ICLREU2 |
ICE Clear Europe is adopting amendments to its Clearing Rules and Procedures in order for it to commence clearing natural gas spot contracts traded on the ICE Endex UK and ICE Endex Continental markets. |
06/02/2015 |
Certified |
06/16/2015 |
|
2 |
CME |
Self-certification of CME Clearing Advisory Notice Expanding Performance Bond Collateral Program to Include Ontario and Quebec Canadian Provincial Debt |
06/08/2015 |
Certified |
06/22/2015 |
|
4 |
CME |
Self-certification of CME Clearing Advisory Notice Expanding Performance Bond Collateral Program to Include Australian Government Debt |
06/08/2015 |
Certified |
06/22/2015 |
|
4 |
CME |
Self-certification of CME Clearing Advisory Notice Expanding Performance Bond Collateral Program to Include Singapore Government Debt |
06/08/2015 |
Certified |
06/22/2015 |
|
6 |
LCHLTD |
Minor amendments to the LCH.Clearnet Limited Rulebook to clarify Clearing Member PPS contingency testing requirements. |
06/09/2015 |
Certified |
06/22/2015 |
|
1 |
LCHLTD |
LCH.Clearnet is clarifying rights exercised under Regulation 46A and Regulation 45, the Clearing House makes a recovery in respect of the Treasury Default, the Clearing House will (after replenishing its own expenses). |
06/09/2015 |
Certified |
06/22/2015 |
|
1 |
CCH |
This Rule change amends the bank account requirements for applicants. |
06/11/2015 |
Certified |
06/25/2015 |
|
1 |
ICECC |
The purpose of the proposed rule change is to amend ICC rules to modify the terms and conditions for physical settlement of cleared CDS contracts, and to adopt certain new delivery procedures relating to physical settlement. |
04/28/2015 |
Certified |
06/29/2015 |
|
5 |
OCC |
This proposed rule change concerns administrative changes to OCC's Financial Resources Monitoring and Call Procedure. |
06/18/2015 |
Certified |
07/02/2015 |
|
2 |
OCC |
This proposed rule change concerns codification of procedures for resizing OCC's Clearing Fund on a monthly basis and increasing such Clearing Fund size on an intra-month basis. |
06/18/2015 |
Certified |
07/02/2015 |
|
1 |
ICLR US |
ICE Clear US proposes to adopt a Rule 509, which is intended to mitigate liquidity risks (and related liquidity management costs of the clearing house) in connection with foreign currency variation margin settlements. |
06/18/2015 |
Certified |
07/02/2015 |
|
1 |
ICLREU2 |
ICE Clear Europe is adopting amendments to modify the ICE Clear Europe Delivery Procedures for certain emissions allowance and cocoa futures contracts traded on ICE Futures Europe and cleared by ICE Clear Europe. |
06/19/2015 |
Certified |
07/02/2015 |
|
1 |
SGX-DC |
The SGX-DC Clearing Rules are amended to specify the methodology of the calculation of the final settlement prices of the SGX Platts Iron Ore CFR China (Lump Premium) Swap Contract. |
06/22/2015 |
Certified |
07/06/2015 |
|
1 |
ICECC |
ICC proposes revising the ICC Rules to correct inconsistent provisions regarding the Risk Management Subcommittee. |
06/30/2015 |
Withdrawn |
07/10/2015 |
|
2 |
ICLR US |
Amendment to Bylaw 5.5 re: Clearinghouse contribution to default resources |
06/29/2015 |
Certified |
07/14/2015 |
|
1 |
LCHLTD |
LCH.Clearnet Limited will commence clearing new PJM zonal contracts traded on the Nodal Exchange. |
07/13/2015 |
Withdrawn |
07/15/2015 |
|
1 |
MIAX |
Amendments to Chapter 21 of the MGEX Rulebook. |
07/08/2015 |
Certified |
07/22/2015 |
|
1 |
ICLR US |
Amendment to By-law 5.6 Supermargin and Position Risk |
07/08/2015 |
Certified |
07/22/2015 |
|
3 |
LCHLTD |
Change to Section 1 Procedures to clarify Clearing Member obligations in relation to providing regulatory returns to the Clearing House. |
07/16/2015 |
Certified |
07/29/2015 |
|
1 |
LCHSA |
CDSClear Risk refinements Phase 2 seeks to refine further CDSClear margins while ensuring that LCH.Clearnet risk standards continue to be met. This Submission relates to Lot 1 for which implementation date is expected early August 2015. |
07/21/2015 |
Certified |
08/03/2015 |
|
2 |
SGX-DC |
SGX-DC Clearing Rule amendments for an increase in clearing fund size |
07/22/2015 |
Certified |
08/04/2015 |
|
2 |
LCHLTD |
In exceptional circumstances, LCH.Clearnet will manually accept a SwapClear Transaction on behalf of a Clearing Member that is unable to do so itself, rule changes are being implemented to describe the acceptance process. |
07/23/2015 |
Certified |
08/06/2015 |
|
1 |
ICLREU2 |
Certification in relation to fees for EMIR customer accounts |
07/23/2015 |
Certified |
08/06/2015 |
|
1 |
ICECC |
ICC proposes implementing a single name backloading incentive program for client account clearing of single name CDS contracts. |
07/27/2015 |
Certified |
08/10/2015 |
|
2 |
CME |
Expansion of the Listing Schedule for the Urea (Granular) FOB US Gulf Coast Swaps (Clearing Only) Contract |
07/29/2015 |
Certified |
08/12/2015 |
|
1 |
LCHLTD |
