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Settlement Parameter for June,2020

Updated on May 28,2020

 

SHFE

 

Settlement Parameter for June,2020

 

Product:ag                
contract  date 29th,May(Fri.) 1st,Jun(Mon.) 10th,Jun(Wed.) 16th,Jun(Tue.)
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee
% % % %
ag2006 15 0.05 15 0.05 20 0.05    
ag2007 10 0.05 10 0.05 10 0.05 10 0.05
ag2008 10 0.01 10 0.05 10 0.05 10 0.05
ag2009 10 0.01 10 0.01 10 0.01 10 0.01
ag2010 10 0.01 10 0.01 10 0.01 10 0.01
ag2011 10 0.01 10 0.01 10 0.01 10 0.01
ag2012 10 0.05 10 0.05 10 0.05 10 0.05
ag2101 10 0.01 10 0.01 10 0.01 10 0.01
ag2102 10 0.01 10 0.01 10 0.01 10 0.01
ag2103 10 0.01 10 0.01 10 0.01 10 0.01
ag2106 10 0.01 10 0.01 10 0.01 10 0.01
ag2105 10 0.01 10 0.01 10 0.01 10 0.01
ag2106             10 0.05
Note June 1st is the first trading day of the delivery month for contract ag2006. June 1st is the first trading day of the second month prior to the delivery month for contract ag2008. June 11th is the second trading day prior to the last trading day for contract ag2006. June 16th is the date of listing for contract ag2106.
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:al                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% RMB per lot % RMB per lot % RMB per lot    
al2006 15 3 20 3        
al2007 10 3 10 3 10 3    
al2008 10 3 10 3 10 3    
al2009 10 3 10 3 10 3    
al2010 10 3 10 3 10 3    
al2011 10 3 10 3 10 3    
al2012 10 3 10 3 10 3    
al2101 10 3 10 3 10 3    
al2102 10 3 10 3 10 3    
al2103 10 3 10 3 10 3    
al2106 10 3 10 3 10 3    
al2105 10 3 10 3 10 3    
al2106         10 3    
Note June 1st is the first trading day of the delivery month for contract al2006. June 11th is the second trading day prior to the last trading day for contract al2006. June 16th is the date of listing for contract al2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE

 

Settlement Parameter for June,2020

 

Product:au                
contract  date 29th,May(Fri.) 1st,Jun(Mon.) 10th,Jun(Wed.) 16th,Jun(Tue.)  
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee
% RMB per lot % RMB per lot % RMB per lot % RMB per lot
au2006 15 10 15 10 20 10    
au2007 10 2 10 2 10 2 10 2
au2008 8 2 8 10 8 10 8 10
au2009             8 2
au2010 8 2 8 2 8 2 8 2
au2012 8 10 8 10 8 10 8 10
au2102 8 2 8 2 8 2 8 2
au2104 8 2 8 2 8 2 8 2
au2106 8 10 8 10 8 10 8 10
Note June 1st is the first trading day of the delivery month for contract au2006;June 1st is the first trading day of the month prior to the delivery month for contract au2007. June 1st is the first trading day of the second month prior to the delivery month for contract au2008. June 11th is the second trading day prior to the last trading day for contract au2006. June 16th is the date of listing for contract au2009.
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:bu                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
bu2006 15 0.1 20 0.1        
bu2007 15 0.1 15 0.1 15 0.1    
bu2008 15 0.1 15 0.1 15 0.1    
bu2009 15 0.1 15 0.1 15 0.1    
bu2010 15 0.1 15 0.1 15 0.1    
bu2011 15 0.1 15 0.1 15 0.1    
bu2012 15 0.1 15 0.1 15 0.1    
bu2103 15 0.1 15 0.1 15 0.1    
bu2106 15 0.1 15 0.1 15 0.1    
bu2109 15 0.1 15 0.1 15 0.1    
bu2112 15 0.1 15 0.1 15 0.1    
bu2203 15 0.1 15 0.1 15 0.1    
bu2206         15 0.1    
Note   June 11th is the second trading day prior to the last trading day for contract bu2006. June 16th is the date of listing for contract bu2206.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:cu                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
cu2006 15 0.05 20 0.05        
cu2007 10 0.05 10 0.05 10 0.05    
cu2008 10 0.05 10 0.05 10 0.05    
cu2009 10 0.05 10 0.05 10 0.05    
cu2010 10 0.05 10 0.05 10 0.05    
cu2011 10 0.05 10 0.05 10 0.05    
cu2012 10 0.05 10 0.05 10 0.05    
cu2101 10 0.05 10 0.05 10 0.05    
cu2102 10 0.05 10 0.05 10 0.05    
cu2103 10 0.05 10 0.05 10 0.05    
cu2104 10 0.05 10 0.05 10 0.05    
cu2105 10 0.05 10 0.05 10 0.05    
cu2106         10 0.05    
Note June 1st is the first trading day of the delivery month for contract cu2006. June 11th is the second trading day prior to the last trading day for contract cu2006. June 16th is the date of listing for contract cu2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
 
