Clearing Organization Rules

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Organization Filing Description Receipt Date Status Date Remarks Documents
MGEX New Clearing System Rule Amendments 05/09/2023 Certified 05/23/2023 1
LCHLTD Weekly Notification of addition of an indirect trading venue to SwapClear 02/06/2024 Notified 02/06/2024 1
CCORP Clearing of USFE FX Contracts 09/20/2005 Certified 09/20/2005 1
CCORP Definition of Exchange Market amended to add new Global Clearing Link contracts; Appendix 9B amended to add settlement procedures and minimum block size for such contracts; 9B sections re-referenced re original contracts' settlement price rules 01/09/2008 Certified 02/12/2008 1
CCORP Definition of Exchange Market is amended to add options on Nitrogen Financial Instrument Futures traded on CCFE 03/12/2008 Certified 03/21/2008 1
CME Contract specifications and market information relating to the listing of ten new wet tanker freight forward contracts on CME ClearPort for clearing only. 06/01/2010 Certified 06/10/2010 1
LCHLTD Amend procedures re: preferred currency for intra-day call; new interest rate for credit cash balances 02/16/2012 Certified 03/03/2012 1
CME New Chapter 10 and new Rule 1001 regarding swap data repository reporting; 12-391 11/13/2012 Withdrawn 12/06/2012 1
CME Use of OIS discounting in initial margin computations for AUD, GBP and JPY interest rate swaps; 12-474. 12/27/2012 Certified 01/12/2013 1
CME Weekly Notification of Rule Amendments - Week of August 7, 2017 08/16/2017 Notified 08/16/2017 1
LCHLTD LCH Ltd is notifying the CFTC of the addition of a new Approved Compression Service Provider (ACSP), which will be eligible to provide compression services to LCH's SwapClear service. 10/10/2017 Notified 10/10/2017 1
LCHLTD Self-certification of the LCH member communication advising of changes to the ForexClear Initial Margin Floor. 04/27/2018 Certified 05/11/2018 1
CME Weekly Notification of Rule Amendments - Week of August 27, 2018 09/06/2018 Notified 09/06/2018 1
CME Modifications to the Fee Schedule for Over-the-Counter ("OTC") Interest Rate Swaps ("IRS") 06/12/2019 Certified 06/26/2019 1
CME Weekly Notification of Rule Amendments - Week of July 20, 2020 07/27/2020 Notified 07/27/2020 1
CME Weekly Notification of Rule Amendments - Week of June 7, 2021 06/14/2021 Notified 06/14/2021 1
CME Weekly Notification of Rule Amendments - Week of July 19, 2021 07/27/2021 Notified 07/27/2021 1
CME Weekly Notification of Rule Amendments - January 29, 2024 02/06/2024 Notified 02/06/2024 1
CCORP CCX Sulfur & Nitrogen Financial Futures 03/21/2005 Certified 03/21/2005 1
CBT Reduction in minimum price increments for CBT cleared-only OTC Denatured Fuel Ethanol Swap products 01/04/2008 Certified 02/12/2008 1
LCHLTD Amendments to Rules and Agreements and Procedures governing defaults of SwapClear Clearing Members and new Deed of Assignment to grant security interest to clients of such clearing members to allow LCH to return margin directly to the clients. 12/02/2009 Certified 12/03/2009 1
OCC Rule change to provide that futures on CBOE Gold ETF Volatility Index will be treated as security futures 03/18/2011 Certified 03/18/2011 1
ICLREU2 New Cleared OTC Products 02/16/2012 Certified 03/03/2012 1
ICLREU2 Change to initial payment date on CDS Contracts to be T+1; change to daily calculation and payment of interest on mark to market margin on CDS Contracts 04/17/2012 Certified 05/02/2012 1
ICLR US Modifications to ICE Clear US's policy concerning issuance of intra-day variation margin calls; 12-99. 12/27/2012 Certified 01/12/2013 1
