Notice to Members
Notice No. 246
06/10/2005
Updated List Of All Nymex Division Inter-Commodity Spread Credits
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.
Should you have any questions or require any further information, please contact exchangeinfo@nymex.com