Currency Products Currency Products 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 US DOLLARS FUTURES, US DOLLAR OPTION, JAPANESE YEN FUTURES, EURO FUTURES,

US DOLLAR OPTION

US DOLLAR OPTION

Specification

US DOLLAR OPTION
Underlying Asset US Dollars
Trading Unit US $10,000
Trading Hours 09:00 ~ 15:15 (09:00 ~ 11:30 on the last trading day)
Price Quotation Korean Won (KRW)
Tick size & Value 0.1, representing a value of KRW 1,000
Last Trading Day Third Monday of the contract month
Final Settlement Day Second day following the last trading day
Settlement Method Cash
Position Limit It can be adopted when the KRX deems necessary
Exercise Style European(exercisable only at expiration)
Strike Price Intervals 10.00(Total 7 strike prices are initially listed : one "at the money", three "in the money", three "out of the money")
Contract Months The First six consecutive months(four serial expirations and two quarterly expirations) plus the next two months in the quarterly cycle (March, June, September, December)