Intraday Commodity Futures Price Chart: Sept. 2010
Euro
TFC Commodity Charts
Forex Trading Weekly Forecast - 02.13.2012 Feb 11th, 2012, 01:30 - DFX (Length: 927)
BRIEF: US stocks slump on Greek disarray over budget measures Feb 10th, 2012, 22:54 - KRT (Length: 1260)
US Dollar Surges into Close Start of a New Uptrend? Feb 10th, 2012, 21:00 - DFX (Length: 3938)
DJ Mexican Peso Falls On Greek Impasse In Week Of Losses Feb 10th, 2012, 16:49 - FWS (Length: 2382)
DJ Emerging-Market Currencies, Debt Sold Off On Greek Concerns Feb 10th, 2012, 16:34 - FWN (Length: 3494)
Canadian Forex Midday: C$ Weakens Feb 10th, 2012, 13:13 - RNI (Length: 1480)
DJ ICE Canola Futures Drop On Outside Oilseed Markets Feb 10th, 2012, 09:53 - FWN (Length: 2297)
DJ Emerging Market Funds Keep Up Momentum With Record Inflows Feb 10th, 2012, 09:43 - FWN (Length: 3217)
2012 Forecast: US Dollar to Rally in First Half, Only to Fade Again Feb 10th, 2012, 04:30 - DFX (Length: 12347)
2012 Forecast: US Dollar to Rally in First Half, Only to Fade Again Feb 10th, 2012, 04:00 - DFX (Length: 12347)
[ More Eurofx News ]
Contract Specifications:EC,CME Trading Unit: 125,000 Euro Tick Size: $.0001 EC ($12.50/contract) Quoted Units: US $ per Euro Initial Margin: $3,240 Maint Margin: $2,400 Contract Months: Mar, Jun, Sep, Dec First Notice Day: Next business day after last trading date. Last Trading Day: 2nd business day before third Wednesday. Trading Hours: 7:20 a.m. - 2:00 p.m. Chicago time, Mon-Fri.
Trading in expiring contracts closes at 9:16 a.m. on the last trading day.
Globex from 4:30 p.m. - 4:00 a.m. Chicago time, Mon-Thu.
Sundays & Holidays 5:30 p.m. - 4:00 p.m. Cash Price: .0001 ($12.50) Daily Limit: none
Marketplace
Sponsor