SHFE    
   
Settlement Parameter for June,2020    
   
Product:fu                
contract  date 1st,Jun(Mon.) 12th,Jun(Fri.) 23th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
fu2007 15 0.05 15 0.05 20 0.05    
fu2008 15 0.01 15 0.05 15 0.05    
fu2009 15 0.05 15 0.05 15 0.05    
fu2010 15 0.01 15 0.01 15 0.01    
fu2011 15 0.01 15 0.01 15 0.01    
fu2012 15 0.01 15 0.01 15 0.01    
fu2101 15 0.05 15 0.05 15 0.05    
fu2102 15 0.01 15 0.01 15 0.01    
fu2103 15 0.01 15 0.01 15 0.01    
fu2104 15 0.01 15 0.01 15 0.01    
fu2105 15 0.05 15 0.05 15 0.05    
fu2106 15 0.01 15 0.01 15 0.01    
Note June 1st is the date of listing for contract fu2106. June 12th is the tenth trading day of the month prior to the delivery month for contract fu2008. June 24th is the second trading day prior to the last trading day for contract fu2007.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:hc                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
hc2006 15 0.1 20 0.1        
hc2007 10 0.1 10 0.1 10 0.1    
hc2008 9 0.1 9 0.1 9 0.1    
hc2009 9 0.1 9 0.1 9 0.1    
hc2010 9 0.1 9 0.1 9 0.1    
hc2011 9 0.1 9 0.1 9 0.1    
hc2012 9 0.1 9 0.1 9 0.1    
hc2101 9 0.1 9 0.1 9 0.1    
hc2102 9 0.1 9 0.1 9 0.1    
hc2103 9 0.1 9 0.1 9 0.1    
hc2104 9 0.1 9 0.1 9 0.1    
hc2105 9 0.1 9 0.1 9 0.1    
hc2106         9 0.1    
Note June 1st is the first trading day of the delivery month for contract hc2006;June 1st is the first trading day of the month prior to the delivery month for contract hc2007. June 11th is the second trading day prior to the last trading day for contract hc2006. June 16th is the date of listing for contract hc2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
 
SHFE

 

Settlement Parameter for June,2020

 

