MSCI World Selection NTR Index Future72806297
ICE Futures U.S.
MSCI World Selection NTR Index Future
Description
The MSCI World Selection NTR Index Futures are cash settled upon
expiration. The underlying index is the MSCI World Selection Net
Total Return Index denominated in USD.
https://www.msci.com/documents/10199/db88cb95-3bf3-424c-b776-bfdcca67d460
Market Specifications
- Trading Screen Product Name
- MSCI World Selection NTR Index Futures
- Trading Screen Hub Name
- ICUS
- Contract Size
- USD 200 multiplied by the MSCI World Selection NTR Index level
- Contract Series
- 5 Quarterly expiries in the Mar, Jun, Sep, Dec cycle
- Price Quotation
- Index points
- Tick Size
- 0.050 Index Points ($10) for Central Limit Order Book
0.001 ($0.20) for Block Trades - Last Trading Day
- Third Friday of the expiration month. Trading in the expiring contract ceases at 4:15 pm NY time on Last Trading Day.
- Contract Symbol
- LFW
- Final Settlement
- Cash settlement to the closing value of the MSCI World Selection NTR USD Index on the Last Trading Day for the contract.
- Position Limit
- Position Limit and Position Accountability information for all IFUS products can be found here.
- Daily Price Limit
- N/A
- Off Exchange Trade Types
- Block Trade
EFP
EFS - Block Trade Minimum
- 5
- Other Information
- View the TIC+ Daily MSCI futures FAQ.
- MIC Code
- IFUS
- Clearing Venues
- ICUS
Related Products
Trading Hours
| City | Trading | Pre-Open |
|---|---|---|
| NEW YORK | 8:00 PM - 6:00 PM* 20:00 - 18:00 | 7:30 PM 19:30 |
| LONDON | 1:00 AM - 11:00 PM 01:00 - 23:00 | 12:30 AM 00:30 |
| SINGAPORE | 9:00 AM - 7:00 AM* 09:00 - 07:00 | 8:30 AM 08:30 |
*Next Day
Market opens at 6:00pm on Sunday, for Monday’s trade date. Pre-open at 5:30pm Sunday, 7:30pm Monday through Thursday
Codes
- Clearing Admin Name
- MSCI DEV
- Physical
- LFW
- Logical
- LFW
- GMI (FC)
- AL
- ION A.C.N.
- Symbol Code
- LFW