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ICE Futures Europe

MSCI World Real Estate NTR Index Future

Description

The MSCI World Real Estate Net Total Return Index Futures are cash settled upon expiration. The underlying index is the MSCI World Real Estate Net Total Return Index denominated in USD https://www.msci.com/documents/10199/0dc1184b-e692-418a-a181-5a9b8fcfa2a3

Market Specifications

Trading Screen Product Name
MSCI World Real Estate NTR (USD) - Stnd Index Future
Trading Screen Hub Name
ICEU
Contract Symbol
MWS
Contract Size
Contract valued at USD 100 per index point
Contract Series
Five months in the March, June, September and December quarterly cycle.
Price Quotation
Index points
Tick Size
0.001 (USD 0.1)
Last Trading Day
Third Friday of the Delivery Month. Trading in the expiring contract ceases at 16:30 (London time) on the Last Trading Day.
Final Settlement
Cash settlement based on the Exchange Delivery Settlement Price on the Second Business day after the Last Trading Day
Position Limit
N/A
Off Exchange Trade Types
1
MIC Code
IFLL
Clearing Venues
ICEU

Trading Hours

CityTradingPre-Open
New York3:00 AM - 12:30 PM
03:00 - 12:30
1:03 AM
01:03
London8:00 AM - 5:30 PM
08:00 - 17:30
6:03 AM
06:03
Singapore3:00 PM - 12:30 AM
15:00 - 00:30
1:03 PM
13:03

Codes

Clearing Admin Name
MSCI Fut RSTD
Physical
MWS
Logical
MWS
GMI (FC)
AC
ION A.C.N.
Symbol Code
MWS