VOLUME 25 – BULLETIN #028
TO:
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ALL CLEARING PARTICIPANTS
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FROM:
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CLIENT SERVICES AND SUPPORT
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DATE:
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May 20, 2005
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SUBJECT:
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Delivery Dates for June 2005 Contracts
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Listed below are the relevant delivery dates for the Eurex US June 2005 contracts. To help promote error-free delivery processing, The Clearing Corporation requires all tender quantities be confirmed before the tender record will be included in delivery processing for assignment. The confirmation is performed using the Tender Confirmation screen in OTISŪ. The origin and quantity in contracts will be displayed for the commodity being confirmed. Firms are reminded of the importance of verifying this information before confirming their tender records.
Also, firms using The Clearing Corporation’s Automated Delivery Invoice and Inventory System are reminded to verify the accuracy of all information, including price calculations on invoices generated through the system, prior to confirming the invoice.
Eurex US
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First Position
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First Notice
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First Delivery
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Last Trade
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Last Notice
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Last Delivery
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U.S. Bonds
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May 27
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May 31
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June 1
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June 21
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June 29
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June 30
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10-Yr Notes
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May 27
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May 31
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June 1
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June 21
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June 29
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June 30
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5-Yr Notes
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May 27
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May 31
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June 1
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June 21
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June 29
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June 30
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3-Yr Notes
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May 27
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May 31
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June 1
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June 21
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June 29
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June 30
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2-Yr Jumbo Notes
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May 27
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May 31
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June 1
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June 30
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July 5
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July 6
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Should you have any questions, please call or e-mail one of the following Client Services and Support Representatives:
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