The Cross-Project-Calendar is your go-to place to get an overview of the main cross project actions, which need to be performed by Eurex Trading Members and/or by ISVs in order to ensure a smooth readiness for all upcoming initiatives. Get quickly and easily a summary of all upcoming:
Know what’s coming next or is on the horizon and might have an impact on you!
Date | Project | Action Item |
01 Dec | Amendment to the Product Specific Supplement (PSS) „Fixed Income 17 – Three-Month Euribor Futures and Three-Month Euro STR Futures“ | |
02 Dec | Additional strike price intervals five trading days before expiration | |
02 Dec | Activation is announced to take place | |
02 Dec | Additional strike price intervals five trading days before expiration | |
03 Dec | Euro Fixed Income Futures: Definition of reporting and position limits for December 2024 | End of valid reporting limits after close of trading |
04 Dec | Euro Fixed Income Futures: Definition of reporting and position limits for December 2024 | Position limits valid from 4 December 2024, start of trading |
06 Dec | Euro Fixed Income Futures: Definition of reporting and position limits for December 2024 | Expiration of December contracts |
19 Dec | Last trade date | |
20 Dec | Deadline for the re-registration of the existing ISVs | |
23 Dec |
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30 Dec | Last exchange trading day at Eurex Exchange and earlier closing than usual in specific products | |
31 Dec | End of waiver of all P-Account transaction fees in FEU3, FST3, OEU3 and OEM 1-4 until 31 December 2024 | |
31 Dec | End of fee reductions | |
31 Dec | Extension of Asian Broker scheme | |
31 Dec | End of waiver of all M-Account transaction fees in FEU3, FST3, OEU3 and OEM 1-4 until 31 December 2024 | |
31 Dec | End of temporary fee waiver on P- and M-Accounts for Daily Single Stock Futures as part of Option Volatility Strategies | |
31 Dec | Equity Index Derivatives: Introduction of the Liquidity Provider Scheme for STOXX® US Index Futures | End of validity product specific supplement |
01 Jan | Amendment of the fees for 10 GB/s Co-Location 2.0 connections "Monthly fees for the technical connection to T7 (connectivity fees)” and description of Co-Location rooms | |
01 Jan | Extension start | |
01 Jan | Extension of fee reductions and Asian Broker scheme | |
01 Jan | Long-term Revenue Sharing Program for Liquidity Providers | |
01 Jan | Amendment of the Liquidity Provider Programs for “Three-Month EURIBOR Futures and Three-Month Euro STR Futures” and temporary transaction fee waivers, and extension of fee waivers for services under the Connection Agreement of Eurex Frankfurt AG | |
06 Jan | Tradability of EURO STOXX 50® Index Dividend Options and EURO STOXX Banks® Index Dividend Options for Participants in the U.S. in production | |
06 Jan | Introduction of Single Stock Futures, one Single Stock Dividend Future and one Equity Option | |
07 Jan | Details regarding Index level publications, Settlement, and Booking out of position | |
10 Jan | Introduction of additional 10 GB order entry switches. Guarantee of installation of new connectivity in time for go-live on 22 February if ordered via portal by 10 January | |
15 Jan | Simulation start | |
17 Jan | Application of regulation | |
01 Feb | Amendment to the Product Specific Supplement (PSS) „Fixed Income 18 – STIR Options“ | |
14 Feb | Deadline for ISVs to completing their software registration | |
14 Feb | All Trading Participants and Clearing Members are required to enhance their existing sessions and accounts with the vendor & software information starting from 14 February 2025, in the Member Section | |
22 Feb | Eurex connectivity: Introduction of new order entry switches | Availability of new switches |
14 Mar | Decommissioning of support for TLS 1.2 in simulation environment | |
24 Mar | Start of production | |
31 Mar | Simulation start | |
01 Apr | Order flagging requirements: Short Code solution – Period for historical corrections starting on 1 April 2025 | |
18 Apr | ISV Registration & Software Management | Starting from 18 April 2025, the enhancement of the FIX LF or ETI sessions or FIXML / FpML accounts with the addition of vendor and software information will be mandatory |
28 Apr | Decommissioning of support for TLS 1.2 in production environment | |
19 May | Production start | |
13 Jun | Deadline for completing the software selection and enhancement of the existing sessions and accounts with the vendor & software information in the Member Section | |
30 Jun | Extension of fee reductions and Asian Broker scheme |
In case of any changes, you will be informed about all updates via newsflash or circular. Not subscribed to our newsflashes or circulars yet? To subscribe to the Eurex newsflashes and circulars, please visit our subscription website.
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Market Status ⓘ
XEUR
The market status window is an indication regarding the current technical availability of the trading system. It indicates whether news board messages regarding current technical issues of the trading system have been published or will be published shortly.
Please find further information about incident handling in the Emergency Playbook published on the Eurex webpage under Support --> Emergencies and safeguards. Detailed information about incident communication, market re-opening procedures and best practices for order and trade reconciliation can be found in the chapters 4.2, 4.3 and 4.5, respectively. Concrete information for the respective incident will be published during the incident via newsboard message.
We strongly recommend not to take any decisions based on the indications in the market status window but to always check the production news board for comprehensive information on an incident.
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