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Eurodollar

Product Overview

The Eurodollar futures contract is the most widely traded and versatile interest rate futures product in the world. It provides a valuable, cost-effective tool for hedging interest rate fluctuations on Eurodollars – U.S. dollars deposited in commercial banks outside the United States. Eurodollar deposits play a major role in the international capital market, and have long served as a benchmark interest rate for corporate funding.

Eurodollar futures provide a way to:

  • Hedge short term interest rate risk
  • Execute a variety of trading strategies, such as Butterflies, Packs and Bundles
  • Express a view on the direction of interest rates
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General News & Announcements for Interest Rate
RSS

Four Important New Publications for Interest Rate Customers

View and download them here.


To request a print version, please call Customer Service at 1-800-331-3332 or 312-930-2316.

 


New Market Maker Programs for Interest Rates Products

Get complete details on our market maker programs for trading options on U.S. Treasuries, 30-Day Fed Funds and Eurodollars


Tick Changes Pending for U.S. Treasury Products and Block Trading Approved for CBOT Interest Rate Products

Beginning March 3, 2008 CME Group will reduce the minimum tick size for three of its most actively traded U.S. Treasury contracts.


CME Product Market Data
Report Type

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Contract Specification View
Trade Unit Eurodollar Time Deposit having a principal value of $1,000,000 with a three-month maturity.
Settle Method Cash Settled
Point Size 1 point = .01 = $25.00
Strike Price Interval
Strike
Limits/Price Banding 200 points
Tick Size (Minimum Fluctuation)
Half Tick0.005=$12.50
Quarter0.0025=$6.25 for nearest expiring month.
Trading Hours Mon/Thurs 5:00 p.m.-4:00 p.m. ; Shutdown period from 4:00 p.m. to 5:00 p.m. nightly; Sun & Hol 5:00 p.m.-4:00 p.m. LTD-5:00 a.m.
Listed All listed series
Product Codes Clearing=ED Ticker=ED GLOBEX=GE AON=WD
Minimum Block Size
Product Calendar Mar, Jun, Sep, Dec, Forty months in the March quarterly cycle, and the four nearest serial contract months.
View current product listings
Trade Unit Eurodollar Time Deposit having a principal value of $1,000,000 with a three-month maturity.
Settle Method Cash Settled
Point (Tick) Size 1 point = .01 = $25.00
Strike Price Interval
Strike
Limits/Price Banding No Limit
Minimum Fluctuation
Half Tick0.005=$12.50
Quarter0.0025=$6.25 for nearest expiring month.
Trading Hours 7:20 a.m.-2:00 p.m
Listed
Product Codes Clearing=ED Ticker=ED GLOBEX=GE AON=WD
Minimum Block Size
Product Calendar Mar, Jun, Sep, Dec, Forty months in the March quarterly cycle, and the four nearest serial contract months.
View current product listings
General News & Announcements for Interest Rate
RSS

Four Important New Publications for Interest Rate Customers

View and download them here.


To request a print version, please call Customer Service at 1-800-331-3332 or 312-930-2316.

 


New Market Maker Programs for Interest Rates Products

Get complete details on our market maker programs for trading options on U.S. Treasuries, 30-Day Fed Funds and Eurodollars


Tick Changes Pending for U.S. Treasury Products and Block Trading Approved for CBOT Interest Rate Products

Beginning March 3, 2008 CME Group will reduce the minimum tick size for three of its most actively traded U.S. Treasury contracts.


