Newly Launched but not yet Listed Derivative Warrants

Sorted by Listing Date
Updated: 2 December 2025 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. 23079 MS-CRL @EC2606A MS 01109 Call 5,000 HKD 37.99 10 HKD 0.25 68,000,000 28-11-2025 02-12-2025 03-12-2025 29-06-2026
2. 23080 MS-CRBH@EC2606A MS 00291 Call 5,000 HKD 38.99 10 HKD 0.25 68,000,000 28-11-2025 02-12-2025 03-12-2025 29-06-2026
3. 23081 MBKSCLD@EC2610A MB 03896 Call 20,000 HKD 8.888 10 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 28-10-2026
4. 23082 MB-GAC @EP2606A MB 02238 Put 2,000 HKD 3 1 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 02-06-2026
5. 23083 MB-XD @EC2606A MB 02400 Call 10,000 HKD 108.888 50 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 08-06-2026
6. 23084 GJHUAHO@EC2608A GJ 01347 Call 10,000 HKD 88.93 100 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 21-08-2026
7. 23085 GJHUAHO@EC2604A GJ 01347 Call 5,000 HKD 96.13 50 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 23-04-2026
8. 23086 GJALIBA@EC2604C GJ 09988 Call 5,000 HKD 207.19 50 HKD 0.15 100,000,000 28-11-2025 02-12-2025 03-12-2025 22-04-2026
9. 23087 SG-HSI @EC2605A SG HSI Call 10,000 - 28341 6200 HKD 0.15 250,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
10. 23088 SG-CUNI@EC2609A SG 00762 Call 10,000 HKD 9.89 5 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 23-09-2026
11. 23089 UB-HSI @EP2605A UB HSI Put 10,000 - 24875 8100 HKD 0.15 300,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
12. 23090 UB-HSI @EC2605A UB HSI Call 10,000 - 26733 8500 HKD 0.15 300,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
13. 23091 UB-HSI @EC2605B UB HSI Call 10,000 - 28341 6200 HKD 0.15 300,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
14. 23092 UB-HSI @EP2605B UB HSI Put 10,000 - 23283 5300 HKD 0.15 300,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
15. 23093 UBTENCT@EC2605B UB 00700 Call 10,000 HKD 759.38 100 HKD 0.15 300,000,000 28-11-2025 02-12-2025 03-12-2025 26-05-2026
16. 23095 HUCRPHA@EC2612A HU 03320 Call 2,500 HKD 7.332 5 HKD 0.15 67,500,000 28-11-2025 02-12-2025 03-12-2025 02-12-2026
17. 23096 HUSUNTI@EC2609A HU 00956 Call 5,000 HKD 6.38 5 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 30-09-2026
18. 23098 HU-TRIP@EC2610A HU 09961 Call 25,000 HKD 589.38 500 HKD 0.15 150,000,000 28-11-2025 02-12-2025 03-12-2025 23-10-2026
19. 23099 HUGFSEC@EC2607A HU 01776 Call 2,000 HKD 22.66 10 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 28-07-2026
20. 23100 HU-BRIC@EC2606A HU 01114 Call 2,000 HKD 5.3 1 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 03-06-2026
21. 23101 HUTENCT@EC2605A HU 00700 Call 10,000 HKD 759.38 100 HKD 0.15 100,000,000 28-11-2025 02-12-2025 03-12-2025 26-05-2026
22. 23102 HUTENCT@EP2606A HU 00700 Put 10,000 HKD 499.8 100 HKD 0.15 100,000,000 28-11-2025 02-12-2025 03-12-2025 23-06-2026
23. 23103 CT-BYD @EP2608A CT 01211 Put 5,000 HKD 81.93 50 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 19-08-2026
24. 23104 CTPINAN@EC2605A CT 02318 Call 5,000 HKD 73 10 HKD 0.15 68,000,000 28-11-2025 02-12-2025 03-12-2025 20-05-2026
25. 23105 CT-HSI @EC2605A CT HSI Call 10,000 - 28341 6200 HKD 0.15 120,000,000 28-11-2025 02-12-2025 03-12-2025 28-05-2026
26. 23106 JP-CSPC@EC2604A JP 01093 Call 10,000 HKD 10 5 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 23-04-2026
