CME Group 13-Week T-Bill

From MarketsWiki
Jump to: navigation, search
CME-E-Mini PostLaunch Banner 728x90.jpg

This contract was delisted on July 28, 2014.

13-Week T-Bill futures
Exchange CME Group
Settlement Cash settled
Contract Size 3-month (13-week) U.S. Treasury Bills having a face value at maturity of $1,000,000
Pricing Unit Need pricing unit!
Tick Value Regular: 0.005 = $12.50
Contract Months Mar, Jun, Sep, Dec, Four months in March quarterly cycle plus 2 months not in the March cycle (serial months).
Last Trading Day The business day of the 91-day U.S. Treasury bill auction in the week of the third Wednesday of the delivery month. Trading in expiring contracts closes at 12:00 p.m. on the last trading day.
Note: This contract is electronic ONLY -- no open outcry
  No Open Outcry Electronic
Trading Hours Monday - Friday: 7:20 a.m. - 2:00 p.m. Central Time Sunday- Friday: 5:00 p.m. - 4:00 p.m. Central Time
Ticker Symbol TB GTB
Price Limits N/A 2.00 index points above or below the Reference RTH Price.



CME Group 13-Week T-Bill Contract Specifications