Zb futures contract specs
Futures Contract Specifications. Monthly Symbols 1 Includes $0.10 per futures contract routing fee for use of Continuum (default). Specs. All In Rates1. (License Level). Product. Group. Product. Code. Product ZB. 30 YR U.S. TREASURY BOND FUTURES. 500. 6270. 5700. More Info. 1.51. Contract Specifications. Month codes for futures contracts are as follows: Jan F Feb G Mar H Apr These futures contracts are large in size and experience is needed to properly navigate these markets. 30 Year T-Bond Futures. Common Symbol – ZB. 30-year
The company is comprised of four Designated Contract Markets (DCMs). Further information on each exchange's rules and product listings can be found by
You can find the contract specifications on the CME site ZB : U.S. Treasury Bond Futures Contract Specs - CME Group This is a future on bonds with maturity of 30 years (long term interest rate) ZN : 10-Year T-Note Futures Contract Specs - CME Group This is a future on bonds with maturity of 10 years (medium term interest rate) The Futures Contract Specifications page provides a complete look at contract specs, as provided by the exchanges. Specifications are grouped by market category (Currencies, Energies, Financials, Grains, Indices, Meats, Metals and Softs). Specifications for futures contracts include: Sym - the root symbol for the commodity. Gold futures are traded on the Bolsa de Mercadorias and Futuros (BM&F) and on the Tokyo Commodity Exchange (TOCOM), the Chicago Board of Trade (CBOT) and the Korea Futures Exchange (KOFEX). The Nymex gold futures contract calls for the delivery of 100 troy ounces of gold (0.995 fineness), and the contract trades in terms of dollars and cents per troy ounce. At a 10:1 contract ratio, Micro E-mini Equity futures can be converted easily into a classic E-mini futures position, and vice versa. That gives you more flexibility for managing positions as market conditions change, using the contract that best suits your goals, and greater access to liquidity.
Barchart Symbol, ZB. Exchange Symbol, ZB. Contract, U.S. Treasury Bond Futures. Exchange, CBOT. Tick Size, 32nds of a point ($31.25 per contract) rounded
But, if a MAR Call expires ITM, it settles to cash. It's also important to know the basic contract specs for both the options and the future. For example, looking at the Welcome to U.S. Treasury Futures Whether you are a new trader looking to get started in futures, or an experienced trader looking for a more efficient way to trade the U.S. government bond market, look no further than U.S. Treasury futures.
Contract Size, One 2-Year Treasury Note futures contract of a specified delivery month Serial options will exercise into futures contracts for delivery in the March quarterly cycle month next following such Ticker Symbols, CME Globex: ZB
You can find the contract specifications on the CME site ZB : U.S. Treasury Bond Futures Contract Specs - CME Group This is a future on bonds with maturity of 30 years (long term interest rate) ZN : 10-Year T-Note Futures Contract Specs - CME Group This is a future on bonds with maturity of 10 years (medium term interest rate) The Futures Contract Specifications page provides a complete look at contract specs, as provided by the exchanges. Specifications are grouped by market category (Currencies, Energies, Financials, Grains, Indices, Meats, Metals and Softs). Specifications for futures contracts include: Sym - the root symbol for the commodity. Gold futures are traded on the Bolsa de Mercadorias and Futuros (BM&F) and on the Tokyo Commodity Exchange (TOCOM), the Chicago Board of Trade (CBOT) and the Korea Futures Exchange (KOFEX). The Nymex gold futures contract calls for the delivery of 100 troy ounces of gold (0.995 fineness), and the contract trades in terms of dollars and cents per troy ounce. At a 10:1 contract ratio, Micro E-mini Equity futures can be converted easily into a classic E-mini futures position, and vice versa. That gives you more flexibility for managing positions as market conditions change, using the contract that best suits your goals, and greater access to liquidity.
Contract Size, One 2-Year Treasury Note futures contract of a specified delivery month Serial options will exercise into futures contracts for delivery in the March quarterly cycle month next following such Ticker Symbols, CME Globex: ZB
Futures. A Profile for a commodities contract contains the Contract Specifications. Specifications include: Symbol - the root symbol for the commodity. Name - the commodity description; Exchange - the exchange on which the commodity is traded. Months - A specific month in which delivery may take place under the terms of a futures contract. Commodity exchanges typically refer to months using one letter: 1/32 of a point ($31.25/contract); par is on the basis of 100 points: Quoted Units: Points ($1,000) and one-half of 1/32 of a point: Initial Margin: $4,320 Maint Margin: $3,200: Contract Months: Mar, Jun, Sep, Dec: First Notice Day: Last business day of month preceding contract month. Last Trading Day: Contract Specs. Financial Currencies Indicies Dairy Grains ZB: US T-Bonds: ECBOT: 18:00-16:00: H,M,U,Z: $100,000 note: 1/32 = $31.25: Symbol Future Exchange Hours There is a risk of loss in trading futures and options. Futures trading is not appropriate for all investors. You can find the contract specifications on the CME site ZB : U.S. Treasury Bond Futures Contract Specs - CME Group This is a future on bonds with maturity of 30 years (long term interest rate) ZN : 10-Year T-Note Futures Contract Specs - CME Group This is a future on bonds with maturity of 10 years (medium term interest rate) The Futures Contract Specifications page provides a complete look at contract specs, as provided by the exchanges. Specifications are grouped by market category (Currencies, Energies, Financials, Grains, Indices, Meats, Metals and Softs). Specifications for futures contracts include: Sym - the root symbol for the commodity.
You can find the contract specifications on the CME site ZB : U.S. Treasury Bond Futures Contract Specs - CME Group This is a future on bonds with maturity of 30 years (long term interest rate) ZN : 10-Year T-Note Futures Contract Specs - CME Group This is a future on bonds with maturity of 10 years (medium term interest rate)