2024 |
October 31, 2024 |
141-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
October 31, 2024 |
140-24 |
Bank Holiday – November 11, 2024
|
2024 |
October 31, 2024 |
139-24 |
Criteria for Eligibility of Securities Underlying Options
|
2024 |
October 29, 2024 |
138-24 |
Final Contract Adjustment - Osisko Mining Inc. (OSK) - Plan of Arrangement
|
2024 |
October 17, 2024 |
137-24 |
New Equity Option Class and Share Future Contracts - South Bow Corporation (SOBO & FOJ)
|
2024 |
October 17, 2024 |
136-24 |
Self-Certification: Amendments to the Rules of the Canadian Derivatives Clearing Corporation regarding Voluntary Withdrawal and the Limited Liability of Clearing Members
|
2024 |
October 16, 2024 |
135-24 |
Final Contract Adjustment - Primo Water Corporation (PRMW) - Special Cash Dividend
|
2024 |
October 8, 2024 |
134-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
October 8, 2024 |
133-24 |
New Equity Options Classes - Cargojet Inc. (CJT) - G Mining Ventures Corp. (GMIN)
|
2024 |
October 4, 2024 |
132-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
October 4, 2024 |
131-24 |
Anticipated Contract Adjustment - SilverCrest Metals Inc. (SIL) - Plan of Arrangement
|
2024 |
October 3, 2024 |
130-24 |
Final Contract Adjustment - Granite Real Estate Investment Trust Inc. (GRT) - Unit Reclassification and CUSIP Change
|
2024 |
October 2, 2024 |
129-24 |
Re-Introduction of an Option Class and Share Future Contracts - TC Energy Corporation (TRP & FRP)
|
2024 |
October 2, 2024 |
128-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 30, 2024 |
127-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 27, 2024 |
126-24 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2024 |
September 27, 2024 |
125-24 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2024 |
September 27, 2024 |
124-24 |
Additions and Deletions of Weekly Equity and ETF Options Classes
|
2024 |
September 25, 2024 |
123-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 23, 2024 |
122-24 |
Final Contract Adjustment - TC Energy Corporation (TRP & FRP) - Plan of Arrangement
|
2024 |
September 20, 2024 |
121-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 18, 2024 |
120-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 16, 2024 |
119-24 |
National Day for Truth and Reconciliation – September 30, 2024
|
2024 |
September 16, 2024 |
118-24 |
New ETF Option Class - iShares Core Canadian Universe Bond Index ETF (XBB)
|
2024 |
September 10, 2024 |
117-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 6, 2024 |
116-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
September 4, 2024 |
115-24 |
Self-Certification: Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation to include a Gross Client Margin Balance Risk Account Forecast
|
2024 |
August 30, 2024 |
114-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 28, 2024 |
113-24 |
ERRATUM - New ETF Options Classes
|
2024 |
August 27, 2024 |
112-24 |
New ETF Options Classes
|
2024 |
August 26, 2024 |
111-24 |
Amendment to the List of Fees of Canadian Derivatives Clearing Corporation (effective September 16, 2024)
|
2024 |
August 26, 2024 |
110-24 |
Victoria Gold Corp. (VGCX) - Delisting
|
2024 |
August 23, 2024 |
109-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 21, 2024 |
108-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 19, 2024 |
107-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 15, 2024 |
106-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 15, 2024 |
105-24 |
Victoria Gold Corp. (VGCX) - Suspension
|
2024 |
August 13, 2024 |
104-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 12, 2024 |
103-24 |
Anticipated Contract Adjustment - Osisko Mining Inc. (OSK) - Plan of Arrangement
|
2024 |
August 12, 2024 |
102-24 |
Clearing Member Update – Citibank Canada
|
2024 |
August 12, 2024 |
101-24 |
New Equity Option Class
|
2024 |
August 6, 2024 |
100-24 |
Final Contract Adjustment - Karora Resources Inc. (KRR - KRR1) - Plan of Arrangement (Follow-Up)
|
2024 |
August 2, 2024 |
099-24 |
Final Contract Adjustment - Karora Resources Inc. (KRR) - Plan of Arrangement
|
2024 |
August 1, 2024 |
098-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
August 1, 2024 |
097-24 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2024 |
July 31, 2024 |
096-24 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2024 |
July 30, 2024 |
095-24 |
ANTICIPATED CONTRACT ADJUSTMENT - Filo Corp. (FIL) - Plan of Arrangement
|
2024 |
July 25, 2024 |
094-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
July 23, 2024 |
093-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
July 16, 2024 |
092-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
July 16, 2024 |
091-24 |
Anticipated Contract Adjustment - Stelco Holdings Inc. (STLC) - Plan of Arrangement
|
2024 |
July 12, 2024 |
090-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
July 12, 2024 |
089-24 |
No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
|
2024 |
July 8, 2024 |
088-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
July 2, 2024 |
087-24 |
New ETF Options Classes
|
2024 |
June 26, 2024 |
086-24 |
Final Contract Adjustment - Fortuna Silver Mines Inc. (FVI) - Name and CUSIP Change
|
2024 |
June 26, 2024 |
085-24 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2024 |
June 26, 2024 |
084-24 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2024 |
June 19, 2024 |
083-24 |
Delisting of the Bitcoin Price Index Futures (BT)
|
2024 |
June 18, 2024 |
082-24 |
Fixed Income Securities Eligible For Trading
|
2024 |
June 18, 2024 |
081-24 |
Anticipated Contract Adjustment - Primo Water Corporation (PRMW) - Plan of Arrangement
|
2024 |
June 12, 2024 |
080-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
June 12, 2024 |
079-24 |
Anticipated Contract Adjustment - Canadian Western Bank (CWB) - Plan of Arrangement
|
2024 |
June 11, 2024 |
078-24 |
Clearing Member Voluntary Withdrawal - Credit Suisse Securities (Canada) Inc.
|
2024 |
June 10, 2024 |
077-24 |
Notice of withdrawal: Amendments to the Rules of the Canadian Derivatives Clearing Corporation on Cybersecurity
|
2024 |
June 6, 2024 |
076-24 |
Request for Comments: “Amendments to the Rules of the Canadian Derivatives Clearing Corporation Regarding Voluntary Withdrawal and the Limited Liability of Clearing Members”
|
2024 |
June 4, 2024 |
075-24 |
Final Contract Adjustment - Enerplus Corporation (ERF1 - ERF2) - Plan of Arrangement (Follow-Up)
|
2024 |
June 3, 2024 |
074-24 |
Final Contract Adjustment - Enerplus Corporation (ERF1) - Plan of Arrangement
|
2024 |
June 3, 2024 |
073-24 |
Trading by U.S. Residents
|
2024 |
June 3, 2024 |
072-24 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2024 |
June 3, 2024 |
071-24 |
Approved Depositories
|
2024 |
May 31, 2024 |
070-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 31, 2024 |
069-24 |
Final Contract Adjustment - Canadian Natural Resources Limited (CNQ & FCQ) - Stock Split
|
2024 |
May 29, 2024 |
068-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 29, 2024 |
067-24 |
Name Change – from - PI Financial Corp. – to - Ventum Financial Corp.
|
2024 |
May 24, 2024 |
066-24 |
Request for comments: Amendments to the Default Manual of the Canadian Derivatives Clearing Corporation regarding the corporation’s default risk capital amount available during a default management process
|
2024 |
May 24, 2024 |
065-24 |
Postponement of the effective date regarding amendments to the Default Manual of the Canadian Derivatives Clearing Corporation
|
2024 |
May 24, 2024 |
064-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 24, 2024 |
063-24 |
Final Contract Adjustment - First Majestic Silver Corp. (FR) - Symbol Change
|
2024 |
May 23, 2024 |
062-24 |
Final Contract Adjustment - Enerplus Corporation (ERF) - Special Cash Dividend
|
2024 |
May 22, 2024 |
061-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 22, 2024 |
060-24 |
Final Contract Adjustment - SNC-Lavalin Group Inc. (ATRL & FCL) - Name and CUSIP Change
|
2024 |
May 21, 2024 |
059-24 |
Industry Change T+1 Settlement Cycle - Reminder
|
2024 |
May 17, 2024 |
058-24 |
Selfcertification: T+1 Settlement
|
2024 |
May 17, 2024 |
057-24 |
Self-Certification: Amendments to the Default Manual of the Canadian Derivatives Clearing Corporation regarding the Auction Tool used to organize a Default Auction during a Default Management Period
|
2024 |
May 17, 2024 |
056-24 |
Self-certification: Secured General Collateral (SGC) Implementation of the secured general repurchase transaction program
|
2024 |
May 14, 2024 |
055-24 |
Final Contract Adjustment - Crescent Point Energy Corp. (CPG & FCG) - Name, CUSIP and Symbol Change
|
2024 |
May 13, 2024 |
054-24 |
Final Contract Adjustment - MDA Ltd. (MDA) - Name and CUSIP Change
|
2024 |
May 10, 2024 |
053-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 8, 2024 |
052-24 |
Amendment to the List of Fees of Canadian Derivatives Clearing Corporation (effective June 1st, 2024)
|
2024 |
May 7, 2024 |
051-24 |
Selfcertification: T+1 Settlement (technical launch)
|
2024 |
May 3, 2024 |
050-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
May 2, 2024 |
049-24 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2024 |
May 2, 2024 |
048-24 |
FINAL CONTRACT ADJUSTMENT - Tricon Residential Inc. (TCN) - Plan of Arrangement
|
2024 |
May 1, 2024 |
047-24 |
No Contract Adjustment - Cenovus Energy Inc. (CVE) - Variable Dividend
|
2024 |
April 29, 2024 |
046-24 |
Final Contract Adjustment - Horizons ETFs - Horizons ActivePreferred Share ETF (HPR) - Horizons Marijuana Life Sciences Index ETF (HMMJ) - Horizons NASDAQ-100 Index ETF (HXQ) - Horizons S&P / TSX 60 Index ETF (HXT & FXT) - Name & CUSIP Change
|
2024 |
April 29, 2024 |
045-24 |
Final Contract Adjustment - Celestica Inc. (CLS) - Share Reclassification and CUSIP Change
|
2024 |
April 25, 2024 |
044-24 |
Criteria for Eligibility of Securities Underlying Options
|
2024 |
April 25, 2024 |
043-24 |
Clearing Member Voluntary Withdrawal - HSBC Securities (Canada) Inc.
|
2024 |
April 24, 2024 |
042-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
April 16, 2024 |
041-24 |
Self-Certification: Amendments to the Rules and Operations and Risk manuals of the Canadian Derivatives Clearing Corporation regarding reference rate fallback procedures
|
2024 |
April 12, 2024 |
040-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
April 12, 2024 |
039-24 |
Final Contract Adjustment - Evolve ETFs - Bitcoin ETF (EBIT & FET) - Ether ETF (ETHR & FER) - Name Change
|
2024 |
April 11, 2024 |
038-24 |
Clearing Member Voluntary Withdrawal - Haywood Securities Inc.
|
2024 |
April 9, 2024 |
037-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
April 8, 2024 |
036-24 |
New Equity Option Class - Foran Mining Corporation (FOM)
|
2024 |
April 5, 2024 |
035-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
April 5, 2024 |
034-24 |
Name Change – from - Credential Qtrade Securities Inc. – to - Aviso Financial Inc.
|
2024 |
April 2, 2024 |
033-24 |
Anticipated Contract Adjustment - Nuvei Corporation (NVEI) - Plan of Arrangement
|
2024 |
March 28, 2024 |
032-24 |
RBC Dominion Securities Inc. Acquisition of HSBC Securities (Canada) Inc.
|
2024 |
March 27, 2024 |
031-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
March 27, 2024 |
030-24 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2024 |
March 27, 2024 |
029-24 |
Updated Haircuts On Government Securities Deposited as Collateral
|
2024 |
March 20, 2024 |
028-24 |
DELISTING OF THE SECTOR INDEX FUTURES ON THE S&P/ TSX COMPOSITE MEDIA GICS INDUSTRY GROUP TOTAL RETURN INDEX (SXS) AND THE BASIS TRADE ON CLOSE ON THE SECTOR INDEX FUTURES ON THE S&P/ TSX COMPOSITE MEDIA GICS INDUSTRY GROUP TOTAL RETURN INDEX (BXX)
|
2024 |
March 19, 2024 |
027-24 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2024 |
March 12, 2024 |
026-24 |
Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE) Special Cash Dividend
|
2024 |
March 12, 2024 |
025-24 |
Secured General Collateral (“SGC”) Administration Fees
|
2024 |
March 11, 2024 |
024-24 |
New Equity Option Class - MDA Ltd. (MDA)
|
2024 |
March 8, 2024 |
023-24 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2024 |
March 4, 2024 |
022-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
March 1, 2024 |
021-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
February 28, 2024 |
020-24 |
Re-Introduction of an Option Class - Dream Office Real Estate Investment Trust (D)
|
2024 |
February 28, 2024 |
019-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
February 26, 2024 |
018-24 |
Final Contract Adjustment - Dream Office Real Estate Investment Trust (D) - Reverse Split
|
2024 |
February 22, 2024 |
017-24 |
Anticipated Contract Adjustment - Enerplus Corporation (ERF) - Plan of Arrangement
|
2024 |
February 21, 2024 |
016-24 |
Re-Introduction of an Option Class - Aurora Cannabis Inc. (ACB)
|
2024 |
February 16, 2024 |
015-24 |
FINAL CONTRACT ADJUSTMENT - Aurora Cannabis Inc. (ACB)- Reverse Split
|
2024 |
February 9, 2024 |
014-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
February 8, 2024 |
013-24 |
Upcoming implementation of T+1 settlement cycle
|
2024 |
January 31, 2024 |
012-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
January 29, 2024 |
011-24 |
Criteria for Eligibility of Securities Underlying Options
|
2024 |
January 29, 2024 |
010-24 |
Reminder - Listing of Options on Three-Month CORRA Futures (OCR)
|
2024 |
January 24, 2024 |
009-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
January 19, 2024 |
008-24 |
Anticipated Contract Adjustment - Tricon Residential Inc. (TCN) - Plan of Arrangement
|
2024 |
January 19, 2024 |
007-24 |
Self-Certification: Amendments to the Rules of the Canadian Derivatives Clearing Corporation to introduce Options on the Three–Month CORRA Futures (OCR)
|
2024 |
January 12, 2024 |
006-24 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of Bitcoin Price Index Futures (Bt)
|
2024 |
January 5, 2024 |
005-24 |
Final Contract Adjustment - Shawcorp Ltd. (MATR) - Name and CUSIP Change
|
2024 |
January 4, 2024 |
004-24 |
Fixed Income Securities Eligible for Trading
|
2024 |
January 2, 2024 |
003-24 |
Trading by U.S. Residents
|
2024 |
January 2, 2024 |
002-24 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2024 |
January 2, 2024 |
001-24 |
Approved Depositories
|
2023 |
December 28, 2023 |
158-23 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2023 |
December 28, 2023 |
157-23 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2023 |
December 22, 2023 |
156-23 |
Re-Introduction of an Option Class and Share Future Contracts - Canopy Growth Corporation – WEED - ERRATUM
|
2023 |
December 22, 2023 |
155-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
December 21, 2023 |
154-23 |
Re-Introduction of an Option Class and Share Future Contracts - Canopy Growth Corporation – WEED
|
2023 |
December 19, 2023 |
153-23 |
Request for comments: Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation to move to T+1 Settlement
|
2023 |
December 19, 2023 |
152-23 |
Final Contract Adjustment - Canopy Growth Corporation (WEED) - Reverse Split
|
2023 |
December 15, 2023 |
151-23 |
FINAL CONTRACT ADJUSTMENT - Allied Properties REIT (AP) - Special Cash Dividend
|
2023 |
December 12, 2023 |
150-23 |
Expiry Schedule - ERRATUM
|
2023 |
December 12, 2023 |
149-23 |
Request for Comments - Amendments to the Rules and Operations and Risk manuals of the Canadian Derivatives Clearing Corporation regarding reference rate fallback procedures
|
2023 |
December 8, 2023 |
148-23 |
Amendments to the list of fees of Canadian Derivatives Clearing Corporation (effective January 1, 2024) - ERRATUM
|
2023 |
December 6, 2023 |
147-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
December 4, 2023 |
146-23 |
Re-Introduction of an Option Class - Hut 8 Corp. (HUT)
|
2023 |
December 4, 2023 |
145-23 |
Amendments to the list of fees of Canadian Derivatives Clearing Corporation (effective January 1, 2024)
|
2023 |
December 1, 2023 |
144-23 |
FINAL CONTRACT ADJUSTMENT- Hut 8 Mining Corp. (HUT)- Plan of Arrangement
|
2023 |
November 29, 2023 |
143-23 |
Trading by U.S. Residents – State of Georgia - UPDATE
|
2023 |
November 27, 2023 |
142-23 |
Notice - Request for Comments: Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation to include a Gross Client Margin Balance Risk Account Forecast
|
2023 |
November 23, 2023 |
141-23 |
Trading by U.S. Residents – State of Georgia
|
2023 |
November 22, 2023 |
140-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
November 20, 2023 |
139-23 |
Expiry Schedule
|
2023 |
November 16, 2023 |
138-23 |
Additions and Deletions of Weekly Equity Options Classes - Amendment
|
2023 |
November 16, 2023 |
137-23 |
Listing of Options on Three-Month CORRA Futures (OCR)
|
2023 |
November 15, 2023 |
136-23 |
Amendments to the Default Manual of the Canadian Derivatives Clearing Corporation regarding the Auction Tool used to organize a Default Auction during a Default Management Period
|
2023 |
November 14, 2023 |
135-23 |
2023 – 2024 Foreign Currency Holiday Schedule
|
2023 |
November 14, 2023 |
134-23 |
2023 – 2024 Holiday Schedule
|
2023 |
November 10, 2023 |
133-23 |
Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
|
2023 |
November 9, 2023 |
132-23 |
Additions and Deletions of Weekly Equity Options Classes
|
2023 |
November 8, 2023 |
131-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
November 6, 2023 |
130-23 |
New ETF Option Class - BMO S&P/TSX 60 Index ETF - (ZIU)
|
2023 |
October 31, 2023 |
129-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
October 31, 2023 |
128-23 |
Criteria for Eligibility of Securities Underlying Options
|
2023 |
October 26, 2023 |
127-23 |
Bank Holiday – November 13, 2023
|
2023 |
October 24, 2023 |
126-23 |
Request for comments - Amendments to Rules, Operations Manual, Risk Manual and Default Manual of Canadian Derivatives Clearing Corporation regarding the implementation of the Secured General Collateral (SGC) Repurchase Transaction
|
2023 |
October 20, 2023 |
125-23 |
Re-Introduction of an Option Class
|
2023 |
October 20, 2023 |
124-23 |
Final Contract Adjustment - 3iQ Ether Staking ETF (ETHQ & FEQ) - Name & CUSIP Change (Follow-Up)
|
2023 |
October 19, 2023 |
123-23 |
Final Contract Adjustment - 3iQ Ether ETF (ETHQ) - Name and CUSIP Change
|
2023 |
October 16, 2023 |
122-23 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2023 |
October 12, 2023 |
121-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
October 12, 2023 |
120-23 |
Exchange Traded Products - Update on BAX fallbacks implementation plan
|
2023 |
October 11, 2023 |
119-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
October 11, 2023 |
118-23 |
Final Contract Adjustment - TransAlta Renewables Inc. (RNW-TA1) - Plan of Arrangement (Follow-Up)
|
2023 |
October 10, 2023 |
117-23 |
Final Contract Adjustment - TransAlta Renewables Inc.(RNW) - Plan of Arrangement
|
2023 |
October 3, 2023 |
116-23 |
Final Contract Adjustment - Lithium Americas Corp. (LAC) - Plan of Arrangement
|
2023 |
October 3, 2023 |
115-23 |
Listing of Bitcoin Price Index Futures
|
2023 |
October 3, 2023 |
114-23 |
Self-Certification - Amendments to the Rules and Risk Manual of the Canadian Derivatives Clearing Corporation to List Cash Settled Bitcoin Price Index Futures
|
2023 |
September 28, 2023 |
113-23 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2023 |
September 28, 2023 |
112-23 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2023 |
September 21, 2023 |
111-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
September 15, 2023 |
110-23 |
Final Contract Adjustment - SNC Lavalin Group Inc. (SNC) - Symbol Change
|
2023 |
September 15, 2023 |
109-23 |
National Day for Truth and Reconciliation – October 2, 2023
|
2023 |
September 13, 2023 |
108-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
September 11, 2023 |
107-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
September 6, 2023 |
106-23 |
Clearing Member Voluntary Withdrawal - Macquarie Capital Markets Canada Ltd.