Contracts Currently Eligible to Trade and Recently Expired Contracts
Contract Month Product Code First Trade Date Last Trade Date Settlement Date
JUL08 EDN08 01/14/2008 Add to Outlook 07/14/2008 07/14/2008
AUG08 EDQ08 02/19/2008 Add to Outlook 08/18/2008 08/18/2008
SEP08 EDU08 09/15/1998 Add to Outlook 09/15/2008 09/15/2008
OCT08 EDV08 04/14/2008 Add to Outlook 10/13/2008 10/13/2008
NOV08 EDX08 05/19/2008 Add to Outlook 11/17/2008 11/17/2008
DEC08 EDZ08 12/15/1998 Add to Outlook 12/15/2008 12/15/2008
MAR09 EDH09 03/15/1999 Add to Outlook 03/16/2009 03/16/2009
JUN09 EDM09 06/14/1999 Add to Outlook 06/15/2009 06/15/2009
SEP09 EDU09 09/13/1999 Add to Outlook 09/14/2009 09/14/2009
DEC09 EDZ09 12/13/1999 Add to Outlook 12/14/2009 12/14/2009
MAR10 EDH10 03/13/2000 Add to Outlook 03/15/2010 03/15/2010
JUN10 EDM10 06/19/2000 Add to Outlook 06/14/2010 06/14/2010
SEP10 EDU10 09/18/2000 Add to Outlook 09/13/2010 09/13/2010
DEC10 EDZ10 12/18/2000 Add to Outlook 12/13/2010 12/13/2010
MAR11 EDH11 03/19/2001 Add to Outlook 03/14/2011 03/14/2011
JUN11 EDM11 06/18/2001 Add to Outlook 06/13/2011 06/13/2011
SEP11 EDU11 09/17/2001 Add to Outlook 09/19/2011 09/19/2011
DEC11 EDZ11 12/17/2001 Add to Outlook 12/19/2011 12/19/2011
MAR12 EDH12 03/18/2002 Add to Outlook 03/19/2012 03/19/2012
JUN12 EDM12 06/17/2002 Add to Outlook 06/18/2012 06/18/2012
SEP12 EDU12 09/16/2002 Add to Outlook 09/17/2012 09/17/2012
DEC12 EDZ12 12/16/2002 Add to Outlook 12/17/2012 12/17/2012
MAR13 EDH13 03/17/2003 Add to Outlook 03/18/2013 03/18/2013
JUN13 EDM13 06/16/2003 Add to Outlook 06/17/2013 06/17/2013
SEP13 EDU13 09/15/2003 Add to Outlook 09/16/2013 09/16/2013
DEC13 EDZ13 12/15/2003 Add to Outlook 12/16/2013 12/16/2013
MAR14 EDH14 03/15/2004 Add to Outlook 03/17/2014 03/17/2014
JUN14 EDM14 06/14/2004 Add to Outlook 06/16/2014 06/16/2014
SEP14 EDU14 09/13/2004 Add to Outlook 09/15/2014 09/15/2014
DEC14 EDZ14 12/13/2004 Add to Outlook 12/15/2014 12/15/2014
MAR15 EDH15 03/14/2005 Add to Outlook 03/16/2015 03/16/2015
JUN15 EDM15 06/13/2005 Add to Outlook 06/15/2015 06/15/2015
SEP15 EDU15 09/20/2005 Add to Outlook 09/14/2015 09/14/2015
DEC15 EDZ15 12/19/2005 Add to Outlook 12/14/2015 12/14/2015
MAR16 EDH16 03/13/2006 Add to Outlook 03/14/2016 03/14/2016
JUN16 EDM16 06/19/2006 Add to Outlook 06/13/2016 06/13/2016
SEP16 EDU16 09/18/2006 Add to Outlook 09/19/2016 09/19/2016
DEC16 EDZ16 12/18/2006 Add to Outlook 12/19/2016 12/19/2016
MAR17 EDH17 03/19/2007 Add to Outlook 03/13/2017 03/13/2017
JUN17 EDM17 06/18/2007 Add to Outlook 06/19/2017 06/19/2017
SEP17 EDU17 09/17/2007 Add to Outlook 09/18/2017 09/18/2017
DEC17 EDZ17 12/17/2007 Add to Outlook 12/18/2017 12/18/2017
MAR18 EDH18 03/17/2008 Add to Outlook 03/19/2018 03/19/2018
JUN18 EDM18 06/16/2008 Add to Outlook 06/18/2018 06/18/2018
Contracts Not Yet Eligible to Trade
Contract Month Product Code First Trade Date Last Trade Date> Settlement Date
JAN09 EDF09 07/14/2008 01/19/2009 01/19/2009
General News & Announcements for Interest Rate
RSS

Four Important New Publications for Interest Rate Customers

View and download them here.


To request a print version, please call Customer Service at 1-800-331-3332 or 312-930-2316.

 


New Market Maker Programs for Interest Rates Products

Get complete details on our market maker programs for trading options on U.S. Treasuries, 30-Day Fed Funds and Eurodollars


Tick Changes Pending for U.S. Treasury Products and Block Trading Approved for CBOT Interest Rate Products

Beginning March 3, 2008 CME Group will reduce the minimum tick size for three of its most actively traded U.S. Treasury contracts.