Trade
21 Aug 2025

Daily settlement prices for 20th August 2025 product FST3 were incorrect

Dear members,

Much to our regret, daily settlement prices for 20th August 2025 product FST3 were incorrect.

Please find correct settlement prices overview in table below:

productName

expiration_date

Settlement Price

FST3

17.09.2025

98,070

FST3

15.10.2025

98,075

FST3

19.11.2025

98,083

FST3

17.12.2025

98,108

FST3

21.01.2026

98,145

FST3

18.02.2026

98,180

FST3

18.03.2026

98,208

FST3

15.04.2026

98,210

FST3

17.06.2026

98,268

FST3

16.09.2026

98,278

FST3

16.12.2026

98,250

FST3

17.03.2027

98,193

FST3

16.06.2027

98,128

FST3

15.09.2027

98,055

FST3

15.12.2027

97,978

FST3

15.03.2028

97,910

FST3

21.06.2028

97,840

FST3

20.09.2028

97,778

FST3

20.12.2028

97,723

FST3

21.03.2029

97,670

FST3

20.06.2029

97,615

FST3

19.09.2029

97,575

FST3

19.12.2029

97,535

FST3

20.03.2030

97,495

FST3

19.06.2030

97,455

FST3

18.09.2030

97,420

FST3

18.12.2030

97,383

FST3

19.03.2031

97,345

FST3

18.06.2031

97,385

FST3

17.09.2031

97,353

Entering correct daily settlement price for today (21st August 2025) will ensure that all VM will be automatically corrected and redistributed via NPT cash settlement run VD 22nd of August 2025.

We sincerely apologize for any inconveniences caused. 


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