Contract | Product ID | Underlying | Currency |
WisdomTree Physical Gold Options | OPHA | WisdomTree Physical Gold ETC | USD |
WisdomTree WTI Crude Oil Options | OCRU | WisdomTree WTI Crude Oil ETC | USD |
WisdomTree Brent Crude Oil Options | BRNT | WisdomTree Brent Crude Oil ETC | USD |
WisdomTree Copper Options | COPA | WisdomTree Copper ETC | USD |
WisdomTree Nickel Options | NICK | WisdomTree Nickel ETC | USD |
iShares Physical Gold Options | IGLN | iShares Physical Gold ETC | USD |
iShares Physical Silver Options | ISLN | iShares Physical Silver ETC | USD |
Contract size
100 ETC securities (for OCRU 1000 and for OPHA 10 ETC securities)
Settlement
Physical delivery of the respective ETC securities two exchange days after the last trading day.
Price quotation and minimum price change
The price quotation is in USD per security, with two decimal places. The minimum price change is USD 0.01.
Contract months
Up to 60 months: The three nearest successive calendar months, the eleven following quarterly months of the March, June, September and December cycle thereafter, and the four following semi-annual months of the June and December cycle thereafter.
Last trading day and final settlement day
Last trading day is the final settlement day. Final settlement day is the third Friday of each expiration month if this is an exchange day; otherwise the exchange day immediately preceding that day. Close of trading in the expiring option series on the last trading day is at 17:30 CET.
Daily settlement price
The daily settlement price is established by Eurex. The daily settlement prices for Exchange Traded Commodities Options are determined trough the binomial model according to Cox/Ross/Rubinstein.
Further details are available in the clearing conditions.
Final settlement price
The final settlement price is established by Eurex on the final settlement day, based on the closing auction at London Stock Exchange at 17:30 CET.
Exercise
WisdomTree: European-style; an option can only be exercised on the final settlement day of the respective option series until 20:00 CET.
iShares: American-style; an option can be exercised until the end of the Post-Trading Full Period (20:00 CET) on any trading day during the lifetime of the option.
Exercise prices
Contract | Exercise price intervals in USD |
WisdomTree Physical Gold Options | 2.00 |
WisdomTree WTI Crude Oil Options WisdomTree Nickel Options | 0.10 |
WisdomTree Brent Crude Oil Options WisdomTree Copper Options iShares Physical Gold Options iShares Physical Silver Options | 0.25 |
Number of exercise prices
Upon the admission of the options, at least seven exercise prices shall be made available for each due date with a term of up to 60 months for each call and put, such that three exercise prices are in-the-money, one is at-the-money and three are out-of-the-money.
Option premium
The premium is payable in full in USD on the exchange day following the day of the trade.
Admitted to the Eurex Block Trade Service with a Minimum Block Trade Size of 200 contracts.