|
2023 |
September 1, 2023 |
105-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
September 1, 2023 |
104-23 |
Final Contract Adjustment - Home Capital Group Inc. (HCG) - Plan of Arrangement
|
2023 |
August 31, 2023 |
103-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
August 24, 2023 |
102-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
August 22, 2023 |
101-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
August 16, 2023 |
100-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
August 3, 2023 |
099-23 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2023 |
August 3, 2023 |
098-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
August 2, 2023 |
097-23 |
Final Contract Adjustment - Uni-Select Inc. (UNS) - Plan of Arrangement
|
2023 |
August 1, 2023 |
096-23 |
New Equity Options Classes
|
2023 |
July 31, 2023 |
095-23 |
Criteria for Eligibility of Securities Underlying Options
|
2023 |
July 28, 2023 |
094-23 |
Anticipated Contract Adjustment - TC Energy Corporation (TRP) - Plan of Arrangement
|
2023 |
July 21, 2023 |
093-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
July 19, 2023 |
092-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
July 12, 2023 |
091-23 |
ANTICIPATED CONTRACT ADJUSTMENT -TransAlta Renewable Inc. (RNW)- Plan of Arrangement
|
2023 |
July 6, 2023 |
090-23 |
Final Contract Adjustment - Organigram Holdings Inc. (OGI) - Reverse Split
|
2023 |
June 29, 2023 |
089-23 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2023 |
June 27, 2023 |
088-23 |
Final Contract Adjustment - HEXO Corp. (HEXO2-HEXO3) - Plan of Arrangement (Follow-Up)
|
2023 |
June 27, 2023 |
087-23 |
Re-Introduction of an Option Class and Share Future Contracts - Thomson Reuters Corporation – TRI
|
2023 |
June 27, 2023 |
086-23 |
Final Contract Adjustment - Filo Mining Corp. (FIL) - Name and CUSIP Change
|
2023 |
June 26, 2023 |
085-23 |
FINAL CONTRACT ADJUSTMENT- HEXO Corp. (HEXO2)- Plan of Arrangement
|
2023 |
June 23, 2023 |
084-23 |
FINAL CONTRACT ADJUSTMENT - Thomson Reuters Corporation (TRI-TRI1) - Plan of Arrangement (Follow-Up)
|
2023 |
June 23, 2023 |
083-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
June 22, 2023 |
082-23 |
FINAL CONTRACT ADJUSTMENT - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement
|
2023 |
June 22, 2023 |
081-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
June 21, 2023 |
080-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
June 20, 2023 |
079-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
June 20, 2023 |
078-23 |
Final Contract Adjustment - AcuityAds Holdings Inc. (ILLM) - Name and CUSIP Change
|
2023 |
June 16, 2023 |
077-23 |
Delisting of the Mid-Curve Options on BAX
|
2023 |
June 12, 2023 |
076-23 |
Request for comments - Amendments to the rules of the Canadian Derivatives Clearing Corporation on cybersecurity
|
2023 |
June 6, 2023 |
075-23 |
Final Contract Adjustment - Shawcor Ltd. (SCL) - Symbol Change
|
2023 |
June 5, 2023 |
074-23 |
Final Contract Adjustment - Westport Fuel Systems Inc. (WPRT) - Reverse Split
|
2023 |
June 2, 2023 |
073-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
June 1, 2023 |
072-23 |
Final Contract Adjustment - TMX Group Limited (X) - Stock Split
|
2023 |
May 26, 2023 |
071-23 |
Self-Certification - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation regarding the base initial margin model used to calibrate margin reliefs for exchange traded derivatives
|
2023 |
May 24, 2023 |
070-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
May 19, 2023 |
069-23 |
Final Contract Adjustment - Ritchie Bros. Auctioneers Incorporated (RBA & RBA1) - Name and CUSIP Change
|
2023 |
May 15, 2023 |
068-23 |
AMENDMENT - New Equity Option Class
|
2023 |
May 12, 2023 |
067-23 |
NEW EQUITY OPTION CLASS - Spartan Delta Corp. (SDE)
|
2023 |
May 11, 2023 |
066-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
May 8, 2023 |
065-23 |
Final Contract Adjustment - Maxar Technologies (MAXR) - Merger
|
2023 |
May 8, 2023 |
064-23 |
Self-Certification - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation Base Initial Margin Model Change for Fixed Income Products
|
2023 |
May 4, 2023 |
063-23 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2023 |
May 1, 2023 |
062-23 |
Risk Model Change - Fixed Income Transactions
|
2023 |
May 1, 2023 |
061-23 |
Criteria for Eligibility of Securities Underlying Options
|
2023 |
April 27, 2023 |
060-23 |
Anticipated Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement
|
2023 |
April 27, 2023 |
059-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
April 20, 2023 |
058-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
April 17, 2023 |
057-23 |
FINAL CONTRACT ADJUSTMENT - Canadian Pacific Railway Limited (CP) - Name and CUSIP Change
|
2023 |
April 14, 2023 |
056-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
April 14, 2023 |
055-23 |
FINAL CONTRACT ADJUSTMENT - AcuityAds Holdings Inc. (AT) - Symbol Change
|
2023 |
April 11, 2023 |
054-23 |
Anticipated Contract Adjustment - HEXO Corp. (HEXO2) - Plan of Arrangement
|
2023 |
April 10, 2023 |
053-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
April 10, 2023 |
052-23 |
FINAL CONTRACT ADJUSTMENT - 3iQ CoinShares Ether ETF (ETHQ) - Name and CUSIP Change
|
2023 |
April 10, 2023 |
051-23 |
FINAL CONTRACT ADJUSTMENT - 3iQ CoinShares Bitcoin ETF (BTCQ) - Name and CUSIP Change
|
2023 |
April 6, 2023 |
050-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
April 4, 2023 |
049-23 |
Final Contract Adjustment - Shaw Communications Inc. Cl B (SJR) - Plan of Arrangement
|
2023 |
April 4, 2023 |
048-23 |
Final Contract Adjustment - Yamana Gold Inc. (YRI- YRI1) - Plan of Arrangement (Follow-Up)
|
2023 |
March 31, 2023 |
047-23 |
Final Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
|
2023 |
March 30, 2023 |
046-23 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2023 |
March 30, 2023 |
045-23 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2023 |
March 29, 2023 |
044-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
March 29, 2023 |
043-23 |
The Implementation of the Gross Client Margin Model Initiative, by the Canadian Derivatives Clearing Corporation, and Open Interest
|
2023 |
March 29, 2023 |
042-23 |
Self-Certification - Amendments to the Rules, Operations Manual, Risk Manual and Default Manual of the Canadian Derivatives Clearing Corporation to Introduce the Gross Client Margin Model
|
2023 |
March 29, 2023 |
041-23 |
Clearing Fund Resizing in Support of the Implementation of the Gross Client Margin Regime
|
2023 |
March 27, 2023 |
040-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
March 22, 2023 |
039-23 |
RE-INTRODUCTION OF AN OPTION CLASS - Ritchie Bros. Auctioneers Incorporated (RBA)
|
2023 |
March 21, 2023 |
038-23 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2023 |
March 20, 2023 |
037-23 |
FINAL CONTRACT ADJUSTMENT - Ritchie Bros. Auctioneers Incorporated (RBA) - Special Cash Dividend
|
2023 |
March 14, 2023 |
036-23 |
Anticipated Contract Adjustment - Ritchie Bros. Auctioneers Incorporated (RBA) - Special Cash Dividend
|
2023 |
March 2, 2023 |
035-23 |
Final Contract Adjustment - Resolute Forest Products Inc. (RFP) - Merger
|
2023 |
March 1, 2023 |
034-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
February 28, 2023 |
033-23 |
Anticipated Contract Adjustment - Uni-Select Inc. (UNS) - Plan of Arrangement
|
2023 |
February 27, 2023 |
032-23 |
No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
|
2023 |
February 24, 2023 |
031-23 |
Trading by U.S. Residents – State of Florida - UPDATE
|
2023 |
February 22, 2023 |
030-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
February 22, 2023 |
029-23 |
Re-Introduction of an Option Class
|
2023 |
February 22, 2023 |
028-23 |
Anticipated Contract Adjustment - Teck Resources Limited (TECK) - Plan of Arrangement
|
2023 |
February 21, 2023 |
027-23 |
Final Contract Adjustment - BetaPro Natural Gas Leveraged Daily Bull ETF (HNU - HNU1) - Reverse Split (Follow-Up)
|
2023 |
February 17, 2023 |
026-23 |
Final Contract Adjustment - BetaPro Natural Gas Leveraged Daily Bull ETF (HNU) - Reverse Split
|
2023 |
February 14, 2023 |
025-23 |
Exclusion of the New 30-Year Bond from the 30-Year Government of Canada Bond Futures June 2023 Delivery Basket
|
2023 |
February 10, 2023 |
024-23 |
Anticipated Contract Adjustment - Hut 8 Mining Corp.(HUT) - Plan of Arrangement
|
2023 |
February 9, 2023 |
023-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
February 7, 2023 |
022-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
February 3, 2023 |
021-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
February 1, 2023 |
019-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
January 31, 2023 |
018-23 |
New Equity Options Classes - Global Atomic Corporation (GLO) - StorageVault Canada Inc. (SVI)
|
2023 |
January 31, 2023 |
017-23 |
Criteria for Eligibility of Securities Underlying Options
|
2023 |
January 27, 2023 |
016-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
January 27, 2023 |
015-23 |
Trading by U.S. Residents – State of Florida
|
2023 |
January 24, 2023 |
014-23 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of One-Month CORRA Futures (COA)
|
2023 |
January 19, 2023 |
013-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
January 19, 2023 |
012-23 |
Final Contract Adjustment - The Valens Company Inc. (VLNS- VLNS1) - Plan of Arrangement (Follow-Up)
|
2023 |
January 19, 2023 |
011-23 |
Reminder - Listing of One-Month CORRA Futures (COA)
|
2023 |
January 18, 2023 |
010-23 |
Final contract adjustment - The Valens Company Inc. (VLNS) - Plan of Arrangement
|
2023 |
January 18, 2023 |
009-23 |
Self-certification: Amendments to the rules of the Canadian derivatives clearing corporation to modify the final settlement price of the one-month CORRA Futures (COA)
|
2023 |
January 16, 2023 |
008-23 |
Final Contract Adjustment - Sierra Wireless Inc. (SW) - Merger
|
2023 |
January 13, 2023 |
007-23 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2023 |
January 12, 2023 |
006-23 |
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Special Cash Dividend
|
2023 |
January 6, 2023 |
005-23 |
New Equity Option Class - Brookfield Asset Management Ltd. (BAM)
|
2023 |
January 4, 2023 |
004-23 |
Fixed Income Securities Eligible for Trading
|
2023 |
January 3, 2023 |
003-23 |
Trading by U.S. Residents
|
2023 |
January 3, 2023 |
002-23 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2023 |
January 3, 2023 |
001-23 |
Approved Depositories
|
2022 |
December 30, 2022 |
163-22 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2022 |
December 30, 2022 |
162-22 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2022 |
December 23, 2022 |
161-22 |
New Equity Option Class and Share Future Contracts - Brookfield Corporation (BN & FBN)
|
2022 |
December 19, 2022 |
160-22 |
Final Contract Adjustment - HEXO Corp. (HEXO - HEXO2) - Reverse Split (Follow-Up)
|
2022 |
December 19, 2022 |
159-22 |
Final Contract Adjustment - Turquoise Hill Resources Ltd. (TRQ) - Plan of Arrangement
|
2022 |
December 19, 2022 |
158-22 |
Anticipated Contract Adjustment - Maxar Technologies (MAXR) - Merger
|
2022 |
December 19, 2022 |
157-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
December 16, 2022 |
156-22 |
Final Contract Adjustment - HEXO Corp. (HEXO) - Reverse Split
|
2022 |
December 7, 2022 |
155-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
December 6, 2022 |
154-22 |
Notice to Clearing Members - Listing of One-Month CORRA Futures (COA)
|
2022 |
December 1, 2022 |
153-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
December 1, 2022 |
152-22 |
Modification to the last trading day of the Three-Month Canadian Bankers’ Acceptance Futures (BAX)
|
2022 |
November 30, 2022 |
151-22 |
Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM) - Distribution, Name, Symbol and CUSIP Change
|
2022 |
November 28, 2022 |
150-22 |
Amendments to the list of fees of Canadian derivatives clearing corporation (effective January 1, 2023)
|
2022 |
November 24, 2022 |
149-22 |
Final Contract Adjustment - Dream Unlimited Corp (DRM) - Special Cash Dividend
|
2022 |
November 23, 2022 |
148-22 |
Final Contract Adjustment - ATS Automation Tooling Systems Inc. (ATA) - Name, CUSIP and Symbol Change
|
2022 |
November 21, 2022 |
147-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
November 21, 2022 |
146-22 |
Anticipated Contract Adjustment - Home Capital Group Inc. (HCG) - Plan of Arrangement
|
2022 |
November 21, 2022 |
145-22 |
Expiry Schedule
|
2022 |
November 17, 2022 |
144-22 |
New Clearing Member – PI Financial Corp.
