Bond trading : CME CBOT: ZT 2-Year T-Note Futures prices chart for Long-term forecast and position trading
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[BOOK] UB_30Y ZB_20Y ZN_10Y ZF_5Y ZT_2Y Bond(M) [BOND] [TH]
[BOOK] UB_30Y ZB_20Y ZN_10Y ZF_5Y ZT_2Y Bond(M) [BOND] [TH]
CME CBOT: ZT, T-Note Futures Contract Specs
Product Code: ZT. Contract Unit: Face value at maturity of $200,000. Price Quotation: Points and fractions of points with par on the basis of 100 points. Minimum Price Fluctuation: One-eighth of one thirty-second (1/32) of one point ($7.8125, rounded to the nearest cent per contract), including intermonth spreads. Settlement Method: Deliverable.
Grade And Quality: U.S. Treasury notes with an original term to maturity of not more than five years and three months and a remaining term to maturity of not less than one year and nine months from the first day of the delivery month and a remaining term to maturity of not more than two years from the last day of the delivery month. Termination Of Trading: Last business day of the calendar month. Listed Contracts: The first three consecutive contracts in the March, June, September, and December quarterly cycle. Trading Hours: SUN - FRI: 5:00 p.m. - 4:00 p.m.