Listed below are the relevant delivery dates for June 2008 Chicago
Mercantile Exchange Inc. and Chicago Board of Trade contracts.
CME
|
Products
|
Initial Inventory
|
First
Intent
|
First Delivery
|
Last Trade
|
Last
Intent
|
Last Delivery
|
|
Live Cattle
|
June 2
|
June 9
|
June 17
|
June 30
|
July 3
|
July 10
|
|
Currencies
|
N/A
|
June 16
|
June 18
|
June 16
|
June 16
|
June 18
|
|
Canadian Dollars
|
N/A
|
June 17
|
June 18
|
June 17
|
June 17
|
June 18
|
|
ETF’s
|
N/A
|
June 25
|
June 25
|
June 20
|
June 25
|
June 25
|
CBOT
|
Products
|
Initial Inventory
|
First
Intent
|
First
Notice
|
First Delivery
|
Last Trade
|
Last
Intent
|
Last Delivery
|
|
Ethanol
|
May 27
|
May 29
|
May 30
|
June 2
|
June 4
|
June 5
|
June 6
|
|
Mini Silver/Mini Gold/ 5000oz Silver/100 Gold
|
May 27
|
May 29
|
May 30
|
June 2
|
June 26
|
June 26
|
June 30
|
|
T-Bonds/10yr. Notes
|
May 27
|
May 29
|
May 30
|
June 2
|
June 19
|
June 26
|
June 30
|
|
2 Yr. Notes/5 Yr. Notes
|
May 27
|
May 29
|
May 30
|
June 2
|
June 30
|
July 1
|
July 3
|
CME Group will provide the
Preliminary Storage report for CBOT Electronic products on June 16, 2008 and the Final Storage
report on June 17, 2008. Electronic storage debits and credits will be banked on June 18,
2008. CME Group will provide the Preliminary Storage report for CBOT Metal products on June
26, 2008 and Final Storage report on June 27, 2008. Metal storage debits and credits will be
banked on June 30, 2008. If you have any questions, please contact Clearing House Deliveries
Unit (312) 930-3172.
|