Following the launch of Inflation Swaps a number of improvements to the rules surrounding the provision of Market Data have been identified to reflect operational requirements of submitting prices and to provide further clarity to Clearing Members. |
07/30/2015 |
Certified |
08/13/2015 |
|
1 |
ICLREU2 |
The principal purpose of the changes is to amend certain ICE Clear Europe Risk policies relating to the CDS product category to incorporate enhancements to the existing CDS risk model. |
07/31/2015 |
Withdrawn |
08/13/2015 |
|
2 |
ICLREU2 |
The purpose of the amendments is to modify the Finance Procedures to allow Clearstream Banking to serve as a triparty collateral service provider for initial or original margin provided in respect of all product categories, including CDS Contracts. |
07/31/2015 |
Certified |
08/14/2015 |
|
1 |
SGX-DC |
Amendments to the Final Settlement Price. |
08/03/2015 |
Certified |
08/14/2015 |
|
1 |
CME |
Change to IRS Clearing Member Minimum IRS Guaranty Fund Contribution |
08/03/2015 |
Certified |
08/17/2015 |
|
1 |
SGX-DC |
Submission for SGX Iron Ore Swaps (Clearing Fees) |
08/06/2015 |
Certified |
08/19/2015 |
|
1 |
ICECC |
ICC proposes amending Subchapter 26I of its Rules to provide for the clearance of additional Standard Western European Sovereign CDS contracts. |
08/06/2015 |
Certified |
08/20/2015 |
|
2 |
ICLREU2 |
ICEU is amending its CDS End-of-Day Price Discovery Policy to make certain enhancements to the end-of-day submission and firm trade process for CDS contracts. ICEU is adopting a new Price Submission Disciplinary Framework. |
08/17/2015 |
Certified |
08/31/2015 |
|
2 |
LCHLTD |
The LCH.Clearnet Limited ForexClear service Risk-free Compression offering. |
08/24/2015 |
Certified |
09/04/2015 |
|
1 |
OCC |
This prposed rule change would allow a clearing fee waiver for exchange new products. |
08/28/2015 |
Withdrawn |
09/09/2015 |
|
1 |
NADEX |
Nadex institutes temporary free trading incentive program, which would waive fees for all individual and entities that become Members on or after the effective date, for a specified period of time relating to amount of Member's initial deposit. |
08/31/2015 |
Certified |
09/15/2015 |
|
1 |
OCC |
This proposed rule change would allow a clearing fee waiver for exchange new products. |
09/02/2015 |
Certified |
09/17/2015 |
|
1 |
ICLR US |
ICUS is amending its Risk Management Framework in order to implement revised margin statistics. |
09/02/2015 |
Certified |
09/17/2015 |
|
2 |
ICLREU2 |
The purposes of these changes is to amend certain ICE Clear Europe risk policies relating to the CDS product category to incorporate enhancements to the existing CDS risk model. |
09/03/2015 |
Certified |
09/18/2015 |
|
2 |
LCHLTD |
Definitions included in LCH.Clearnet Ltd Default Rules have been updated to reflect the introduction of additional EMIR account types to ensure that Loss Distribution, where possible, occurs at a legal entity level, within a client account. |
09/04/2015 |
Certified |
09/18/2015 |
|
1 |
LCHLTD |
SwapClear's waiver for Inflation Fees will come to an end on October 1st, at the same time it will introduce a new fee banding and rename its current bandings. |
09/04/2015 |
Certified |
09/21/2015 |
|
1 |
CME |
Modifications to the Fee Schedule for Over-the-Counter ("OTC") Interest Rate Swaps ("IRS") to Establish Fees for IRS Compression Services |
09/08/2015 |
Certified |
09/22/2015 |
|
1 |
LCHLTD |
Rule changes in support of the LCH.Clearnet Limited, ForexClear service introduction of Package Trades clearing. |
09/09/2015 |
Certified |
09/23/2015 |
|
1 |
LCHLTD |
Chanages to the LCH.Clearnet Ltd Rulebook to clarify language in Procedures Section 6 (Business Continuity), and to remove the EnClear FCM model from the FCM Regulations and FCM Procedures, as this has been discontinued following futurisation of EnClear. |
09/15/2015 |
Certified |
09/29/2015 |
|
1 |
LCHLTD |
Self-certification of the SwapClear service Client Deposit Rate (CDR) change. |
09/16/2015 |
Certified |
09/29/2015 |
|
1 |
ICLREU2 |
The purpose of the rule amendment is to modify the ICE Clear Europe ("ICEU") Delivery Procedures in connection with the launch by the ICE Endex market of the ICE Endex Italian PSV Natural Gas Futures Contract, which will be cleared by ICEU. |
09/16/2015 |
Certified |
09/30/2015 |
|
2 |
CME |
Revisions to CME/CBOT/NYMEX/COMEX Rule 973 - Customer Accounts with the Clearing House |
09/17/2015 |
Certified |
10/01/2015 |
|
1 |
LCHLLC |
Circular to send to SwapClear Clearing Members = describes changes to Client Deposit Rate ("CDR"). |
09/18/2015 |
Certified |
10/02/2015 |
|
1 |
LCHLTD |
These changes will allow SwapClear Clearing Members to provide LC H of notice to compress SwapClear Contracts via an Approved Trade Source System ("ATSS"). The changes will also all an ATSS to amend or assign trade identifies of FCM SwapClear Contracts. |
09/21/2015 |
Certified |
10/05/2015 |
|
1 |
ICECC |
ICC proposes revising the ICC Rules to correct inconsistent provisions regarding the Risk Management Subcommittee. |
09/22/2015 |
Certified |
10/06/2015 |
|
2 |