Enhancements to 3-Year Treasury Note futures

Effective July 13, 2020

  • Reduced tick size: 1/8 of 1/32 for outrights and spreads
  • New matching algorithm: 100% FIFO for outrights; 20% FIFO/80% pro-rata for calendar spreads
  • Aging 7-year notes added: with 2-years, 9 months–3 years remaining term-to-maturity

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10-Year T-Note Margins

CBT INTEREST RATES 10-YEAR T-NOTE 21 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE 54 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE 55 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE 551 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE TY1 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE TY2 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE TY3 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE TY4 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE TY5 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WY1 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WY2 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WY3 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WY4 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WY5 20 USD
CBT INTEREST RATES 10-YEAR T-NOTE WYW 20 USD