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EURO STOXX 50® Index Futures

EURO STOXX 50® Index Futures (FESX)

Product ISIN
DE0009652388
Underlying ISIN
EU0009658145
Currency
EUR

Latest

Prices/Quotes

Displayed data is 15 minutes delayed.Last trade:Oct 23, 2017 13:03:42

Orderbook

Opening priceHighLowBid priceBid volAsk priceAsk volDiff. to prev. day lastLast priceDateTimeDaily settlem. priceTraded contractsOpen interest (adj.)Open interest dateLast trading day
3.603,00 3.619,00 3.589,00 3.615,00 789 3.616,00 1.055 +0,44% 3.616,00 23.10.2017 13:03:42 3.598,00 309.812 3.328.814 20.10.2017 20.10.2017

Statistics

Data is forOct 20, 2017   Last update:Oct 21, 2017 00:00:00

Product type:
F
Stock exchange:
n/a
Underlying closing price:
3,605.09
Delivery monthOpening priceDaily highDaily lowLast priceSettlem. priceTraded contractsOpen interest
Dec 173,603.003,610.003,590.003,600.003,598.000744,2353,474,000
Mar 183,590.003,596.003,580.003,586.003,585.000360119,411
Jun 183,513.003,513.003,506.003,506.003,504.0003138
Sep 180.000.000.000.003,494.00000
Dec 180.000.000.000.003,477.00003,495
Mar 190.000.000.000.003,475.00000
Jun 190.000.000.000.003,386.00002,018
Sep 190.000.000.000.003,385.00000
Total     744,5983,599,062

Trading

Contract Specifications

Version : 09 Jul 2012

Contract Standards

Contract

Product ID

Underlying

EURO STOXX 50® Index Futures

FESX

EURO STOXX 50® Index

EURO STOXX 50® ex Financials Index Futures

FEXF

EURO STOXX 50® ex Financials Index

EURO STOXX® Select Dividend 30 Index Futures

FEDV

EURO STOXX® Select Dividend 30 Index

STOXX® Europe 50 Index Futures

FSTX

STOXX® Europe 50 Index

 

Settlement

Cash settlement, payable on the first exchange day following the Final Settlement Day.

 

Contract Values and Price Gradations

Contract

Contract Value per index point

Minimum Price Change

Points

Value

EURO STOXX 50® Index Futures

EUR 10

1

EUR 10

EURO STOXX 50® ex Financials Index Futures

EUR 10

0.5

EUR 5

EURO STOXX® Select Dividend 30 Index Futures

EUR 10

0.5

EUR 5

STOXX® Europe 50 Index Futures

EUR 10

1

EUR 10

 

Contract Months

Standard - up to 9 months: The three nearest quarterly months of the March, June, September and December cycle.

 

Last Trading Day and Final Settlement Day
Last Trading Day is the Final Settlement Day.
Final Settlement Day is the third Friday of each maturity month if this is an exchange day; otherwise the exchange day immediately preceding that day. Close of trading in the maturing futures on the Last Trading Day is at 12:00 CET.

 

Daily Settlement Price

The Daily Settlement Prices for the current maturity month are derived from the volume-weighted average of the prices of all transactions during the minute before 17:30 CET, provided that more than five trades transacted within this period.

For the remaining maturity months, the Daily Settlement Price for a contract is determined based on the average bid/ask spread of the combination order book.


Final Settlement Price

The Final Settlement Price is established by Eurex on the Final Settlement Day of the contract and is based on the average of the respective STOXX® Index values calculated between 11:50 and 12:00 CET.

 


Further details are available in the clearing conditions and the contract specifications.

 


EURO STOXX 50® Index Futures, EURO STOXX® Select Dividend 30 Index Futures and STOXX® Europe 50 Index Futures are available for trading in the U.S.

Trading Hours

Regular Trading Day
Pre-TradingTradingPost-Trading
FullLate1Late2Restricted
07:3007:5022:0022:30
Last Trading Day
Pre-TradingTradingPost-Trading
FullLate1Late2Restricted
07:3007:5012:00

Transaction Fees

Fee TypeFee
Exchange transactions: Standard fees (A-accounts)EUR 0.35 per contract
Position Closing AdjustmentsEUR 0.60 per contract
Cash settlementEUR 0.30 per contract
Position transfer with cash transferEUR 7.50 per transaction

Block Trades

Admitted to the Eurex Block Trade Service with a Minimum Block Trade Size of 1,000 contracts

Orderbook

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