Notice to Members
Notice No. 76
02/18/2005
Updated List of All NYMEX Division Inter-Commodity Spread Credits
Effective Date: Tuesday, February 22, 2005 (close of business)

Contract Months: All Months

Listed below are the additions to the spread credits list:

Spread
Priority
Ratio
% Credit
NV:NR
230
1:1
65
NV:CI
231
1:1
65
TA:NR
232
1:1
65
TA:CI
233
1:1
65


For a complete list of the inter-commodity spread credits for all NYMEX Division products and regular traded products, click here.
Should you have any questions or require any further information, please contact exchangeinfo@nymex.com