Clearing  House Advisory Notices
To Clearing Member Firms, Back Office Managers
From Clearing House Department
Subject CME/CBOT Delivery Dates for March 2007
Notice Date 2007-02-21
Notice Number 07-49
Effective Date 2007-02-21

Listed below are the relevant delivery dates for March 2007 Chicago Mercantile Exchange Inc. and Chicago Board of Trade contracts.

CME

Products

Initial Inventory

First
Intent

First Delivery

Last Trade

Last
Intent

Last Delivery

Butter

Feb 26

Mar 5

Mar 7

Mar 21

Mar 28

Mar 30

Pork Belly

Feb 26

Mar 5

Mar 6

Mar 27

Mar 29

Mar 30

Lumber/Fertilizers

Mar 1

Mar 16

Mar 16

Mar 15

Mar 30

Mar 30

Ethanol

Feb 28

Mar 1

Mar 1

Feb 28

Mar 30

Mar 30

ETF

N/A

Mar 19

Mar 21

Mar 16

Mar 19

Mar 21

Currencies

Mar 15

Mar 19

Mar 21

Mar 19

Mar 19

Mar 21

Canadian Dollars

Mar 15

Mar 20

Mar 21

Mar 20

Mar 20

Mar 21

Yen, E-mini Yen CD/JY, EC/JY, BP/JY, SF/JY

Mar 15

Mar 19

Mar 22

Mar 19

Mar 19

Mar 22

South African Rand

Mar 15

Mar 19

Mar 22

Mar 19

Mar 19

Mar 22

CBOT

Products

Initial Inventory

First
Intent

First
Notice

First Delivery

Last Trade

Last
Intent

Last Delivery

  Corn/Mini Corn Soybean Meal/Mini Soybean

Feb 27

Feb 27

Feb 28

Mar 1

Mar 14

Mar 15

Mar 16

Wheat/ Mini Wheat/Oats/Soybean Oil

Feb 27

Feb 27

Feb 28

Mar 1

Mar 14

Mar 22

Mar 23

Ethanol

Feb 27

Feb 27

Feb 28

Mar 1

Mar 5

Mar 6

Mar 7

Rice

Feb 27

Feb 27

Feb 28

Mar 1

Mar 21

Mar 29

Mar 30

T-Bonds/10yr. Notes

Feb 27

Feb 27

Feb 28

Mar 1

Mar 21

Mar 28

Mar 30

Mini Gold/100 Gold  Mini Silver/5000oz Silver

Feb 27

Feb 27

Feb 28

Mar 1

Mar 28

Mar 28

Mar 30

2 yr Notes/5 yr. Notes

Feb 27

Feb 27

Feb 28

Mar 1

Mar 30

Apr 2

Apr 4

CME will provide the preliminary storage report for CBOT Electronic products on Thursday, March 15, 2007 and the final storage report on Friday, March 16, 2007.  Storage charges for Electronic products will be banked on Monday, March19, 2006.  For CBOT Metal products preliminary storage will be run on Wednesday, March 28, 2007 and the final storage reports on Thursday, March 29, 2007. Storage debits and credits for Metal products will be banked on Friday, March 30, 2007.  If you have any questions, please contact Clearing House Deliveries Unit (312) 930-3172. 

For the full text of this advisory. . .