The expiration date for the February 2004 options contract for
Platinum (POG04) is Wednesday, January 21, 2004.
General Operational Procedures
All Clearing Members and Qualified Floor Traders that carried an options position
as of the close of business day prior to the expiration day, or engaged in trading
activity on Expiration Day in the expiring options contract will be required
to have a knowledgeable, duly authorized representative present at their normal
work station promptly at 3:15 p.m. until released by the Exchange staff as specified
below. All adjustments and/or corrections, must be accompanied by relevant supporting
documentation prior to being incorporated into expiration processing, in essence
making the expiration processing an extension of the afternoon trade resolution
procedures. All input to the NYMEX Clearing Department will conclude no later
than 30 minutes after floor representatives are released.
Exchange Clearing (299-2110), Floor Trade Processing (299-2068 and 299-2169)
personnel, as well as a representative of the Floor Committee will be available
to assist with the processing of notices of Exercise and Abandonment, position
transfers, trade corrections and other questions or problems you may have.
CLEARING DEPARTMENT OPERATIONAL PROCEDURES
The Option Expiration process is a screen based process for which all information
is provided on the screens on C21 terminals. No Option Expiration Reports will
be provided. The following screens will assist you through the Option Expiration
process:
MEMBER TRADE INQUIRY
Contains real-time top day trade information, trade information for the previous
4 business days and trade=s adjusted for the previous 4 business days by adjustment
date.
OPTION EXPIRATION INQUIRY
Contains position, trade, exercise and do not exercise submission information
for each option series.
SINGLE POSITION MAINTENANCE
Contains a real-time snapshot for each option series from the start of day position
to the projected end of day position.
REVIEW ACCEPT REJECT TRANSFERS
Contains all trade and position transfers "TO" your firm and the status
of each transfer.
REVIEW SUBMITTED TRANSFERS
Contains all trade and position transfer "FROM" your firm and the
status of each transfer.
EXERCISE NOTICE SUBMISSION
Contains your available long position and an input field to enter the number
of long positions you wish to exercise.
DO NOT EXERCISE SUBMISSION
Contains your available long position and an input field to enter the number
of long positions you wish to abandon.
POSITION CHANGE SUBMISSION
PCS may be submitted either by manual input or by electronic transmission. Any
PCS input on a Clearing 21 terminal will be the input processed by the system.
This input may be made at any time prior to 6:45 p.m. Any PCS input via transmission
for that contract series will be disregarded.
ALL POSITIONS ARE DEEMED FINAL
Upon completion of all PCS input, all positions will be deemed final.
EXERCISE/ASSIGNMENT INFORMATION
Will be available to you on the Single Position Maintenance window by contract
series or the Assignment List window which contains all your Assignments on
one window. You will be notified of its availability by C21 E-Mail and by the
NYMEX Information System. This should occur within 1 hour of the last PCS input.
All Clearing Members are required to have an authorized representative(s) at
their C21 workstations in preparation for any communication during the expiration
process.
NYMEX INFORMATION SYSTEM
Clearing Members should call the NYMEX Information System at 212-299-2309, Option
2 for messages advising Members of the event status.
E-MAIL
Clearing Members should read their C21 E-Mail messages immediately to be aware
of event status.
| The standard event NYMEX Information System and/or E-mail
messages and the sequence in which they will be announced are: |
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 |
|
Standard Event Messages |
Approximate Time of Message
Availability |
Usual Event Time |
NYMEX Info System (F) E-mail (E) Both
(B) |
| Announce Out-of-the-Money Exercise and In-the-Money Do Not
Exercise Submissions |
4:45 PM |
4:45 PM |
F |
| Announce Final Input to C21 Cutoff Time |
6:30 PM |
6:45 PM |
E |
| All Positions Are Deemed Final |
7:00 PM |
7:00 PM |
F |
| Announce Exercise/Assignment Information Available on the Single
Position Maintenance Windows |
7:30 PM |
7:30 PM |
B |
| Announce Expected Clearing Process Completion Time |
8:30 PM |
11:00 PM |
F |
| Note: The times appearing in the Usual Event Time
column are based on normal operational conditions and could
vary. | |
NYMEX Expiration Day Processing Overview of
Member Requirements |
 |
 |
|
Time |
Activity |
Event |
Reference Number |
|
4:30 PM |
Exercise Notice Submission |
Input to C21 Cutoff Time |
1 |
| Do Not Exercise Submission |
Input to C21 Cutoff Time |
2 |
|
4:45 PM |
Announce Out-of-the-Money Exercise and In-the-Money Do Not
Exercise Submissions |
NYMEX Information System Notice |
3 |
|
6:30 PM |
Announce Final Input to C21 Cutoff Time |
C21 E-mail |
4 |
|
6:45 PM |
Final Input to C21 Cutoff Time |
Input to C21 Cutoff Time |
5 |
|
7:00 PM |
All Positions are Deemed Final |
NYMEX Information System Notice |
6 |
|
7:30 PM |
Announce Exercise/Assignment Information Available on the Single
Position Maintenance Windows |
NYMEX Information System Notice and C21 E-mail |
7 |
|
8:30 PM |
Announce Expected Clearing Process Completion Time |
NYMEX Information System Notice |
8 | |
|