유로달러금리란?

유로달러는 미국 외 지역의 은행에 예치된 미국달러 자금입니다.
전 세계 투자자들의 벤치마크가 되고 있는 유로달러 선물은 미국달러의 단기 금리 변동을 헤지하는 데 소중한 비용 효율적인 도구를 제공합니다.

Check Point
  • 유로달러선물은 지속적이며 매우 적은 매수/매도 스프레드와 탁월한 유동성을 자랑하고, 헤지거래 및 차익거래나 다른 계약과의 스프레드 거래 및 유휴 자금 활용 전략을 포함한 다양한 거래기회를 제공합니다.

상품스펙

유로달러금리 상품스펙

거래소

CME (Chicago Mercantile Exchange) 

계약월물

최근연속 4개월물 및 직후 분기 월물(3,6,9,12월) 중 최근 40개 월물

계약단위

USD 1,000,000

통화

USD

상품기호

GE

최소가격변동폭 (틱)

최근월물: $6.25 [계약단위 x 0.0025% x (90/360)]

기타월물: $12.5 [계약단위 x 0.0050% x (90/360)]

결제방식

현금정산

일일가격제한폭

없음

최초통보일

없음

최종거래일

계약월 3번째 수요일 이전 2영업일

거래시간

월-금 : 오전 08:00 ~ 익일 오전 07:00

 (최종거래일 : 오후 20:00 종료)

썸머타임적용시

썸머타임 기간에는 거래시간이 한시간씩 앞당겨짐

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증거금

유로달러금리 증거금

위탁증거금

198

유지증거금

178

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손익계산

유로달러금리 손익계산

매수

98.4750 <1계약>

매도

98.5000 <1계약>

98.5000-98.4750  = 0.0025(0.025/0.005)(5틱)

5 틱 X 1계약 X $12.5

= $62.50이익


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일별등락률

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