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About FX Options
What are FX Options?
Where can FX Options
be Traded?
Product Specifications
Currency Table &
Historical Rates
Trading Strategies
FAQs
Contact Us
PRODUCT SPECIFICATIONS
SPOT PRICES
Spot prices are based on exchange rates reported by Reuters. The rates are scaled using modifiers, as shown below, so the underlying value reflects a price level similar to that of a stock or index.
Underlying rate = rate x rate modifier
This table summarizes the rate modifier for each pair. To view the product specifications click on the Symbol.
Per US$
In US$
CONVENTION
ISE FX SYMBOL
RATE MODIFIER
EXAMPLES
USD/AUD
AUX
100
125.57 (1.2557 x 100)
USD/BRL
BRB
100
175.91 (1.7591 x 100)
USD/CAD
CDD
100
116.12 (1.1612 x 100)
USD/CHF
SFC
100
108.71 (1.0871 x 100)
USD/EUR
EUI
100
77.82 (0.7782 x 100)
USD/GBP
BPX
100
61.24 (0.6124 x 100)
USD/JPY
YUK
1
96.09 (96.09 x 1)
USD/MXN
PZO
10
133.46 (13.346 x 10)
USD/NZD
NZD
100
158.56 (1.5856 x 100)
USD/SEK
SKA
10
79.57 (0.7957 x 10)
CONVENTION
ISE FX SYMBOL
RATE MODIFIER
EXAMPLES
AUD/USD
AUM
100
86.68 (0.8668x100)
EUR/USD
EUU
100
147.04 (1.4704 x 100)
GBP/USD
GBP
100
160.06 (1.6006 x 100)
NZD/USD
NZO
100
71.79 (0.7179 x 100)
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