In connection with the listing of New York Mercantile Exchange, Inc.'s ("NYMEX" or "Exchange") two (2) European refined product futures contracts on trade date Monday, June 5, 2017, please note below and in Appendix B of NYMEX Submission No. 17-153 the corresponding spot month position limits (Rule 559), aggregation allocations (Rule 559.D.), single month and all month accountability levels (Rule 560) and reportable levels (Rule 561) for the new contracts. The new, financially settled, contracts shall have diminishing balances.
For the full text of this notice, please see link attached below.