ICE US |
Effective June 1, 2016, the Exchange is extending the term of the World Cotton Merchant Fee Incentive Program November 30, 2016. |
05/10/2016 |
Certified |
05/24/2016 |
|
2 |
ICE US |
Effective June 22, 2015 the Exchange is implementing amendments to the NCR, RL and IPL for certain Physical Environmental and Financial Power Contracts. |
06/05/2015 |
Certified |
06/19/2015 |
|
1 |
ICE US |
Effective June 29, 2015 the Exchange is amending Rule 27.11 adding Good 'Til Date functionality which will allow an order to be placed with a designated expiration date. |
06/11/2015 |
Certified |
06/25/2015 |
|
1 |
ICE US |
Effective March 1, 2019 the Exchange is deleting Rule 18.05(a) which duplicates reporting obligations that are set forth Exchange Rule 2.22. |
02/13/2019 |
Certified |
02/28/2019 |
|
2 |
ICE US |
Effective March 24, 2015 the Exchange is amending Rule 4.06 to permit the use of Exchange Traded Funds ("ETFs") as the cash or physical component of an Exchange for Related Position ("EFRP"). |
03/09/2015 |
Certified |
03/23/2015 |
|
1 |
ICE US |
Effective May 1, 2018 the Exchange is amending the terms of the MSCI Contract Designated Market Maker Program. |
04/03/2018 |
Certified |
04/17/2018 |
|
2 |
ICE US |
Effective May 11, 2015 the Exchange is extending the term of the MSCI Contracts Designated Market Maker Program through December 31 2015. |
04/30/2015 |
Certified |
05/14/2015 |
|
1 |
ICE US |
Effective November 13, 2014 the Exchange is amending Rule 27.11 to restore the requirement that spread orders may only be entered on behalf of a single individual or firm. |
10/28/2014 |
Certified |
11/12/2014 |
|
1 |
ICE US |
Effective November 13, 2014, the Rules 6.13 through 6.20 and 6.22 through 6.25 Exchange is amending Rules 6.13 through 6.20 and 6.22 through 6.25 to harmonize the use of "hold or control" in the Exchange speculative position limit rules. |
10/28/2014 |
Certified |
11/12/2014 |
|
1 |
ICE US |
Effective November 13, 2019 the Exchange is amending the program terms of the Energy Participant Program and extending the term through December 2022. |
10/28/2019 |
Certified |
11/12/2019 |
|
2 |
ICE US |
Effective November 2, 2015 the Exchange is amending the terms of the N.A. Credit Futures Contracts Liquidity Provider Program to extend the term through April 30, 2016 and to change the obligations required to earn program incentives. |
10/15/2015 |
Certified |
10/29/2015 |
|
1 |
ICE US |
Effective November 2, 2015 the Exchange is amending the terms of the N.A. Credit Futures Contracts Market Maker Program to extend the term through April 30, 2016 and amending the Program obligations. |
10/15/2015 |
Certified |
10/29/2015 |
|
1 |
ICE US |
Effective November 2, 2015 the Exchange is amending the terms of the New Jurisdiction Volume Incentive Program to include the new World Cotton Futures Contract. |
10/15/2015 |
Certified |
10/29/2015 |
|
2 |
ICE US |
Effective November 2, 2015 the Exchange is amending the terms of the Softs Futures Market Maker Program to include the new World Cotton Futures Contract. |
10/15/2015 |
Certified |
10/29/2015 |
|
1 |
ICE US |
Effective November 2, 2015, the Exchange will be implementing a New World Cotton Contract Inventory Fee Program. |
10/13/2015 |
Certified |
10/27/2015 |
|
1 |
ICE US |
Effective November 2, 2015, the Exchange will be implementing a New World Cotton Futures Contract Market Maker Program. |
10/13/2015 |
Certified |
10/27/2015 |
|
1 |
ICE US |
Effective November 2, 2015, the Exchange will be implementing a New World Cotton Merchant Fee Incentive Program. |
10/13/2015 |
Certified |
10/27/2015 |
|
1 |
ICE US |
Effective November 28, 2016, the Exchange is revising Question 24 of the Block Trade FAQ to clarify language concerning the use of material non-public information to the consummation of a block trade. |
11/09/2016 |
Certified |
11/25/2016 |
|
1 |
ICE US |
Effective November 4, 2015 the Exchange is implementing a new California Carbon Allowance Futures Contract Volume Incentive Program. |
10/21/2015 |
Certified |
11/04/2015 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is amending the Block Trading Procedures by reducing the block trade minimum quantity for 44 regular-sized currency pair futures contracts from 50 lots to 5 lots. |
09/19/2014 |
Certified |
10/03/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is amending the Block Trading Procedures by reducing the block trade minimum quantity for regular and mini-sized Gold and Silver futures and options to 5 lots. |
09/19/2014 |
Certified |
10/03/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures Physical Environmental Product Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. Henry Hub Futures Blocks Liquidity Provider Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. Henry Hub Screen Traded Flat Fee Liquidity Provider to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. Henry Hub Tiered Options Volume Liquidity Provider Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. PJM Option Waiver Volume Liquidity Provider Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. PMX Flat Fee Option Volume Liquidity Provider Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
