Products
3 Month Kuala Lumpur Interbank Offered Rate (KLIBOR) Futures (FKB3)
Contract Specifications
| Contract Code | FKB3 |
|---|---|
| Underlying Shares | Ringgit Interbank time deposit in the Kuala Lumpur Wholesale Money Market with a three month maturity on a 360-day year. |
| Contract Size |
RM1,000,000 Quoted in index terms (100.00 minus yield). |
| Minimum Price Fluctuation | 0.01% or 1 tick. |
| Contract Months | Quarterly cycle months of March, June, September and December up to 5 years ahead and 2 serial months. |
| Trading Hours |
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| Final Trading Day Maturity Date | Trading ceases at 11:00 a.m. (Malaysian time) on the 3rd Wednesday of the delivery month or the 1 st Business Day immediately following the 3rd Wednesday of the delivery month if the 3rd Wednesday of the delivery month is not a Business Day. |
| Final Settlement | Cash Settlement based on the Cash Settlement Value. |
| Final Settlement Value |
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| Speculative Position Limits |
Maximum number of net long or net short positions to be held:
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| Resources for Download |