share_log

Lufax: Lufax Holding Ltd - Settlement Update Option Symbols: LU/LU1/LU2 * * * Effective Immediately * * *

Lufax: Lufax Holding Ltd - Settlement Update Option Symbols: LU/LU1/LU2 * * * Effective Immediately * * *

陸金所控股:陸金所控股有限公司 - 結算更新 期權代碼:LU/LU1/LU2 * * * 立即生效 * * *
OCC期權清算公司 ·  10/23 05:43

牛牛AI助理已提取核心訊息

On October 22, 2024, Lufax Holding Ltd announced a significant update to the settlement process for its options trading. Previously, the exercise and assignment of LU, LU1, and LU2 options were conducted through broker to broker settlement as per OCC Information Memo #55406. However, effective from October 21, 2024, these options are now eligible for Continuous Net Settlement (CNS) at the National Securities Clearing Corporation (NSCC). This change means that all exercise and assignment activity for LU, LU1, and LU2 options from October 22, 2024, onwards will be processed through NSCC, streamlining the settlement process. The deliverables for these options remain unchanged, with LU options corresponding to 100 Lufax Holding Ltd American Depositary Shares, LU1 to 25 shares and $59.25 cash, and LU2 to 100 shares and $237.00 cash.
On October 22, 2024, Lufax Holding Ltd announced a significant update to the settlement process for its options trading. Previously, the exercise and assignment of LU, LU1, and LU2 options were conducted through broker to broker settlement as per OCC Information Memo #55406. However, effective from October 21, 2024, these options are now eligible for Continuous Net Settlement (CNS) at the National Securities Clearing Corporation (NSCC). This change means that all exercise and assignment activity for LU, LU1, and LU2 options from October 22, 2024, onwards will be processed through NSCC, streamlining the settlement process. The deliverables for these options remain unchanged, with LU options corresponding to 100 Lufax Holding Ltd American Depositary Shares, LU1 to 25 shares and $59.25 cash, and LU2 to 100 shares and $237.00 cash.
2024年10月22日,陸金所控股有限公司宣佈對其期權交易的交割流程進行了重大更新。以前,LU、LU1和LU2期權的行權和轉讓是根據OCC信息備忘錄#55406通過經紀人結算的。但從2024年10月21日起,這些期權現在有資格進行在全國證券結算公司(NSCC)的連續淨結算(CNS)。這一變化意味着從2024年10月22日起,所有LU、LU1和LU2期權的行權和轉讓活動將通過NSCC進行處理,簡化了結算流程。這些期權的可交付物保持不變,LU期權對應100股陸金所控股有限公司美國存托股,LU1對應25股和59.25美元現金,LU2對應100股和237.00美元現金。
2024年10月22日,陸金所控股有限公司宣佈對其期權交易的交割流程進行了重大更新。以前,LU、LU1和LU2期權的行權和轉讓是根據OCC信息備忘錄#55406通過經紀人結算的。但從2024年10月21日起,這些期權現在有資格進行在全國證券結算公司(NSCC)的連續淨結算(CNS)。這一變化意味着從2024年10月22日起,所有LU、LU1和LU2期權的行權和轉讓活動將通過NSCC進行處理,簡化了結算流程。這些期權的可交付物保持不變,LU期權對應100股陸金所控股有限公司美國存托股,LU1對應25股和59.25美元現金,LU2對應100股和237.00美元現金。

譯文內容由第三人軟體翻譯。


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