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Gold Futures Contract
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Contract Information Trading Day:2023-03-08Update:2023-03-08 16:01:10[more]
Code Listing Date Expiration Date First Delivery Day Last Delivery Day Benchmark Price au2303 20221216 20230315 20230316 20230316 406.20 au2304 20220316 20230417 20230418 20230418 400.12 au2305 20230216 20230515 20230516 20230516 412.60 au2306 20220517 20230615 20230616 20230616 399.30 au2308 20220718 20230815 20230816 20230816 375.94 au2310 20220916 20231016 20231017 20231017 388.22 au2312 20221116 20231215 20231218 20231218 405.48 au2402 20230117 20240215 20240216 20240216 419.98 -
Trading Parameter Trading Day:2023-03-08Update:2023-03-08 16:01:20[more]
Code Margin Rate Limit Up(%) Limit Down(%) Long Speculation(%) Short Speculation(%) Long Hedging(%) Short Hedging(%) au2303 15 15 15 15 8 8 au2304 10 10 10 10 8 8 au2305 10 10 10 10 8 8 au2306 10 10 10 10 8 8 au2308 10 10 10 10 8 8 au2310 10 10 10 10 8 8 au2312 10 10 10 10 8 8 au2402 10 10 10 10 8 8 -
Settlement Parameter Trading Day:2023-03-08Update:2023-03-08 16:01:40[more]
Note:
1.The transaction fee for closing out the position opened on the same day=the haircut rate for closing out the position opened on the same day * transaction fee, which is waived then the value is zero.
2.Transaction fee for gold futures shall refer to the amount of transaction fee.Code Settle Fee Percentage
(‰)Trans
Fee(RMB
/lot)Delivery
Fee(RMB
/gram)Margin Rate Discount Rate for Closing-out Today’s Position (%) Long
Speculation
(%)Short
Speculation
(%)Long
Hedging
(%)Short
Hedging
(%)au2303 420.40 0.000 2 0.00 15 15 15 15 0 au2304 415.50 0.000 10 0.00 10 10 10 10 0 au2305 416.14 0.000 2 0.00 10 10 10 10 0 au2306 416.30 0.000 10 0.00 10 10 10 10 0 au2308 417.18 0.000 2 0.00 10 10 10 10 0 au2310 417.32 0.000 2 0.00 10 10 10 10 0 au2312 417.76 0.000 10 0.00 10 10 10 10 0 au2402 418.90 0.000 2 0.00 10 10 10 10 0 -
Delivery Parameter Trading Day:2023-03-08Update:2023-03-08 16:02:30[more]
Code Delivery and Settlement Price Delivery Margin Rate
(%)Physical Delivery Unit Price(RMB/gram) First Delivery Day Last Delivery Day Tax-paid Bonded au2303 20 0.00 20230316 20230316 au2304 20 0.00 20230418 20230418 au2305 20 0.00 20230516 20230516 au2306 20 0.00 20230616 20230616 au2308 20 0.00 20230816 20230816 au2310 20 0.00 20231017 20231017 au2312 20 0.00 20231218 20231218 au2402 20 0.00 20240216 20240216 -
Monthly Informatio Update:
Code Trading Month Trading Day Trading Margin Rate
(%)Fee Percentage
(‰)Unit Price of Trans.Fee
(RMB/Contract)
Market Data and
Charts are delayed
at least 30 minutes.
Charts are delayed
at least 30 minutes.
Contract | Last | Chg | Open Interest | Volume | Bid-Ask | Pre-clear | Open | Comment |
Contract | Weighted Average Price 9:00-10:15 |
Change over Previous Trading Day | Weighted Average Price 9:00-15:00 |
Change over Previous Trading Day |
Notes:
1. Price quotation: RMB yuan/metric gram for Gold (exclusive of tax and customs duty).
2. Contract Size: 1000 metric grams/lot for Gold.
3. Formula:
Monthly average settlement price for a calendar month contract = ∑Daily settlement price/Number of days traded in the current calendar month
Change = Monthly average settlement price for the current day - Monthly average settlement price for the preceding trading day
4. The nearest month contract and the next-nearest month contract(i.e.,the the contract subsequent to the nearest month contract) are determined on the first trading day of the current month
5. If the last trading day of the contract is the adjusted,the monthly average settlement price will be calculated according to the adjusted last trading day
1. Price quotation: RMB yuan/metric gram for Gold (exclusive of tax and customs duty).
2. Contract Size: 1000 metric grams/lot for Gold.
3. Formula:
Monthly average settlement price for a calendar month contract = ∑Daily settlement price/Number of days traded in the current calendar month
Change = Monthly average settlement price for the current day - Monthly average settlement price for the preceding trading day
4. The nearest month contract and the next-nearest month contract(i.e.,the the contract subsequent to the nearest month contract) are determined on the first trading day of the current month
5. If the last trading day of the contract is the adjusted,the monthly average settlement price will be calculated according to the adjusted last trading day
Contract | Start Date | End Date | Mean of Settlement Price | Change |