27. 23107 JPFEIHE@EC2607A JP 06186 Call 5,000 HKD 5.69 5 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 20-07-2026
28. 23108 JPBEONE@EC2605A JP 06160 Call 10,000 HKD 319.2 100 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 12-05-2026
29. 23109 HSTENCT@EC2605C HS 00700 Call 10,000 HKD 810.5 100 HKD 0.15 80,000,000 28-11-2025 02-12-2025 03-12-2025 22-05-2026
30. 23110 HSALIBA@EC2605B HS 09988 Call 5,000 HKD 201.08 50 HKD 0.15 80,000,000 28-11-2025 02-12-2025 03-12-2025 04-05-2026
31. 23111 HSXIAMI@EP2607A HS 01810 Put 2,000 HKD 29.86 10 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 24-07-2026
32. 23112 CIMTUAN@EC2610A CI 03690 Call 10,000 HKD 98.88 100 HKD 0.25 150,000,000 28-11-2025 02-12-2025 03-12-2025 30-10-2026
33. 23113 CIZIJIN@EC2603A CI 02899 Call 20,000 HKD 38.888 10 HKD 0.15 70,000,000 28-11-2025 02-12-2025 03-12-2025 26-03-2026
34. 23114 MB-BRIC@EC2606A MB 01114 Call 2,000 HKD 5.888 1 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 09-06-2026
35. 23115 MBCLIFE@EP2606B MB 02628 Put 5,000 HKD 22.088 5 HKD 0.25 40,000,000 28-11-2025 02-12-2025 03-12-2025 02-06-2026
36. 10103 JP-N225@EC2606D JP NIK Call 10,000 - 60000 620 HKD 0.25 100,000,000 01-12-2025 03-12-2025 04-12-2025 12-06-2026
37. 10104 BPUSYEN@EP2605A BP YEN Put 10,000 JPY 140 1 HKD 0.16 70,000,000 01-12-2025 03-12-2025 04-12-2025 21-05-2026
38. 23116 UBLIAUT@EC2607A UB 02015 Call 5,000 HKD 111.211 50 HKD 0.15 70,000,000 01-12-2025 03-12-2025 04-12-2025 28-07-2026
39. 23117 GJTENCT@EC2605A GJ 00700 Call 10,000 HKD 759.38 100 HKD 0.173 150,000,000 01-12-2025 03-12-2025 04-12-2025 26-05-2026
40. 23121 GJTENCT@EC2607A GJ 00700 Call 50,000 HKD 622.72 500 HKD 0.15 150,000,000 01-12-2025 03-12-2025 04-12-2025 24-07-2026
41. 23122 BITENCT@EP2606A BI 00700 Put 10,000 HKD 499.8 100 HKD 0.15 70,000,000 01-12-2025 03-12-2025 04-12-2025 23-06-2026
42. 23123 BIXIAMI@EP2607B BI 01810 Put 2,000 HKD 29.86 10 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 24-07-2026
43. 23124 BI-CRBH@EC2607A BI 00291 Call 5,000 HKD 39.02 10 HKD 0.21 70,000,000 01-12-2025 03-12-2025 04-12-2025 27-07-2026
44. 23125 BI-HSI @EP2605A BI HSI Put 10,000 - 23283 5300 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
45. 23126 BI-HSI @EC2605A BI HSI Call 10,000 - 26733 8500 HKD 0.2 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
46. 23127 BI-HSI @EP2605B BI HSI Put 10,000 - 24875 8100 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
47. 23128 BI-HSI @EC2605B BI HSI Call 10,000 - 28341 6200 HKD 0.2 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
48. 23129 UBJDCOM@EC2606B UB 09618 Call 2,500 HKD 126.88 50 HKD 0.25 70,000,000 01-12-2025 03-12-2025 04-12-2025 03-06-2026
49. 23130 UBYKENR@EC2608A UB 01171 Call 10,000 HKD 13.09 5 HKD 0.15 70,000,000 01-12-2025 03-12-2025 04-12-2025 17-08-2026
50. 23131 HUCEAIR@EC2606A HU 00670 Call 2,000 HKD 7.33 1 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 04-06-2026
51. 23132 HUCFJLG@EC2606A HU 06693 Call 2,000 HKD 51 10 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 04-06-2026
52. 23133 HU-CGHL@EC2612A HU 00384 Call 1,000 HKD 10.99 5 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 02-12-2026
53. 23134 HUPICCG@EC2606A HU 01339 Call 1,000 HKD 8.8 1 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 26-06-2026
