We have collected information about Exchange Delivery Settlement Price Eurex for you. Follow the links to find out details on Exchange Delivery Settlement Price Eurex.
https://www.eurexclearing.com/clearing-en/markets-services/eurex-otc-clear/interest-rate-swaps/settlement-prices
OTC IRD Settlement Prices Download The file contains all forward and discounting curves for all IRD currencies in terms of zero rates and discount factors used by Eurex Clearing to price and settle OTC IRD transactions.
https://www.eurexchange.com/exchange-en/products/int/fix/government-bonds/Euro-Bund-Futures-137298
Final settlement price. The final settlement price is established by Eurex on the final settlement day at 12:30 CET based on the volume-weighted average price of all trades during the final minute of trading provided that more than ten trades occurred during this minute; otherwise the volume-weighted average price of the last ten trades of the day, provided that these are not older than 30 minutes.
https://www.eurexchange.com/exchange-en/products/idx/dax/DAX-Futures-139902
Final settlement price. The final settlement price is established by Eurex on the Final settlement day of the contract and is determined by the value of the respective index, based on Xetra® auction prices of the respective index component shares. The intraday auction starts at 13:00 CET.
https://www.eurexchange.com/exchange-en/
The leading global derivatives exchange trading, amongst others things, the most liquid EUR-denominated equity index and fixed income derivatives. Eurex …
https://www.eurexchange.com/asia-01/products/equity_index_derivatives/euro_stoxx/EURO-STOXX-50-Index-Futures-160088
Final Settlement Price. The Final Settlement Price is established by Eurex on the Final Settlement Day of the contract and is based on the average of the respective STOXX® Index values calculated between 11:50 and 12:00 CET. Further details are available in the …
https://www.eurexchange.com/exchange-en/products/did/exd/EURO-STOXX-50-Index-Dividend-Futures-946316
Final settlement price. The final settlement price is established by Eurex on the final settlement day at 12:00 CET based on the final value of the underlying index for the relevant contract period. Determining is the cumulative total of the relevant gross dividends of the constituents of the underlying index.
Searching for Exchange Delivery Settlement Price Eurex?
You can just click the links above. The data is collected for you.