CME 13-Week T-bills Options
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Performance Bonds
CME 13 Week US T-Bill Options
Trade Unit One 13week U.S. Treasury Bill Future
Point Descriptions ½ point = .005 = $12.50
Contract Listing Mar, Jun, Sep, Dec, Four months in March quarterly cycle plus 2 months not in the March cycle (serial months).
Strike Price Interval IMM Index for TB Futures 0.25 intervals e.g. 92.50, 92.75 plus for nearest listed expiration in the March quarterly cycle, additional strikes at 0.125
Product Code Clearing:
Calls/Puts=T1
Ticker:
Puts=PQ
Call=CQ
Trading Venue: Floor
Hours 7:20 a.m.-2:00 p.m. LTD-quarterly-12:00 p.m. LTD-serial-(Fri 2:00 p.m.)^
Listed All listed series
Strike All listed intervals
Limits No limit
Minimum Fluctuation Regular 0.005=$12.50
Cab 0.005=$12.50
Futures and Options
No Data Available
CME RTH Flash Quotes
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CME Globex Flash Quotes