Final Settlement Prices

The most recent Final Settlement Prices for each product are listed below.

Object Determination Date (*2) Final Settlement Prices Unit
Nikkei 225 (*1) May 10, 2024 38,509.47 Yen
Nikkei 225 Mini Options (*1) May 2, 2024 37,990.99 Yen
TOPIX May 10, 2024 2,728.75 Points
JPX-Nikkei 400 May 10, 2024 24,851.60 Points
TSE Growth Market 250 Mar. 8, 2024 758.94 Points
JPX Prime 150 - - Points
TOPIX Core30 Mar. 8, 2024 1,436.90 Points
Nikkei 225 VI May 15, 2024 18.23 Points
DJIA Mar. 18, 2024 38,691.18 Points
TAIEX May 15, 2024 21,143 Points
FTSE China 50 Apr. 30, 2024 11,932.83 Points
TOPIX Banks Mar. 8, 2024 319.17 Points
TSE REIT Mar. 8, 2024 1,674.36 Points
S&P/JPX ESG (*4) Mar. 8, 2024 3,103.17 Points
FTSE JPX Net Zero Mar. 8, 2024 1,886.08 Points
Nikkei Climate Mar. 8, 2024 39,792.70 Yen
Nikkei 225 Dividend Apr. 1, 2024 644.40 Yen
mini-10year JGB (Cash-Settled) Mar. 13, 2024 145.99 Yen
3-Month TONA Mar. 21, 2024 100.0112 Points
Gold Apr. 24, 2024 11,534 Yen
Platinum Apr. 24, 2024 4,505 Yen
CME Group Petroleum May 2, 2024 196.62 Points
Platts Dubai Crude Oil May 1, 2024 86,090 Yen
LNG (Platts JKM) May 16, 2024 1,627.9 Yen
East Area Baseload Electricity May 1, 2024 10.90 Yen
West Area Baseload Electricity May 1, 2024 7.70 Yen
East Area Peakload Electricity May 1, 2024 11.98 Yen
West Area Peakload Electricity May 1, 2024 7.07 Yen
East Area Baseload Electricity (Weekly) May 10, 2024 10.43 Yen
West Area Baseload Electricity (Weekly) May 10, 2024 7.29 Yen
East Area Peakload Electricity (Weekly) May 10, 2024 11.01 Yen
West Area Peakload Electricity (Weekly) May 10, 2024 5.90 Yen

  • "Nikkei225" includes Option Settlemet Prices for the 2nd week contract of each month for Nikkei 225 mini options.
    "Nikkei 225 Mini Options" lists Option Settlemet Prices except for the 2nd week contract of each month.
  • The Final Settlement Price for each product is updated the day following the last trading day which differs depending on each product (Some products are excluded).
    Please refer to this page.
    Last Trading Day/Delivery Day.

  • In principle, the Final Settlement Price for each product is updated after 15:15 on the day following the last trading day with exceptions for products listed below.
    Updated after 15:25
    TOPIX, JPX-Nikkei 400, TSE Mothers Index, JPX Prime 150 Index, TOPIX Core30, TOPIX Banks Index, TSE REIT Index, S&P/JPX 500 ESG Score Tiled Index, Gold, Platinum (The underlined products will be published after 15:25 starting April 2024.)
    Updated after 15:50
    TAIEX, FTSE JPX Net Zero Japan 500 Index
  • The official long name of "S&P/JPX ESG" is "S&P/JPX 500 ESG Score Tilted Index (0.5)".

Historical Data

Final Settlement Prices, etc. (Index Futures, Index Options, JGB Futures, and Interest Rate Futures) (*)
Option Settlement Prices (Mini Options, Weekly Options)
Final Settlement Prices, etc. (Commodity Futures and Options)
Final Settlement Prices (Electricity Futures (Weekly) )
  • Option Settlemet Prices for the 2nd week contract of each month for Nikkei 225 mini options are available here.