DislikedOldQuant: Thanks about the swissy. With respect to the options expiry dates please see list below as per my Reuters feed.
Thursday 13th January 2011:
EUR/USD:
1.3200 pay out 150million
1.3050 pay out 150million
1.3000 pay out 150million
1.2950 pay out 200million
1.2900 pay out 200million
Friday 14th January 2011:
1.3200
1.3125
1.3100
1.2975
1.2600
Monday 17th January, 2011
1.3050 pay out 150million
1.3000 pay out 150million
1.2950 pay out 200million
1.2900 pay out 150million
Tuesday 18th January, 2011
1.2925...Ignored
HDA how do you access this options information. Please let me know.
Thanks!