ETF & ETC

WisdomTree Copper Options (COPA)

  • Currency
    USD
  • Product ISIN
    GB00B15KXQ89
  • Underlying ISIN
    GB00B15KXQ89

    Contract Type

    Contract Date

    Call

    Put

    Contract Type Last traded Open High Low D. Settle OI adj Volume Last Bid Ask
    M17:48 13/0343.9243.9243.9243.92--43.92--
    M17:48 13/037.967.967.967.96--7.96--
    M17:48 13/037.467.467.467.46--7.46--
    M17:48 13/036.966.966.966.96--6.96--
    M17:48 13/036.466.466.466.46--6.46--
    M17:48 13/035.965.965.965.96--5.96--
    M17:48 13/035.475.475.475.47--5.47--
    M17:48 13/034.974.974.974.97--4.97--
    M17:48 13/034.474.474.474.47--4.47--
    M17:48 13/033.973.973.973.97--3.973.984.37
    M17:48 13/033.483.483.483.48--3.483.513.86
    M17:48 13/032.992.992.992.99--2.993.043.34
    M17:48 13/032.522.522.522.52--2.522.582.83
    M17:48 13/032.072.072.072.07--2.072.142.35
    M17:48 13/031.651.651.651.65--1.651.711.91
    Strike
    0.01
    36.00
    36.50
    37.00
    37.50
    38.00
    38.50
    39.00
    39.50
    40.00
    40.50
    41.00
    41.50
    42.00
    42.50
    Contract Type Bid Ask Last Volume OI adj D. Settle Open High Low Last traded
    unknown
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M--0.01--0.010.010.010.0117:48 13/03
    M-0.110.01--0.010.010.010.0117:48 13/03
    M-0.120.02--0.020.020.020.0217:48 13/03
    M-0.140.05--0.050.050.050.0517:48 13/03
    M-0.180.10--0.100.100.100.1017:48 13/03
    M0.040.240.18--0.180.180.180.1817:48 13/03
    Vers.
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0

    Volume: 0

    OI adj: 0

    Total

    Volume: 0

    OI adj: 0

    Fetch Data ...

    Contract Specifications

    ContractProduct IDUnderlyingCurrency

    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

    ContractExercise 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.

    Block Trades

    Admitted to the Eurex Block Trade Service with a Minimum Block Trade Size of 250 contracts.

    Market-Making Parameter

    All quotation parameters at a glance

    • Quotation period
    • Maturity range
    • Spread class & Maximum Spread
    • Minimum Quote Size
    Liquidity Provider schemes

    Mistrade Parameter

    This file provides an overview of mistrade ranges for Options and Futures including information on their behavior close to expiration and in stressed markets.
     

    Mistrade Ranges

    Crossing Parameters

    (section 2.6 Eurex Trading Conditions)

    (1) Orders and Quotes relating to the same Instrument or Combined Instrument may, in case they could immediately be executed against each other, neither be entered knowingly by an Exchange Trader or several Exchange Traders of an Admitted Company (a “Cross Trade”) nor pursuant to a prior understanding between Exchange Traders of two different admitted companies (a “Pre-Arranged Trade”), unless the conditions according to Paragraph 2 have been fulfilled. The same shall apply for the entry of Orders as part of a Quote.

    (2) A Cross Trade or a Pre-Arranged Trade is admissible if a participant in a Cross Trade or a Pre-Arranged Trade Eurex Trading System, announces his intention to execute a corresponding number of Contracts as Cross Trades or Pre-Arranged Trades in the Order Book (“Trade Request”). The buying participant has to ensure that he himself or the selling participant enters the Trade Request. The Order or Quote giving rise to the Cross Trade or Pre-Arranged Trade must be entered one second at the earliest and 121 seconds at the latest after the entry of the Trade Request. Entering a Trade Request without entering the respective Order or Quote is not admissible.

    (3) Paragraphs 1 and 2 shall not apply to Transactions consummated during the netting process in an auction (Number 1.4 Paragraphs 2 and Paragraph 3).

    (4) The automated entry functionality for Cross Trades or Pre-Arranged Trades of the Eurex Trading System may be used for entering Cross Trades or Pre-Arranged Trades. In this case, announcement and entry of the corresponding Orders pursuant to Paragraph 2 will be automated. 

