Product information
Contract specifications
 
 
FTSEUROFIRST 100 INDEX FUTURE (PARIS)
 


Codes and classification
Mnemo FEO Market NYSE Liffe Paris Vol. 19/11/09
    Currency O.I. 10
Underlying FTSEUROFIRST 100 ISIN NL0000255446 Market Euronext Amsterdam
Currency Last 3,225.00  19/11/09 17:45 Last change % -1.56
 FTSEurofirst 100 Index Futures Paris
Unit of trading Valued at €10 per index point (eg €50,565 at 5,056.5)
Expiry months March, June, September, December (nearest three available for trading)
Quotation Index points with one decimal point (e.g. 5,056.5)
Minimum price movement
(tick size and value)
0.5 index points, equivalent to €5 per contract (0.5 x €10)
Last trading day 17:45 CET on the third Friday of the expiry month. In the event of the third Friday not being a business day, the last trading day shall normally be the last business day preceding the third Friday.
Settlement day First business day after the last trading day
Trading hours 08:00 – 20:00 CET Day session: 08:00 – 18:15 CET Evening session: 18:15 – 20:00 CET (cleared on the next business day)
Related documentation
FTSEurofirst 100 Index Futures (Paris)
Last update 29/11/06

Euronext.liffe Market: Paris

Contract standard: Cash settlement based on the Exchange Delivery Settlement Price (EDSP).

Exchange Delivery Settlement Price: The EDSP is the closing price of the FTSEurofirst 100 index on the third Friday of the expiry month.

Clearing: LCH.Clearnet SA.