In connection with the launch of the new Natural Gas Weekly Financial Option contract on trade date September 8, 2014 (see SER-7161, dated August 21, 2014), please note below the corresponding aggregation allocations, spot month/single month/all month accountability levels (NYMEX Rule 560), and reportable levels (NYMEX Rule 561) for the new contract. Effective trade date September 8, 2014, and pending all relevant CFTC regulatory review periods, the terms and conditions for this contract will be inserted into the NYMEX Position Limit, Position Accountability and Reportable Level Table, located in the Interpretations & Special Notices Section of Chapter 5 of the NYMEX Rulebook, as noted below.