- Trading Screen Product Name
- NGX AEPC Futures
- Trading Screen Hub Name
- AEPC V23
- Contract Symbol
AEG
- Settlement Method
Physical Settlement
- Contract Size
1,000 EPCs
- Currency
CAD
- Minimum Price Fluctuation
The price quotation convention shall be One cent ($0.01) per EPC;
minimum price fluctuation may vary by trade type.
- Listing Cycle
1. The Exchange may list monthly contracts in the Standard Cycle or
any other calendar month it determines for the current year and
forward for up to ten years.
2. The Standard Cycle is January, February, March, April, May,
June, July, August, September, October, November and December.
- Last Trading Day
The last business day of the Contract Expiry Month
- Deliverable Instruments
Only Emission Performance Credits (defined in the TIER Regulation)
with a usable life expiring on the same date as the usable life of
the specified vintage or longer of the contract are acceptable for
delivery.
- Daily Settlement
Daily settlement will be determined by Intercontinental Exchange,
Inc. using price data from a number of sources including spot,
forward, and derivative markets for both physical and financial
products.
- Final Settlement
Final settlement will be determined by the actual Fixed Price
entered into at time of transaction.
- Settlement
1:45pm - 2:00pm MT
- Final Payment Date
20th calendar day of the Settlement Month
- Registry
Alberta Emission Performance Credit (EPC) Registry
- Settlement Month
The month following the Contract Expiry Month
- Seller Delivery Deadline
5th business day in the Settlement Month
- Buyer Delivery Deadline
10th business day in the Settlement Month
- MIC Code
- NGXC
- Clearing Venues
- NGXC