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10-Year U.S. Treasury Note

Product Overview

Product Snapshot: 10-Year U.S. Treasury Note Futures
This product is based on the benchmark 10-Year U.S. Treasury Note, a negotiable debt obligation issued by the U.S. government and backed by its full faith and credit.

10-Year U.S. Treasury Note futures provide a way to:

  • Hedge interest rate risk at the longer end of the yield curve
  • Express a view on the direction of interest rates at the longer end of the yield curve
  • Execute a wide range of trading strategies including:
    • Yield curve trades against other Treasury futures
    • Spread trades against other CME Group Interest Rate products
More

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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 One U.S. Treasury note having a face value at maturity of $100,000. U.S. Treasury notes with remaining term to maturity of at least six and one half years, but not more than 10 years, from the first day of the delivery month. The invoice price equals the futures settlement price times a conversion factor, plus accrued interest. The conversion factor is the price of the delivered note ($1 par value) to yield 6 percent.
Settle Method Delivery
Point Size Quoted in points ($1,000) and halves of 1/32 of a point. For example, 84-16 represents 84 16/32, and 84-165 represents 84 16.5/32.
Strike Price Interval
Strike
Limits/Price Banding No limits
Tick Size (Minimum Fluctuation)
Regular1= $15.625
Trading Hours Sunday/Friday 5:30 p.m.-4:00 p.m. CT; Shutdown period from 4:00 p.m. to 5:00 p.m. nightly
Listed All listed intervals
Product Codes Clearing: 21 Open Outcry: TY Globex: ZN
Minimum Block Size
Product Calendar First five consecutive contracts in the Mar, Jun, Sep and Dec quarterly cycle
View current product listings
Trade Unit One U.S. Treasury note having a face value at maturity of $100,000. U.S. Treasury notes with remaining term to maturity of at least six and one half years, but not more than 10 years, from the first day of the delivery month. The invoice price equals the futures settlement price times a conversion factor, plus accrued interest. The conversion factor is the price of the delivered note ($1 par value) to yield 6 percent.
Settle Method Delivery
Point (Tick) Size Quoted in points ($1,000) and halves of 1/32 of a point. For example, 84-16 represents 84 16/32, and 84-165 represents 84 16.5/32.
Strike Price Interval
Strike
Limits/Price Banding No limits
Minimum Fluctuation
Regular1= $15.625
Trading Hours Open Auction: 7:20 am - 2:00 pm, Central Time, Monday - Friday
Listed All listed series
Product Codes Clearing: 21 Open Outcry: TY Globex: ZN
Minimum Block Size
Product Calendar First five consecutive contracts in the Mar, Jun, Sep and Dec quarterly cycle
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
SEP08 21U08 06/21/2007 Add to Outlook 09/19/2008 09/19/2008
DEC08 21Z08 09/20/2007 Add to Outlook 12/19/2008 12/19/2008
MAR09 21H09 12/20/2007 Add to Outlook 03/20/2009 03/20/2009
JUN09 21M09 03/20/2008 Add to Outlook 06/19/2009 06/19/2009
SEP09 21U09 06/20/2008 Add to Outlook 09/21/2009 09/21/2009
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.