• New Product Summary: Initial Listing of the Adjusted Interest Rate FTSE® 100 Total Return Declared Dividend Index Futures Contract - Effective June 07, 2021

      • To
      • Clearing Firms, Bookkeeping Software Providers, ISVs
      • From
      • CME Clearing
      • #
      • 21-175
      • Notice Date
      • 12 May 2021
      • Effective Date
      • 07 June 2021
    • Initial Listing of the Adjusted Interest Rate FTSE® 100 Total Return Declared Dividend Index Futures Contract.

      For the full text of this advisory, please click here.