Product Terms and Conditions Rules - Swap Execution Facilities : 30193

Organization: ICAPSEF

Description: Weekly Notification of Rule Amendments

Products Affected: IOS Index Creit Default Swaps, IBoxx Total Ruturn Swaps and IBoxx Liquid Leveraged Loans Total Return Swaps

Official Receipt Date: 2014-08-06 00:00:00

Status: Notified

Date: 2014-08-06 00:00:00

Remarks:

Associated Documents
rul080614icap001coversheet.pdf
ICAPSEF Rule Submission on 080614: rul080614icap001