|
2022 |
November 16, 2022 |
143-22 |
Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
|
2022 |
November 14, 2022 |
142-22 |
2022 – 2023 Foreign Currency Holiday Schedule
|
2022 |
November 14, 2022 |
141-22 |
2022 – 2023 Holiday Schedule
|
2022 |
November 10, 2022 |
140-22 |
Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
|
2022 |
November 9, 2022 |
139-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
November 9, 2022 |
138-22 |
Re-Introduction of an Option Class - Horizons Marijuana Life Sciences Index ETF (HMMJ)
|
2022 |
November 8, 2022 |
137-22 |
Anticipated Contract Adjustment - Summit Industrial Income REIT (SMU) - Plan of Arrangement
|
2022 |
November 4, 2022 |
136-22 |
Anticipated Contract Adjustment - Lithium Americas (LAC) - Plan of Arrangement
|
2022 |
November 4, 2022 |
135-22 |
Final Contract Adjustment - Horizons Marijuana Life Sciences Index ETF (HMMJ & HMMJ1) - Reverse Split
|
2022 |
November 3, 2022 |
134-22 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2022 |
November 2, 2022 |
133-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
October 28, 2022 |
132-22 |
Bank Holiday – November 11, 2022
|
2022 |
October 27, 2022 |
131-22 |
Modification of the Delivery Period of the 30-Year Government of Canada Bond Futures (LGB)
|
2022 |
October 26, 2022 |
130-22 |
Request for comments - Amendments to the rules of the Canadian derivatives clearing corporation to modify the final settlement price of the one-month Corra Futures (COA)
|
2022 |
October 25, 2022 |
129-22 |
Self-certification - Amendments to the rules of the Bourse de Montréal Inc. to modify the delivery period of the 30-year government of Canada Bond Futures (LGB)
|
2022 |
October 24, 2022 |
128-22 |
New Equity Options Classes
|
2022 |
October 21, 2022 |
127-22 |
Criteria for Eligibility of Securities Underlying Options
|
2022 |
October 20, 2022 |
126-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
October 17, 2022 |
125-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
October 14, 2022 |
124-22 |
FINAL CONTRACT ADJUSTMENT - Birchcliff Energy Ltd. (BIR) - Special Cash Dividend
|
2022 |
October 12, 2022 |
123-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
September 30, 2022 |
122-22 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2022 |
September 30, 2022 |
121-22 |
Updated Haircut on Foreign Currency Deposited as Collateral
|
2022 |
September 29, 2022 |
120-22 |
Xebec Adsorption Inc. (XBC) - Suspension
|
2022 |
September 21, 2022 |
119-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
September 20, 2022 |
118-22 |
National Day for Truth and Reconciliation – September 30, 2022
|
2022 |
September 19, 2022 |
117-22 |
Notice of withdrawal - Request for comments - Amendments to the risk of the Canadian derivatives clearing corporation to introduce a new risk model recalibration process
|
2022 |
September 14, 2022 |
116-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
September 14, 2022 |
115-22 |
Federal Holiday, September 19, 2022
|
2022 |
September 13, 2022 |
114-22 |
Change in Last Trading Day and the Expiry Date on the September 2022 Three-Month Bankers' Acceptance Future Contracts and Options on Three Month Bankers’ Acceptance Futures Contract
|
2022 |
September 9, 2022 |
113-22 |
Re-introduction of an option class - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF. (HND)
|
2022 |
September 8, 2022 |
112-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
September 2, 2022 |
111-22 |
Final Contract Adjustment - LifeWorks Inc. (LWRK) - Plan of Arrangement
|
2022 |
September 2, 2022 |
110-22 |
Final Contract Adjustment - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) - Reverse Split
|
2022 |
September 2, 2022 |
109-22 |
Final Contract Adjustment - Alimentation Couche-Tard Inc. (ATD) - Share reclassification and CUSIP Change
|
2022 |
September 2, 2022 |
108-22 |
Anticipated Contract Adjustment - Turquoise Hill Resources Ltd.(TRQ) - Plan of Arrangement
|
2022 |
September 2, 2022 |
107-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
September 1, 2022 |
106-22 |
Delisting of Canadian Share Futures with Basis Trade on Close on Two Classes
|
2022 |
August 23, 2022 |
105-22 |
Anticipated Contract Adjustment - The Valens Company Inc. (VLNS) - Plan of Arrangement
|
2022 |
August 17, 2022 |
104-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
August 12, 2022 |
103-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
August 10, 2022 |
102-22 |
Criteria for Eligibility of Securities Underlying Options
|
2022 |
August 9, 2022 |
101-22 |
Final Contract Adjustment - Canadian Natural Resources Ltd.(CNQ & FCQ) - Special Cash Dividend
|
2022 |
August 5, 2022 |
100-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
August 4, 2022 |
099-22 |
Addition of Weekly Equity Options Classes
|
2022 |
August 3, 2022 |
098-22 |
RE-INTRODUCTION OF ETF OPTION CLASSES - Horizons Marijuana Life Sciences Index ETF (HMMJ) - BetaPro Crude Oil Inverse Leveraged Daily Bear ETF (HOD)
|
2022 |
August 3, 2022 |
097-22 |
ANTICIPATED CONTRACT ADJUSTMENT - Sierra Wireless Inc. (SW) - Merger
|
2022 |
August 3, 2022 |
096-22 |
Request for comments - Amendments to rule C-18 and section 6.6 of the operations manual of the Canadian derivatives clearing corporationto modify the delivery period of the 30-year government of Canada bond future contracts (LGB)
|
2022 |
July 29, 2022 |
095-22 |
Final Contract Adjustment - Verde Agritech Plc. (NPK) - Name and CUSIP Change
|
2022 |
July 29, 2022 |
094-22 |
Final Contract Adjustment – ERRATUM - Horizons Marijuana Life Sciences Index ETF (HMMJ) - Reverse Split
|
2022 |
July 29, 2022 |
093-22 |
Final Contract Adjustment - BetaPro Crude Oil Inversed Leveraged Daily Bear ETF (HOD) - Reverse Split
|
2022 |
July 29, 2022 |
092-22 |
Final Contract Adjustment - Horizons Marijuana Life Sciences Index ETF (HMMJ) - Reverse Split
|
2022 |
July 28, 2022 |
091-22 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2022 |
July 25, 2022 |
090-22 |
New Equity Options Classes
|
2022 |
July 22, 2022 |
089-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
July 20, 2022 |
088-22 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2022 |
July 8, 2022 |
087-22 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2022 |
July 7, 2022 |
086-22 |
ANTICIPATED CONTRACT ADJUSTMENT - Resolute Forest Products Inc. (RFP) - Merger
|
2022 |
July 6, 2022 |
085-22 |
Voyager Digital Ltd. (VOYG) - Suspension
|
2022 |
June 30, 2022 |
084-22 |
FINAL CONTRACT ADJUSTMENT - Intertape Polymer Group (ITP) - Plan of Arrangement
|
2022 |
June 30, 2022 |
083-22 |
UPDATED FOREIGN CURRENCY HAIRCUT DEPOSITED AS COLLATERAL
|
2022 |
June 30, 2022 |
082-22 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2022 |
June 30, 2022 |
081-22 |
UPDATED THRESHOLD AND SURCHAGE VALUES FOR THE ADDITIONAL MARGIN FOR MARKET LIQUIDITY RISK
|
2022 |
June 29, 2022 |
080-22 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2022 |
June 22, 2022 |
079-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
June 20, 2022 |
078-22 |
Fixed Income Securities Eligible For Trading
|
2022 |
June 20, 2022 |
077-22 |
Final Contract Adjustment - Shopify Inc. (SHOP & FSH) - Stock Split
|
2022 |
June 17, 2022 |
076-22 |
Anticipated Contract Adjustment - LifeWorks Inc. (LWRK) - Plan of Arrangement
|
2022 |
June 15, 2022 |
075-22 |
Re-Introduction Of Option Classes And Share Future Contracts - Bombardier Inc. Cl B (BBD) - Brookfield Infrastructure Partners L.P. (BIP & FRQ)
|
2022 |
June 13, 2022 |
074-22 |
Final Contract Adjustment - Neptune Wellness Solutions Inc. (NEPT - NEPT1) - Reverse Split (Follow-Up)
|
2022 |
June 13, 2022 |
073-22 |
Final Contract Adjustment - Inter Pipeline Ltd. (IPL1- IPL2 Brookfield Infrastructure Corporation BIPC) - Stock Split
|
2022 |
June 10, 2022 |
072-22 |
Final Contract Adjustment - Inter Pipeline Ltd. (IPL1 - Brookfield Infrastructure Corporation BIPC) - Stock Split
|
2022 |
June 10, 2022 |
071-22 |
Final Contract Adjustment - Bombardier Inc. Cl B (BBD) - Reverse Split
|
2022 |
June 10, 2022 |
070-22 |
Final Contract Adjustment - Neptune Wellness Solutions Inc. (NEPT) - Reverse Split
|
2022 |
June 2, 2022 |
069-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
June 2, 2022 |
068-22 |
Final Contract Adjustment - Brookfield Infrastructure Partners L.P. (BIP & FRQ) - Stock Split
|
2022 |
June 1, 2022 |
067-22 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2022 |
June 1, 2022 |
066-22 |
Trading by U.S. Residents
|
2022 |
June 1, 2022 |
065-22 |
Approved Depositories
|
2022 |
June 1, 2022 |
064-22 |
Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
|
2022 |
May 27, 2022 |
063-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 25, 2022 |
062-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 20, 2022 |
061-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 19, 2022 |
060-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 18, 2022 |
059-22 |
Final Contract Adjustment - Tilray Inc. (TLRY & TLRY1) - Name Change
|
2022 |
May 12, 2022 |
058-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 12, 2022 |
057-22 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2022 |
May 10, 2022 |
056-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
May 6, 2022 |
055-22 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2022 |
May 5, 2022 |
054-22 |
New Equity Options Classes
|
2022 |
May 4, 2022 |
053-22 |
Final Contract Adjustment - Canadian Imperial Bank of Commerce (CM & FCB) - Stock Split
|
2022 |
May 3, 2022 |
052-22 |
Criteria for Eligibility Of Securities Underlying Options
|
2022 |
May 3, 2022 |
051-22 |
Threshold and Surcharge Values for The Additional Margin for Market Liquidity Risk of Total Return Sector Index Futures
|
2022 |
April 29, 2022 |
050-22 |
Selfcertification - Introduction of New Sector Index Futures
|
2022 |
April 27, 2022 |
049-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
April 26, 2022 |
048-22 |
New Total Return Sector Index Futures
|
2022 |
April 13, 2022 |
047-22 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2022 |
April 11, 2022 |
046-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
April 11, 2022 |
045-22 |
Amendment to the List of Fees of Canadian Derivatives Clearing Corporation (effective May 1st, 2021)
|
2022 |
April 6, 2022 |
044-22 |
Listing of New Total Return Sector Index Futures
|
2022 |
March 28, 2022 |
042-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
March 25, 2022 |
041-22 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2022 |
March 24, 2022 |
040-22 |
New Equity Options Classes
|
2022 |
March 24, 2022 |
039-22 |
Final Contract Adjustment - Capstone Mining Corp. (CS) - Name and CUSIP Change
|
2022 |
March 18, 2022 |
038-22 |
Final Contract Adjustment – Erratum - Westshore Terminals Investment Corporation (WTE) - Special Cash Dividend
|
2022 |
March 16, 2022 |
037-22 |
Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE & FTE) – Special Cash Dividend
|
2022 |
March 16, 2022 |
036-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
March 14, 2022 |
035-22 |
Final Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG- PVG1) - Plan of Arrangement (Follow-Up)
|
2022 |
March 14, 2022 |
034-22 |
Report Changes for Index Futures
|
2022 |
March 11, 2022 |
033-22 |
Final Contract Adjustment - Brookfield Business Partners L.P. (BBU) - Stock Dividend (Special Distribution)
|
2022 |
March 11, 2022 |
032-22 |
Final Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG) - Plan of Arrangement
|
2022 |
March 10, 2022 |
031-22 |
Self-Certification - Minor Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation
|
2022 |
March 8, 2022 |
030-22 |
Anticipated Contract Adjustment - Intertape Polymer Group (ITP) - Plan of Arrangement
|
2022 |
March 8, 2022 |
029-22 |
Third request for comments - Amendments to the Operations Manual of CDCC on the Gross Client Margin Model initiative
|
2022 |
March 4, 2022 |
028-22 |
Sanctions Imposed on Russian Federation
|
2022 |
March 2, 2022 |
027-22 |
Anticipated Contract Adjustment - Brookfield Business Partners L.P. (BBU) - Stock Dividend (Special Distribution)
|
2022 |
March 2, 2022 |
026-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
March 2, 2022 |
025-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
March 2, 2022 |
024-22 |
Final Contract Adjustment - Cominar Real Estate Investment Trust (CUF) - Plan of Arrangement
|
2022 |
March 1, 2022 |
023-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
March 1, 2022 |
022-22 |
No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
|
2022 |
February 18, 2022 |
021-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
February 17, 2022 |
020-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
February 17, 2022 |
019-22 |
Additions and Deletions of Weekly Equity Options Classes
|
2022 |
February 15, 2022 |
018-22 |
Request for comments - Amendments to the Risk Manual of the CDCC to modify the base initial margin model change for fixed income products
|
2022 |
February 10, 2022 |
017-22 |
Final Contract Adjustment - Kirkland Lake Gold Ltd. (KL) - Merger (Follow-Up)
|
2022 |
February 9, 2022 |
016-22 |
Final Contract Adjustment - Kirkland Lake Gold Ltd. (KL) - Merger
|
2022 |
February 3, 2022 |
015-22 |
New Equity Option Class
|
2022 |
February 2, 2022 |
014-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
February 1, 2022 |
013-22 |
Delisting of Canadian Share Futures with Basis Trade on Close on Twenty-Three Classes
|
2022 |
January 31, 2022 |
012-22 |
Self-Certification - Amendments to Rules, Operations Manual, Risk Manual and Default Manual of the Canadian Derivatives Clearing Corporation to Introduce a Supplemental Liquidity Fund
|
2022 |
January 28, 2022 |
011-22 |
Supplemental Liquidity Fund - Launch Date
|
2022 |
January 25, 2022 |
010-22 |
Criteria for Eligibility of Securities Underlying Options
|
2022 |
January 25, 2022 |
009-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
January 20, 2022 |
008-22 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend (Follow-Up)
|
2022 |
January 18, 2022 |
007-22 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2022 |
January 18, 2022 |
006-22 |
Updated Foreign Currency Haircut Deposited as Collateral
|
2022 |
January 12, 2022 |
005-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
January 6, 2022 |
004-22 |
Fixed Income Securities Eligible for Trading
|
2022 |
January 4, 2022 |
003-22 |
Approved Depositories
|
2022 |
January 4, 2022 |
002-22 |
Trading by U.S. Residents
|
2022 |
January 4, 2022 |
001-22 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2021 |
December 31, 2021 |
196-21 |
Final Contract Adjustment - Village Farms International, Inc. (VFF) - Delisting
|
2021 |
December 29, 2021 |
195-21 |
Final Contract Adjustment - H&R Real Estate Investment Trust (HR) - Spin-Off
|
2021 |
December 24, 2021 |
194-21 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2021 |
December 23, 2021 |
193-21 |
Re-Introduction of an Option Class - ECN Capital Corp. (ECN)
|
2021 |
December 23, 2021 |
192-21 |
2022 Foreign Currency Holiday Schedule
|
2021 |
December 22, 2021 |
191-21 |
Final Contract Adjustment - Voyager Digital Ltd. (VOYG) - CUSIP Change
|
2021 |
December 22, 2021 |
190-21 |
Final Contract Adjustment - Artis Real Estate Investment Trust (AX) - Special Cash Dividend
|
2021 |
December 21, 2021 |
189-21 |
Anticipated Contract Adjustment - Capstone Mining Corp. (CS) - Plan of Arrangement
|
2021 |
December 20, 2021 |
188-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
December 16, 2021 |
187-21 |
Revised List of Fees effective January 7, 2022
|
2021 |
December 10, 2021 |
186-21 |
Final Contract Adjustment - ECN Capital Corp. (ECN) - Special Distribution - Erratum
|
2021 |
