开始时间 | 期末 | ||||||||
---|---|---|---|---|---|---|---|---|---|
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 06/2023 | 06/2023 | 870 USD | 42.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 09/2023 | 12/2023 | 1,080 USD | 42.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 03/2024 | 03/2025 | 1,225 USD | 35.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 06/2025 | 06/2025 | 1,225 USD | 30.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 09/2025 | 09/2025 | 1,150 USD | 30.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 12/2025 | 12/2025 | 1,020 USD | 30.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 03/2026 | 03/2026 | 900 USD | 30.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 06/2026 | 09/2026 | 825 USD | 30.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 12/2026 | 09/2027 | 825 USD | 25.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 12/2027 | 06/2030 | 825 USD | 23.000% | ||
CME | INTEREST RATES | EURODOLLAR FUTURES | ED | 09/2030 | 12/2032 | 825 USD | 20.000% |
作为全球投资者的基准,欧洲美元期货提供对冲短期美元利率具有成本效率的宝贵工具。欧洲美元是存在美国之外商业银行的美元存款。
欧洲美元期货价格反映市场对未来特定日期三个月欧洲美元存款的利率预期。欧洲美元期货的最终结算价格由最后一个交易日三个月伦敦银行间拆借利率(LIBOR)确定。
交易欧洲美元的优势