New  Product Advisory Notices
To All Firm Personnel, Service Bureau Representatives and Independent Software Vendors
From Clearing House Department
Subject X-Funds Bi-Weekly Listings - Effective Monday, October 18, 2004
Notice Date 2004-10-15
Notice Number NP 04-28
Effective Date  

Please be advised that X-fund 1 and X-fund 2 will begin trading on October 18, 2004, with new components and performance bond requirements. 

For details, go to  http://www.cme.com/wrappedpages/misc/xfunds.html.  If you haven't already done so, please bookmark this link.  This web page will be updated every two weeks, as X-funds terminate and are replaced with new components.  The Prior Final Settlement Price will be added after the close of the existing X-funds tomorrow, Friday, October 15, 2004.

If you have any questions regarding this notice, please contact Laura Sutor at 312.648.5480, email  lsutor@cme.com, or Lisa Amato at 312.338.2654, email  lamato@cme.com.
Thank you.

For the Adobe Acrobat version of this advisory...