Notice to Members
Notice No. 331
09/08/2004
Updated List of all NYMEX Division Inter-Commodity Spread Credits
Effective Date: Thursday, September 9, 2004 (close of business)
   
Contract Months: All Months

Listed below are the additions to the spread credits list:
Spread
Priority
Ratio
% Credit
CI:NR
48
1:01
90
CI:NS
49
1:01
90
CI:PB
92
1:01
80
PC:NR
116
1:01
70
CI:PC
117
1:01
70
PM:NW
138
1:01
65
NL:PH
255
1:01
50
PH:NW
256
1:01
50
CI:NJ
257
1:01
50
NL:PF
276
1:01
40
PF:PE
277
1:01
40
PH:PF
278
1:01
35
PF:PM
279
1:01
35
PE:PM
282
1:01
30
NL:PM
283
1:01
25
PH:PM
284
1:01
25


Listed below are the revisions to the spread credits list:
Spread
Priority
Ratio
% Credit
NS:PC
93
1:01
80
NS:PB
94
1:01
80
NW:PM
137
1:01
65
PC:PB
139
1:01
65


Listed here is a complete list of the inter-commodity spread credits for all NYMEX Division products and regular traded products.

This notice supersedes all previous notices regarding NYMEX Division inter-commodity spread credits.
Should you have any questions or require any further information, please contact exchangeinfo@nymex.com