EUREX: FCRU WisdomTree WTI Crude Oil Futures prices chart (ETFS Crude Oil ETC)




WisdomTree WTI Crude Oil Futures (EUREX: FCRU) Contract Specifications

Product ID: FCRU
Underlying: ETFS Crude Oil ETC
Currency: USD

Contract size: 100 ETC securities

Settlement: Physical delivery of the respective ETC securities, two exchange days after the last trading day.

Price quotation and minimum price change: The price quotation is in USD per security, with two decimal places. The minimum price change is USD 0.01, equivalent to a value of USD 1.

Contract months: Up to 36 Months: The three nearest successive calendar months and the eleven following quarterly months of the March, June, September and December cycle thereafter.

Last trading day and final settlement day: Last trading day is the final settlement day. Final settlement day is the third Friday of each maturity month if this is an exchange day; otherwise the exchange day immediately preceding that day. Close of trading in the maturing ETC Futures on the last trading day is at 17:30 CET.

Daily settlement price:
(1) The daily settlement price for the current maturity month is derived from the volume-weighted average of the prices of all transactions during the minute before 17:30 CET (reference point), provided that more than five trades transacted within this period.
(2) or the remaining maturity months, the daily settlement price for a contract is determined based on the average bid/ask spread of the combination order book.

Final settlement price: The final settlement price is established by Eurex on the final settlement day, based on the closing auction at London Stock Exchange at 17:30 CET.

Block Trades: Admitted to the Eurex Block Trade Service with a Minimum Block Trade Size of 8,500 contracts

Trading Hours:
New York
London
Singapore