Product:ni                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 12th,Jun(Fri.) 16th,Jun(Tue.)
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee
% RMB per lot % RMB per lot % RMB per lot % RMB per lot
ni2006 15 6 20 6 20 6    
ni2007 10 6 10 6 10 6 10 6
ni2008 10 1 10 1 10 6 10 6
ni2009 10 6 10 6 10 6 10 6
ni2010 10 1 10 1 10 1 10 1
ni2011 10 1 10 1 10 1 10 1
ni2012 10 1 10 1 10 1 10 1
ni2101 10 6 10 6 10 6 10 6
ni2102 10 1 10 1 10 1 10 1
ni2103 10 1 10 1 10 1 10 1
ni2104 10 1 10 1 10 1 10 1
ni2105 10 6 10 6 10 6 10 6
ni2106             10 1
Note June 1st is the first trading day of the delivery month for contract ni2006. June 11th is the second trading day prior to the last trading day for contract ni2006. June 12th is the tenth trading day of the month prior to the delivery month for contract ni2008. June 16th is the date of listing for contract ni2106.
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:pb                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
pb2006 15 0.04 20 0.04        
pb2007 10 0.04 10 0.04 10 0.04    
pb2008 10 0.04 10 0.04 10 0.04    
pb2009 10 0.04 10 0.04 10 0.04    
pb2010 10 0.04 10 0.04 10 0.04    
pb2011 10 0.04 10 0.04 10 0.04    
pb2012 10 0.04 10 0.04 10 0.04    
pb2101 10 0.04 10 0.04 10 0.04    
pb2102 10 0.04 10 0.04 10 0.04    
pb2103 10 0.04 10 0.04 10 0.04    
pb2104 10 0.04 10 0.04 10 0.04    
pb2105 10 0.04 10 0.04 10 0.04    
pb2106         10 0.04    
Note June 1st is the first trading day of the delivery month for contract pb2006. June 11th is the second trading day prior to the last trading day for contract pb2006. June 16th is the date of listing for contract pb2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:rb                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
rb2006 15 0.1 20 0.1        
rb2007 10 0.1 10 0.1 10 0.1    
rb2008 9 0.1 9 0.1 9 0.1    
rb2009 9 0.1 9 0.1 9 0.1    
rb2010 9 0.1 9 0.1 9 0.1    
rb2011 9 0.1 9 0.1 9 0.1    
rb2012 9 0.1 9 0.1 9 0.1    
rb2101 9 0.1 9 0.1 9 0.1    
rb2102 9 0.1 9 0.1 9 0.1    
rb2103 9 0.1 9 0.1 9 0.1    
rb2104 9 0.1 9 0.1 9 0.1    
rb2105 9 0.1 9 0.1 9 0.1    
rb2106         9 0.1    
Note June 1st is the first trading day of the delivery month for contract rb2006;June 1st is the first trading day of the month prior to the delivery month for contract rb2007. June 11th is the second trading day prior to the last trading day for contract rb2006. June 16th is the date of listing for contract rb2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:ru                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
ru2006 15 0.045 20 0.045        
ru2007 11 0.045 11 0.045 11 0.045    
ru2008 11 0.045 11 0.045 11 0.045    
ru2009 11 0.045 11 0.045 11 0.045    
ru2010 11 0.045 11 0.045 11 0.045    
ru2011 11 0.045 11 0.045 11 0.045    
ru2101 11 0.045 11 0.045 11 0.045    
ru2103 11 0.045 11 0.045 11 0.045    
ru2104 11 0.045 11 0.045 11 0.045    
ru2105 11 0.045 11 0.045 11 0.045    
ru2106         11 0.045    
Note June 1st is the first trading day of the delivery month for contract ru2006. June 11th is the second trading day prior to the last trading day for contract ru2006. June 16th is the date of listing for contract ru2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:sn                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% RMB per lot % RMB per lot % RMB per lot    
sn2006 15 1 20 1        
sn2007 10 1 10 1 10 1    
sn2008 10 1 10 1 10 1    
sn2009 10 3 10 3 10 3    
sn2010 10 1 10 1 10 1    
sn2011 10 1 10 1 10 1    
sn2012 10 1 10 1 10 1    
sn2101 10 3 10 3 10 3    
sn2102 10 1 10 1 10 1    
sn2103 10 1 10 1 10 1    
sn2104 10 1 10 1 10 1    
sn2105 10 3 10 3 10 3    
sn2106         10 1    
Note June 1st is the first trading day of the delivery month for contract sn2006. June 11th is the second trading day prior to the last trading day for contract sn2006. June 16th is the date of listing for contract sn2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:sp                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
sp2006 15 0.05 20 0.05        
sp2007 10 0.05 10 0.05 10 0.05    
sp2008 8 0.05 8 0.05 8 0.05    
sp2009 8 0.05 8 0.05 8 0.05    
sp2010 8 0.05 8 0.05 8 0.05    
sp2011 8 0.05 8 0.05 8 0.05    
sp2012 8 0.05 8 0.05 8 0.05    
sp2101 8 0.05 8 0.05 8 0.05    
sp2102 8 0.05 8 0.05 8 0.05    
sp2103 8 0.05 8 0.05 8 0.05    
sp2104 8 0.05 8 0.05 8 0.05    
sp2105 8 0.05 8 0.05 8 0.05    
sp2106         8 0.05    
Note June 1st is the first trading day of the delivery month for contract sp2006;June 1st is the first trading day of the month prior to the delivery month for contract sp2007. June 11th is the second trading day prior to the last trading day for contract sp2006. June 16th is the date of listing for contract sp2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
         
