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B04

$--
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1d
1w
1m

Analysis and statistics

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About

B04.F typically represents a specific maturity month Eurodollar futures contract traded on the Chicago Mercantile Exchange (CME). It reflects the market's expectation of the 3-month USD LIBOR rate (soon to be replaced by SOFR) on the settlement date. Traders use it to hedge interest rate risk, speculate on future interest rate movements, or arbitrage price discrepancies between different Eurodollar futures contracts. The "B" signifies January, "04" represents the year 2004, and ".F" denotes a futures contract. The price of B04.F is quoted as 100 minus the implied interest rate.
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Factors

Company Performance: B04.F's financial health, revenue, profit margins, and growth prospects all significantly influence its stock price. Strong performance typically leads to price increases, while weak results can trigger declines. Industry Trends: The overall performance and outlook of the industry B04.F operates in play a crucial role. Positive industry trends, such as increasing demand or technological advancements, can boost investor confidence and drive up the stock price. Market Sentiment: General investor mood and overall market conditions impact all stocks. Bullish market sentiment tends to lift most stocks, while bearish sentiment can depress prices, regardless of individual company performance. Economic Factors: Macroeconomic factors like interest rates, inflation, GDP growth, and unemployment rates influence investor decisions and company performance, indirectly impacting the B04.F stock price. News and Events: Company-specific news (product launches, partnerships, acquisitions) and broader market events (political events, economic data releases) can trigger immediate price fluctuations in B04.F shares. Competitor Actions: The actions of B04.F's competitors, such as product releases, market share gains, or financial performance, can affect investor perception and consequently, the stock price.

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