CME Changes related to introduction of new IRS contracts and additional specs to existing IRS contracts within CME's rulebook and Manual of Operations for CME Cleared Interest Rate Swaps; 13-164. 04/28/2013 Certified 05/11/2013 1
LCHLTD LCH.Clearnet pursuant to CFTC regulation 40.6(a), is submitting Rulebook changes to allow for clearing of NDF currency pair USD/PEN by its ForexClear service. 08/20/2014 Certified 09/03/2014 1
LCHLTD LCH.Clearnet Limited is submitting for self-certification rule changes which will enable Futurisation of Commodity swap contracts in the Enclear Service. The reclassification is scheduled for the weekend of the 29th and 30th November 2014. 11/14/2014 Certified 11/28/2014 1
LCHLTD LCH is submitting for self certification a) clarification amendments to the Rulebook and b) the fees related to the FX Options service. 04/27/2018 Certified 05/11/2018 1
CME Weekly Notification of Rule Amendments - Week of November 12, 2018 11/20/2018 Notified 11/20/2018 1
LCHLTD LCH Limited Change to its London Deposit Rate (LDR) applied to cash balances held on SwapClear and ForexClear clearing member accounts. 01/16/2019 Notified 01/16/2019 1
CME Weekly Notification of Rule Amendments - Week of June 3, 2019 06/12/2019 Notified 06/12/2019 1
ICE NGX ICE NGX is removing the provisions related to crude products from the ICE NGX Contracting Party Agreement. ICE NGX has not offered trading or clearing in its crude products for several years and has no outstanding open interest in crude oil products. 01/13/2021 Certified 01/28/2021 1
CME Weekly Notification of Rule Amendments - Week of June 27, 2022 07/05/2022 Notified 07/05/2022 1
MGEX Chapter 21 Amendments 02/10/2023 Certified 02/27/2023 1
NADEX Amendments to rules to permit the intermediation of trading and clearing 07/08/2009 Certified 07/27/2009 1
ICECC Customer Related Collateral Liquidity 02/20/2012 Certified 03/06/2012 1
MGEX Changes to comply with CFTC Part 39 DCO rules effective May 7, 2012. 04/19/2012 Certified 05/04/2012 1
NADEX Modification to Demo Account Conversion Program 12/14/2012 Withdrawn 12/17/2012 1
ICLREU2 To modify the ICE Clear Europe Finance Procedures to permit certain third party collateral purchase arrangements with respect to Triparty Collateral provided by F&O Clearing Members in respect of a Proprietary Account. 11/14/2014 Certified 11/28/2014 1
EUREX Weekly Notification of Rule Amendments - Week of April 23, 2018 04/27/2018 Notified 04/27/2018 1
CME Modification of Cleared OTC GBP, JPY and CHF Interest Rate Swap Products Referencing LIBOR and Limitation of Acceptance for Clearing 11/17/2021 Certified 12/02/2021 1
CCH Removal of guaranty fund from Rules 05/09/2023 Certified 05/23/2023 1
LCHLTD Weekly Notification of addition of an indirect trading venue to SwapClear 11/07/2023 Notified 11/07/2023 1
CCORP New Eurex US Contracts 01/20/2005 Certified 01/20/2005 1
ICE NGX Amendment to Product List of CPA to add nine new products for trading and/or clearing on the NGX tradign system and/or NGX clearing system. 06/02/2009 Certified 06/04/2009 1
OCC Rule change to accommodate OCC's clearance of physically-settled futures contracts on U.S. Treasury Notes and Bonds. 07/01/2009 Certified 07/27/2009 1
CME New Chapter 415E for the clearing of S&P GSCI Excess Return Index 2 Month Forward Swap Contracts (Cleared OTC) 03/09/2010 Certified 03/12/2010 1
KCC Clearing member risk management policies and procedures, failure to comply with participation requirements, offset of economically equivalent swaps, and swap clearing procedures. 04/20/2012 Certified 05/05/2012 1
NADEX Modifications to Demo Account Program 12/17/2012 Certified 01/03/2013 1