Due to technical disturbances on Nasdaq Commodities markets, Friday's spot prices for a number of series were incorrectly used for Saturday's and Sunday's business dates (for more information, please see circular no 64/15).
The difference in spot reference settlement has been booked for value today and updated Contracts In Delivery-reports are available in Clearing Workstation for business date 2015-08-23.
For further information concerning this exchange notice please contact Clearing Operations, telephone +46 8 405 68 80, or clearing@nasdaq.com