Clearing Organization Rules

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Organization Filing Description Receipt Date Status Date Remarks Documents
EUREX Proposed rule amendments in Eurex Clearing Circular 148-18 relating to amending the Price List, introducing a notification requirement, harmonizing certain ISA Direct provisions, dispute resolution, partial settlement, and discontinuing certain products 12/15/2016 Certified 12/30/2016 2
LCHSA Pursuant to CFTC regulation 40.6(a), LCH SA is submitting for self-certification the changes to the CDSClear fee grid as a consequence of the evolution of the CDSClear business and activities. The new fee grid will be effective as of January 1st, 2017. 12/15/2016 Certified 12/29/2016 1
EUREX Amendments to the Eurex Clearing DCO Compliance Manual 12/14/2016 Certified 12/29/2016 3
EUREX Proposed rule amendments in Eurex Clearing Circular 144-16 relating to introducing a Direct Clearing Member license for OTC IRS and removing the Multiple Clearing Relationship product group restrictions 12/14/2016 Certified 12/29/2016 2
SGX-DC Weekly notification of rule amendments for the week of 5 December 2016. 12/13/2016 Notified 12/13/2016 2
EUREX Weekly Notification of Rule Amendments - Week of December 5, 2016 12/13/2016 Notified 12/13/2016 1
LCHSA Pursuant to CFTC regulation 40.6(a), LCH SA is submitting for self-certification the amendments to the CDS Clearing Rules related to the LCH's application for registration with the US SEC as a clearing agency. 12/13/2016 Certified 12/28/2016 1
CME Amendments to CME/CBOT/NYMEX/COMEX Rules 814, 819, and 901.S and CME Rules 8H03, 8F003, 8H08 12/13/2016 Certified 12/28/2016 2
LCHLTD Certain references in the Default Rules, which form part of the Rulebook, have been corrected. 12/12/2016 Notified 12/12/2016 1
ICECC ICC hereby submits notification of changes to risk parameters established by ICC in consultation with the ICC Risk Committee, Trading Advisory Committee and/or Risk Working Group. 12/09/2016 Notified 12/09/2016 2
ICECC ICC proposes amending Chapter 26 of the ICC Rulebook to provide for the clearance of Standard Australian Corporate Single Name CDS contracts and Standard Australian Financial Corporate Single Name CDS contracts. 12/09/2016 Certified 12/23/2016 2
CME Amendments to CME Rule 1001 ("Regulatory Reporting Of Swap Data") 12/09/2016 Certified 12/23/2016 1
CME Weekly Notification of Rule Amendments - Week of November 28, 2016 12/08/2016 Notified 12/08/2016 1
OCC OCC is amending the proposed definition of "Section 871(m) Implementation Date" in its By-Laws to revise the date by which certain of OCC's Clearing Members must provide documentation to OCC showing that they are Qualified Derivatives Dealers. 12/08/2016 Notified 12/08/2016 2
CME Extension of the CME OTC FX Fee Waiver Program 12/08/2016 Certified 12/22/2016 1
ICLREU2 The purpose of the rule amendments is to revise the application of certain provisions of the ICEU Rules related to economic sanctions compliance by CDS Clearing Members and Customers of CDS Clearing Members incorporated in Germany. 12/07/2016 Certified 12/21/2016 2
ICLR US New Rule 605 re Deliveries of New Gold Daily Futures Contract 12/05/2016 Certified 12/19/2016 1
SGX-DC Weekly notification of rule amendments for the week of 28 November 2016. 12/04/2016 Notified 12/04/2016 2
EUREX Weekly Notification of Rule Amendments - Week of November 28, 2016 12/02/2016 Notified 12/02/2016 1
CME Modifications to the CME Incentive Program for Over-The-Counter Interest Rate Swaps 12/02/2016 Certified 12/16/2016 2
LCHLTD LCH is submitting for self-certification a Circular to SwapClear Clearing Members noting upcoming trade eligibility changes for SwapClear Contracts based on the TOM Next Index Swaps ("TOIS") fixing. 12/01/2016 Certified 12/14/2016 1
CME Weekly Notification of Rule Amendments - Week of November 21, 2016 12/01/2016 Notified 12/01/2016 1
CME Amendments to CME Rule 855. ("Offsetting Different Sized Futures Positions") 11/30/2016 Certified 12/14/2016 2
LCHLTD Update to the LCH Margin Collateral Haircut Schedule. 11/29/2016 Certified 12/13/2016 2
CME Amendments to CME Rule 8H802.B. and Addition of New CME Rule 8H04.13 11/28/2016 Certified 12/12/2016 1
