Broad coverage for enhanced diversification
Diversify your portfolio exposure with Europe's most liquid futures and options: blue-chip, broad-based, and sector derivatives, along with the newly launched STOXX® U.S. futures.
The blue-chip derivatives cover the most highly traded benchmarks, such as the EUR-denominated EURO STOXX 50® Index Futures and Options. The Market-on-Close Futures on EURO STOXX 50® Index Futures provide market participants with the listed solution for basis trading.
The broad-based STOXX® Europe 600 index derivatives include the “GRANOLAS” (GlaxoSmithKline, Roche, ASML, Nestlé, Novartis, Novo Nordisk, L'Oreal, LVMH, AstraZeneca, SAP, and Sanofi) stocks, providing investors with greater European diversification as they comprise firms from the Nordic region, the U.K. and Switzerland.
The STOXX® U.S. index futures reflect the performance of prominent U.S. benchmark indexes. Investors can now use block trade roll services to seamlessly roll positions, minimizing market risk for their U.S. positions.
Gain exposure or hedge against specific market sectors like banks or the semiconductor industry. The Total Return Futures (TRF), Thematic, ESG, and smart beta investing factor index derivatives also create a breath of opportunity for all investors.