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ICE Futures Europe

FTSE 100 Index Future

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Description

The FTSE 100 Index Futures are cash settled upon expiration.

The FTSE 100 is a market-capitalisation weighted index of UK-listed blue chip companies.

Market Specifications

Trading Screen Product Name
FTSE 100 - Stnd Index Future
Trading Screen Hub Name
ICEU
Contract Symbol
Z
Unit of Trading
Contract Valued at £10 per index point (e.g. value £65,000 at 6,500.0)
Delivery Month
Four quarterly months from in the March, June, September, December quarterly cycle
Settlement Date
First business day after the Last Trading Day
Quotation
Index points (eg 6500.0)
Minimum price movement (tick size and value)
0.5 (£5.00)
Last Trading Day
Third Friday in delivery month, Trading shall cease as soon as reasonably practicable after 10:15 (London time) once the Expiry Value of the Index has been determined.

Please refer to London Notice LON2693 for more information.

In the event of the third Friday not being a business day, the Last Trading Day shall normally be the last business day preceding the third Friday.
Exchange Delivery Settlement Price
The value of the FTSE 100 Index is calculated by FTSE International with reference to the outcome of the EDSP intra-day auction at the London Stock Exchange carried out on the Last Trading Day.
Algorithm
Price-time trading algorithm with priority given to the first order at the best price.
Block Trade Minimum
500
Off Exchange Trade Types
Yes
NCR, RL and IPL Levels
"NCR: 30.0;
RL: 30.0;
IPL: 50.0, 3 second recalculation and 5 second hold periods

To access NCR documentation click here
Final Settlement
Cash settlement based on the Exchange Delivery Settlement Price.
Markers
TIC (Trade at Index Close)
MIC Code
IFLL
Clearing Venues
ICEU

Trading Hours

CityTradingPre-Open
New York9:00 PM - 5:00 PM
21:00 - 17:00
8:45 PM
20:45
London1:00 AM - 9:00 PM
01:00 - 21:00
12:45 AM
00:45
Singapore9:00 AM - 5:00 AM
09:00 - 05:00
8:45 AM
08:45

Codes

Clearing Admin Name
FTSE Fut UNRSTD
Physical
Z
Logical
Z
GMI (FC)
ION A.C.N.
Symbol Code
Z