December 9, 2021 |
185-21 |
Final Contract Adjustment - ECN Capital Corp. (ECN) - Special Distribution
|
2021 |
December 8, 2021 |
184-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
December 7, 2021 |
183-21 |
Final Contract Adjustment - Alimentation Couche-Tard Inc. (ATD & FTA) - CUSIP and Underling Common Share Symbol Change
|
2021 |
December 2, 2021 |
182-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
December 1, 2021 |
181-21 |
Final Contract Adjustment - Domtar Corporation (UFS) - Merger
|
2021 |
November 26, 2021 |
180-21 |
Launch of the 30-Year Government of Canada Bond Futures (LGB) Contract and Trading Hours
|
2021 |
November 23, 2021 |
179-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
November 23, 2021 |
178-21 |
Amendment - Supplemental Liquidity Fund - New Launch Date
|
2021 |
November 22, 2021 |
177-21 |
Expiry Schedule
|
2021 |
November 19, 2021 |
176-21 |
Re-Introduction of an Option Class - The Valens Company Inc. (VLNS)
|
2021 |
November 19, 2021 |
175-21 |
Final Contract Adjustment - Trillium Therapeutics Inc. (TRIL) - Plan of Arrangement
|
2021 |
November 18, 2021 |
174-21 |
Final Contract Adjustment - The Valens Company Inc (VLNS - VLNS1) - Reverse Split (Follow-Up)
|
2021 |
November 17, 2021 |
173-21 |
FINAL CONTRACT ADJUSTMENT - The Valens Company Inc (VLNS) - Reverse Split
|
2021 |
November 16, 2021 |
172-21 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2021 |
November 15, 2021 |
171-21 |
New Equity Option Classes
|
2021 |
November 15, 2021 |
170-21 |
Reduction of the Minimum Price Fluctuation for the Front Month 3M CORRA Futures (CRA) Contract
|
2021 |
November 11, 2021 |
169-21 |
2021 – 2022 Holiday Schedule
|
2021 |
November 9, 2021 |
168-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
November 9, 2021 |
167-21 |
Anticipated Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG) - Plan of arrangement
|
2021 |
November 8, 2021 |
166-21 |
Re-Introduction of an ETF Option Class - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND)
|
2021 |
November 5, 2021 |
165-21 |
Final Contract Adjustment - Parex Resources Inc. (PXT) - Special Cash Dividend
|
2021 |
November 5, 2021 |
164-21 |
Second request for comments - Amendments to the Rules, Operations Manual, Risk Manual and Default Manual of CDCC on the Gross Client Margin Model initiative
|
2021 |
November 4, 2021 |
163-21 |
Final Contract Adjustment - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) - Reverse Split
|
2021 |
November 3, 2021 |
162-21 |
Modification to the Specifications of the 30-Year Government of Canada Bond Futures (LGB) Contract
|
2021 |
November 2, 2021 |
161-21 |
Anticipated Contract Adjustment - H&R Real Estate Investment Trust (HR) - Spin-Off
|
2021 |
November 2, 2021 |
160-21 |
Final Contract Adjustment - Inter Pipeline Ltd. (IPL - IPL1) - Plan of Arrangement (Follow-Up)
|
2021 |
November 2, 2021 |
159-21 |
Self-certification - Amendments to the Rule C-18 of CDCC to modify the delivery standards of the 30-year government of Canada bond futures contracts (LGB)
|
2021 |
November 1, 2021 |
158-21 |
Final Contract Adjustment - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
|
2021 |
October 28, 2021 |
157-21 |
Bank Holiday – November 11, 2021
|
2021 |
October 26, 2021 |
156-21 |
Anticipated Contract Adjustment - Cominar Real Estate Investment Trust (CUF) - Plan of Arrangement
|
2021 |
October 25, 2021 |
155-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
October 21, 2021 |
154-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
October 21, 2021 |
153-21 |
Criteria for Eligibility of Securities Underlying Options
|
2021 |
October 21, 2021 |
152-21 |
Final Contract Adjustment - Score Media and Gaming Inc. (SCR - SCR1) - Plan of Arrangement (Follow-Up)
|
2021 |
October 20, 2021 |
151-21 |
Delisting of S&P/MX International Cannabis Index Futures (SMJ)
|
2021 |
October 20, 2021 |
150-21 |
Final Contract Adjustment - Score Media and Gaming Inc. (SCR) - Plan of Arrangement
|
2021 |
October 19, 2021 |
149-21 |
Self-certification - Amendments to the Risk Manual of the CDCC to modify the initial margin model change for equity derivatives
|
2021 |
October 19, 2021 |
148-21 |
Self-certification - Amendments to the Risk Manual of the CDCC to modify the initial margin model change for bond derivatives
|
2021 |
October 19, 2021 |
147-21 |
Risk Model Change - Equity & Bond derivatives
|
2021 |
October 14, 2021 |
146-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
October 14, 2021 |
145-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
October 13, 2021 |
144-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
September 23, 2021 |
142-21 |
Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
|
2021 |
September 21, 2021 |
141-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
September 15, 2021 |
140-21 |
New ETF Option Class
|
2021 |
September 15, 2021 |
139-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
September 15, 2021 |
138-21 |
National Day for Truth and Reconciliation – September 30, 2021
|
2021 |
September 14, 2021 |
137-21 |
2021 Foreign Currency Holiday Schedule
|
2021 |
September 8, 2021 |
136-21 |
Supplemental Liquidity Fund
|
2021 |
September 2, 2021 |
135-21 |
Reminder: Asian Trading Hours Initiative Launch September 19, 2021
|
2021 |
September 1, 2021 |
134-21 |
Clearing Member Voluntary Withdrawal - R.J O’Brien Canada
|
2021 |
August 27, 2021 |
133-21 |
New Equity Options Classes
|
2021 |
August 25, 2021 |
132-21 |
Anticipated Contract Adjustment - Trillium Therapeutics Inc. (TRIL) - Plan of Arrangement
|
2021 |
August 24, 2021 |
131-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
August 20, 2021 |
130-21 |
Request for Comments - Amendments to Rules, Operations Manual, Risk Manual and Default Manual of the Canadian Derivatives Clearing Corporation to Introduce a Supplemental Liquidity Fund
|
2021 |
August 18, 2021 |
129-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
August 9, 2021 |
128-21 |
Final Contract Adjustment - Lightspeed POS Inc. (LSPD) - Name and CUSIP Change
|
2021 |
August 6, 2021 |
127-21 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2021 |
August 5, 2021 |
126-21 |
ANTICIPATED CONTRACT ADJUSTMENT Score Media and Gaming Inc. (SCR) Plan of Arrangement
|
2021 |
August 5, 2021 |
125-21 |
ANTICIPATED CONTRACT ADJUSTMENT - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
|
2021 |
August 3, 2021 |
124-21 |
Request for comments - Amendments to Rule C-18 of CDCC to modify the delivery standards of the 30-Year Government of Canada bond futures (LGB)
|
2021 |
July 30, 2021 |
123-21 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2021 |
July 29, 2021 |
122-21 |
FINAL CONTRACT ADJUSTMENT - Brookfield Property Partners L.P. (BPY- BAM2) - Plan of Arrangement (Follow-Up)
|
2021 |
July 28, 2021 |
121-21 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2021 |
July 27, 2021 |
120-21 |
ADDITIONS AND DELETIONS OF WEEKLY EQUITY OPTIONS CLASSES
|
2021 |
July 27, 2021 |
119-21 |
UPDATED THRESHOLD AND SURCHAGE VALUES FOR THE ADDITIONAL MARGIN FOR MARKET LIQUIDITY RISK
|
2021 |
July 27, 2021 |
118-21 |
AMENDMENTS TO THE LIST OF IMPACTED DATA SOURCE FILES FOLLOWING ANNOUNCEMENT OF MODIFICATIONS TO THE EXPIRY, LAST TRADING, LAST DECLARATION AND LAST TENDER DATES OF GOVERNMENT OF CANADA BOND FUTURES AT CDCC
|
2021 |
July 26, 2021 |
117-21 |
FINAL CONTRACT ADJUSTMENT - Brookfield Property Partners L.P. (BPY & FYP) - Plan of Arrangement
|
2021 |
July 26, 2021 |
116-21 |
ANTICIPATED CONTRACT ADJUSTMENT (Follow-Up) Inter Pipeline Ltd. (IPL) Plan of Arrangement - Terminated
|
2021 |
July 26, 2021 |
115-21 |
Aurinia Pharmaceuticals Inc. (AUP) Delisting
|
2021 |
July 23, 2021 |
114-21 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2021 |
July 21, 2021 |
113-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
July 19, 2021 |
112-21 |
Modifications to the Expiry Date, Last Trading Day, Last Declaration Day and Last Tender Day of Government of Canada Bond Futures at CDCC
|
2021 |
July 16, 2021 |
111-21 |
Final Contract Adjustment - Uranium Participation Corporation (U) - Plan of Arrangement
|
2021 |
July 13, 2021 |
110-21 |
Extension of Trading & Clearing Hours - Substitution and Escalation Contacts
|
2021 |
July 9, 2021 |
109-21 |
Approved Depositories
|
2021 |
July 9, 2021 |
108-21 |
Trading by U.S. Residents
|
2021 |
July 9, 2021 |
107-21 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2021 |
July 6, 2021 |
106-21 |
Re-Introduction of an ETF Option Class - BetaPro Crude Oil Inverse Leveraged Daily Bear ETF (HOD)
|
2021 |
July 6, 2021 |
105-21 |
Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM1) - Special Distribution (Follow-Up)
|
2021 |
July 5, 2021 |
104-21 |
New Equity and ETF Options Classes
|
2021 |
July 5, 2021 |
103-21 |
ERRATUM - Updated Haircuts On Government Securities Deposited as Collateral
|
2021 |
July 5, 2021 |
102-21 |
Request for comments - Amendments to the Rules, Operations Manual, Risk Manual and Default Manual of CDCC to introduce the Gross Client Margin Model
|
2021 |
June 30, 2021 |
101-21 |
National Day for Truth and Reconciliation - Bill C-5
|
2021 |
June 30, 2021 |
100-21 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2021 |
June 29, 2021 |
099-21 |
Re-Introduction of an Option Class - Brookfield Asset Management Inc. Class A (BAM)
|
2021 |
June 28, 2021 |
098-21 |
Re-Introduction of an Option Class - Resolute Forest Products Inc. (RFP)
|
2021 |
June 24, 2021 |
097-21 |
Final Contract Adjustment - Winpak Ltd. (WPK) - Special Cash Dividend
|
2021 |
June 22, 2021 |
096-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
June 22, 2021 |
095-21 |
Final Contract Adjustment - BetaPro Crude Oil -1x Daily Bear ETF (HOD) - Reverse Split
|
2021 |
June 15, 2021 |
094-21 |
Final Contract Adjustment - Endeavour Mining Corporation (EDV & EDV2) - Name and CUSIP Change
|
2021 |
June 15, 2021 |
093-21 |
Final Contract Adjustment - Resolute Forest Products Inc. (RFP) - Special Cash Dividend
|
2021 |
June 14, 2021 |
092-21 |
Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM & FBM) - Special Distribution
|
2021 |
June 10, 2021 |
091-21 |
Anticipated Contract Adjustment - Uranium Participation Corporation (U) - Plan of Arrangement
|
2021 |
June 7, 2021 |
090-21 |
Standby Liquidity Facility Reminder of Pass-Through Chargeback Effective July 1, 2021
|
2021 |
June 3, 2021 |
089-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
June 3, 2021 |
088-21 |
Just Energy Group Inc. (JE) - Delisting
|
2021 |
June 3, 2021 |
087-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
June 1, 2021 |
086-21 |
Anticipated Contract Adjustment - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
|
2021 |
May 31, 2021 |
085-21 |
New Equity and ETF Options Classes
|
2021 |
May 27, 2021 |
084-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
May 26, 2021 |
083-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
May 25, 2021 |
082-21 |
Request for comments - Amendments to the Risk Manual of Canadian Derivatives Clearing Corporation regarding the initial margin model change for bond derivatives
|
2021 |
May 20, 2021 |
081-21 |
Initial Listing of Options on Two-Year and Five-Year GOC Bond Futures and Reduction of the Strike Price Range for Options on CGB (OGB)
|
2021 |
May 19, 2021 |
080-21 |
Final Contract Adjustment - Morneau Sheppell Inc. (MSI) - Name, CUSIP and Symbol Change
|
2021 |
May 14, 2021 |
079-21 |
Final Contract Adjustment - Interfor Corporation (IFP) - Special Cash Dividend
|
2021 |
May 13, 2021 |
078-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
May 12, 2021 |
077-21 |
ANTICIPATED CONTRACT ADJUSTMENT - Domtar Corporation (UFS) - Merger
|
2021 |
May 10, 2021 |
076-21 |
Final Contract Adjustment - Badger Daylighting Ltd. (BAD) - Name, CUSIP and Symbol Change
|
2021 |
May 10, 2021 |
075-21 |
New Equity and ETF Options Classes
|
2021 |
May 6, 2021 |
074-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
May 5, 2021 |
073-21 |
Final Contract Adjustment - Aphria Inc. (APHA) - Plan of Arrangement (Follow-Up)
|
2021 |
May 4, 2021 |
071-21 |
Final Contract Adjustment - Aphria Inc. (APHA & FPA) - Plan of Arrangement
|
2021 |
May 3, 2021 |
070-21 |
Final Contract Adjustment - Canadian Pacific Railway Limited (CP) - Stock Split
|
2021 |
April 29, 2021 |
069-21 |
Listing of Options on the Two-Year And Five-Year Government of Canada Bond Futures (OGZ AND OGF)
|
2021 |
April 28, 2021 |
068-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
April 28, 2021 |
067-21 |
New Equity and ETF Options Classes
|
2021 |
April 26, 2021 |
066-21 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2021 |
April 26, 2021 |
065-21 |
Anticipated Contract Adjustment - Canadian Pacific Railway Limited (CP) - Stock Split
|
2021 |
April 23, 2021 |
064-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
April 22, 2021 |
063-21 |
Name Change from Mackie Research Capital Corporation to Research Capital Corporation
|
2021 |
April 22, 2021 |
062-21 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of S&P/TSX Composite ESG Index Futures (SCG)
|
2021 |
April 20, 2021 |
061-21 |
Criteria for Eligibility of Securities Underlying Options
|
2021 |
April 16, 2021 |
060-21 |
ERRATUM - New Equity and ETF Options Classes
|
2021 |
April 16, 2021 |
059-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
April 16, 2021 |
058-21 |
New Equity and ETF Options Classes
|
2021 |
April 15, 2021 |
057-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
April 14, 2021 |
056-21 |
Bourse De Montréal and CDCC Reschedule the Launch of Asian Trading Hours Initiative
|
2021 |
April 12, 2021 |
055-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
April 12, 2021 |
054-21 |
New S&P/TSX 60 Composite Index Futures
|
2021 |
April 8, 2021 |
053-21 |
Final Contract Adjustment - Seven Generations Energy Ltd. (VII - ARX1) - Plan of Arrangement (Follow-Up)
|
2021 |
April 7, 2021 |
052-21 |
Final Contract Adjustment - Seven Generations Energy Ltd. (VII & FSG) - Plan of Arrangement
|
2021 |
April 5, 2021 |
051-21 |
FINAL CONTRACT ADJUSTMENT - Sagen MI Canada Inc. (MIC & FCM) - Plan of Arrangement
|
2021 |
April 1, 2021 |
050-21 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2021 |
April 1, 2021 |
049-21 |
ANTICIPATED CONTRACT ADJUSTMENT Brookfield Property Partners L.P. (BPY) Plan of Arrangement - Follow-Up
|
2021 |
March 31, 2021 |
048-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
March 23, 2021 |
047-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
March 17, 2021 |
046-21 |
Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE & FTE) - Special Cash Dividend
|
2021 |
March 15, 2021 |
045-21 |
Anticipated Contract Adjustment - Shaw Communications Inc. Cl B (SJR) - Plan of Arrangement
|
2021 |
March 15, 2021 |
044-21 |
Self-certification - Amendment to Rule A-9 and Rule B-3 of CDCC concerning adjustments in contract terms
|
2021 |
March 12, 2021 |
043-21 |
Revised version - Amendment to the List of Fees of Canadian Derivatives Clearing Corporation (effective April 1st, 2021)
|
2021 |
March 9, 2021 |
042-21 |
Just Energy Group Inc. (JE) - Suspension
|
2021 |
March 9, 2021 |
041-21 |
Amendment to the List of Fees of Canadian Derivatives Clearing Corporation (effective April 1st, 2021)
|
2021 |
March 4, 2021 |
040-21 |
New S&P/TSX Composite ESG Index Futures
|
2021 |
March 4, 2021 |
039-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
March 1, 2021 |
038-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
February 26, 2021 |
037-21 |
New ETF Option Class
|
2021 |
February 26, 2021 |
036-21 |
Self-certification - Amendments to the Rules and Manuals of CDCC to accommodate the extension of the trading hours of Bourse de Montréal Inc.
