Newly Launched but not yet Listed Derivative Warrants

Sorted by Listing Date
Updated: 16 April 2024 Download    Print friendly
* Information on clearing (Settlement Instructions) and settlement (Exchange Trades) arrangements in CCASS
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No. Warrant Code Warrant Name Issuer Underlying Call/
Put
Board Lot Strike
Currency
Strike Level Entitlement Ratio^ Issue
Currency
Issue Price Total Issue Size Launch Date
(D-M-Y)
*Clearing Commencement Date1
(D-M-Y)
Listing Date /
*Settlement Commencement Date2
(D-M-Y)
Maturity Date
(D-M-Y)
1. 24351 MS-AIA @EC2409C MS 01299 Call 2,000 HKD 64.05 10 HKD 0.15 80,000,000 12-04-2024 16-04-2024 17-04-2024 24-09-2024
2. 24352 MS-AIA @EC2410B MS 01299 Call 2,000 HKD 65.93 10 HKD 0.15 80,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
3. 24353 UB-AIA @EC2410C UB 01299 Call 2,000 HKD 65.93 10 HKD 0.15 100,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
4. 24354 UB-LINK@EC2410A UB 00823 Call 500 HKD 42.35 5 HKD 0.15 100,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
5. 24355 DS-TRIP@EP2408A DS 09961 Put 5,000 HKD 319.8 100 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 26-08-2024
6. 24356 DS-AIA @EC2410A DS 01299 Call 2,000 HKD 65.93 10 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
7. 24359 MBAIRCN@EC2507A MB 00753 Call 2,000 HKD 5.88 1 HKD 0.362 27,630,000 12-04-2024 16-04-2024 17-04-2024 03-07-2025
8. 24360 HSKINGD@EC2506A HS 00268 Call 10,000 HKD 11.19 10 HKD 0.15 80,000,000 12-04-2024 16-04-2024 17-04-2024 25-06-2025
9. 24364 HSPINAN@EC2503A HS 02318 Call 5,000 HKD 43.05 10 HKD 0.15 80,000,000 12-04-2024 16-04-2024 17-04-2024 26-03-2025
10. 24365 HS-AIA @EC2603A HS 01299 Call 10,000 HKD 54.5 50 HKD 0.25 150,000,000 12-04-2024 16-04-2024 17-04-2024 30-03-2026
11. 24366 UB-MNIU@EC2412A UB 02319 Call 10,000 HKD 22.05 10 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 20-12-2024
12. 24367 UB-TRIP@EC2409C UB 09961 Call 5,000 HKD 499.81 100 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 20-09-2024
13. 24368 UBBAIDU@EC2412C UB 09888 Call 2,500 HKD 128.1 50 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 24-12-2024
14. 24369 UB-CNBM@EC2410A UB 03323 Call 2,000 HKD 4.01 1 HKD 0.2 50,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
15. 24370 UBPINAN@EC2503A UB 02318 Call 5,000 HKD 43.05 10 HKD 0.15 100,000,000 12-04-2024 16-04-2024 17-04-2024 26-03-2025
16. 24371 MS-CNBM@EC2410A MS 03323 Call 2,000 HKD 4.01 1 HKD 0.15 68,000,000 12-04-2024 16-04-2024 17-04-2024 24-10-2024
17. 24372 DS-TRIP@EC2410A DS 09961 Call 5,000 HKD 518 100 HKD 0.25 40,000,000 12-04-2024 16-04-2024 17-04-2024 18-10-2024
18. 24373 SG-AIA @EC2410B SG 01299 Call 2,000 HKD 59.88 10 HKD 0.25 100,000,000 12-04-2024 16-04-2024 17-04-2024 18-10-2024
19. 24374 SGPINAN@EC2410B SG 02318 Call 5,000 HKD 36.8 10 HKD 0.25 70,000,000 12-04-2024 16-04-2024 17-04-2024 31-10-2024
