The Interest Rate market is experiencing significant volatility in 2015, as market participants are anticipating when the FOMC will raise the Fed Funds target rate. CME Eurodollar Futures and Options, our short term interest rate products, are the preferred tool for professional traders who want to express a view on future interest rate moves.
The word “patient” was removed from the FOMC meeting statement on March 18, introducing uncertainty into the timing of the first rate hike.
As the world's leading and most diverse derivatives marketplace, CME Group is where the world comes to manage risk. Comprised of four exchanges - CME, CBOT, NYMEX and COMEX - we offer the widest range of global benchmark products across all major asset classes, helping businesses everywhere mitigate the myriad of risks they face in today's uncertain global economy.
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CME Group is the world's leading and most diverse derivatives marketplace. The company is comprised of four Designated Contract Markets (DCMs). Further information on each exchange's rules and product listings can be found by clicking on the links to CME, CBOT, NYMEX and COMEX.