Stock Index Product Stock Index Product is one of the indicators of the economic climate and the index can vary depending on diverse factors like economy,
government policy and natural disasters. Commodities for trading are KOSDAQ150 FUTURES, KRX300 FUTURES, KOSDAQ150 OPTIONS, KOSPI200 FUTURES , KOSPI200 OPTION,

KOSPI200 OPTION

KOSPI200 OPTIONS target the KOSPI200 INDEX (calculated in January 3rd, 1990.) based on the aggregate market values of 200 items listed on the stock market. Since KOSPI200 OPTIONS target the stock index, cash settlement is required for the final clearing.

Specification

KOSPI 200 Index
Underlying Asset KOSPI 200 Index
Trading Unit One contract
Trading Hours - 09 : 00 ~ 15 : 15 (Mon. - Fri.)- 09 : 00 ~ 14 : 50 (Last trading day)
Exercise Style European
Multiplier KRW 500,000
Last Trading Day Second Thursday of the contract month
Final Settlement Day The following day of the last trading day
Settlement Method Cash settlement
Daily Price Limit -
Position Limit -
Listing date 7 - July - 1997
Contract Months The three consecutive near months plus one nearest from the quarterly cycle (March, June, September and December)
Tick Size & Value - 0.05 point (KRW 5,000) for 3 point or more of premium- 0.01 point, (KRW 1,000) for less than 3 point of premium
Options Strike Interval -5.0 points for the contract months from the quarterly cycle - 2.5 points for the others