end settlement price | As stipulated by Vietnam Securities Depository |
Principle of determining final settlement price | The simple arithmetic average of the index in the last 30 minutes of the last trading day (including 15 minutes of continuous order matching and 15 minutes of closing periodical order matching), after excluding 3 highest index values and 3 lowest index values of the continuous order matching session |
Margin rate | As stipulated by VSD |
Service price | Collecting service fee as stipulated by Ministry of Finance |
Terms | Description |
---|---|
Contract name | VN30 Index Futures |
Ticker | Hanoi Stock Exchange allocates futures tickers in accordance with ticker structure as stipulated by Vietnam Stock Exchange |
Underlying asset | VN30 Index |
Contract size | 100,000 VND x VN30 Index point |
Multiplier | 100,000 VND |
Listing date | 10/08/2017 |
Trading method | Matching and Put-through |
Delivery month | Current month, next month, last two months of the next quarter. For example, the current month is April. The maturity months are April, May, June and September |
Trading hour | Opening: 15 minutes before the underlying market. Closing: the same time with the underlying market |
Tick size | 0.1 index point |
Trading unit | 01 contract |
Reference price | Day-end settlement price of previous trading day or theoretical price |
Collar | +/-7% in comparison with reference price |
Order limit | 500 contracts/order |
Position limit | According to VSD regulations |
Last trading date | The third Thursday of the delivery month. In case the final trading day falls on holidays, it will be the previous trading day |
Final settlement date | The business day after final trading day |
Payment method | By cash |
Principle of determining day-end settlement price | As stipulated by Vietnam Securities Depository |
Principle of determining final settlement price | The simple arithmetic average of the index in the last 30 minutes of the last trading day (including 15 minutes of continuous order matching and 15 minutes of closing periodical order matching), after excluding 3 highest index values and 3 lowest index values of the continuous order matching session |
Margin rate | As stipulated by VSD |
Service price | Collecting service fee as stipulated by Ministry of Finance |
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List of VN30 Index Futures (effective date: from 21st May 2021)
Date update 20/05/2021 - 14:21:32 -
List of VN30 Index Futures (effective date: from 22nd January 2021)
Date update 21/01/2021 - 10:49:00 -
List of VN30 Index Futures (effective date: from 18th December 2020)
Date update 18/12/2020 - 15:37:00 -
List of Government Bond Futures with the effective date from 16th December 2020
Date update 15/12/2020 - 17:33:00 -
List of VN30 Index Futures (effective date: from 20th November 2020)
Date update 19/11/2020 - 16:21:23 -
List of VN30 Index Futures (effective date: from 16th October 2020)
Date update 15/10/2020 - 16:35:31 -
List of VN30 Index Futures (effective date: from 16th October 2020)
Date update 15/10/2020 - 16:35:18 -
Initial margin rate for VN30 Index Futures effective from 16th October 2020
Date update 15/10/2020 - 16:34:56 -
List of VN30 Index Futures (effective date: from 18th September 2020)
Date update 17/09/2020 - 14:50:00 -
List of Government Bond Futures with the effective date from 16th September 2020
Date update 15/09/2020 - 16:36:00
No. | Product code | Date of payment | Daily settlement price (DSP) | Final settlement price (FSP) |
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Display: 0 - 0 / 0 record
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