20. 24375 SGBOCHK@EC2502A SG 02388 Call 5,000 HKD 25.3 10 HKD 0.25 70,000,000 12-04-2024 16-04-2024 17-04-2024 28-02-2025
21. 24376 CT-AIA @EP2410B CT 01299 Put 2,000 HKD 39 10 HKD 0.25 40,000,000 12-04-2024 16-04-2024 17-04-2024 23-10-2024
22. 24377 CT-HSBC@EC2410A CT 00005 Call 4,000 HKD 76.88 10 HKD 0.25 40,000,000 12-04-2024 16-04-2024 17-04-2024 23-10-2024
23. 24378 GSXIAMI@EC2412A GS 01810 Call 2,000 HKD 19.82 10 HKD 0.15 70,000,000 12-04-2024 16-04-2024 17-04-2024 24-12-2024
24. 24379 JP-HSI @EC2410C JP HSI Call 10,000 - 17388 5800 HKD 0.25 300,000,000 12-04-2024 16-04-2024 17-04-2024 30-10-2024
25. 24380 JP-HSI @EC2412D JP HSI Call 10,000 - 18690 5000 HKD 0.15 300,000,000 12-04-2024 16-04-2024 17-04-2024 30-12-2024
26. 24381 JP-HSI @EC2411B JP HSI Call 10,000 - 18300 5000 HKD 0.25 300,000,000 12-04-2024 16-04-2024 17-04-2024 28-11-2024
27. 24382 JPZHJIN@EC2502A JP 01818 Call 5,000 HKD 18.5 10 HKD 0.25 60,000,000 12-04-2024 16-04-2024 17-04-2024 28-02-2025
28. 10248 BPUSYEN@EC2412A BP YEN Call 10,000 JPY 159 1 HKD 0.25 50,000,000 15-04-2024 17-04-2024 18-04-2024 20-12-2024
29. 10249 BPUSYEN@EP2412A BP YEN Put 10,000 JPY 139 1 HKD 0.25 50,000,000 15-04-2024 17-04-2024 18-04-2024 20-12-2024
30. 24383 UB-HSI @EC2412D UB HSI Call 10,000 - 18693 5000 HKD 0.15 300,000,000 15-04-2024 17-04-2024 18-04-2024 30-12-2024
31. 24384 HS-HSI @EC2412C HS HSI Call 10,000 - 18693 5000 HKD 0.15 200,000,000 15-04-2024 17-04-2024 18-04-2024 30-12-2024
32. 24385 HS-HSI @EC2412D HS HSI Call 10,000 - 17688 6500 HKD 0.15 200,000,000 15-04-2024 17-04-2024 18-04-2024 30-12-2024
33. 24386 HS-AIA @EC2410A HS 01299 Call 2,000 HKD 60 10 HKD 0.25 80,000,000 15-04-2024 17-04-2024 18-04-2024 17-10-2024
34. 24387 HSZHJIN@EC2412B HS 01818 Call 5,000 HKD 17.88 10 HKD 0.25 60,000,000 15-04-2024 17-04-2024 18-04-2024 30-12-2024
35. 24388 MB-GEG @EC2504A MB 00027 Call 10,000 HKD 50.5 10 HKD 0.32 31,250,000 15-04-2024 17-04-2024 18-04-2024 01-04-2025
36. 24389 MBSANDS@EC2504A MB 01928 Call 4,000 HKD 27.38 10 HKD 0.254 39,380,000 15-04-2024 17-04-2024 18-04-2024 01-04-2025
37. 24390 GJBAIDU@EC2412A GJ 09888 Call 2,500 HKD 128.1 50 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 24-12-2024
38. 24391 GJ-WUXI@EC2410A GJ 02269 Call 5,000 HKD 18.02 10 HKD 0.206 70,000,000 15-04-2024 17-04-2024 18-04-2024 16-10-2024
39. 24392 MSTENCT@EP2412A MS 00700 Put 10,000 HKD 272.6 100 HKD 0.15 108,000,000 15-04-2024 17-04-2024 18-04-2024 20-12-2024
40. 24393 MSCMOLY@EC2505A MS 03993 Call 15,000 HKD 10.9 5 HKD 0.15 68,000,000 15-04-2024 17-04-2024 18-04-2024 27-05-2025
41. 24394 MS-MTRC@EC2504A MS 00066 Call 5,000 HKD 30.49 10 HKD 0.15 68,000,000 15-04-2024 17-04-2024 18-04-2024 23-04-2025
42. 24395 MS-SHKP@EC2410A MS 00016 Call 5,000 HKD 88.93 10 HKD 0.17 60,000,000 15-04-2024 17-04-2024 18-04-2024 28-10-2024
43. 24396 MSSPDRG@EC2412C MS 02840 Call 2,500 HKD 1868.5 500 HKD 0.18 60,000,000 15-04-2024 17-04-2024 18-04-2024 17-12-2024
44. 24397 MSBOCHK@EC2412B MS 02388 Call 2,500 HKD 29.14 5 HKD 0.15 68,000,000 15-04-2024 17-04-2024 18-04-2024 20-12-2024