    Regular Trading Day
    Pre-Trading Trading Post-Trading
    Full Late1 Late2 Restricted
    07:30 09:00 17:30 20:00
    Last Trading Day
    Pre-Trading Trading Post-Trading
    Full Late1 Late2 Restricted
    07:30 09:00 17:30 20:00
    • Jan 01
      Interest Rates | Equity | Equity Index | Dividends | FX | Volatility | ETF & ETC | Commodity | Cryptocurrency | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • Jan 02
      Fixed income derivatives | Equity | Equity Index | Dividends | ETF & ETC | FX | Switzerland | Holiday

      No cash payment in CHF

    • Jan 17
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Jan 20
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Feb 17
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Feb 21
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Mar 21
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Apr 17
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Apr 18
      Interest Rates | Equity | Equity Index | Dividends | Cryptocurrency | Volatility | FX | ETF & ETC | Commodity | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • Apr 21
      Interest Rates | Equity | Equity Index | Dividends | FX | Volatility | ETF & ETC | Commodity | Cryptocurrency | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • May 01
      Interest Rates | Equity | Equity Index | Dividends | FX | Volatility | ETF & ETC | Commodity | Cryptocurrency | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • May 05
      Exchange traded commodities derivatives | Holiday

      Eurex is closed for trading and exercise in Exchange Traded Commodities

    • May 26
      Exchange traded commodities derivatives | Holiday

      Eurex is closed for trading and exercise in Exchange Traded Commodities

    • May 26
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • May 29
      Fixed income derivatives | Equity | Equity Index | Dividends | ETF & ETC | FX | Switzerland | Holiday

      No cash payment in CHF

    • Jun 09
      Fixed income derivatives | Equity | Equity Index | Dividends | ETF & ETC | FX | Switzerland | Holiday

      No cash payment in CHF

    • Jun 19
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Jun 20
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Jul 04
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Jul 18
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Aug 01
      Fixed income derivatives | Equity | Equity Index | Dividends | ETF & ETC | FX | Switzerland | Holiday

      No cash payment in CHF

    • Aug 15
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Aug 25
      Exchange traded commodities derivatives | Holiday

      Eurex is closed for trading and exercise in Exchange Traded Commodities

    • Sep 01
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Sep 19
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Oct 13
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Oct 17
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Nov 11
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Nov 21
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Nov 27
      Equity | Equity Index | Bloomberg | Exchange traded commodities derivatives | FX | Brazil | Canada | Russia | USA | Holiday

      No cash payment in USD

    • Dec 19
      Exchange traded commodities derivatives | Last Trading Day

      Last Trading Day for ETC and Xetra-Gold® derivatives

    • Dec 24
      Interest Rates | Equity | Equity Index | Dividends | Volatility | ETF & ETC | Cryptocurrency | Commodity | FX | Holiday

      Eurex is closed for trading in all derivatives

    • Dec 25
      Interest Rates | Equity | Equity Index | Dividends | FX | Volatility | ETF & ETC | Commodity | Cryptocurrency | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • Dec 26
      Interest Rates | Equity | Equity Index | Dividends | FX | Volatility | ETF & ETC | Commodity | Cryptocurrency | Holiday

      Eurex is closed for trading and clearing (exercise, settlement and cash) in all derivatives

    • Dec 31
      Interest Rates | Equity | Equity Index | Dividends | Volatility | ETF & ETC | Cryptocurrency | Commodity | FX | Holiday

      Eurex is closed for trading in all derivatives

    Fee Type Fee
    Exchange transactions: Standard fees (A-, M- and P-accounts) USD 0.30 per contract
    TES transactions / Eurex EnLight: Standard fees (A-, M- and P-accounts) USD 0.40 per contract
    Position Closing Adjustments (A-, M- and P-accounts) USD 0.60 per contract
    Exercise of options (A-, M- and P-accounts) USD 0.30 per contract
    Position transfer with cash transfer USD 13.00 per transaction

    Market Status

    XEUR

    14 March 2025

    9:35:23 AM


    Production newsboard

    The market status window is an indication regarding the current technical availability of the trading system. It indicates whether news board messages regarding current technical issues of the trading system have been published or will be published shortly.

    Please find further information about incident handling in the Emergency Playbook published on the Eurex webpage under Support --> Emergencies and safeguards. Detailed information about incident communication, market re-opening procedures and best practices for order and trade reconciliation can be found in the chapters 4.2, 4.3 and 4.5, respectively. Concrete information for the respective incident will be published during the incident via newsboard message. 

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