ICE Futures U.S.

Crude Diff - ICE SYN 1B Index Future

Crude Diff - ICE SYN 1B Index Future6753433

Description

A monthly cash settled future based on the ICE SYN (Light Sweet Synthetic Crude) Daily Weighted Average Price Index (ICE SYN 1b). The ICE SYN 1b Index is expressed as a differential to the NYMEX WTI 1st Line Future (Calendar Month Average)

Market Specifications

Trading Screen Product Name
Crude Futures
Trading Screen Hub Name
ICE SYN 1b Index
Commodity Code
SYN
Contract Size
1,000 barrels
Unit of Trading
Any multiple of 1,000 barrels
Currency
US Dollars and cents
Trading Price Quotation
One cent ($0.01) per barrel
Settlement Price Quotation
One hundredth of one cent ($0.0001) per barrel
Minimum Price Fluctuation
One hundredth of one cent ($0.0001) per barrel
Last Trading Day
Trading shall cease one Canadian business day prior to the Notice of Shipments (NOS) date on the Enbridge Pipeline. The NOS date occurs on or about the 20th calendar day of the month, subject to confirmation by Enbridge Pipeline. The official schedule for the NOS dates will be made publicly available by Enbridge Pipeline prior to the start of each year.
Floating Price
In respect of daily settlement, the Floating Price will be the simple average of the ICE SYN 1b Index for each trading day during the same period, as published by ICE-NGX.

During the pricing period the last published ICE SYN 1b Index price will be projected to the end of the pricing period.

For forward months, the Floating Price will be determined by ICE using price data from a number of sources including spot, forward and derivative markets for both physical and financial products
Final Settlement
A price in USD and cents per barrel based on the ICE SYN 1b Index, as published by ICE-NGX. The index pricing period begins on the first Canadian business day of the calendar month prior to the contract month and ends on the Canadian business day prior to the NOS date (as published by Enbridge) in the same calendar month
Contract Series
Up to 60 consecutive months
Final Payment Date
Two Clearing House Business Days following the Last Trading Day
Business Days
Publication days for ICE-NGX Crude Oil Markets
MIC Code
IFED
Clearing Venues
ICEU

Trading Hours

CityTradingPre-Open
New York7:50 PM - 6:00 PM*
19:50 - 18:00
7:40 PM
19:40
London12:50 AM - 11:00 PM*
00:50 - 23:00
12:40 AM
00:40
Singapore8:50 AM - 7:00 AM*
08:50 - 07:00
8:40 AM
08:40

*Next Day

Sunday Pre-Open 5:40 PM ET; Closed on Saturday

Codes

Clearing Admin Name
Crude Diffs
Physical
SYN
Logical
SYN
GMI(FC)
R&N A.C.N.