45. 24398 MSJIANC@EC2411A MS 00358 Call 5,000 HKD 21.25 5 HKD 0.15 68,000,000 15-04-2024 17-04-2024 18-04-2024 14-11-2024
46. 24399 UBZHJIN@EC2502A UB 01818 Call 5,000 HKD 18.88 10 HKD 0.25 60,000,000 15-04-2024 17-04-2024 18-04-2024 18-02-2025
47. 24400 UB-HSI @EP2410D UB HSI Put 10,000 - 17500 9000 HKD 0.25 300,000,000 15-04-2024 17-04-2024 18-04-2024 30-10-2024
48. 24401 UB-MTRC@EC2504A UB 00066 Call 5,000 HKD 30.55 10 HKD 0.17 60,000,000 15-04-2024 17-04-2024 18-04-2024 23-04-2025
49. 24402 UB-NTES@EC2412A UB 09999 Call 10,000 HKD 178.98 100 HKD 0.15 100,000,000 15-04-2024 17-04-2024 18-04-2024 19-12-2024
50. 24403 HUTENCT@EP2409A HU 00700 Put 10,000 HKD 277.57 100 HKD 0.151 70,000,000 15-04-2024 17-04-2024 18-04-2024 20-09-2024
51. 24405 HUBAIDU@EC2412A HU 09888 Call 2,500 HKD 128 50 HKD 0.15 67,500,000 15-04-2024 17-04-2024 18-04-2024 24-12-2024
52. 24406 MBSNTRK@EC2503A MB 03808 Call 5,000 HKD 30.88 10 HKD 0.373 26,810,000 15-04-2024 17-04-2024 18-04-2024 04-03-2025
53. 24407 MB-NWD @EC2511A MB 00017 Call 5,000 HKD 10.88 5 HKD 0.25 40,000,000 15-04-2024 17-04-2024 18-04-2024 04-11-2025
54. 24408 MB-FORT@EC2508A MB 00778 Call 1,000 HKD 4.88 1 HKD 0.279 39,690,000 15-04-2024 17-04-2024 18-04-2024 04-08-2025
55. 24409 CIALIBA@EC2412A CI 09988 Call 5,000 HKD 77.88 50 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 31-12-2024
56. 24410 CITENCT@EC2412A CI 00700 Call 10,000 HKD 360 100 HKD 0.25 70,000,000 15-04-2024 17-04-2024 18-04-2024 31-12-2024
57. 24412 CIMTUAN@EC2411A CI 03690 Call 5,000 HKD 120 50 HKD 0.25 70,000,000 15-04-2024 17-04-2024 18-04-2024 29-11-2024
58. 24413 CICNOOC@EC2502A CI 00883 Call 5,000 HKD 25 5 HKD 0.25 60,000,000 15-04-2024 17-04-2024 18-04-2024 28-02-2025
59. 24414 CICNOOC@EP2502A CI 00883 Put 5,000 HKD 16.5 5 HKD 0.25 40,000,000 15-04-2024 17-04-2024 18-04-2024 28-02-2025
60. 24415 JP-HSI @EP2412B JP HSI Put 10,000 - 15224 5000 HKD 0.15 300,000,000 15-04-2024 17-04-2024 18-04-2024 30-12-2024
61. 24416 JP-HSI @EP2409D JP HSI Put 10,000 - 15323 5600 HKD 0.15 300,000,000 15-04-2024 17-04-2024 18-04-2024 27-09-2024
62. 24417 JP-HSI @EP2409E JP HSI Put 10,000 - 16816 7000 HKD 0.15 300,000,000 15-04-2024 17-04-2024 18-04-2024 27-09-2024
63. 24418 JPPINAN@EC2503A JP 02318 Call 5,000 HKD 43.05 10 HKD 0.15 100,000,000 15-04-2024 17-04-2024 18-04-2024 26-03-2025
64. 24420 JPSPDRG@EC2412B JP 02840 Call 2,500 HKD 1868.5 500 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 17-12-2024
65. 24421 JP-MNIU@EC2412A JP 02319 Call 10,000 HKD 22.05 10 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 20-12-2024
66. 24422 JP-CLPG@EC2507A JP 00916 Call 5,000 HKD 6.71 5 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 24-07-2025
67. 24423 JPBAIDU@EC2412B JP 09888 Call 2,500 HKD 128.1 50 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 24-12-2024
68. 24424 SG-HKEX@EC2411A SG 00388 Call 10,000 HKD 252.4 100 HKD 0.15 100,000,000 15-04-2024 17-04-2024 18-04-2024 07-11-2024
