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AMIB

ASIGNA

BOLSA MEXICANA

INDEVAL

VALMER

SIF

OPTIONS LISTED CONTRACTS AT MEXDER

 

CURRENCIES

Contract

Contract Terms

Strike Price

Contract Type

Contract Style

Contract Size

Trading Symbol

Maturity Symbols  

Delivery Months

Quoting Unit

Minimum Price Fluctuation (Tick)

Trading Hours

Last trading day and maturity date

Settlement date

Initial Margin Contributions

Dollar
MXN/USD Options - MXN peso per 1.00 US Dollar of the United States of America

DA

It will be expressed in Mexican Pesos according to the spot price of the USD and in multiples of 0.05 MXP

Call



 Put

European

US$ 10,000
 (ten thousand US dollars 00/100)

DA plus up to five digits will be added to specify Strike Price and the letter corresponding to the maturity month depending on the contract type of the Option

 DA 19250C /  DA 19200X

MONTH

CALL

PUT

Quarterly cycle for up to one year: March, June, September, December

Pesos and cents per linked unit

Minimum Premium Fluctuation of $0.001
(One thousandth of a Mexican Peso) 

7:30 to 14:00 hours
 Mexico City time
 (GMT -06:00)

For futures contracts with monthly and quarterly maturities, the last trading day and the Maturity Date will be on Monday of the week corresponding to the third Wednesday of the maturity month, or the previous Business Day if said Monday is a non-Business Day

Second following business day after maturity date

Margin Requirements

MAR

C

O

JUN

F

R

SEP

I

U

DIC

L

X

 

INDEX

Contract

Contract Terms

Strike Price

Contract Type

Contract Style

Contract Size

Trading Symbol

Maturity Symbols

Delivery Months

Quoting Unit

Minimum Price Fluctuation (Tick)

Trading Hours

Last trading day and maturity date

Settlement day

Initial Margin Contributions

S&P/BMV IPC
 (Mexican Stock
Exchange Index )
Options on Futures Contract

IP


It will be expressed in S&P/BMV IPC Index points and they will be multiples of 500 units

Call



 Put

European


MX $10.00 (ten pesos 00/100)
Multiplied by the Premium of the Option Contract

IP plus five digits to specify the strike and the letter corresponding to the maturity month depending on the contract type of the Option

 IP 40500C /  IP 40500X

MONTH

CALL

PUT

Quarterly cycle for up to one year: March, June, September, December

Points of the  S&P/BMV IPC

1.00 point of the S&P/BMV IPC

7:30 to 15:00 hours
 Mexico City time
 (GMT -06:00)

 
Third Friday of the maturity month or the previous business day in case that Friday is a holiday

Next business day after maturity date

Margin Requirements

MAR

C

O

JUN

F

R

SEP

I

U

DIC

L

X

 

 

SINGLE STOCKS

Contract

ALFA A

ALSEA

ASUR B

AMÉRICA MÓVIL L

BIMBO

CEMEX CPO

CUERVO *

FEMSA UBD

GAP B

GMÉXICO

GMXT

GRUMA B

KOF UBL

NAFTRAC ISHRS

OMA B

ORBIA

PE&OLES

PINFRA

TLEVISA CPO

WALMEX

Contract Terms

AL

AA

AS

AX

BI

CX

CU

FE

GP

GM

GX

GR

KO

NA

OM

OR

PE

PI

TV

WA

Strike Price

Contract Type

Contract Style

Contract Size

 

Trading Symbol

Maturity Symbols

Delivery Months

Quoting Unit

Minimum Price Fluctuation (Tick)

Trading Hours

Last trading day and maturity date

Settlement day

Initial Margin Contributions

They will be different from each other depending on the price of the Underlying Stock and will always be multiples of an interval

Call



 Put

American

100 Stocks per Option Contract

 

Ticker up to five digits will be added to specify Strike Price and one more digit to specify Contract type and maturity month:

AX 14F / AX14U

MONTH

CALL

PUT

Quarterly cycle for up to one year: March, June, September, December

Pesos and cents per linked unit

Minimum Premium Fluctuation of $0.01 (one cent of Mexican Peso)

7:30 to 15:00 hours Mexico City time
 (GMT -06:00)

Third Friday of the maturity month or the previous business day in case that Friday is a holiday

Business day after the maturity date.

Margin Requirements

 

MAR

C

O

 

JUN

F

R

 

SEP

I

U

 

DIC

L

X

 

 

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