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Eurodollar Futures Trading

Eurodollar Futures Trading - Get current Eurodollar futures prices (quotes), historical charts, futures contract specifications, Eurodollar futures news.

Current Eurodollar Futures | Futures Prices

Futures Contract Price Change
Eurodollar Futures
EDZ19 / Dec 19 / CME
98.0250s+0.0200

Eurodollar Futures Prices — Historical Chart

Chart of Eurodollar Futures futures updated July 30th, 2019.
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Eurodollar Futures Trading Chart updated July 30th, 2019

Disclaimer: This material is of opinion only and does not guarantee any profits. These are risky markets and only risk capital should be used. Past performances are not necessarily indicative of future results.

Eurodollar Futures Contract Specifications

Contract Specification Eurodollar Futures
Product Symbol (CME Globex) ED
Product Symbol (Open Outcry) GE
Underlying Instrument Eurodollar Time Deposit having a principal value of USD $1,000,000 with a three-month maturity.
Price Quotation Quoted in IMM Three-Month LIBOR index points or 100 minus the rate on an annual basis over a 360 day year (e.g., a rate of 2.5% shall be quoted as 97.50). 1 basis point = .01 = $25.
Venue CME Globex, Open Outcry
CME Globex Hours (CST) SUN - FRI: 5:00 p.m. - 4:00 p.m. CT
Open Outcry Hours (CST) MON-FRI: 7:20 a.m. - 2:00 p.m.
Minimum Fluctuation (tick size) One-quarter of one basis point (0.0025 = $6.25 per contract) in the nearest expiring contract month; One-half of one basis point (0.005 = $12.50 per contract) in all other contract months. The "new" front-month contract begins trading in 0.0025 increments on the same Trade Date as the Last Trading Day of the expiring "old" front-month contract.
Contract Months Mar, Jun, Sep, Dec, extending out 10 years (total of 40 contracts) plus the four nearest serial expirations (months that are not in the March quarterly cycle). The new contract month terminating 10 years in the future is listed on the Tuesday following expiration of the front quarterly contract month.
Listed Contracts Trading is conducted for delivery during the current calendar month; the next two calendar months; any February, April, August, and October falling within a 23-month period; and any June and December falling within a 60-month period beginning with the current month.
Contract Months Mar, Jun, Sep, Dec, extending out 10 years (total of 40 contracts) plus the four nearest serial expirations (months that are not in the March quarterly cycle). The new contract month terminating 10 years in the future is listed on the Tuesday following expiration of the front quarterly contract month.
Price Quote Quoted in IMM Three-Month LIBOR index points or 100 minus the rate on an annual basis over a 360 day year (e.g., a rate of 2.5% shall be quoted as 97.50). 1 basis point = .01 = $25.
Last Trading Day The second London bank business day prior to the third Wednesday of the contract expiry month. Trading in the expiring contract closes at 11:00 a.m. London Time on the last trading day.
Exchange Rule These contracts are listed with, and subject to, the rules and regulations of CME.

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