SGX-DC Weekly notification of rule amendments for the week of 21 November 2016. 11/27/2016 Notified 11/27/2016 2
NADEX Nadex is amending its Rulebook to add new definitions to its Definitions chapter and adding new prohibited actions. Nadex is also making some minor housekeeping changes/clarifications. 11/23/2016 Certified 12/08/2016 1
CME Weekly Notification of Rule Amendments - Week of November 14, 2016 11/22/2016 Notified 11/22/2016 1
LCHLTD Changes to the LCH Margin Collateral Haircut Schedule 11/21/2016 Withdrawn 11/29/2016 2
SGX-DC Weekly notification of rule amendments for the week of 14 November 2016. 11/20/2016 Notified 11/20/2016 2
LCHLTD The proposed rules clarify that the FCMs' request for LCH to apply margin attributable to the FCM's customer account to the FCM's buffer account may only be accommodated if it is made in respect to all of the customers' accounts, and not some only. 11/18/2016 Certified 12/02/2016 1
CME Weekly Notification of Rule Amendments - Week of November 7, 2016 11/18/2016 Notified 11/18/2016 1
MIAX Weekly notification of rule amendments made regarding changes to spread and outright margin rates. 11/17/2016 Notified 11/17/2016 1
CME Amendments to CME Rule 743.B (Delivery Obligation Failure) 11/16/2016 Certified 12/01/2016 1
SGX-DC Weekly notification of rule amendments for the week of 7 November 2016. 11/14/2016 Notified 11/14/2016 2
LCHLTD Restrictions on Clearing Members and their clients operating in Japan, establishment of Hedged Accounts, Clearing Member responsibilities towards the Clearing House and providing risk disclosure to clients operating through a branch in Singapore 11/10/2016 Certified 11/28/2016 1
CME Weekly Notification of Rule Amendments - Week of October 31, 2016 11/10/2016 Notified 11/10/2016 1
SGX-DC Weekly notification of rule amendments for the week of 31 October 2016. 11/09/2016 Notified 11/09/2016 2
ICLREU2 The purpose of the amendments is to modify certain aspects of the ICEU Finance Procedures to add South African rand ("ZAR") as a currency eligible for Variation Margin and settlement payments for F&S contracts which settle in such currency. 11/09/2016 Certified 11/25/2016 2
ICECC ICC hereby submits notification of changes to risk parameters established by ICC in consultation with the ICC Risk Committee,Trading Advisory Committee and/or Risk Working Group. 11/04/2016 Notified 11/04/2016 2
EUREX Weekly Notification of Rule Amendments - Week of October 31, 2016 11/04/2016 Notified 11/04/2016 1
NADEX Nadex is clarifying its Members' continuing notification obligations, clarifying when Nadex can suspend withdrawal requests, and adding disgorgement of ill-gotten profits as a potential disciplinary sanction. 11/04/2016 Certified 11/21/2016 1
CME Weekly Notification of Rule Amendments - Week of October 24, 2016 11/03/2016 Notified 11/03/2016 1
ICLR US Rule amendments related to EU Equivalence Determination 11/02/2016 Certified 11/17/2016 1
ICECC ICC proposes changes to ICC Rules 403 and 801 to add explicit references to certain risk-related policies currently contained in the ICC Risk Management Framework and the ICC Risk Management Model Description document. 11/01/2016 Certified 11/16/2016 2
SGX-DC Weekly notification of rule amendments for the week of 24 October 2016. 10/31/2016 Notified 10/31/2016 2
EUREX Proposed rule changes in Eurex Clearing Circular 133-16 related to clarifying certain provision regarding the Clearing Fund, allowing additional currencies for EurexOTC Clear Service, and amending the Price List to introduce the Average Pric 10/31/2016 Certified 11/15/2016 2
CME Weekly Notification of Rule Amendments - Week of October 17, 2016 10/28/2016 Notified 10/28/2016 1
EUREX Proposed rule amendments in Eurex Clearing Circular 130-16 related to amending the Price List to change the categorization and introduce new thresholds for volume rebates in equity index options 10/27/2016 Certified 11/10/2016 2
LCHLTD Weekly Notification of change to the London Deposit Rate (LDR) which is applied to cash balances held on SwapClear and ForexClear services clearing member accounts. This change took effect from 21 October 2016. 10/25/2016 Notified 10/25/2016 1