• Cabinet Price Settlements for CBOT Interest-Rate Options Start February 29, 2016

      • To
      • Clearing Member Firms
      • From
      • CME Clearing
      • #
      • Chadv16-069
      • Notice Date
      • 10 February 2016
      • Effective Date
      • 29 February 2016
    • Beginning on Monday, February 29 and pending all relevant CFTC regulatory review periods, new procedures will take effect for determining daily and final settlement prices for Chicago Board of Trade options on Treasury and Fed Funds futures. 

      For the full text of this advisory, click here.