US Dollar Index Futures Charts
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Intraday Commodity Futures Price Chart: June 2010
US Dollar Index
TFC Commodity Charts
- Australian Dollar May Shun Fundamentals Amid Headline-Driven Market May 25th, 2012, 19:00 - DFX (Length: 2398)
- Gold Eyes 1600 Ahead of Major US Event Risk - Downtrend Still Intact May 25th, 2012, 19:00 - DFX (Length: 3228)
- Dollar hits highest level since 2010 May 25th, 2012, 17:12 - UPI (Length: 710)
- DJ Brazil Real Strengthens To BRL1.9972 On Central Bank Action May 25th, 2012, 15:58 - FWS (Length: 3304)
- DJ CFTC Commitments: ICE US Dlr Index Futures/Options - May 25 May 25th, 2012, 15:43 - FWN (Length: 2278)
- DJ CFTC Commitments: ICE US Dlr Index Futures - May 25 May 25th, 2012, 15:40 - FWN (Length: 2287)
- DJ Emerging-Market Currencies, Debt Flat, But Investors Are Nervous May 25th, 2012, 15:11 - FWN (Length: 2113)
- USD To Stay Afloat Amid Holiday Trade, Look To Sell AUD Correction May 25th, 2012, 15:00 - DFX (Length: 3794)
- DJ US CATTLE: Wholesale Prices, Outside Markets Lift Futures May 25th, 2012, 11:47 - FWN (Length: 5020)
- DJ Brazilian Real Strengthens Past BRL2 Per Dollar On Central Bank Action May 25th, 2012, 11:22 - FWS (Length: 3119)
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Contract Specifications:DX,ICE [NYBOT] | Trading Unit: | $1,000 times the U.S. Dollar Index | | Tick Size: | .01 of a U.S. Dollar Index point = $10.00/contract usdx | | Quoted Units: | index points, expressed to three decimals | | Initial Margin: | $1,729 Maint Margin: $1,300 | | Contract Months: | Mar, Jun, Sep, Dec | | First Notice Day: | Not applicable (cash settled contract) | | Last Trading Day: | 3rd Wed. of the expiring contract month. | | Trading Hours: | Dublin session: 02:00 to 08:05 ET; New York: 08:05 to 15:00 ET | | Daily Limit: | none | |
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