ICE Futures U.S. will observe regular trading hours for all products on Columbus Day (Monday, October 10, 2016) and on Veterans Day (Friday, November 11, 2016). On each of these two days, the daily settlement window for U.S.
Dollar Index and Currency Pair contracts will be from 12:59 to 1:00 pm NY time, and TAS trading in these products will end at 1:00 pm.
Regular trading hours for all Exchange contracts can be found at:
https://www.theice.com/publicdocs/futures_us/ICE_Futures_US_Regular_Trading_Hours.pdf
Daily settlement windows for all Exchange contracts can be found at:
https://www.theice.com/publicdocs/futures_us/Settlement_Window.pdf
Please note that due to the fact that both Columbus Day and Veterans Day are bank holidays in New York, Columbus Day shall not be considered a Business Day for purposes of determining Notice and Delivery Days for the October 2016 Cotton No. 2® and precious metals futures contracts, and Veterans Day shall not be considered a Business Day for purposes of determining Notice and Delivery Days for the November 2016 FCOJ and precious metals futures contract.