69. 24425 SGMTUAN@EP2410A SG 03690 Put 10,000 HKD 101.9 100 HKD 0.15 150,000,000 15-04-2024 17-04-2024 18-04-2024 23-10-2024
70. 24426 SG-NTES@EC2412A SG 09999 Call 10,000 HKD 178.98 100 HKD 0.15 100,000,000 15-04-2024 17-04-2024 18-04-2024 19-12-2024
71. 24427 CT-GEG @EC2410A CT 00027 Call 10,000 HKD 49.95 10 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 28-10-2024
72. 24428 CT-NTES@EC2409A CT 09999 Call 10,000 HKD 168.98 100 HKD 0.15 70,000,000 15-04-2024 17-04-2024 18-04-2024 25-09-2024
73. 10250 BP-GOLD@EC2412A BP GOLD Call 10,000 USD 2650 5000 HKD 0.25 50,000,000 16-04-2024 18-04-2024 19-04-2024 20-12-2024
74. 10251 BP-GOLD@EP2412A BP GOLD Put 10,000 USD 2250 5000 HKD 0.25 50,000,000 16-04-2024 18-04-2024 19-04-2024 20-12-2024
75. 24429 UB-GEG @EC2410B UB 00027 Call 10,000 HKD 50.05 10 HKD 0.15 100,000,000 16-04-2024 18-04-2024 19-04-2024 28-10-2024
76. 24430 HS-LINK@EC2412B HS 00823 Call 1,000 HKD 40.05 10 HKD 0.15 80,000,000 16-04-2024 18-04-2024 19-04-2024 20-12-2024
77. 24431 HSBAIDU@EC2412B HS 09888 Call 2,500 HKD 128.08 50 HKD 0.15 80,000,000 16-04-2024 18-04-2024 19-04-2024 24-12-2024
78. 24432 HS-HKEX@EC2409E HS 00388 Call 10,000 HKD 234.19 100 HKD 0.15 80,000,000 16-04-2024 18-04-2024 19-04-2024 09-09-2024
79. 24433 BI-AIA @EC2411A BI 01299 Call 1,000 HKD 56.2 5 HKD 0.25 70,000,000 16-04-2024 18-04-2024 19-04-2024 29-11-2024
80. 24435 BI-HKEX@EP2501A BI 00388 Put 5,000 HKD 189 50 HKD 0.25 70,000,000 16-04-2024 18-04-2024 19-04-2024 27-01-2025
81. 24436 BIPETCH@EP2411A BI 00857 Put 2,000 HKD 6 1 HKD 0.25 70,000,000 16-04-2024 18-04-2024 19-04-2024 29-11-2024
82. 24437 BIPINAN@EC2505A BI 02318 Call 5,000 HKD 36 10 HKD 0.25 70,000,000 16-04-2024 18-04-2024 19-04-2024 30-05-2025
83. 24438 MBBAIDU@EC2601A MB 09888 Call 5,000 HKD 105 100 HKD 0.25 40,000,000 16-04-2024 18-04-2024 19-04-2024 05-01-2026
84. 24439 MBCNOOC@EC2510A MB 00883 Call 5,000 HKD 28.88 5 HKD 0.279 35,850,000 16-04-2024 18-04-2024 19-04-2024 03-10-2025
85. 24440 MB-NIO @EC2512A MB 09866 Call 500 HKD 44.88 50 HKD 0.25 40,000,000 16-04-2024 18-04-2024 19-04-2024 02-12-2025
86. 24441 MB-CMS @EC2503A MB 00867 Call 5,000 HKD 11.88 5 HKD 0.298 33,680,000 16-04-2024 18-04-2024 19-04-2024 04-03-2025
87. 24442 MB-XYS @EC2512A MB 00968 Call 10,000 HKD 8.88 5 HKD 0.251 40,000,000 16-04-2024 18-04-2024 19-04-2024 02-12-2025
88. 24443 HUPETCH@EC2411A HU 00857 Call 2,000 HKD 9.5 1 HKD 0.25 40,000,000 16-04-2024 18-04-2024 19-04-2024 29-11-2024
89. 24444 MSZHJIN@EC2502A MS 01818 Call 5,000 HKD 16.69 10 HKD 0.15 68,000,000 16-04-2024 18-04-2024 19-04-2024 21-02-2025
90. 24446 MSZIJIN@EC2411B MS 02899 Call 20,000 HKD 20.99 10 HKD 0.15 68,000,000 16-04-2024 18-04-2024 19-04-2024 22-11-2024
91. 24447 MSZIJIN@EC2411C MS 02899 Call 10,000 HKD 25.05 5 HKD 0.15 68,000,000 16-04-2024 18-04-2024 19-04-2024 22-11-2024
92. 24448 UB-LINK@EC2412B UB 00823 Call 1,000 HKD 40.05 10 HKD 0.15 70,000,000 16-04-2024 18-04-2024 19-04-2024 20-12-2024
