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CFDs are leveraged products. CFD trading may not be suitable for everyone and can result in losses that exceed your deposits, so please consider our Risk Disclosure Notice and ensure that you fully understand the risks involved. CFDs are leveraged products. CFD trading may not be suitable for everyone and can result in losses that exceed your deposits, so please consider our Risk Disclosure Notice and ensure that you fully understand the risks involved.

10-Year T-Note Decimalised

(US/)

10-Year T-Note Decimalised chart This market's chart. This is a visual representation of the price action in the market, over a certain period of time. You can use this to help gauge a market’s performance.

10753.5
10757.5
-32.8pts (-0.3%)

High: 10813.7

Low: 10739.4

75% of client accounts are long on this market

The percentage of IG client accounts with positions in this market that are currently long or short. Calculated to the nearest 1%.

  • Costs and details
  • Related markets

Minimum size 0.25

Contract size USD 2

One Pip means 1 cent

Value of one Pip USD 2 (CHF 1.82)

Margin 0.5%

Minimum stop distance 6

Minimum guaranteed stop distance 50

Your aggregate position in this market will be margined in the following tiers:

Tier Position size Margin
1 0 - 262.5 Contracts - USD 0.5%
2 262.5 - 525 Contracts - USD 1%
3 525 - 1050 Contracts - USD 1.5%
4 1050 + Contracts - USD 2%

If your aggregate position is larger than Tier 1, your margin requirement will not be reduced by non-guaranteed stops.

Please note: we have tried to ensure that the information here is as accurate as possible, but it is intended for guidance only and any errors will not be binding on us.

Expiry date 29/05/24

Last dealing date and time 29/05/24 21:00


Settlement


Settles based on the official closing price of the US 10 Year T-Note Futures contract as reported by CBOT on the last dealing day +/- IG dealing spread.

Last rollover time 29/05/24 20:45


Rollover info


Usually, initial position closed at official closing level of day before last dealing day +/- closing spread; new position in next contract opened at official closing level of the new contract from same day, +/- opening spread.

Why IG Bank?

Wide selection of bonds and rates

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Other positions taken by clients trading this market

Use this to see how IG client accounts with positions on this market are trading other markets. Data is calculated to the nearest 1%, and updated automatically every 15 minutes.

This is calculated to the nearest 1%.

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1 Based on revenue (published financial statements, 2022)