54. 23135 HUZCRRC@EC2606A HU 03898 Call 1,000 HKD 56.3 10 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 04-06-2026
55. 23136 HU-KBLH@EC2606A HU 01888 Call 5,000 HKD 14.61 10 HKD 0.15 70,000,000 01-12-2025 03-12-2025 04-12-2025 23-06-2026
56. 23138 HU-MRES@EC2606B HU 01208 Call 20,000 HKD 10.218 5 HKD 0.21 60,000,000 01-12-2025 03-12-2025 04-12-2025 25-06-2026
57. 23139 HUCGIRC@EC2608A HU 02099 Call 10,000 HKD 239 100 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 03-08-2026
58. 23140 MBPICCG@EC2606A MB 01339 Call 1,000 HKD 9.999 1 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 03-06-2026
59. 23141 MBNFSPR@EC2606A MB 09633 Call 2,000 HKD 69.633 10 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 30-06-2026
60. 23142 JPALIBA@EC2611A JP 09988 Call 10,000 HKD 219.08 100 HKD 0.15 200,000,000 01-12-2025 03-12-2025 04-12-2025 23-11-2026
61. 23144 CT-HSI @EP2605A CT HSI Put 10,000 - 23283 5300 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
62. 23145 CT-HSI @EP2605B CT HSI Put 10,000 - 24875 8100 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
63. 23146 CT-HSI @EC2605B CT HSI Call 10,000 - 26733 8500 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
64. 23148 SGMTUAN@EC2606D SG 03690 Call 5,000 HKD 123.79 50 HKD 0.15 100,000,000 01-12-2025 03-12-2025 04-12-2025 23-06-2026
65. 23149 SG-HSI @EP2605A SG HSI Put 10,000 - 23283 5300 HKD 0.15 250,000,000 01-12-2025 03-12-2025 04-12-2025 28-05-2026
66. 23150 CIPOMRT@EC2606A CI 09992 Call 2,000 HKD 305.88 100 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 30-06-2026
67. 23151 CI-TRIP@EC2606A CI 09961 Call 5,000 HKD 800.88 100 HKD 0.29 35,000,000 01-12-2025 03-12-2025 04-12-2025 29-06-2026
68. 23152 CIXIAMI@EC2605B CI 01810 Call 2,000 HKD 52.038 10 HKD 0.204 50,000,000 01-12-2025 03-12-2025 04-12-2025 26-05-2026
69. 23153 CI-YOFC@EC2606A CI 06869 Call 2,500 HKD 48.88 50 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 03-06-2026
70. 23154 CI-YOFC@EC2609A CI 06869 Call 2,500 HKD 75.88 50 HKD 0.25 40,000,000 01-12-2025 03-12-2025 04-12-2025 30-09-2026
71. 10105 BPYENHK@EC2606A BP YEH Call 10,000 HKD 5.4 1 HKD 0.25 50,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
72. 10106 BPEURUS@EC2606A BP EUR Call 10,000 USD 1.28 1 HKD 0.25 50,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
73. 23156 JPMTUAN@EC2606B JP 03690 Call 5,000 HKD 123.79 50 HKD 0.151 100,000,000 02-12-2025 04-12-2025 05-12-2025 23-06-2026
74. 23157 HS-ZTE @EC2608A HS 00763 Call 10,000 HKD 42.82 50 HKD 0.15 80,000,000 02-12-2025 04-12-2025 05-12-2025 31-08-2026
75. 23158 BI-GTHT@EC2605A BI 02611 Call 2,000 HKD 21.9 10 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 21-05-2026
76. 23159 BI-NCI @EC2609A BI 01336 Call 5,000 HKD 57.04 50 HKD 0.18 70,000,000 02-12-2025 04-12-2025 05-12-2025 14-09-2026
77. 23160 BI-BILI@EC2604A BI 09626 Call 2,000 HKD 275.2 100 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 22-04-2026
78. 23161 BI-CPIC@EC2609A BI 02601 Call 2,000 HKD 53.35 10 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 23-09-2026
79. 23162 BI-KECL@EC2606A BI 00135 Call 2,000 HKD 9.99 1 HKD 0.25 70,000,000 02-12-2025 04-12-2025 05-12-2025 29-06-2026
80. 23163 BI-GWMC@EC2609A BI 02333 Call 5,000 HKD 18.19 10 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 23-09-2026
81. 23164 BIKSOFT@EC2606A BI 03888 Call 2,000 HKD 42.88 10 HKD 0.25 70,000,000 02-12-2025 04-12-2025 05-12-2025 30-06-2026