93. 24449 UB-SHKP@EC2410A UB 00016 Call 5,000 HKD 88.93 10 HKD 0.15 70,000,000 16-04-2024 18-04-2024 19-04-2024 28-10-2024
94. 24450 UBSPDRG@EC2412B UB 02840 Call 2,500 HKD 1868.5 500 HKD 0.15 70,000,000 16-04-2024 18-04-2024 19-04-2024 17-12-2024
95. 24451 UB-AAC @EC2410A UB 02018 Call 5,000 HKD 33.38 10 HKD 0.15 80,000,000 16-04-2024 18-04-2024 19-04-2024 24-10-2024
96. 24453 SG-CCB @EC2412A SG 00939 Call 1,000 HKD 5.44 1 HKD 0.25 60,000,000 16-04-2024 18-04-2024 19-04-2024 31-12-2024
97. 24454 SG-HSI @EC2410A SG HSI Call 10,000 - 16783 6800 HKD 0.15 300,000,000 16-04-2024 18-04-2024 19-04-2024 30-10-2024
98. 24455 SG-ICBC@EC2412A SG 01398 Call 1,000 HKD 4.36 1 HKD 0.15 70,000,000 16-04-2024 18-04-2024 19-04-2024 03-12-2024
99. 24456 SGZIJIN@EC2411A SG 02899 Call 20,000 HKD 21.05 10 HKD 0.15 100,000,000 16-04-2024 18-04-2024 19-04-2024 22-11-2024
100. 24457 SGCNOOC@EC2410A SG 00883 Call 5,000 HKD 23.93 5 HKD 0.15 80,000,000 16-04-2024 18-04-2024 19-04-2024 03-10-2024
101. 24458 SG-BYD @EC2412B SG 01211 Call 5,000 HKD 249.08 100 HKD 0.15 100,000,000 16-04-2024 18-04-2024 19-04-2024 11-12-2024
102. 24459 JP-HKEX@EC2409E JP 00388 Call 10,000 HKD 234.19 100 HKD 0.154 200,000,000 16-04-2024 18-04-2024 19-04-2024 06-09-2024
103. 24460 JP-NTES@EC2412B JP 09999 Call 10,000 HKD 178.98 100 HKD 0.15 100,000,000 16-04-2024 18-04-2024 19-04-2024 19-12-2024
104. 24461 JPSANDS@EC2412B JP 01928 Call 4,000 HKD 26.05 10 HKD 0.151 80,000,000 16-04-2024 18-04-2024 19-04-2024 19-12-2024
105. 24462 JPPETCH@EC2410A JP 00857 Call 2,000 HKD 9.33 1 HKD 0.253 70,000,000 16-04-2024 18-04-2024 19-04-2024 18-10-2024
106. 24463 JPCMOLY@EC2412A JP 03993 Call 15,000 HKD 9.01 5 HKD 0.154 70,000,000 16-04-2024 18-04-2024 19-04-2024 20-12-2024
107. 24464 JPSDGLD@EC2504A JP 01787 Call 2,500 HKD 24.7 10 HKD 0.156 70,000,000 16-04-2024 18-04-2024 19-04-2024 16-04-2025
108. 24465 JP-SUNY@EC2510A JP 02382 Call 5,000 HKD 48.93 50 HKD 0.155 70,000,000 16-04-2024 18-04-2024 19-04-2024 27-10-2025
109. 24466 CT-LINK@EC2410A CT 00823 Call 1,000 HKD 37.45 10 HKD 0.15 70,000,000 16-04-2024 18-04-2024 19-04-2024 18-10-2024
110. 24467 CT-GEG @EP2410A CT 00027 Put 10,000 HKD 32.2 10 HKD 0.25 40,000,000 16-04-2024 18-04-2024 19-04-2024 18-10-2024
111. 24468 CT-AIA @EC2410B CT 01299 Call 2,000 HKD 58 10 HKD 0.25 60,000,000 16-04-2024 18-04-2024 19-04-2024 18-10-2024
Notes:
^ The entitlement ratio in general represents the number of derivative warrants required to be exercised into one share or one unit of the underlying asset (subject to any adjustments as may be necessary to reflect any capitalization, rights issue, distribution or the like).
1. If the Derivative Warrant is issued in the form of definitive registered certificates, CCASS withdrawal service will start on the Clearing Commencement Date.
2. If the Derivative Warrant is issued in the form of definitive registered certificates, CCASS deposit service will start on the Settlement Commencement Date.