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Indices Futures prices as of January 7th, -

Summary Product Specifications Chart for Cboe Bitcoin (USD) Futures

The iPath ® S&P ® VIX Short-Term Futures TM ETNs (the

The basic objective of NEPSE is to impart free marketability and liquidity to the government and corporate securities by facilitating transactions in its trading floor through member, market intermediaries, such as broker, market makers etc. It is regulated by the Securities Board of Nepal.

The history of securities market began with the flotation of shares by Biratnagar Jute Mills Ltd. Securities Exchange Center was established with an objective of facilitating and promoting the growth of capital markets. Before conversion into stock exchange it was the only capital markets institution undertaking the job of brokering, underwriting, managing public issue, market making for government bonds and other financial services.

Nepal Government, under a program initiated to reform capital markets converted Securities Exchange Center into Nepal Stock Exchange in Members are permitted to act as intermediaries in buying and selling of government bonds and listed corporate securities. Precious metals refer to gold, silver, platinum and palladium.

Private equity consists of equity securities in operating companies that are not publicly traded on a stock exchange. Real estate refers to land plus anything permanently fixed to it, including buildings, sheds and other items attached to the structure. Short selling or "shorting" involves selling an asset before it's bought. Typically, an investor borrows shares, immediately sells them, and later buys them back to return to the lender.

Volatility is the relative rate at which the price of a security or benchmark moves up and down. Volatility is also an asset class that can be traded in the futures markets. Tradable volatility is based on implied volatility , which is a measure of what the market expects the volatility of a security's price to be in the future. Geared investing refers to leveraged or inverse investing.

CSM rated 5 stars for the 3-year period ending March 31, among 99 U. The information contained herein: Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. The fund's performance and rating are calculated based on net asset value NAV , not market price.

An ETF's risk-adjusted return includes a brokerage commission estimate. This estimate is intended to reflect what an average investor would pay when buying or selling an ETF. This estimate is subject to change, and the actual commission an investor pays may be higher or lower. Morningstar compares each ETF's risk-adjusted return to the open-end mutual fund rating breakpoints for that category. The overall rating for an ETF is based on a weighted average of the time-period ratings e.

The determination of an ETF's rating does not affect the retail open-end mutual fund data published by Morningstar. Past performance is no guarantee of future results.

SEC Day Yield is a standard yield calculation developed by the Securities and Exchange Commission that allows investors to more fairly compare funds. The figure is calculated by dividing the net investment income less expenses by the current maximum offering price. Current yield is equal to a bond's annual interest payment divided by its current market price. The current yield only refers to the yield of the bond at the current moment, not the total return over the life of the bond.

Dividend yield shows how much a company pays out in dividends each year relative to its share price. In the absence of any capital gains, the dividend yield is the return on investment for a stock. Effective duration is a measure of a fund's sensitivity to interest rate changes, reflecting the likely change in bond prices given a small change in yields. Higher duration generally means greater sensitivity. Effective duration for this fund is calculated including both the long bond positions and the short Treasury futures positions.

Distribution Yield represents the annualized yield based on the last income distribution. Trailing price to earnings ratio measures market value of a fund or index relative to the collective earnings of its component stocks for the most recent month period. Price to book ratio measures market value of a fund or index relative to the collective book values of its component stocks. Weighted average market cap is the average market value of a fund or index, weighted for the market capitalization price times shares outstanding of each component.

In such a weighting scheme, larger market cap companies carry greater weight than smaller market cap companies. Sometimes distributions are re-characterized for tax purposes after they've been declared.

An ROC is a distribution to investors that returns some or all of their capital investment, thus reducing the value of their investment. Exchange of Contract for Related Position Transactions: For any ECRP transaction in which the related position is bitcoin, the related position portion of the transaction must be consummated through the facilities of Gemini.

Block Trades are permitted in XBT futures. The minimum Block Trade quantity for the XBT futures contract is 50 contracts if there is only one leg involved in the trade.

If the Block Trade is executed as a transaction with legs in multiple contract expirations, each leg must meet the minimum Block Trade quantity for the XBT futures contract. In accordance with Policy and Procedure III, the Trade Desk will determine what the true market price for the relevant Contract was immediately before the potential error trade occurred. In making that determination, the Trade Desk may consider all relevant factors, including the last trade price for such Contract, a better bid or offer price, a more recent price in a different contract expiration and the prices of related contracts trading on the Exchange or other markets.

Trading hours for expiring XBT futures contracts end at 2: Chicago time on the final settlement date. The final settlement date for "weekly" XBT futures is two business days prior to the Friday of the week denoted by the ticker symbol.

The final settlement date for "serial" and "quarterly" XBT futures is two business days prior to the third Friday of the month denoted by the ticker symbol. These final settlement dates apply regardless of whether one of the above-referenced Fridays is a CFE holiday. If the final settlement date is a CFE holiday, the final settlement date shall be the business day immediately preceding the holiday. The final settlement value of an expiring XBT futures contract shall be the official auction price for bitcoin in U.