On 1 April 2016, CME Group launched the "all-in" fee schedules for CME, CBOT and NYMEX/COMEX Exchanges. We have combined clearing and trading fees into a single Exchange fee, eliminating the need for math to determine what you pay per trade. Additionally, where possible, we have removed footnotes and incorporated rate differentials into the rate tables. Note that no fee was increased or decreased as part of this implementation.
Exchange fees for clearing and trading CME Group products vary according to whether the customer has membership or incentive program participant status for the respective CME, CBOT or NYMEX/COMEX Exchange. Fees also vary by product as well as volume traded, venue and/or transaction type.
Effective January 1, 2017, CME Group had a series of transaction fee schedule changes: