• NYMEX NGL Outrights/intraproduct Spread Charges and Natural Gas Basis/Index/Swing Swap Interproduct Spread Credits - Effective Friday, November 5, 2010

      • To
      • Clearing Member Firms; Chief Financial Officers; Back Office Managers; Margin Managers
      • From
      • CME Clearing
      • #
      • 10-456
      • Notice Date
      • 04 November 2010
      • Effective Date
      • 05 November 2010
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      As per the normal review of market volatility to ensure adequate collateral coverage, the Chicago Mercantile

      Exchange Inc., Clearing House Risk Management staff approved the performance bond requirements for the

      following products listed below.

      The rates will be effective after the close of business on


      Friday, November 5, 2010.


      Current rates as of:


      Thursday, November 4, 2010.