|
2021 |
February 26, 2021 |
035-21 |
Final Contract Adjustment - TORC Oil & Gas Ltd. (TOG) - Plan of Arrangement
|
2021 |
February 25, 2021 |
034-21 |
Modifications to the allocation of the Supplemental Temporary Clearing Fund sizing Methodology
|
2021 |
February 24, 2021 |
033-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
February 23, 2021 |
032-21 |
Request for comments - Amendments to CDCC’s Risk Manual in order to introduce a new risk model recalibration process
|
2021 |
February 22, 2021 |
031-21 |
Options Expiry Cycles Rollout Plan
|
2021 |
February 22, 2021 |
030-21 |
New Equity and ETF Options Classes
|
2021 |
February 16, 2021 |
029-21 |
Final Contract Adjustment - Teranga Gold Corporation (TGZ) - Plan of Arrangement
|
2021 |
February 11, 2021 |
028-21 |
ANTICIPATED CONTRACT ADJUSTMENT - Seven Generations Energy Ltd. (VII) - Plan of Arrangement
|
2021 |
February 11, 2021 |
027-21 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2021 |
February 8, 2021 |
026-21 |
Final Contract Adjustment - Genworth MI Canada Inc. (MIC & FCM) - Name and CUSIP Change
|
2021 |
February 5, 2021 |
025-21 |
Self-certification - Minor amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation
|
2021 |
February 4, 2021 |
024-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
February 4, 2021 |
023-21 |
Asian Trading Hours Initiative Launch Date Announcement
|
2021 |
February 3, 2021 |
022-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
February 3, 2021 |
021-21 |
Final Contract Adjustment - Norbord Inc. (OSB - WFG1) - Plan of Arrangement (Follow-Up)
|
2021 |
February 2, 2021 |
020-21 |
Request for comments - Amendments to the Risk Manual of CDCC: Initial margin model change for equity derivatives
|
2021 |
February 2, 2021 |
019-21 |
Final Contract Adjustment - Norbord Inc. (OSB) - Plan of Arrangement
|
2021 |
February 1, 2021 |
018-21 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of S&P/TSX 60 Dividend Index Futures (SDV)
|
2021 |
January 29, 2021 |
017-21 |
Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT) - Symbol Change (Follow-Up) - Erratum
|
2021 |
January 29, 2021 |
016-21 |
Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT & FWT) - Symbol Change
|
2021 |
January 28, 2021 |
015-21 |
Introduction of Long Term Futures Contracts on the S&P TSX 60 Index (“SXF”)
|
2021 |
January 28, 2021 |
014-21 |
New S&P/TSX 60 Dividend Index Futures
|
2021 |
January 27, 2021 |
013-21 |
Criteria for Eligibility of Securities Underlying Options
|
2021 |
January 27, 2021 |
012-21 |
Self-certification - Amendments to the Rules of CDCC to introduce Futures on Dividend Indices and to list for trading longer dated S&P/TSX 60 Index Standard Futures (SXF)
|
2021 |
January 25, 2021 |
011-21 |
Restatement of Five-Year Government of Canada Bond Futures (CGF) and Ten-Year Government of Canada Bond Futures (CGB) Open Interest
|
2021 |
January 19, 2021 |
010-21 |
Self-certification - Amendments to the Rules and Operations Manual of CDCC regarding the requirement of the authorization stamp by clearing members
|
2021 |
January 11, 2021 |
009-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
January 8, 2021 |
008-21 |
Fixed Income Securities Eligible for Trading
|
2021 |
January 6, 2021 |
007-21 |
Final Contract Adjustment - Husky Energy Inc. (HSE - CVE1) - Plan of Arrangement (Follow-Up)
|
2021 |
January 5, 2021 |
006-21 |
Anticipated Contract Adjustment - Brookfield Property Partners L.P. (BPY) - Plan of Arrangement
|
2021 |
January 5, 2021 |
005-21 |
Final Contract Adjustment - Husky Energy Inc. (HSE & FHS) - Plan of Arrangement
|
2021 |
January 4, 2021 |
004-21 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2021 |
January 4, 2021 |
003-21 |
Approved Depositories
|
2021 |
January 4, 2021 |
002-21 |
Trading by U.S. Residents
|
2021 |
January 4, 2021 |
001-21 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2020 |
December 31, 2020 |
178-20 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2020 |
December 24, 2020 |
177-20 |
Re-Introduction of an Option Class and Share Future Contracts - HEXO Corp. - HEXO
|
2020 |
December 22, 2020 |
176-20 |
Final Contract Adjustment - HEXO Corp (HEXO & FHX) - Reverse Split
|
2020 |
December 18, 2020 |
175-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
December 16, 2020 |
174-20 |
Anticipated Contract Adjustment - Aphria Inc. (APHA) - Plan of Arrangement
|
2020 |
December 15, 2020 |
173-20 |
Re-Introduction of an Option Class - Brookfield Renewable Energy Partners L.P. (BEP)
|
2020 |
December 14, 2020 |
172-20 |
Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP3) - Stock Split (Follow-Up)
|
2020 |
December 11, 2020 |
171-20 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of S&P/TSX ESG Index Futures (SEG)
|
2020 |
December 10, 2020 |
170-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
December 9, 2020 |
169-20 |
Anticipated Contract Adjustment - TORC Oil & Gas Ltd. (TOG) - Plan of Arrangement
|
2020 |
December 9, 2020 |
168-20 |
New S&P/TSX 60 ESG Index Futures
|
2020 |
December 9, 2020 |
167-20 |
Self-certification - Amendments to the Rules of the CDCC in order to introduce ESG Equity Index Futures
|
2020 |
December 3, 2020 |
166-20 |
Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP & BEP1) - Stock Split
|
2020 |
December 1, 2020 |
165-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 26, 2020 |
164-20 |
Expiry Schedule
|
2020 |
November 25, 2020 |
163-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 19, 2020 |
162-20 |
2020 – 2021 Holiday Schedule
|
2020 |
November 19, 2020 |
161-20 |
Anticipated Contract Adjustment - Norbord Inc. (OSB) - Plan of Arrangement
|
2020 |
November 19, 2020 |
160-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 18, 2020 |
159-20 |
DELISTING OF CANADIAN SHARE FUTURES AND BASIS TRADE ON CLOSE FUNCTIONALITY
|
2020 |
November 16, 2020 |
158-20 |
Anticipated Contract Adjustment - Teranga Gold Corporation (TGZ) - Plan of Arrangement
|
2020 |
November 13, 2020 |
157-20 |
Re-Introduction of an Option Class - Precision Drilling Corporation - (PD)
|
2020 |
November 12, 2020 |
156-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 11, 2020 |
155-20 |
Introduction of Long Term Futures Contracts on the S&P TSX 60 Index (“SXF”)
|
2020 |
November 11, 2020 |
154-20 |
Anticipated Contract Adjustment - Great Canadian Gaming Corporation (GC) - Plan of Arrangement
|
2020 |
November 11, 2020 |
153-20 |
Anticipated Contract Adjustment - Brookfield Renewable Partners L.P. (BEP) - Stock Split
|
2020 |
November 11, 2020 |
152-20 |
Final Contract Adjustment - Precision Drilling Corporation (PD) - Reverse Split
|
2020 |
November 10, 2020 |
151-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 10, 2020 |
150-20 |
Self-certification - Amendments to the Rules of the CDCC in order to modify the nominal value of the Two-Year Government of Canada bond futures (CGZ)
|
2020 |
November 6, 2020 |
149-20 |
Two-Year Government of Canada Bond Futures (CGZ) Updated Intra-Commodity Spread Charge and the Additional Margin for Market Liquidity Risk
|
2020 |
November 6, 2020 |
148-20 |
New Equity Option Classes
|
2020 |
November 5, 2020 |
147-20 |
New S&P/TSX 60 Dividend Index Futures
|
2020 |
November 4, 2020 |
146-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
November 3, 2020 |
145-20 |
Request for comments - Amendment to Rule A-9 and Rule B-3 of CDCC in connection with adjustments in contract terms
|
2020 |
October 29, 2020 |
144-20 |
Name Change from BBS Securities Inc. to CI Investment Services Inc.
|
2020 |
October 29, 2020 |
143-20 |
Bank Holiday – November 11, 2020
|
2020 |
October 28, 2020 |
142-20 |
New S&P/TSX 60 ESG Index Futures
|
2020 |
October 28, 2020 |
141-20 |
Anticipated Contract Adjustment - Genworth MI Canada Inc. (MIC) - Plan of Arrangement
|
2020 |
October 27, 2020 |
140-20 |
Anticipated Contract Adjustment - Husky Energy Inc. (HSE) - Plan of Arrangement
|
2020 |
October 26, 2020 |
139-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
October 22, 2020 |
138-20 |
New Equity Option Class
|
2020 |
October 22, 2020 |
137-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
October 21, 2020 |
136-20 |
Criteria for Eligibility of Securities Underlying Options
|
2020 |
October 14, 2020 |
135-20 |
Amendments to the List of Fees of the Canadian Derivatives Clearing Corporation (effective November 1st, 2020)
|
2020 |
October 14, 2020 |
134-20 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2020 |
October 13, 2020 |
133-20 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2020 |
October 9, 2020 |
132-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
October 8, 2020 |
131-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
October 5, 2020 |
130-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
September 30, 2020 |
129-20 |
Re-Introduction of an Option Class - Just Energy Group (JE)
|
2020 |
September 29, 2020 |
128-20 |
Final Contract Adjustment - Just Energy Group Inc. (JE) - Reverse Split (Follow-Up)
|
2020 |
September 28, 2020 |
127-20 |
Final Contract Adjustment - Just Energy Group Inc. (JE) - Reverse Split
|
2020 |
September 25, 2020 |
126-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
September 21, 2020 |
125-20 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2020 |
September 21, 2020 |
124-20 |
New Equity Option Classes
|
2020 |
September 21, 2020 |
123-20 |
New Weekly Equity Options Classes
|
2020 |
September 21, 2020 |
122-20 |
Final Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement (Follow-Up)
|
2020 |
September 18, 2020 |
121-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
September 18, 2020 |
120-20 |
Final Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement
|
2020 |
September 16, 2020 |
119-20 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2020 |
September 9, 2020 |
118-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
September 8, 2020 |
117-20 |
Anticipated Contract Adjustment - Artis Real Estate Investment Trust (AX) - Spin-Off
|
2020 |
September 3, 2020 |
116-20 |
Final Contract Adjustment - BetaPro Natural Gas -2x Daily Bear ETF (HND) - Name Change & CUSIP Change
|
2020 |
September 3, 2020 |
115-20 |
Final Contract Adjustment - BetaPro Natural Gas -2x Daily Bull ETF (HNU) - Name Change & CUSIP Change
|
2020 |
September 3, 2020 |
114-20 |
Final Contract Adjustment - Alaris Royalty Corp. (AD) - Plan of Arrangement
|
2020 |
September 3, 2020 |
113-20 |
Buffer on 10 Years Volatility Floor for Futures and Options
|
2020 |
August 27, 2020 |
112-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
August 25, 2020 |
111-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
August 20, 2020 |
110-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
August 14, 2020 |
109-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
August 12, 2020 |
108-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
August 12, 2020 |
107-20 |
Anticipated Contract Adjustment - Bausch Health Companies Inc. (BHC) - Spin-Off
|
2020 |
August 12, 2020 |
M106-20 |
Request for Comments - Amendments to the Rules of the Canadian Derivatives Clearing Corporation to Modify the Nominal Value of the Two-Year Government of Canada Bond Futures (CGZ)
|
2020 |
August 11, 2020 |
105-20 |
Request for Comments - Amendments to the Rules and Operations Manual of the Canadian Derivatives Clearing Corporation Regarding the Requirement of the Authorization Stamp by Clearing Members
|
2020 |
August 5, 2020 |
104-20 |
Request for comments - Amendments to the Rules and Manuals of CDCC to accomodate the extension of the trading hours of the Bourse
|
2020 |
August 4, 2020 |
103-20 |
RE-INTRODUCTION OF AN OPTION CLASS - Brookfield Renewable Energy Partners L.P. (BEP)
|
2020 |
July 30, 2020 |
102-20 |
Criteria for Eligibility of Securities Underlying Options
|
2020 |
July 30, 2020 |
101-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
July 24, 2020 |
100-20 |
Anticipated Contract Adjustment - Alaris Royalty Corp. (AD) - Plan of Arrangement
|
2020 |
July 23, 2020 |
099-20 |
Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP) - Special Distribution
|
2020 |
July 15, 2020 |
098-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
July 14, 2020 |
097-20 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2020 |
July 14, 2020 |
096-20 |
Final Contract Adjustment - BetaPro Crude Oil - Daily Bull ETF (HOU2 & HOU3) - Name & CUSIP Change
|
2020 |
July 14, 2020 |
095-20 |
Final Contract Adjustment - BetaPro Crude Oil -1x Daily Bear ETF (HOD) - Name Change & CUSIP Change
|
2020 |
July 9, 2020 |
094-20 |
Final Contract Adjustment - Tricon Capital Group Inc (TCN) - Name Change
|
2020 |
July 7, 2020 |
093-20 |
Re-Introduction Of An Option Class - Dream Unlimited Corp. (DRM)
|
2020 |
July 7, 2020 |
092-20 |
Final Contract Adjustment - SEMAFO INC (SMF) - Plan of Arrangement (Follow-Up)
|
2020 |
July 6, 2020 |
091-20 |
Final Contract Adjustment - SEMAFO Inc. (SMF) - Plan of Arrangement
|
2020 |
July 3, 2020 |
090-20 |
FINAL CONTRACT ADJUSTMENT - Dream Unlimited Corp. (DRM) - Reverse Split and CUSIP Change
|
2020 |
June 30, 2020 |
089-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
June 26, 2020 |
088-20 |
Removal of the Covid-19 Discretionary Initial Margin Requirement
|
2020 |
June 24, 2020 |
087-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
June 22, 2020 |
086-20 |
Three-Month CORRA Futures - Risk Array Configuration Change
|
2020 |
June 17, 2020 |
085-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
June 15, 2020 |
084-20 |
Anticipated Contract Adjustment (Follow-Up) - Cineplex Inc (CGX) - Plan of Arrangement - Terminated
|
2020 |
June 15, 2020 |
083-20 |
Anticipated Contract Adjustment (Follow-Up) - Guyana Goldfields Inc (GUY) - Plan of Arrangement - Terminated
|
2020 |
June 12, 2020 |
082-20 |
THRESHOLD AND SURCHAGE VALUES FOR THE ADDITIONAL MARGIN FOR MARKET LIQUIDITY RISK OF THREE-MONTH CORRA FUTURES (CRA)
|
2020 |
June 12, 2020 |
081-20 |
FINAL CONTRACT ADJUSTMENT - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2020 |
June 11, 2020 |
080-20 |
Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of Three-Month Corra Futures (CRA)
|
2020 |
June 11, 2020 |
079-20 |
Trading by U.S. Residents
|
2020 |
June 11, 2020 |
078-20 |
Approved Depositories
|
2020 |
June 11, 2020 |
077-20 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2020 |
June 9, 2020 |
076-20 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2020 |
June 9, 2020 |
075-20 |
New Three-Month CORRA Futures
|
2020 |
June 8, 2020 |
074-20 |
Self-certification - Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation to introduce CORRA futures
|
2020 |
June 4, 2020 |
073-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
June 1, 2020 |
072-20 |
Self-certification - Minor amendments to the Rules of the Canadian Derivatives Clearing Corporation to modify certain definitions pertaining to the Canadian Bankers’ Acceptance futures contracts
|
2020 |
May 27, 2020 |
071-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
May 27, 2020 |
070-20 |
New Equity Option Classes
|
2020 |
May 26, 2020 |
069-20 |
Re-introduction of ETF Option Classes - BetaPro Natural Gas 2x Daily Bull ETF (HNU) - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD)
|
2020 |
May 25, 2020 |
068-20 |
Final Contract Adjustment - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD3) - Reverse Split (Follow-Up)
|
2020 |
May 21, 2020 |
067-20 |
Final Contract Adjustment - BetaPro Natural Gas 2x Daily Bull ETF (HNU) - Reverse Split and CUSIP Change
|
2020 |
May 21, 2020 |
066-20 |
Final Contract Adjustment - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD & HGD1) - Reverse Split and CUSIP Change
|
2020 |
May 20, 2020 |
065-20 |
Anticipated Contract Adjustment - Guyana Goldfields Inc (GUY) - Plan of Arrangement (Follow Up)
|
2020 |
May 19, 2020 |
064-20 |
Final Contract Adjustment - Parkland Fuel Corporation (PKI) - Name and CUSIP Change
|
2020 |
May 12, 2020 |
063-20 |
Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA) - Reverse Split - Revocation of Erratum
|
2020 |
May 12, 2020 |
062-20 |
Re-Introduction of an Option Class and Share Future Contracts - Aurora Cannabis Inc. (ACB)
|
2020 |
May 12, 2020 |
061-20 |
Criteria for Eligibility of Securities Underlying Options
|
2020 |
May 11, 2020 |
060-20 |
Anticipated Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement
|
2020 |
May 8, 2020 |
059-20 |
Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA) - Reverse Split - Erratum
|
2020 |
May 7, 2020 |
058-20 |
Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA) - Reverse Split
|
2020 |
May 6, 2020 |
057-20 |
Listing of Three-Month CORRA Futures (CRA)
|
2020 |
April 29, 2020 |
056-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
April 29, 2020 |
055-20 |
FINAL CONTRACT ADJUSTMENT - BetaPro Crude Oil Daily Bull ETF (HOU3) - Reverse Split, Name and CUSIP Change (Follow-Up)
|
2020 |
April 28, 2020 |
054-20 |
Final Contract Adjustment - BetaPro Crude Oil 2x Daily Bull ETF (HOU & HOU1) - Reverse Split, Name and CUSIP Change
|
2020 |
April 28, 2020 |
053-20 |
Final Contract Adjustment - BetaPro Crude Oil -2x Daily Bear ETF (HOD) - Name Change
|
2020 |
April 27, 2020 |
052-20 |
Anticipated Contract Adjustment - Guyana Goldfields Inc (GUY) - Plan of Arrangement
|
2020 |
April 22, 2020 |
051-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
April 15, 2020 |
050-20 |
CannTrust Holdings Inc. (TRST) - Delisting
|
2020 |
April 13, 2020 |
049-20 |
FINAL CONTRACT ADJUSTMENT - Brookfield Infrastructure Partners LP (BIP.un) - Special Distribution (Follow-Up)
|
2020 |
April 3, 2020 |
048-20 |
Re-Introduction of an Option Class and Share Future Contracts - Brookfield Asset Management Inc. Class A (BAM)
|
2020 |
April 2, 2020 |
047-20 |
Re-Introduction of an Option Class and Share Future Contracts - Brookfield Infrastructure Partners L.P. (BIP)
|
2020 |
April 2, 2020 |
046-20 |
Covid-19 Discretionary Initial Margin Requirements
|
2020 |
April 1, 2020 |
045-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
March 31, 2020 |
044-20 |
CannTrust Holdings Inc. (TRST) - Suspension
|
2020 |
March 31, 2020 |
043-20 |
Fixed Income Securities Eligible For Trading
|
2020 |
March 25, 2020 |
042-20 |
Re-Introduction of ETF Option Classes - BetaPro Crude Oil 2x Daily Bull ETF (HOU) - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD)
