| Underlying | US Treasury Notes maturing in six-and-a-half years to ten years from the futures contract expiration date, and bearing semi-annual coupon interest. | 
| Ticker | T10 | 
| Contract size | USD100,000.00. | 
| Quotation | Unit price, the US Dollar amount for each USD100.00 of face value of the underlying asset. | 
| Tick size | 0.001 of a unit price point. | 
| Round-lot | 1 contract. | 
| Last trading day | Last trading day preceding the last business day of the expiration date. | 
| Expiration date | The last trading session of the month prior to the reference month for the contract. | 
| Contract months | All months. | 
| Settlement on expiration | Cash settlement. | 
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