In connection with the listing of the Chicago Mercantile Exchange Inc.’s (“CME”) EUR/USD Cross Currency Basis Futures (the “Contract”) on trade date Monday, February 3, 2025 (see SER-9474R published on December 9, 2024), please note below and in Appendix B of CME Submission No. 24-575 the accountability levels (Rule 560), aggregation allocation, and reportable level (Rule 561) for the contract. For the full text of this notice, please see link attached below.