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Futures

Product & Services:

Hang Seng Index Futures (HSIF)

  • Location: Hong Kong
  • Contract Multiplier: HK$50 per index point
  • Minimum Fluctuation: One index point
  • Contract Months: Spot Month, the next calendar month, and the next two calendar quarter months
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Final Settlement Day: The first Business Day after the Last Trading Day
  • Last Trading Day: The Business Day immediately preceding the last Business Day of the Contract Month

Mini-Hang Seng Index Futures

  • Location:Hong Kong
  • Contract Multiplier:HK$10 per Index point
  • Minimum Fluctuation:One index point
  • Contract Months:Spot Month, the next calendar month, and the next two calendar quarter months
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Final Settlement Day: The first Business Day after the Last Trading Day
  • Last Trading Day: The Business Day immediately preceding the last Business Day of the Contract Month

Hang Seng Index Options

  • Location:Hong Kong
  • Contract Multiplier:HK$50 per index point
  • Minimum Fluctuation:One index point
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:15pm
  • Expiry Day:The Business Day immediately preceding the last Business Day of the Contract Month.
  • Settlement on Exercise:Cash settlement of the Final Settlement Value.

Mini-Hang Seng Index Options

  • Location:Hong Kong
  • Contract Multiplier:HK$10 per Index point
  • Minimum Fluctuation:One index point
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Expiry Day:The Business Day immediately preceding the last Business Day of the Contract Month.
  • Settlement on Exercise:Cash settlement of the Final Settlement Value.

H-shares Index Futures

  • Location:Hong Kong
  • Contract Multiplier:HK$50 per index point
  • Minimum Fluctuation:One index point
  • Contract Months:Spot Month, the next calendar month, and the next two calendar quarter months
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Final Settlement Day: The first Business Day after the Last Trading Day
  • Last Trading Day: The Business Day immediately preceding the last Business Day of the Contract Month

H-shares Index Options

  • Location:Hong Kong
  • Contract Multiplier:HK$50 per Index point
  • Minimum Fluctuation:One index point
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Expiry Day:The Business Day immediately preceding the last Business Day of the Contract Month.
  • Settlement on Exercise:Cash settlement of the Final Settlement Value.

FTSE/Xinhua China 25 Index Futures

  • Location:Hong Kong
  • Contract Multiplier:HK$50 per index point
  • Minimum Fluctuation:One index point
  • Contract Months:Spot Month, the next calendar month, and the next two calendar quarter months
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Final Settlement Day: The first Business Day after the Last Trading Day
  • Last Trading Day: The Business Day immediately preceding the last Business Day of the Contract Month

FTSE/Xinhua China 25 Index Options

  • Location:Hong Kong
  • Contract Multiplier:HK$50 per Index point
  • Minimum Fluctuation:One index point
  • Trading Hours:(Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:30pm
  • Trading Hours on Last Trading Date: (Hong Kong Time) 9:45am - 12:30pm, 2:30pm - 4:00pm
  • Expiry Day:The Business Day immediately preceding the last Business Day of the Contract Month.
Settlement on Exercise:Cash settlement of the Final Settlement Value.
All rights reserved by Victory Securities Company Limited
Member of The Stock Exchange of Hong Kong Ltd
Seat No.3230/3239   Particpant ID:B01445