Grade and QualityU.S. Treasury notes with an original term to maturity of not more than five years and three months and a remaining term to maturity of not less than four years and two months as of the first day of the delivery month. The invoice price equals the futures settlement price...
我试图在Oracle SQL Developer中运行以下查询,但它无法识别正确的paren,而且我只需要返回第一行。 SELECT 'PX' FROM CME_NYMEX_FUTURES where SYM='NG' AND CME_NYMEX_FUTURES.CONTRACT_MONTH = '6' and CME_NYMEX_FUTURES.CONTRACT_YEAR = '2013' and OPR_DATE=(select opr_date FROM CME_NYMEX_FUTURES wh...
CME Group, the world’s leading derivatives marketplace, today announced a realignment of its FX futures, options, cash and over-the-counter (OTC) FX businesses into a single unit led by Paul Houston, who has overseen CME Group’s futures and options business for seven years. /jlne.ws/...
PeakFutures NYMEX 0 1,361,520B6 B6L - B6PJM Northern Illinois Hub Real-Time Off-Peak Calendar-Month 5 MW FuturesEnergy Electricity PJMMonthly Off-PeakFutures NYMEX 8,000 1,281,006NG NG - NGHenry Hub Natural Gas FuturesEnergy Natural Gas - Outrights Futures NYMEX 422,455 992,154H4 EJL ...
remaining term to maturity of not more than two years from the last day of the delivery month. The invoice price equals the futures settlement price times a conversion factor, plus accrued interest. The conversion factor is the price of the delivered note ($1 par value) to yield 6 percent...
Grade and QualityU.S. Treasury notes with a remaining term to maturity of at least six and a half years, but not more than 10 years, from the first day of the delivery month. The invoice price equals the futures settlement price times a conversion factor, plus accrued interest. The conve...