Product Terms and Conditions Rules - Designated Contract Markets : 17943
Organization: NYMEX
Description: Rectifies a clerical error regarding the final settlement provision so that the cash settlement for a peak day that is not a business day is calculated on the following day.
Products Affected: PJM, No. Ill Hub, & AEP-Dayton Hub Electricity
Official Receipt Date: 2009-07-07 00:00:00
Status: Certified
Date: 2009-07-07 00:00:00
Remarks:
Associated Documents |
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NYMEX Rule Self Certification on 070709: rul070709nymex001 |