Live quotes Margin Levels
Settlements Time & Sales
Current series of PP
Contract Options expiry date Futures settlement date Delivery date
PPDEC24 2024-12-18 2024-12-13 2024-12-20
PPDEC24 2024-12-18 2024-12-13 2024-12-20
PPMAR25 2025-03-19 2025-03-14 2025-03-21
PPMAR25 2025-03-19 2025-03-14 2025-03-21
PPJUN25 2025-06-18 2025-06-13 2025-06-20
PPJUN25 2025-06-18 2025-06-13 2025-06-20
PPSEP25 2025-09-17 2025-09-12 2025-09-19
PPSEP25 2025-09-17 2025-09-12 2025-09-19
Contract CodePP
UnderlyingGBP/PLN currency pair
NameBritish Pound Currency Futures
Unit of Trading50,000 GBP
Price QuotationPLN per 1 GBP
Min. Price Move0.0001
Tick Value5 PLN
Daily Price Change LimitNone
Contract MonthsMarch, June, September, December, such that 4 months are available for trading
Last Trading DayThird Wednesday of contract month
Trading HoursMonday-Friday: 9:15 - 16:10 CET. Last trading day: 9:15 - 10:30 CET
First Trading DayFirst business day after previous contract expiry
Delivery & Final SettlementDelivery will take place on the second business day after the third Wednesday of the Delivery Month. Delivery will take place in the Clearing Members account at the WGT Clearing House account at the WGT clearing bank. All positions open after10:30 on the last day of trading are settled to the Final Settlement Price. Final Settlement Price is the the National Bank of Poland Fixing for the British Pound/Polish Zloty currency pair on the last trading day.