Custom Basket Futures & Forwards
Note 1: The theoretical price is calculated and updated at regular intervals throughout the day.
Note 2: As outlined in the contract specification in the Exchange Rules and Clearing Rules, the settlement value used upon cash settlement (“Fix”) for the Expiration Day is the closing price of the Contract Base, as referenced by the Basket Code, from the Friday prior to the Expiration Day.
Relaterad information
CBF Basket Compositions
To view CBF Basket Compositions
Visit Basket Compositions pageCBF Product Information
For CBF product information, please visit our products page.
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