852-2853 2288

DEPOSIT FUNDS CONSIDERATIONS:

Sanfull Futures Limited do not accept any cash deposits, third party transfers or deposits, the name of the bank account holder or remitter must be the same as the name of Sanfull Future's account holder. To protect the interests of yourselves, All settlement transactions should be handled directly with the staff of our settlement department, avoid the risk of handling with third parties. Please pay the client's own cheque or the client's own bank account transfer , deposit the settlement amount directly into the bank account of Sanfull Futures.

Clients are request to send us copy of your bank-in slip (if deposit cheque, please attached the cheque copy also), together with your account number and account holder's name clearly stated, directly to our settlement department before 3:45 p.m. on the deposit day:

  1. Fax to 2853-2244;
  2. Email to futures@sanfull.com.hk
  3. Whatsapp or WeChat to 6112-8339

Upon successful confirmation with bank on your deposit, your fund will be usable.

With bank cheques and money orders, account will be funded and posted to your account on the same day received provided that the deposit is notified to us before 3:45pm .(Excluding Saturdays, Sundays and Public holidays.). Otherwise, the deposit will be posted to your account on the next trading day.

Sanfull Futures Limited right to receive, process or return cash deposits or from any third party and certain withdrawal options is not guaranteed, and the right to return funds to the source of the deposit is also guaranteed.

 

Futures Settlement

 

Hang Seng Index Futures

Mini-Hang Seng Index Futures

H-shares Index Futures

Mini H-Shares Index Futures

Denomination

HK Dollar

HK Dollar

HK Dollar

HK Dollar

Minimum Fluctuation

1 Index Point

1 Index Point

1 Index Point

1 Index Point

Contract Value

HK$50 per index point

HK$10 per index point

HK$50 per index point

HK$10 per index point

Contract Months

Spot month, Next calendar month, and Next 2 calendar quarter months

Spot month, Next calendar month, and Next 2 calendar quarter months

Spot month, Next calendar month, and Next 2 calendar quarter months

Spot month, Next calendar month, and Next 2 calendar quarter months

Settlement Method

Cash

Cash

Cash

Cash

Last Trading Day

Second last business day of the month

Second last business day of the month

Second last business day of the month

Second last business day of the month

Final Settlement Day

First business day after the last trading day

First business day after the last trading day

First business day after the last trading day

First business day after the last trading day

 

Note: Changes or amendment of the information might be made at any time without prior notice.