DATE |
BUSINESS DAY |
EVENT |
| |
|
|
| 3-Feb |
1 |
Preliminary ATOM reports and Give up |
| |
|
Listings. |
| |
|
|
| 5-Feb |
3 |
Last day for adjustments. |
| |
|
|
| 6-Feb |
4 |
Final ATOM reports. |
| |
|
|
| 7-Feb |
5 |
CMs debited for brokerage. |
| |
|
|
| 11-Feb |
7 |
NYMEX gets confirmation of available
Funds in escrow account and initiates |
| |
|
Transfer to Brokers. |
| |
|
|
| 12-Feb |
8 |
Funds are deposited to broker |
| |
|
Accounts. |
| |
|
|
| 13-Feb |
9 |
Brokers who check their morning |
| |
|
Balances will see the ATOM deposits |
| |
|
Reflected in their bank balances. |