SHFE    
   
Settlement Parameter for June,2020    
   
Product:ss                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
ss2006 15 0.1 20 0.1        
ss2007 10 0.1 10 0.1 10 0.1    
ss2008 9 0.1 9 0.1 9 0.1    
ss2009 9 0.1 9 0.1 9 0.1    
ss2010 9 0.1 9 0.1 9 0.1    
ss2011 9 0.1 9 0.1 9 0.1    
ss2012 9 0.1 9 0.1 9 0.1    
ss2101 9 0.1 9 0.1 9 0.1    
ss2102 9 0.1 9 0.1 9 0.1    
ss2103 9 0.1 9 0.1 9 0.1    
ss2104 9 0.1 9 0.1 9 0.1    
ss2105 9 0.1 9 0.1 9 0.1    
ss2106         9 0.1    
Note June 1st is the first trading day of the delivery month for contract ss2006;June 1st is the first trading day of the month prior to the delivery month for contract ss2007. June 11th is the second trading day prior to the last trading day for contract ss2006. June 16th is the date of listing for contract ss2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:wr                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% % %    
wr2006 15 0.04 20 0.04        
wr2007 10 0.04 10 0.04 10 0.04    
wr2008 9 0.04 9 0.04 9 0.04    
wr2009 9 0.04 9 0.04 9 0.04    
wr2010 9 0.04 9 0.04 9 0.04    
wr2011 9 0.04 9 0.04 9 0.04    
wr2012 9 0.04 9 0.04 9 0.04    
wr2101 9 0.04 9 0.04 9 0.04    
wr2102 9 0.04 9 0.04 9 0.04    
wr2103 9 0.04 9 0.04 9 0.04    
wr2104 9 0.04 9 0.04 9 0.04    
wr2105 9 0.04 9 0.04 9 0.04    
wr2106         9 0.04    
Note June 1st is the first trading day of the delivery month for contract wr2006;June 1st is the first trading day of the month prior to the delivery month for contract wr2007. June 11th is the second trading day prior to the last trading day for contract wr2006. June 16th is the date of listing for contract wr2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    
                 
                 
     
SHFE    
   
Settlement Parameter for June,2020    
   
Product:zn                
contract  date 29th,May(Fri.) 10th,Jun(Wed.) 16th,Jun(Tue.)    
Margin Rate Transaction Fee Margin Rate Transaction Fee Margin Rate Transaction Fee    
% RMB per lot % RMB per lot % RMB per lot    
zn2006 15 3 20 3        
zn2007 10 3 10 3 10 3    
zn2008 10 3 10 3 10 3    
zn2009 10 3 10 3 10 3    
zn2010 10 3 10 3 10 3    
zn2011 10 3 10 3 10 3    
zn2012 10 3 10 3 10 3    
zn2101 10 3 10 3 10 3    
zn2102 10 3 10 3 10 3    
zn2103 10 3 10 3 10 3    
zn2104 10 3 10 3 10 3    
zn2105 10 3 10 3 10 3    
zn2106         10 3    
Note June 1st is the first trading day of the delivery month for contract zn2006. June 11th is the second trading day prior to the last trading day for contract zn2006. June 16th is the date of listing for contract zn2106.    
                 
The inclined numbers in blue with grey bottom are the adjusted settlement parameters.    

 

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