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U.S. Dollar Index Futures Contract Specs

US Dollar Index Info US Dollar Futures Charts, Quotes, Options
Contract Size & Value: $1,000 times the U.S. Dollar Index
Trading Hours: 8:05 a.m. to 3:00 p.m. (closing period commences at 2:59 pm)
Price Quotation The U.S. Dollar Index Futures is quoted relative to its base value of 100 and is calculated to 2 decimal places.
Delivery Months: March/June/Sept and December
Ticker Symbol: DX
Minimum Fluctuation: .01 of a U.S. Dollar Index point or $10.00 per contract.
Last Trading Day: The 2nd business day prior to the 3rd Wed. of the expiring month. On the LTD, trading ceases at 10:16 a.m.
Delivery Day: 3rd Wed. of the contract month
Daily Limit on Price Movement: None.
Position Limits: None

The U.S. Dollar Index® is computed using a trade-weighted geometric average of six currencies. The six currencies and their trade weights are:

Currency Currency Weight %
Euro 57.6
Japan/yen 13.6
UK/pound 11.9
Canada/dollar 9.1
Sweden/krona 4.2
Switzerland/franc 3.6


These contract specifications are subject to change.

For more information please see CME.com

Other Currency Futures Markets:

Australian Dollar
British Pound
Canadian Dollar
Euro FX
Japanese Yen
Swiss Franc

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