Effective Date: Friday, June 10, 2005 (close of business)
Contract Months: All Months
All Months
__________________________________________________________________________
Listed below are the additions to the spread credits list:
Spread |
Priority |
Ratio |
% Credit |
NL:NE |
127 |
1:01 |
90 |
NR:NA |
167 |
1:01 |
85 |
PB:NJ |
168 |
1:01 |
85 |
PB:NR |
169 |
1:01 |
85 |
NA:CI |
186 |
1:01 |
80 |
NJ:NA |
187 |
1:01 |
80 |
NK:NJ |
188 |
1:01 |
80 |
NW:CI |
189 |
1:01 |
80 |
NW:NR |
190 |
1:01 |
80 |
NW:NS |
191 |
1:01 |
80 |
PC:NW |
192 |
1:01 |
80 |
SN:SH |
193 |
1:01 |
80 |
PB:NW |
202 |
1:01 |
75 |
PD:NE |
203 |
1:01 |
75 |
PD:NL |
204 |
1:01 |
75 |
PE:NE |
205 |
1:01 |
75 |
PE:NL |
206 |
1:01 |
75 |
PH:CI |
207 |
1:01 |
75 |
PH:NJ |
208 |
1:01 |
75 |
PH:NR |
209 |
1:01 |
75 |
PH:NS |
210 |
1:01 |
75 |
NW:NA |
225 |
1:01 |
70 |
NW:NJ |
226 |
1:01 |
70 |
PM:CI |
227 |
1:01 |
70 |
PM:PC |
228 |
1:01 |
70 |
NB:CI |
277 |
1:01 |
65 |
NW:NK |
278 |
1:01 |
65 |
PM:NR |
279 |
1:01 |
65 |
PM:PB |
280 |
1:01 |
65 |
NH:NF |
405 |
1:01 |
60 |
PM:NJ |
406 |
1:01 |
60 |
PM:NK |
407 |
1:01 |
60 |
PM:NA |
417 |
1:01 |
55 |
PM:NB |
418 |
1:01 |
55 |
TX:NH |
419 |
1:01 |
55 |
NH:NB |
429 |
1:01 |
45 |
NW:NB |
430 |
1:01 |
45 |
PM:NH |
431 |
1:01 |
45 |
NB:NA |
449 |
1:01 |
40 |
TX:PC |
450 |
1:01 |
40 |
NB:CZ |
453 |
1:01 |
35 |
PM:NE |
456 |
1:01 |
30 |
PM:PD |
457 |
1:01 |
30 |
TX:NW |
458 |
1:01 |
30 |
TX:PM |
459 |
1:01 |
30 |
NS:NG |
460 |
1:01 |
30 |
For a complete list of the inter-commodity spread credits for all NYMEX Division products and regular traded products click here. |