BIST Increasing MRDIN.E 4.6 19.79 % YBTAS.E 2930 19.78 % SANKO.E 3.04 12.18 % HUBVC.E 5.5 11.79 % ADBGR.E 4.43 11.59 % Decreasing ORMA.E 3.65 -18.89 % BOYP.E 15.84 -12.29 % PKENT.E 103.3 -11.71 % NIBAS.E 8 -11.11 % TSPOR.E 1.29 -9.79 % VIOP Most Change O_XU030E1019C124.000 % 400,00 O_SAHOLE1019C9.00 % 325,00 O_XU030E1019C134.000 % 300,00 O_XU030E1019C122.000 % 298,48 O_AKBNKE1119C7.30 % 252,94 Highest Open Position F_USDTRY1019 639.778 F_XAUTRYM1019 557.878 F_USDTRY1219 455.860 F_XU0301019 359.547 F_EKGYO1019 157.100

CONTRACT CODES


The specifications and codes of the contracts to trade on the Market will be announced by the Exchange.
For Futures Contracts, the contract code includes information on instrument group, underlying asset, contract size and expiration date.

Table 1Code For Futures Contracts

Code

Explanation

F_

Instrument group (Futures)

XAUTRY

Underlying asset code

M

Contract code regarding the contract size

0317

Expiration date (Ex. March 2017)


For Option Contracts, the contract code includes information on instrument group, underlying asset, contract size, exercise style, expiration date, option class and strike price.

Table 2: Code For Options Contracts

Code

Explanation

O_

Instrument group (Options)

XU030

Underlying asset code

E

Exercise style (A: American-The contractual right can be used on any date until or on expiry date, E: European-The contractual right can be used on expiry date)

0417

Expiration date (Ex. April 2017)

C

Option class (C: Call option P: Put option)

92.000

Strike price


Single Stock Futures and Options contracts subject to corporate action adjustments may have different contract specifications than standart contracts. Contract codes may have additional information such as N1, N2, N3 etc. indicating that the contract is non standart.

Intermonth strategy orders shall be sent to the System with strategy order codes determined as in the below instead of the contract codes.

Table 3: Intermonth Strategy Order Code

Code

Explanation

F_

Contract group to compose the intermonth strategy order (Futures)

XU030

Underlying asset code

M2-M1

Contract months included in the strategy (M1:nearest contract month – M2: second nearest contract month)



Flexible contracts which are created by Exchange members by altering expiry day and/or strike price parameters of existing contracts with predefined constrains, are coded as follows:

Table 4: Contract Codes of Flexible Option Contracts

Code

Explanation

TM_O

Flexible Option Contract

XU030

Underlying Asset Code

E

Exercise style (A: American-The contractual right can be used on any date until or on expiry date, E: European-The contractual right can be used on expiry date)

250419

Expiration Date (Ex. 25 April 2019)

C

Option class (C: Call option P: Put option)

123.000

Strike Price


Flexible contract codes, subjected to corporate action adjustment, may have additional information such as N1, N2, N3 etc. indicating that the contract is non standart.