|
2020 |
March 25, 2020 |
041-20 |
Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM.A & FBM) - Stock Dividend (Stock Split)
|
2020 |
March 23, 2020 |
040-20 |
Anticipated Contract Adjustment - SEMAFO Inc. (SMF) - Plan of Arrangement
|
2020 |
March 20, 2020 |
M39-20 |
Final Contract Adjustment - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD) - Reverse Split
|
2020 |
March 20, 2020 |
M38-20 |
Final Contract Adjustment - BetaPro Crude Oil 2x Daily Bull ETF (HOU) - Reverse Split
|
2020 |
March 19, 2020 |
037-20 |
Potential impacts of unexpected market closings on expiry and prices
|
2020 |
March 18, 2020 |
036-20 |
Final Contract Adjustment - Brookfield Infrastructure Partners L.P. (BIP & FRQ) - Special Distribution
|
2020 |
March 17, 2020 |
035-20 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2020 |
March 17, 2020 |
034-20 |
A Message from John McKenzie, Interim Chief Executive Officer and Chief Financial Officer TMX Group Regarding COVID-19
|
2020 |
March 10, 2020 |
033-20 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2020 |
March 10, 2020 |
032-20 |
Final Contract Adjustment - TELUS Corporation (T & FTC) - Stock Split
|
2020 |
March 9, 2020 |
031-20 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2020 |
March 9, 2020 |
030-20 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2020 |
March 6, 2020 |
029-20 |
Final Contract Adjustment - Continental Gold Inc. (CNL) - Plan of Arrangement
|
2020 |
March 4, 2020 |
028-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
March 4, 2020 |
027-20 |
Final Contract Adjustment - Hudson’s Bay Company (HBC) - Plan of Arrangement
|
2020 |
March 2, 2020 |
026-20 |
Final Contract Adjustment - Cott Corp (BCB) - Name and Symbol Change
|
2020 |
February 28, 2020 |
025-20 |
Anticipated Contract Adjustment - Northview Apartment Real Estate Investment Trust (NVU-UN) Plan of Arrangement
|
2020 |
February 24, 2020 |
024-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
February 24, 2020 |
023-20 |
Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2020 |
February 21, 2020 |
022-20 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2020 |
February 19, 2020 |
021-20 |
ANTICIPATED CONTRACT ADJUSTMENT TELUS Corporation (T) Stock Split
|
2020 |
February 18, 2020 |
020-20 |
ANTICIPATED CONTRACT ADJUSTMENT - Brookfield Asset Management Inc. Cl A (BAM.A) - Stock Dividend (Stock Split)
|
2020 |
February 18, 2020 |
019-20 |
FINAL CONTRACT ADJUSTMENT - Power Financial Corporation (PWF & FPF) - Plan of Arrangement
|
2020 |
February 12, 2020 |
018-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
February 5, 2020 |
017-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
February 5, 2020 |
016-20 |
Self-certification - Amendments to the Rules, Operations Manual and Risk Manual of the CDCC with respect to Liquidity Risk Management
|
2020 |
February 4, 2020 |
015-20 |
Final Contract Adjustment - Detour Gold Corporation (DGC) - Plan of Arrangement (Follow Up)
|
2020 |
February 3, 2020 |
014-20 |
Final Contract Adjustment - Detour Gold Corporation (DGC) - Plan of Arrangement
|
2020 |
January 28, 2020 |
013-20 |
New Index Futures Class
|
2020 |
January 28, 2020 |
012-20 |
Fixed Income Securities Eligible for Trading
|
2020 |
January 27, 2020 |
011-20 |
Self-certification - Amendments to the Rules and Risk Manual of CDCC in order introduce the S&P/MX International Cannabis Index Futures
|
2020 |
January 27, 2020 |
010-20 |
Re-Introduction of an Option Class and Future Contracts - Ovintiv Inc. (OVV)
|
2020 |
January 24, 2020 |
009-20 |
Final Contract Adjustment - Encana Corporation (ECA & FEA) - Name, Symbol, Reverse Split and CUSIP Change
|
2020 |
January 17, 2020 |
008-20 |
Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2020 |
January 14, 2020 |
007-20 |
Clearing Member Voluntary Withdrawal - Timber Hill Canada Company
|
2020 |
January 14, 2020 |
006-20 |
Criteria for Eligibility of Securities Underlying Options
|
2020 |
January 8, 2020 |
005-20 |
Final Contract Adjustment - Newmont Goldcorp Corporation (NGT) - Name Change
|
2020 |
January 2, 2020 |
004-20 |
Trading by U.S. Residents
|
2020 |
January 2, 2020 |
003-20 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2020 |
January 2, 2020 |
002-20 |
Approved Depositories
|
2020 |
January 2, 2020 |
001-20 |
List of Notice-to-Members – 2019
|
2019 |
December 31, 2019 |
141-19 |
RISK PARAMETER UPDATE - SHORT OPTION MINIMUM (SOM)
|
2019 |
December 31, 2019 |
140-19 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2019 |
December 24, 2019 |
139-19 |
FINAL CONTRACT ADJUSTMENT - First Capital Realty Inc. (FCR & FFR) - Plan of Arrangement
|
2019 |
December 20, 2019 |
138-19 |
Final Contract Adjustment - DHX Media Ltd. (DHX) - Name, Symbol and CUSIP Change
|
2019 |
December 19, 2019 |
137-19 |
Gross Client Margin (GCM) Model Update and Approach to Implementation - Consultation with Clearing Members
|
2019 |
December 19, 2019 |
136-19 |
Final Contract Adjustment - Kinder Morgan Canada Limited (KML) - Plan of Arrangement (Follow-Up)
|
2019 |
December 18, 2019 |
135-19 |
Final Contract Adjustment - Kinder Morgan Canada Ltd. (KML) - Plan of Arrangement
|
2019 |
December 17, 2019 |
134-19 |
Anticipated Contract Adjustment (Follow-Up) - Canfor Corporation (CFP) - Plan of Arrangement - Terminated
|
2019 |
December 16, 2019 |
133-19 |
Anticipated Contract Adjustment - Cineplex Inc. (CGX) - Plan of Arrangement
|
2019 |
December 16, 2019 |
132-19 |
Updated Margin Buffer Multiplier for Fixed Income Transaction
|
2019 |
December 16, 2019 |
131-19 |
Expiry Schedule
|
2019 |
December 13, 2019 |
130-19 |
Anticipated Contract Adjustment - Power Financial Corporation (PWF & FPF) - Plan of Arrangement
|
2019 |
December 13, 2019 |
129-19 |
Final Contract Adjustment - WestJet Airlines Ltd. (WJA) - Plan of Arrangement
|
2019 |
December 12, 2019 |
128-19 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2019 |
December 11, 2019 |
127-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
December 11, 2019 |
126-19 |
Final Contract Adjustment - Dream Global Real Estate Investment (DRG) - Acquisition
|
2019 |
December 6, 2019 |
125-19 |
Updated Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk
|
2019 |
December 5, 2019 |
124-19 |
FINAL CONTRACT ADJUSTMENT - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2019 |
December 2, 2019 |
123-19 |
Extension of the Request for comments period - Amendments to the Rules, Operations Manual and Risk Manual of the CDCC with respect to Liquidity Risk Management
|
2019 |
December 2, 2019 |
122-19 |
ANTICIPATED CONTRACT ADJUSTMENT - Continental Gold Inc. (CNL) - Plan of Arrangement
|
2019 |
November 28, 2019 |
121-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
November 27, 2019 |
120-19 |
Final Contract Adjustment - Horizons S&P/TSX 60 Index ETF (HXT & FXT) - Name and CUSIP Change
|
2019 |
November 25, 2019 |
119-19 |
Anticipated Contract Adjustment - Detour Gold Corporation (DGC) - Plan of Arrangement
|
2019 |
November 25, 2019 |
118-19 |
Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HGU, HGD) - Name and CUSIP change
|
2019 |
November 25, 2019 |
117-19 |
New Equity Option Classes
|
2019 |
November 20, 2019 |
116-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
November 14, 2019 |
115-19 |
2019 – 2020 Holiday Schedule
|
2019 |
November 13, 2019 |
114-19 |
Anticipated Contract Adjustment - First Capital Realty Inc. (FCR & FFR) - Plan of Arrangement
|
2019 |
November 13, 2019 |
113-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
November 12, 2019 |
112-19 |
FINAL CONTRACT ADJUSTMENT - FOLLOW UP - DHX Media Ltd. (DHX) - Rights Offering
|
2019 |
November 1, 2019 |
111-19 |
Request for comments - Amendments to the Rules, Operations Manual and Risk Manual of the CDCC with respect to Liquidity Risk Management
|
2019 |
November 1, 2019 |
110-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
November 1, 2019 |
109-19 |
ANTICIPATED CONTRACT ADJUSTMENT - Encana Corporation (ECA & FEA) - NAME AND CUSIP CHANGE
|
2019 |
October 30, 2019 |
108-19 |
Bank Holiday – November 11, 2019
|
2019 |
October 29, 2019 |
107-19 |
Anticipated Contract Adjustment - Canfor Corporation (CFP) - Plan of Arrangement
|
2019 |
October 29, 2019 |
106-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
October 21, 2019 |
105-19 |
Anticipated Contract Adjustment - Hudson’s Bay Company (HBC) - Plan of Arrangement
|
2019 |
October 21, 2019 |
104-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
October 16, 2019 |
103-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
October 16, 2019 |
102-19 |
Final Contract Adjustment - DHX Media Ltd. (DHX) - Rights Offering
|
2019 |
October 8, 2019 |
101-19 |
Criteria for Eligibility of Securities Underlying Options
|
2019 |
September 27, 2019 |
100-19 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2019 |
September 18, 2019 |
099-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
September 17, 2019 |
098-19 |
ANTICIPATED CONTRACT ADJUSTMENT - Dream Global Real Estate Investment (DRG) - Acquisition
|
2019 |
September 16, 2019 |
097-19 |
Pre-Trade Risk Control - new offering
|
2019 |
September 16, 2019 |
096-19 |
FINAL CONTRACT ADJUSTMENT - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2019 |
September 6, 2019 |
094-19 |
FINAL CONTRACT ADJUSTMENT - Alimentation Couche-Tard Inc., Cl. B (ATD & FTA) - Stock Split
|
2019 |
September 5, 2019 |
093-19 |
NEW EQUITY OPTION CLASSES
|
2019 |
September 4, 2019 |
092-19 |
Updated Margin Buffer Multiplier for Fixed Income Transaction
|
2019 |
August 23, 2019 |
091-19 |
Anticipated Contract Adjustment - Kinder Morgan Canada Ltd. (KML) - Plan of Arrangement
|
2019 |
August 21, 2019 |
090-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
August 9, 2019 |
089-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
August 1, 2019 |
088-19 |
Self-certification - Amendments to the Canadian Derivatives Clearing Corporation time frames for Monthly Options Expiry
|
2019 |
July 29, 2019 |
087-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
July 26, 2019 |
086-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
July 25, 2019 |
085-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
July 24, 2019 |
084-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
July 23, 2019 |
083-19 |
UPDATE - MODIFICATION TO THE FIVE-YEAR GOVERNMENT OF CANADA BOND FUTURES CONTRACT (CGF) DELIVERY STANDARDS
|
2019 |
July 23, 2019 |
082-19 |
Self-certification - Amendments to Rule C-14 of CDCC to modify the delivery standards of the Five-Year Government of Canada Bond Future Contracts (CGF)
|
2019 |
July 10, 2019 |
081-19 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2019 |
June 27, 2019 |
080-19 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2019 |
June 27, 2019 |
079-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
June 19, 2019 |
078-19 |
FINAL CONTRACT ADJUSTMENT - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2019 |
June 10, 2019 |
077-19 |
NO CONTRACT ADJUSTMENT - Canaccord Genuity Group Inc. (CF) - Cash Dividend
|
2019 |
June 7, 2019 |
076-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
June 7, 2019 |
075-19 |
FINAL CONTRACT ADJUSTMENT - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2019 |
June 4, 2019 |
074-19 |
FINAL CONTRACT ADJUSTMENT - Gluskin Sheff & Associates Inc. (GS) - Plan of Arrangement
|
2019 |
June 4, 2019 |
073-19 |
Self-certification - Amendment to the Rules, Risk Manual and Operations Manual of the CDCC for the implementation of a new risk system
|
2019 |
May 30, 2019 |
072-19 |
Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
|
2019 |
May 29, 2019 |
071-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
May 27, 2019 |
070-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
May 27, 2019 |
069-19 |
ERRATUM - Additional Future Contracts on Canadian Shares - “Share Futures”
|
2019 |
May 24, 2019 |
068-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
May 24, 2019 |
067-19 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2019 |
May 22, 2019 |
066-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
May 22, 2019 |
065-19 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2019 |
May 22, 2019 |
064-19 |
Request for Comments - Amendment to Rule C-14 of the Canadian Derivatives Clearing Corporation relating to the delivery standards
|
2019 |
May 16, 2019 |
063-19 |
List of fees (Effective June 1st, 2019)
|
2019 |
May 16, 2019 |
062-19 |
S&P/TSX 60 Index Options (“SXO”) - Contract Size Amendment and New Listing
|
2019 |
May 16, 2019 |
061-19 |
Self-certification - Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation
|
2019 |
May 13, 2019 |
060-19 |
ANTICIPATED CONTRACT ADJUSTMENT - WestJet Airlines Ltd. (WJA) - Plan of Arrangement
|
2019 |
May 8, 2019 |
059-19 |
FINAL CONTRACT ADJUSTMENT - TransCanada Corporation (TRP & FRP) - NAME AND CUSIP CHANGE
|
2019 |
May 7, 2019 |
058-19 |
Request for Comments - Time frames for monthly options expiry
|
2019 |
May 6, 2019 |
057-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
May 2, 2019 |
056-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
May 2, 2019 |
055-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
May 2, 2019 |
054-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
April 30, 2019 |
053-19 |
NEW EQUITY OPTION CLASS
|
2019 |
April 23, 2019 |
052-19 |
FINAL CONTRACT ADJUSTMENT - Goldcorp Inc. (G and FGG) - Merger (Follow-Up)
|
2019 |
April 22, 2019 |
051-19 |
FINAL CONTRACT ADJUSTMENT - Goldcorp Inc. (G and FGG) - Merger
|
2019 |
April 15, 2019 |
050-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
April 10, 2019 |
049-19 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2019 |
April 5, 2019 |
048-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
April 4, 2019 |
047-19 |
FINAL CONTRACT ADJUSTMENT - Pan American Silver Corp. [(PAAS1 - formerly Tahoe Resources Inc. (THO)] - Plan of Arrangement
|
2019 |
April 4, 2019 |
046-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
April 2, 2019 |
045-19 |
NEW EQUITY OPTION CLASSES
|
2019 |
April 1, 2019 |
044-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
April 1, 2019 |
043-19 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2019 |
March 26, 2019 |
042-19 |
ANTICIPATED CONTRACT ADJUSTMENT - Gluskin Sheff & Associates Inc. (GS) - Plan of Arrangement
|
2019 |
March 22, 2019 |
041-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
March 20, 2019 |
040-19 |
NEW WEEKLY EQUITY OPTIONS CLASSES
|
2019 |
March 8, 2019 |
039-19 |
FINAL CONTRACT ADJUSTMENT - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2019 |
March 6, 2019 |
038-19 |
Final Contract Adjustment - Tahoe Resources Inc (THO) - Plan of Arrangement (Erratum)
|
2019 |
March 6, 2019 |
037-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
March 5, 2019 |
036-19 |
Re-Introduction of an Option Class - BetaPro Natural Gas 2x Daily Bull ETF (HNU)
|
2019 |
March 1, 2019 |
035-19 |
FINAL CONTRACT ADJUSTMENT - Nevsun Resources Ltd. (NSU) - Acquisition
|
2019 |
March 1, 2019 |
034-19 |
FINAL CONTRACT ADJUSTMENT - BetaPro Natural Gas 2x Daily Bull ETF (HNU) - Reverse Split
|
2019 |
February 27, 2019 |
033-19 |
Final Contract Adjustment - Tahoe Resources Inc (THO) - Plan of Arrangement (Erratum)
|
2019 |
February 27, 2019 |
032-19 |
Final Contract Adjustment - Tahoe Resources Inc (THO) - Plan of Arrangement (Follow-Up)
|
2019 |
February 26, 2019 |
031-19 |
Final Contract Adjustment - Tahoe Resources Inc. (THO) - Plan of Arrangement
|
2019 |
February 25, 2019 |
030-19 |
Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
|
2019 |
February 20, 2019 |
029-19 |
New Weekly Equity Options Classes
|
2019 |
February 19, 2019 |
028-19 |
Request for comments - Amendments to Rule A-9 of Canadian Derivatives Clearing Corporation
|
2019 |
February 12, 2019 |
027-19 |
NEW EQUITY OPTION CLASS
|
2019 |
February 8, 2019 |
026-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
February 7, 2019 |
025-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
February 6, 2019 |
024-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
February 1, 2019 |
023-19 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2019 |
February 1, 2019 |
022-19 |
FINAL CONTRACT ADJUSTMENT - CGI Group Inc. (GIB & FGI) - NAME AND CUSIP CHANGE
|
2019 |
January 30, 2019 |
021-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
January 28, 2019 |
020-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
January 24, 2019 |
019-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
January 24, 2019 |
018-19 |
Final Contract Adjustment - BMO Equal Weight Oil & Gas (ZEO) - Reverse Split
|
2019 |
January 18, 2019 |
017-19 |
Criteria for Eligibility of Securities Underlying Options
|
2019 |
January 17, 2019 |
016-19 |
Anticipated Contract Adjustment - Goldcorp Inc. (G & FGG) - Merger
|
2019 |
January 17, 2019 |
015-19 |
Anticipated Contract Adjustment - Nevsun Resources Ltd. (NSU) - Acquisition
|
2019 |
January 9, 2019 |
014-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
January 9, 2019 |
013-19 |
Re-Introduction Of An Option ClaSS - Kinder Morgan Canada Ltd. (KML)
|
2019 |
January 8, 2019 |
012-19 |
Re-Introduction of an Option Class and Future Contracts - Eldorado Gold Corp. (ELD)
|
2019 |
January 8, 2019 |
011-19 |
Final Contract Adjustment - Kinder Morgan Canada Limited. (KML) - Reverse Split (Follow-Up)
|
2019 |
January 7, 2019 |
010-19 |
Final Contract Adjustment - Kinder Morgan Canada Limited. (KML) - Reverse Split
|
2019 |
January 4, 2019 |
009-19 |
Restatement of S&P/TSX 60 Index Standard Futures (SXF) Open Interest
|
2019 |
January 4, 2019 |
008-19 |
Final Contract Adjustment - Maxar Technologies Ltd. (MAXR) - Plan of Arrangement
|
2019 |
January 3, 2019 |
007-19 |
Fixed Income Securities Eligible for Trading
|
2019 |
January 3, 2019 |
006-19 |
Final Contract Adjustment - Industrial Alliance. (IAG/FIA) - Plan of Arrangement
|
2019 |
January 2, 2019 |
005-19 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2019 |
January 2, 2019 |
004-19 |
Trading by U.S. Residents
|
2019 |
January 2, 2019 |
003-19 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2019 |
January 2, 2019 |
002-19 |
Approved Depositories
|
2019 |
January 2, 2019 |
001-19 |
List of Notice-to-Members – 2018
|
2018 |
December 31, 2018 |
168-18 |
Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
|
2018 |
December 28, 2018 |
167-18 |
Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
|
2018 |
December 28, 2018 |
166-18 |
Final Contract Adjustment - Eldorado Gold Corporation (ELD) - Reverse Split
|
2018 |
December 20, 2018 |
165-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 20, 2018 |
164-18 |
Final Contract Adjustment - Granite Real Estate Investment Trust (GRT) - Special Cash Dividend
|
2018 |
December 19, 2018 |
163-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 19, 2018 |
162-18 |
Expiry Schedule
|
2018 |
December 18, 2018 |
161-18 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2018 |
December 18, 2018 |
160-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 13, 2018 |
159-18 |
Final Contract Adjustment - Kinder Morgan Canada Limited. (KML) - Special Cash Dividend
|
2018 |
December 12, 2018 |
158-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 12, 2018 |
157-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 6, 2018 |
156-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
December 5, 2018 |
155-18 |
Re-Introduction of an Option Class - Resolute Forest Products Inc. (RFP)
|
2018 |
November 29, 2018 |
154-18 |
FINAL CONTRACT ADJUSTMENT - Mitel Networks Corporation (MNW) - Plan of Arrangement
|
2018 |
November 29, 2018 |
153-18 |
Re-Introduction of an Option Class and Future Contracts - Thomson Reuters Corporation (TRI)
|
2018 |
November 28, 2018 |
152-18 |
Final Contract Adjustment - Resolute Forest Products Inc. (RFP) - Special Cash Dividend
|
2018 |
November 27, 2018 |
151-18 |
Final Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement (Follow-Up)
|
2018 |
November 26, 2018 |
150-18 |
Final Contract Adjustment - Thomson Reuters Corporation (TRI and FRT) - Plan of Arrangement
|
2018 |
November 26, 2018 |
149-18 |
New Equity Option Classes
|
2018 |
November 21, 2018 |
148-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 20, 2018 |
147-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 19, 2018 |
146-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 19, 2018 |
145-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 16, 2018 |
144-18 |
2018 – 2019 Holiday Schedule
|
2018 |
November 15, 2018 |
143-18 |
Anticipated Contract Adjustment - Tahoe Resources Inc. (THO) - Plan of Arrangement
|
2018 |
November 15, 2018 |
142-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 13, 2018 |
141-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
November 12, 2018 |
140-18 |
FINAL CONTRACT ADJUSTMENT - Enbridge Income Fund Holdings Inc. (ENF) - Plan of Arrangement (Follow-Up)
|
2018 |
November 9, 2018 |
139-18 |
Request for Comments - Amendments to the Rules, Risk Manual and Operations Manual of the Canadian Derivatives Clearing Corporation for the Implementation of a New Risk System
|
2018 |
November 8, 2018 |
138-18 |
Final Contract Adjustment - Enbridge Income Fund Holdings Inc. (ENF) - Plan of Arrangement
|
2018 |
November 5, 2018 |
137-18 |
Re-Introduction of an Option Class and Future Contracts - Loblaw Companies Ltd. (L)
|
2018 |
November 5, 2018 |
136-18 |
Bank Holiday – November 12, 2018
|
2018 |
November 5, 2018 |
135-18 |
New Clearing Member - Canada Pension Plan Investment Board
|
2018 |
November 5, 2018 |
134-18 |
New Clearing Member - Caisse de dépôt et placement du Québec
|
2018 |
November 5, 2018 |
133-18 |
New Clearing Member - Ontario Teachers’ Pension Plan Board
|
2018 |
November 2, 2018 |
132-18 |
Final Contract Adjustment - Loblaw Companies Limited (L & FLL) - Spin-Off (Follow-Up)
|
2018 |
November 1, 2018 |
131-18 |
Final Contract Adjustment - Aphria Inc. (APH & FPH) - Symbol Change
|
2018 |
October 31, 2018 |
130-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
October 29, 2018 |
129-18 |
Final Contract Adjustment - Loblaw Companies Ltd. (L and FLL) - Spin-Off
|
2018 |
October 29, 2018 |
128-18 |
Clearing Member Voluntary Withdrawal - Friedberg Mercantile Group Limited
|
2018 |
October 26, 2018 |
127-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
October 24, 2018 |
126-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
October 24, 2018 |
125-18 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2018 |
October 22, 2018 |
124-18 |
Criteria for Eligibility of Securities Underlying Options
|
2018 |
October 18, 2018 |
123-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
October 18, 2018 |
122-18 |
Anticipated Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement
|
2018 |
October 17, 2018 |
121-18 |
Final Contract Adjustment - Enercare Inc. (ECI) - Plan of Arrangement
|
2018 |
October 11, 2018 |
120-18 |
Anticipated Contract Adjustment - Maxar Technologies Ltd. (MAXR) - Plan of Arrangement
|
2018 |
October 5, 2018 |
119-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
October 2, 2018 |
118-18 |
Self-Certification - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation Introducing an Amended Methodology to Compute Mismatched Settlement Risk
|
2018 |
September 26, 2018 |
117-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
September 20, 2018 |
116-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
September 20, 2018 |
115-18 |
Final Contract Adjustment - Neptune Technologies & Bioressources Inc. (NEPT) - Name and CUSIP Change
|
2018 |
September 20, 2018 |
114-18 |
Anticipated Contract Adjustment - Enbridge Income Fund Holdings Inc. (ENF) - Acquisition (Follow-up)
|
2018 |
September 18, 2018 |
113-18 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2018 |
September 7, 2018 |
112-18 |
Anticipated Contract Adjustment - Loblaw Companies (L, FLL) - Spin-Off
|
2018 |
September 7, 2018 |
111-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
September 7, 2018 |
110-18 |
Final Contract Adjustment - H&R Real Estate Investment Trust (HR.UN) - CUSIP Change
|
2018 |
September 4, 2018 |
109-18 |
Final Contract Adjustment - The Hydropothecary Corporation. (HEXO) - Name and Cusip Change
|
2018 |
August 28, 2018 |
108-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
August 28, 2018 |
107-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
August 27, 2018 |
106-18 |
Final Contract Adjustment - Raging River Exploration Inc. (RRX) - Plan of Arrangement
|
2018 |
August 24, 2018 |
105-18 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2018 |
August 23, 2018 |
104-18 |
FINAL CONTRACT ADJUSTMENT - Aurora Cannabis Inc. (ACB and FOA) Spin-Off - (Follow-up)
|
2018 |
August 23, 2018 |
103-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
August 22, 2018 |
102-18 |
ANTICIPATED CONTRACT ADJUSTMENT - Aurora Cannabis Inc. (ACB and FOA) - Spin-Off (Follow-up)
|
2018 |
August 14, 2018 |
101-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
August 13, 2018 |
100-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
August 10, 2018 |
099-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
August 8, 2018 |
098-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
August 7, 2018 |
097-18 |
No Contract Adjustment - Norbord Inc. (OSB) - Cash Dividend
|
2018 |
August 3, 2018 |
096-18 |
FINAL CONTRACT ADJUSTMENT - Stelco Holdings Inc. (STLC) - Special Cash Dividend
|
2018 |
August 1, 2018 |
095-18 |
ANTICIPATED CONTRACT ADJUSTMENT - Enercare Inc. (ECI) Plan of Arrangement
|
2018 |
July 30, 2018 |
094-18 |
Self-Certification - Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation to Remove References to Certain Minimum Clearing Fees
|
2018 |
July 27, 2018 |
093-18 |
Final Contract Adjustment - MedReleaf Corp. (LEAF) - Plan of Arrangement (Follow-Up)
|
2018 |
July 27, 2018 |
092-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
July 26, 2018 |
091-18 |
Final Contract Adjustment - MedReleaf Corp. (LEAF) - Plan of Arrangement
|
2018 |
July 25, 2018 |
090-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
July 25, 2018 |
089-18 |
Final Contract Adjustment - Klondex Mines Limited (KDX) - Plan of Arrangement (Follow-Up)
|
2018 |
July 25, 2018 |
088-18 |
New Equity Option Classes
|
2018 |
July 24, 2018 |
087-18 |
Final Contract Adjustment - Klondex Mines Limited (KDX) - Plan of Arrangement
|
2018 |
July 24, 2018 |
086-18 |
Approved Depositories
|
2018 |
July 24, 2018 |
085-18 |
Trading by U.S. Residents
|
2018 |
July 24, 2018 |
084-18 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2018 |
July 23, 2018 |
083-18 |
Criteria for Eligibility of Securities Underlying Options
|
2018 |
July 18, 2018 |
082-18 |
List of Fees (Effective as of August 1, 2018)
|
2018 |
July 13, 2018 |
081-18 |
FINAL CONTRACT ADJUSTMENT - Valeant Pharmaceuticals International Inc. (VRX) - CUSIP, SYMBOL AND NAME CHANGE
|
2018 |
July 13, 2018 |
080-18 |
SELF-CERTIFICATION - AMENDMENTS TO THE RULES AND OPERATIONS MANUAL OF THE CANADIAN DERIVATIVES CLEARING CORPORATION TO ACCOMMODATE THE EXTENSION OF THE TRADING HOURS AT BOURSE DE MONTREAL INC.
|
2018 |
July 5, 2018 |
079-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
July 4, 2018 |
078-18 |
ANTICIPATED CONTRACT ADJUSTMENT - Klondex Mines Limited (KDX) Acquisition
|
2018 |
July 4, 2018 |
077-18 |
Name Change from Credential Securities Inc. to Credential Qtrade Securities Inc.
|
2018 |
July 3, 2018 |
076-18 |
UPDATED HAIRCUTS ON GOVERNMENT SECURITIES DEPOSITED AS COLLATERAL
|
2018 |
June 27, 2018 |
075-18 |
Intra-Commodity (Inter-Month) Spread Charge - “Share Futures”
|
2018 |
June 27, 2018 |
074-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
June 26, 2018 |
073-18 |
New Weekly Equity Options Classes
|
2018 |
June 21, 2018 |
072-18 |
Anticipated Contract Adjustment - Aurora Cannabis Inc. (ACB) - Spin-Off
|
2018 |
June 19, 2018 |
071-18 |
Anticipated Contract Adjustment - Raging River Exploration Inc. (RRX) - Plan of Arrangement
|
2018 |
June 15, 2018 |
070-18 |
Anticipated Contract Adjustment - Enbridge Income Fund Holdings Inc. (ENF) - Acquisition
|
2018 |
June 14, 2018 |
069-18 |
REVISED - Additional Future Contract on Canadian Shares - “Share Future”
|
2018 |
June 12, 2018 |
068-18 |
ANTICIPATED CONTRACT ADJUSTMENT - Mitel Networks Corporation (MNW) - Plan of Arrangement
|
2018 |
June 12, 2018 |
067-18 |
Final Contract Adjustment - Dollarama Inc. (DOL) - Stock Split - ERRATUM
|
2018 |
June 11, 2018 |
066-18 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU) - Delisting (Follow-Up)
|
2018 |
June 11, 2018 |
065-18 |
Final Contract Adjustment - Dollarama Inc. (DOL) - Stock Split
|
2018 |
June 7, 2018 |
064-18 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU) - Delisting (Follow-Up)
|
2018 |
June 5, 2018 |
063-18 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU) - Delisting
|
2018 |
June 4, 2018 |
062-18 |
BetaPro S&P 500 VIX Short-Term Futures™ 2X Daily Bull ETF (HVU) - Delisting
|
2018 |
June 1, 2018 |
061-18 |
Final Contract Adjustment - Spartan Energy Corp. (SPE) - Plan of Arrangement (Follow-Up)
|
2018 |
May 31, 2018 |
060-18 |
Final Contract Adjustment - DHX Media Ltd. (DHX) - Share Reclassification and CUSIP Change
|
2018 |
May 30, 2018 |
059-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
May 30, 2018 |
058-18 |
Final Contract Adjustment - Spartan Energy Corp. (SPE) - Plan of Arrangement
|
2018 |
May 29, 2018 |
057-18 |
Self Certification - Adjustment Committee - Contract terms
|
2018 |
May 25, 2018 |
056-18 |
Anticipated Contract Adjustment - Aecon Group Inc. (ARE) - Acquisition (Follow-Up)
|
2018 |
May 24, 2018 |
055-18 |
Final Contract Adjustment - Gluskin Sheff + Associates Inc. (GS) - Special Cash Dividend
|
2018 |
May 23, 2018 |
054-18 |
Final Contract Adjustment - Pure Industrial Real Estate Trust (AAR.UN) - Acquisition
|
2018 |
May 23, 2018 |
053-18 |
Self-certification - Amendments to the rules of the CDCC to expand share futures contracts to exchange traded funds and trust units
|
2018 |
May 23, 2018 |
052-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
May 22, 2018 |
051-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
May 22, 2018 |
050-18 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2018 |
May 17, 2018 |
049-18 |
Final Contract Adjustment - New Flyer Industries Inc. (NFI) - Name and CUSIP Change
|
2018 |
May 17, 2018 |
048-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
May 16, 2018 |
047-18 |
ERRATUM - New Equity Option Classes
|
2018 |
May 16, 2018 |
046-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
May 15, 2018 |
045-18 |
New Equity Option Classes
|
2018 |
May 15, 2018 |
044-18 |
Anticipated Contract Adjustment - Aurora Cannabis Inc (ACB) & MedReleaf Corp (LEAF) - Plan of Arrangement
|
2018 |
May 10, 2018 |
043-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
May 7, 2018 |
042-18 |
Final Contract Adjustment - Canadian Real Estate Investment Trust (REF.UN) - Plan of Arrangement
|
2018 |
May 7, 2018 |
041-18 |
New Clearing Member – Casgrain & Company Limited
|
2018 |
May 3, 2018 |
040-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
May 1, 2018 |
039-18 |
FINAL CONTRACT ADJUSTMENT - Student Transportation Inc. (STB) Acquisition
|
2018 |
April 26, 2018 |
038-18 |
Anticipated Contract Adjustment - Canadian Real Estate Investment Trust (REF.UN) - Acquisition
|
2018 |
April 20, 2018 |
037-18 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2018 |
April 19, 2018 |
036-18 |
Request for Comments - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation Introducing an Amended Methodology to Compute Mismatched Settlement Risk
|
2018 |
April 12, 2018 |
035-18 |
Anticipated Delisting of Shares - BetaPro S&P 500 VIX Short-Term Futures™ 2X Daily Bull ETF (HVU) - Delisting
|
2018 |
April 10, 2018 |
034-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
April 9, 2018 |
033-18 |
New Clearing Member – Healthcare of Ontario Pension Plan
|
2018 |
April 9, 2018 |
032-18 |
Additional Future Contracts on Canadian Shares “Share Futures”
|
2018 |
April 6, 2018 |
031-18 |
Anticipated Contract Adjustment - Dollarama Inc. - Stock Split
|
2018 |
April 6, 2018 |
030-18 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2018 |
April 4, 2018 |
029-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
April 3, 2018 |
028-18 |
Self -Certification : Omnibus Amendments- Limited Clearing Members Category and Additional Recovery Powers (Recovery Phase 2) - Amendments to Rule A And D-6, the Operations, Risk and Default Manual
|
2018 |
April 2, 2018 |
027-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
March 29, 2018 |
026-18 |
Final Contract Adjustment - Avigilon Corporation (AVO) - Acquisition
|
2018 |
March 20, 2018 |
025-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
March 9, 2018 |
024-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
March 9, 2018 |
023-18 |
Additional Future Contracts on Canadian Shares “Share Futures”
|
2018 |
March 9, 2018 |
022-18 |
Intra-Commodity (Inter-Month) Spread Charge “Share Futures”
|
2018 |
February 27, 2018 |
021-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
February 21, 2018 |
020-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
February 21, 2018 |
019-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
February 20, 2018 |
018-18 |
Intra-Commodity (Inter-Month) Spread Charge - “Share Futures”
|
2018 |
February 15, 2018 |
017-18 |
List Of Fees (Effective as of March 1, 2018)
|
2018 |
February 12, 2018 |
016-18 |
Request for comments - Amendments to the rules of CDCC to expand share futures contracts to exchange traded funds and trust units
|
2018 |
February 6, 2018 |
015-18 |
Self-Certification - Amendments to Section A-1A01 of Rule A-1A of the CDCC - Minor Changes to the Eligibility Criteria for Membership in the Corporation
|
2018 |
February 5, 2018 |
014-18 |
ANTICIPATED CONTRACT ADJUSTMENT - Avigilon Corporation (AVO) - Acquisition
|
2018 |
February 2, 2018 |
013-18 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2018 |
January 31, 2018 |
012-18 |
Additional Future Contracts on Canadian Shares “Share Futures”
|
2018 |
January 19, 2018 |
011-18 |
Re-introduction of an ETF Option Class - BetaPro S&P 500 VIX Short-Term Futures 2x Daily Bull ETF (HVU)
|
2018 |
January 19, 2018 |
010-18 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2018 |
January 16, 2018 |
009-18 |
Criteria for Eligibility of Securities Underlying Options
|
2018 |
January 12, 2018 |
008-18 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU) - Reverse Unit Split
|
2018 |
January 11, 2018 |
007-18 |
Anticipated Contract Adjustment - Pure Industrial Real Estate Trust (AAR.UN) - Acquisition
|
2018 |
January 10, 2018 |
006-18 |
Fixed Income Securities Eligible for Trading
|
2018 |
January 8, 2018 |
005-18 |
New Equity Option Class
|
2018 |
January 2, 2018 |
004-18 |
Trading by U.S. Residents
|
2018 |
January 2, 2018 |
003-18 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2018 |
January 2, 2018 |
002-18 |
Approved Depositories
|
2018 |
January 2, 2018 |
001-18 |
List of Notice-to-Members - 2017
|
2017 |
December 28, 2017 |
174-17 |
Final Contract Adjustment - AGRIUM INC. (AGU AND FGA) - Merger and Delisting
|
2017 |
December 28, 2017 |
173-17 |
Final Contract Adjustment - Potash Corporation of Saskatchewan Inc. (POT AND FPO) - Merger and Delisting
|
2017 |
December 20, 2017 |
172-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
December 18, 2017 |
171-17 |
List of Fees (Effective as of January 1, 2018)
|
2017 |
December 18, 2017 |
170-17 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2017 |
December 13, 2017 |
169-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
December 12, 2017 |
168-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
December 11, 2017 |
167-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
December 8, 2017 |
166-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
December 6, 2017 |
165-17 |
New Equity and ETF Options Classes
|
2017 |
November 28, 2017 |
164-17 |
Expiry Schedule
|
2017 |
November 24, 2017 |
163-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
November 22, 2017 |
162-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
November 21, 2017 |
161-17 |
Final Contract Adjustment - Teck Resources Limited (TECK AND FTK) - Special Cash Dividend
|
2017 |
November 20, 2017 |
160-17 |
ERRATUM - Notice To Members No. 2017-157 - Request For Comments - Amendments to the Rules and Operations Manual of the Canadian Derivatives Clearing Corporation to Accommodate the Extension of the Trading Hours at Bourse De Montreal Inc.
