WTI Swap – SB
The price of West Texas Intermediate crude oil, the primary North American crude benchmark. It provides a key tool for hedging exposure to US crude oil prices and is widely used by producers, refiners, and financial traders throughout the Americas.
Contract Details
Contract for Difference
Spread Bet
A CFD is a financial derivative that allows traders to speculate on the price movement of an asset without owning it. The trader enters into a contract with a broker, agreeing to exchange the difference in the asset's price from the time the contract is opened to when it is closed.
Name & Trade Code
| Contract Name | |
| MT5 Trader Code | |
| Flux Terminal Code | |
| Contract Classification | |
| Geographical Region |
Contract Specification
| Sector | |
| Product Group | |
| Tenor Period | |
| Maximum Forward Tenor | |
| Contract Size | |
| Contract Unit | |
| Trading Price Quote | |
| Price Digits | |
| Currency | |
| Tick Value | |
| Tick Size | |
| Minimum Volume | |
| Volume Steps [Lots] | |
| Settlement | |
| Margins | Download a summary or detailed document with tiers. |
Expiry Trading Overview
| Contract Expiry Date | |
| Last Trading Day (for new open positions) | |
| Last Trading Day (for closing position in that Tenor Period) | |
| Trading Hours | |
| Quoting Hours |
Tenor Period Settlement Valuation Process
| Daily Settlement Value | |
| Final Settlement Price |
A spread bet is a form of wagering on the price movement of an asset, where the trader bets on whether the price will rise or fall. The profit or loss is determined by the difference between the opening and closing prices.
Name & Trade Code
| Contract Name | |
| MT5 Trader Code | |
| Flux Terminal Code | |
| Contract Classification | |
| Geographical Region |
Contract Specification
| Sector | |
| Product Group | |
| Tenor Period | |
| Maximum Forward Tenor | |
| Contract Size | |
| Contract Unit | |
| Trading Price Quote | |
| Price Digits | |
| Currency | |
| Tick Value | |
| Tick Size | |
| Minimum Volume | |
| Volume Steps [Lots] | |
| Settlement | |
| Margins | Download a summary or detailed document with tiers. |
Expiry Trading Overview
| Contract Expiry Date | |
| Last Trading Day (for new open positions) | |
| Last Trading Day (for closing position in that Tenor Period) | |
| Trading Hours | |
| Quoting Hours |
Tenor Period Settlement Valuation Process
| Daily Settlement Value | |
| Final Settlement Price |