82. 23165 BITENCT@EC2607A BI 00700 Call 50,000 HKD 622.72 500 HKD 0.15 150,000,000 02-12-2025 04-12-2025 05-12-2025 24-07-2026
83. 23167 MS-HKEX@EC2606A MS 00388 Call 10,000 HKD 463.99 100 HKD 0.25 139,000,000 02-12-2025 04-12-2025 05-12-2025 05-06-2026
84. 23168 MS-HKEX@EC2606B MS 00388 Call 10,000 HKD 488.2 100 HKD 0.163 139,000,000 02-12-2025 04-12-2025 05-12-2025 08-06-2026
85. 23170 CT-ZTE @EC2611A CT 00763 Call 10,000 HKD 48.9 50 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 23-11-2026
86. 23171 CTPOMRT@EP2605A CT 09992 Put 20,000 HKD 177.9 100 HKD 0.15 68,000,000 02-12-2025 04-12-2025 05-12-2025 22-05-2026
87. 23172 HUEBENV@EC2703A HU 00257 Call 5,000 HKD 5.725 5 HKD 0.217 50,000,000 02-12-2025 04-12-2025 05-12-2025 19-03-2027
88. 23173 HUGDINV@EC2612A HU 00270 Call 10,000 HKD 9.99 5 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 03-12-2026
89. 23174 HU-SANY@EC2612A HU 00631 Call 5,000 HKD 9.99 5 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 08-12-2026
90. 23175 HU-GAC @EC2606A HU 02238 Call 2,000 HKD 6.3 1 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
91. 23176 HUCLIFE@EC2605A HU 02628 Call 10,000 HKD 35.02 10 HKD 0.15 100,000,000 02-12-2025 04-12-2025 05-12-2025 18-05-2026
92. 23177 HUFOPHA@EP2606A HU 02196 Put 2,500 HKD 15.8 5 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
93. 23178 HUXTAPI@EP2606A HU 02228 Put 5,000 HKD 6.8 5 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
94. 23179 HU-CMB @EP2608A HU 03968 Put 5,000 HKD 43.6 10 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 27-08-2026
95. 23180 JPKSOFT@EC2605A JP 03888 Call 2,000 HKD 39.02 10 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 27-05-2026
96. 23181 JPZJSHI@EC2610A JP 02050 Call 5,000 HKD 52.93 50 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 23-10-2026
97. 23182 JPPETCH@EC2605A JP 00857 Call 2,000 HKD 11.01 1 HKD 0.151 70,000,000 02-12-2025 04-12-2025 05-12-2025 04-05-2026
98. 23183 SG-NIO @EC2607B SG 09866 Call 500 HKD 56.93 50 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 24-07-2026
99. 23184 MB-YOFC@EC2606A MB 06869 Call 25,000 HKD 68.69 50 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
100. 23185 MBCOOPT@EC2609A MB 02276 Call 5,000 HKD 76.76 50 HKD 0.252 40,000,000 02-12-2025 04-12-2025 05-12-2025 21-09-2026
101. 23186 HSGANFE@EP2606A HS 01772 Put 2,000 HKD 31.72 10 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 04-06-2026
102. 23187 HSMTUAN@EC2605B HS 03690 Call 5,000 HKD 108.6 50 HKD 0.15 100,000,000 02-12-2025 04-12-2025 05-12-2025 26-05-2026
103. 23188 HS-HSI @EC2605A HS HSI Call 10,000 - 28341 6200 HKD 0.15 150,000,000 02-12-2025 04-12-2025 05-12-2025 28-05-2026
104. 23189 HS-HSI @EP2605A HS HSI Put 10,000 - 23283 5300 HKD 0.15 150,000,000 02-12-2025 04-12-2025 05-12-2025 28-05-2026
105. 23190 CIZJSHI@EC2607A CI 02050 Call 5,000 HKD 40.88 50 HKD 0.25 50,000,000 02-12-2025 04-12-2025 05-12-2025 27-07-2026
106. 23191 CIMTUAN@EC2605A CI 03690 Call 5,000 HKD 108.58 50 HKD 0.197 70,000,000 02-12-2025 04-12-2025 05-12-2025 29-05-2026
107. 23192 CIXPENG@EC2605A CI 09868 Call 5,000 HKD 114.08 50 HKD 0.15 70,000,000 02-12-2025 04-12-2025 05-12-2025 05-05-2026
108. 23193 CISPDRG@EP2604A CI 02840 Put 500 HKD 2799.88 500 HKD 0.25 40,000,000 02-12-2025 04-12-2025 05-12-2025 23-04-2026
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.