2 |
ICE US |
Effective October 1, 2014 the Exchange is extending the terms of the ICE Futures U.S. Tiered Volume Liquidity Provider Program to September 30, 2016. |
09/16/2014 |
Certified |
09/30/2014 |
|
1 |
ICE US |
Effective October 10, 2017 the Exchange is extending the terms of the FX Contract Member Fee Program through December 31, 2018. |
09/25/2017 |
Certified |
10/10/2017 |
|
1 |
ICE US |
Effective October 10, 2017 the Exchange is extending the terms of the FX Market Maker Program through December 31, 2018. |
09/25/2017 |
Certified |
10/10/2017 |
|
3 |
ICE US |
Effective October 10, 2017 the Exchange is extending the terms of the N.A. Credit Futures Contract Broker Rebate Program through December 31, 2018. |
09/25/2017 |
Certified |
10/10/2017 |
|
1 |
ICE US |
Effective October 10, 2017 the Exchange is extending the terms of the N.A. Credit Futures Contracts Liquidity Provider Program through December 31, 2018. |
09/25/2017 |
Certified |
10/10/2017 |
|
2 |
ICE US |
Effective October 10, 2017 the Exchange is extending the terms of the N.A. Credit Futures Contracts Market Maker Program through December 31, 2018. |
09/25/2017 |
Certified |
10/10/2017 |
|
2 |
ICE US |
Effective October 20, 2014, the Exchange is amending the Block Trading Procedures by extending the time to report precius metals and currency block trades from 5 minutes to 15 minutes. |
10/02/2014 |
Certified |
10/17/2014 |
|
1 |
ICE US |
Effective October 20, 2016, the Exchange is amending the EFRP FAQ to provide market participants with better guidances regarding the use of EFRP transactions in connection with physical forward agreements and swaps. |
10/04/2016 |
Certified |
10/19/2016 |
|
1 |
ICE US |
Effective October 26, 2018, the Exchange is launching a new Henry Futures Participant Development Program. |
10/11/2018 |
Certified |
10/25/2018 |
|
2 |
ICE US |
Effective October 27, 2015 the Exchange is amending Rule 6.20 to provide some flexibility in determining the date upon which the spot month position limit period begins for the Henry LD1 Fixed Price Futures Contract. |
10/13/2015 |
Certified |
10/27/2015 |
|
1 |
ICE US |
Effective October 27, 2015 the Exchange is deleting Rule 18.05(d) to clarify Clearing Members' obligations to report open interest after the Exchange's last trading day for Energy Contracts. |
10/13/2015 |
Certified |
10/27/2015 |
|
1 |
ICE US |
Effective September 1, 2015, the Exchange is amending the terms of the MSCI Index Futures Contract New Jurisdiction Volume Incentive Program. |
08/04/2015 |
Certified |
08/18/2015 |
|
1 |
ICE US |
Effective September 1, 2018, the Exchange is amending the terms of the MSCI Contracts Designated Market Maker Program. |
08/01/2018 |
Certified |
08/15/2018 |
|
2 |
ICE US |
Effective September 1, 2018, the Exchange is amending the terms of the MSCI Contracts Exchange Member Fee Program. |
08/01/2018 |
Certified |
08/15/2018 |
|
1 |
ICE US |
Effective September 1, 2018, the Exchange is launching a new ICE Futures U.S. NGL Global Development Program. |
08/15/2018 |
Certified |
08/29/2018 |
|
2 |
ICE US |
Effective September 21, 2018, the Exchange is launching a new EIA Produts Development Program. |
09/05/2018 |
Certified |
09/19/2018 |
|
2 |
ICE US |
Effective September 21, 2018, the Exchange is launching a new ICE Futures U.S. PJM Basis Power Future Flat Fee Liquidity Provider Program. |
09/05/2018 |
Certified |
09/19/2018 |
|
2 |
ICE US |
Effective September 25, 2017 the Exchange is amending the MSCI Contract Exchange Member Fee Program to include the nine new MSCI futures contracts. |
09/08/2017 |
Certified |
09/22/2017 |
|
1 |
ICE US |
Effective September 25, 2017 the Exchange is amending the terms of the MSCI Contract Designated Market Maker Program to include nine new MSCI futures contracts. |
09/08/2017 |
Certified |
09/22/2017 |
|
2 |
ICE US |
Effective September 28, 2015 the Exchange is amending the terms of the Henry Hub Options New Participant Capped Fee Program to include the new Options on Henry Penultimate Fixed Price Future 25K Contract. |
09/09/2015 |
Certified |
09/23/2015 |
|
1 |
ICE US |
Effective September 28, 2015 the Exchange is amending the terms of the Henry Hub Options Trading Incentive Program to include the new Options on Henry Penultimate Fixed Price Future 25K Contract. |
09/09/2015 |
Certified |
09/23/2015 |
|
1 |
ICE US |
Effective September 28, 2015 the Exchange is amending the terms of the IFUS Capped Liquidity Provider Program to include the new Henry Hub LD1 Fixed Price Future 25K Contract. |
09/09/2015 |
Certified |
09/23/2015 |
|
1 |
ICE US |
Effective September 28, 2015 the Exchange is amending the terms of the IFUS Henry Hub Options Liquidity Provider Program to include the new Options on Henry Penultimate Fixed Price Future 25K Contract. |
09/09/2015 |
Certified |
09/23/2015 |
|
1 |