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| Contract Detail |
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| 3 min. Delayed. |
| Last Update:
08.09.2010 |
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Contract Name:
111F_IX0301210
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| Under. Asset Code: 111 |
| Contract Type:
Futures |
| Contract Group:
Equity Index |
| Underlying Asset:
ISE 30 Index |
| Maturity:
December 2010 |
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| Contract Specifications |
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| Contract | Explanation | LastPrice | Diff(%) | SP (1) | PSP (2) | Volume | Value [TRY] | OI (3) | OIC (4) | DayMin (5) | DayMax (6) |
| 111F_IX0301210 | IX030_DEC10 | 77,850 | -0.19 | 77,850 | 78,000 | 540 | 4,201,375.00 | 2769 | 25 | 77,675 | 78,000 |
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| (1)SP:Settlement Price
(2)PSP:Previous Settlement Price
(3)OI:
Open Interest |
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(4)OIC:
Open Interest Change
(5)Daymin:
Daily Low
(6)DayMax:
Daily High |
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Diff(%):
The percentage difference of Settlement Price compared to previous Settlement Price |
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