|
2017 |
November 15, 2017 |
159-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
November 15, 2017 |
158-17 |
Request for comments - Minor changes to the eligibility criteria for membership in the Corporation
|
2017 |
November 14, 2017 |
157-17 |
Request For Comments - Amendments to the Rules and Operations Manual of the Canadian Derivatives Clearing Corporation to Accommodate the Extension of the Trading Hours at Bourse De Montreal Inc.
|
2017 |
November 13, 2017 |
156-17 |
Final Contract Adjustment - Quebecor Inc. (QBR) - Stock Split
|
2017 |
November 10, 2017 |
155-17 |
DIRECTORS AND OFFICERS OF THE CANADIAN DERIVATIVES CLEARING CORPORATION
|
2017 |
November 10, 2017 |
154-17 |
2017 – 2018 Holiday Schedule
|
2017 |
November 9, 2017 |
153-17 |
Anticipated Contract Adjustment - Quebecor Inc. (QBR.B) - Stock Split
|
2017 |
November 3, 2017 |
152-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
November 2, 2017 |
151-17 |
Final Contract Adjustment - Dominion Diamond Corporation (DDC) - Acquisition
|
2017 |
November 2, 2017 |
150-17 |
Bank Holiday – November 13, 2017
|
2017 |
October 31, 2017 |
149-17 |
Name Change from NBCN INC. to National Bank Financial Inc.
|
2017 |
October 31, 2017 |
148-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
October 26, 2017 |
147-17 |
Criteria for Eligibility of Securities Underlying Options
|
2017 |
October 26, 2017 |
146-17 |
Anticipated Contract Adjustment - Aecon Group Inc. (ARE) – Acquistion
|
2017 |
October 23, 2017 |
145-17 |
Name Change - Smart Real Estate Investment Trust
|
2017 |
October 18, 2017 |
144-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
October 11, 2017 |
143-17 |
New Equity Option Class
|
2017 |
October 6, 2017 |
142-17 |
Final Contract Adjustment - Macdonald, Dettwiler And Associates Ltd. (MDA) Name, Symbol and CUSIP Change
|
2017 |
October 5, 2017 |
141-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
October 5, 2017 |
140-17 |
Final Contract Adjustment - Veresen Inc. (VSN) - Acquisition and Delisting (Follow-Up)
|
2017 |
October 4, 2017 |
139-17 |
Final Contract Adjustment - Veresen Inc. (VSN) - Acquisition and Delisting
|
2017 |
October 3, 2017 |
138-17 |
Anticipated Contract Adjustment - Metro Inc. (MRU) & The Jean Coutu Group Inc. (PJC.A) - Aquisition
|
2017 |
September 29, 2017 |
137-17 |
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – November 1, 2017
|
2017 |
September 25, 2017 |
136-17 |
Final Contract Adjustment - Gluskin Sheff + Associates Inc. (GS) - Special Cash Dividend
|
2017 |
September 22, 2017 |
135-17 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2017 |
September 20, 2017 |
134-17 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2017 |
September 20, 2017 |
133-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
September 18, 2017 |
132-17 |
Final Contract Adjustment - Trilogy Energy Corp. (TET) - Merger and Delisting (Follow-Up)
|
2017 |
September 14, 2017 |
131-17 |
Final Contract Adjustment - Trilogy Energy Corp. (TET) - Merger and Delisting
|
2017 |
September 14, 2017 |
130-17 |
Final Contract Adjustment - BMO ETFs (ZEO and ZEB) - Name and CUSIP Change
|
2017 |
September 13, 2017 |
129-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
September 12, 2017 |
128-17 |
Intra-Commodity (Inter-Month) Spread Charge - “Share Futures”
|
2017 |
September 11, 2017 |
127-17 |
New Weekly Equity Options Classes
|
2017 |
August 30, 2017 |
126-17 |
Omnibus Rules Changes - New Limited Clearing Members Category and Recovery Phase 2
|
2017 |
August 29, 2017 |
125-17 |
T+2 Exercise and Settlement Schedule
|
2017 |
August 24, 2017 |
124-17 |
New ETF Options Classes
|
2017 |
August 23, 2017 |
123-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
August 22, 2017 |
122-17 |
Clearing Member Voluntary Withdrawal - Scotia Capital Inc. - CDCC Member #885
|
2017 |
August 16, 2017 |
121-17 |
List of Fees - (Effective as of September 1, 2017)
|
2017 |
August 10, 2017 |
120-17 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2017 |
August 3, 2017 |
119-17 |
Self-Certification - Amendments to Rules, Operations Manual and Risk Manual to Move to T+2 Settlement
|
2017 |
August 2, 2017 |
118-17 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2017 |
August 2, 2017 |
117-17 |
Final Contract Adjustment - Silver Standard Resources Inc. (SSO) - Name, Symbol and CUSIP Change
|
2017 |
July 31, 2017 |
116-17 |
Final Contract Adjustment - Amaya Inc. (AYA) - Name, Symbol and CUSIP Change
|
2017 |
July 31, 2017 |
115-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
July 31, 2017 |
114-17 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2017 |
July 26, 2017 |
113-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
July 24, 2017 |
112-17 |
Conversion to Trade plus two (T+2) for Settlement
|
2017 |
July 21, 2017 |
111-17 |
ANTICIPATED CONTRACT ADJUSTMENT - Dominion Diamond Corp (DDC - Plan of arrangement
|
2017 |
July 13, 2017 |
110-17 |
CRITERIA FOR ELIGIBILITY OF SECURITIES UNDERLYING OPTIONS
|
2017 |
July 11, 2017 |
109-17 |
ERRATUM - Self-Certification - Amendments to Sections A-102, A-1A09, Rule A-6 and Default Manual, and New Section A-411 and New Rule A-10 of the Canadian Derivatives Clearing Corporation
|
2017 |
July 11, 2017 |
108-17 |
Self-Certification - Amendments to Sections A-102, A-1A09, Rule A-6 and Default Manual, and New Section A-411 and New Rule A-10 of the Canadian Derivatives Clearing Corporation
|
2017 |
July 10, 2017 |
107-17 |
Anticipated Contract Adjustment - Trilogy Energy Corp. (TET) & Paramount Resources Ltd. (POU) Merger
|
2017 |
July 7, 2017 |
106-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
July 5, 2017 |
105-17 |
Final Contract Adjustment - Bellatrix Exploration Ltd. (BXE) - Reverse Stock Split
|
2017 |
July 5, 2017 |
104-17 |
Final Contract Adjustment - Canam Group Inc. (CAM) - Acquisition
|
2017 |
July 4, 2017 |
103-17 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM) - Spin-Off (Follow-Up)
|
2017 |
June 28, 2017 |
102-17 |
Final Contract Adjustment - Penn West Petroleum Ltd. (PWT) - CUSIP, Symbol and Name Change
|
2017 |
June 28, 2017 |
101-17 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2017 |
June 28, 2017 |
100-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
June 28, 2017 |
099-17 |
Re-Introduction of an Option Class - Spartan Energy Corp. (SPE)
|
2017 |
June 23, 2017 |
098-17 |
FINAL CONTRACT ADJUSTMENT - Spartan Energy Corp. (SPE) Reverse Stock Split (Follow-Up)
|
2017 |
June 22, 2017 |
097-17 |
Final Contract Adjustment - Savanna Energy Services Corp. (SVY) - Acquisition
|
2017 |
June 22, 2017 |
096-17 |
Final Contract Adjustment - Spartan Energy Corp. (SPE) - Reverse Stock Split
|
2017 |
June 21, 2017 |
095-17 |
New Equity Option Class
|
2017 |
June 21, 2017 |
094-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
June 21, 2017 |
093-17 |
Approved Depositories
|
2017 |
June 21, 2017 |
092-17 |
Trading by U.S. Residents
|
2017 |
June 21, 2017 |
091-17 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2017 |
June 20, 2017 |
090-17 |
Re-Introduction of an Option Class - Waste Connections Inc. (WCN)
|
2017 |
June 20, 2017 |
089-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
June 19, 2017 |
088-17 |
Final Contract Adjustment - Canadian Energy Services & Technology Corp. (CEU) - CUSIP and Name Change
|
2017 |
June 19, 2017 |
087-17 |
Final Contract Adjustment - The North West Company Inc. (NWC) - CUSIP Change
|
2017 |
June 15, 2017 |
086-17 |
Final Contract Adjustment - DH Corporation (DH) - Plan of Arrangement
|
2017 |
June 14, 2017 |
085-17 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
|
2017 |
June 14, 2017 |
084-17 |
Name Change - iShares Canadian Short Term Bond Index ETF
|
2017 |
June 13, 2017 |
083-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
June 12, 2017 |
082-17 |
Anticipated Contract Adjustment - Agrium Inc. (AGU) & Potash Corporation of Saskatchewan Inc. (POT) - Merger of Equals - UPDATE
|
2017 |
June 6, 2017 |
081-17 |
Final Contract Adjustment - Canyon Services Group Inc. (FRC) - Plan of Arrangement (Final)
|
2017 |
June 2, 2017 |
080-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
June 2, 2017 |
079-17 |
Final Contract Adjustment - Waste Connections, Inc. (WCN) - Stock Split
|
2017 |
June 2, 2017 |
078-17 |
Final Contract Adjustment - Wi-LAN Inc. (WIN) - CUSIP, Symbol and Name Change
|
2017 |
May 31, 2017 |
077-17 |
Re-Introduction of an Option Class and Future Contracts - Brookfield Asset Management Inc. (BAM.A)
|
2017 |
May 31, 2017 |
076-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
May 31, 2017 |
075-17 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2017 |
May 29, 2017 |
074-17 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM and FBM) - Spin-Off
|
2017 |
May 29, 2017 |
073-17 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU) - Reverse Unit Split (Follow-Up)
|
2017 |
May 26, 2017 |
072-17 |
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU) - Reverse Unit Split
|
2017 |
May 24, 2017 |
071-17 |
Final Contract Adjustment - CCL Industries Inc. (CCL) - Stock Split
|
2017 |
May 24, 2017 |
070-17 |
Final Contract Adjustment - Silver Wheaton Corp. (SLW) - CUSIP, Symbol and Name Change
|
2017 |
May 23, 2017 |
069-17 |
Anticipated Contract Adjustment - Bellatrix Exploration Ltd. - Share Consolidation
|
2017 |
May 19, 2017 |
068-17 |
Final Contract Adjustment - Painted Pony Petroleum Ltd. (PPY) - CUSIP, Symbol and Name Change
|
2017 |
May 19, 2017 |
067-17 |
Anticipated Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2x Daily Bull ETF - Unit Consolidations
|
2017 |
May 16, 2017 |
066-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
May 15, 2017 |
065-17 |
Final Contract Adjustment - Silver Wheaton Corp. (SLW) - CUSIP, Symbol and Name Change
|
2017 |
May 11, 2017 |
064-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
May 10, 2017 |
063-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
May 8, 2017 |
062-17 |
Directors and Officers of the Canadian Derivatives Clearing Corporation
|
2017 |
May 3, 2017 |
061-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
May 3, 2017 |
060-17 |
New Equity Options Classes
|
2017 |
May 2, 2017 |
059-17 |
Anticipated Contract Adjustment - Pembina Pipeline Corporation (PPL) and Veresen Inc. (VSN) - Plan of arrangement
|
2017 |
May 2, 2017 |
058-17 |
Anticipated Contract Adjustment - Waste Connections Inc. - Stock Split
|
2017 |
April 28, 2017 |
057-17 |
Final Contract Adjustment - Milestone Apartments Real Estate Investment Trust (MST.UN) - Acquisition
|
2017 |
April 28, 2017 |
056-17 |
Anticipated Contract Adjustment - Canam Group Inc. (CAM) - Plan of Arrangement
|
2017 |
April 26, 2017 |
055-17 |
Clearing Member Voluntary Withdrawal - UBS Securities Canada Inc.
|
2017 |
April 20, 2017 |
054-17 |
ANTICIPATED CONTRACT ADJUSTMENT - Trican Well Service Ltd. (TCW) & Canyon Services Group Inc. (FRC) - Merger
|
2017 |
April 17, 2017 |
053-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
April 13, 2017 |
052-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
April 11, 2017 |
051-17 |
Criteria for Eligibility of Securities Underlying Options
|
2017 |
April 7, 2017 |
050-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
April 7, 2017 |
049-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
April 5, 2017 |
048-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
April 5, 2017 |
047-17 |
Self-certification - Amendments to the rules, operations manual and risk manual of CDCC
|
2017 |
April 5, 2017 |
046-17 |
Self-Certification - Amendments to Sections A-1A04 and A-401 of the Rules of the Canadian Derivatives Clearing Corporation
|
2017 |
March 29, 2017 |
045-17 |
New Equity Option Class
|
2017 |
March 28, 2017 |
044-17 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2017 |
March 27, 2017 |
043-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
March 21, 2017 |
042-17 |
Final Contract Adjustment - Manitoba Telecom Inc. (MBT) - Plan of arrangement (Follow-Up)
|
2017 |
March 20, 2017 |
041-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
March 20, 2017 |
040-17 |
Concentration Thresholds “Share Futures”
|
2017 |
March 17, 2017 |
039-17 |
Final Contract Adjustment - Manitoba Telecom Services Inc (MBT) - Plan of Arrangement
|
2017 |
March 16, 2017 |
038-17 |
Directors and Officers of CDCC
|
2017 |
March 16, 2017 |
037-17 |
Anticipated Contract Adjustment - DH Corporation (DH) - Plan of arrangement
|
2017 |
March 15, 2017 |
036-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
March 10, 2017 |
035-17 |
Arrangement Agreement - Savanna Energy Services (SVY) - Acquisition Announcement
|
2017 |
March 9, 2017 |
034-17 |
Intra-Commodity (Inter-Month) Spread Charge “Share Futures”
|
2017 |
March 8, 2017 |
033-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
March 6, 2017 |
032-17 |
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2017 |
February 23, 2017 |
031-17 |
Self-Certification - Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation
|
2017 |
February 22, 2017 |
030-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
February 22, 2017 |
029-17 |
Self-Certification - Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation to Reduce Support Time on Expiry
|
2017 |
February 21, 2017 |
028-17 |
Self-Certification - Amendments to the Rules and the Risk Manual of the Canadian Derivatives Clearing Corporation to Reflect the Change Of Administrator, Calculation Agent And Publication Agent of CDOR and CORRA Rates and Amendments to the Final Settlement Price of the Three-Month Canadian Bankers’ Acceptance, 30 Day Overnight Repo Rate and Overnight Index Swap Futures Contracts
|
2017 |
February 21, 2017 |
027-17 |
Self-Certification - Amendments to the Rules of the Canadian Derivatives Clearing Corporation - New Foreign Exchange Rate Fixing
|
2017 |
February 14, 2017 |
026-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
February 9, 2017 |
025-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
February 8, 2017 |
024-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
February 8, 2017 |
023-17 |
New Equity Options Classes
|
2017 |
February 7, 2017 |
022-17 |
Request for Comments - Change to CDCC Rules and Default Manual - Recovery Process
|
2017 |
February 3, 2017 |
021-17 |
Additional Future Contracts on Canadian Shares - “Share Futures”
|
2017 |
February 3, 2017 |
020-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
February 3, 2017 |
019-17 |
Final Contract Adjustment - Open Text Corporation (OTC) - Symbol Change
|
2017 |
January 31, 2017 |
018-17 |
Final Contract Adjustment - Pan American Silver Corp. (PAA) - Symbol Change
|
2017 |
January 31, 2017 |
017-17 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2017 |
January 27, 2017 |
016-17 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2017 |
January 20, 2017 |
015-17 |
Anticipated Contract Adjustment - Milestone Apartments REIT (MST) - Acquisition Agreement
|
2017 |
January 19, 2017 |
014-17 |
Fixed Income Securities Eligible for Trading
|
2017 |
January 17, 2017 |
013-17 |
Criteria for Eligibility of Securities Underlying Options
|
2017 |
January 16, 2017 |
012-17 |
Re-Introduction of an Option Class - Paramount Resources Ltd. (POU)
|
2017 |
January 16, 2017 |
011-17 |
Directors and Officers of CDCC
|
2017 |
January 11, 2017 |
010-17 |
Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change (FOLLOW-UP)
|
2017 |
January 11, 2017 |
009-17 |
Fixed Income Securities Eligible For Trading
|
2017 |
January 10, 2017 |
008-17 |
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-Off (Follow-Up)
|
2017 |
January 5, 2017 |
007-17 |
Name Change - HudBay Minerals Inc.
|
2017 |
January 4, 2017 |
006-17 |
Final Contract Adjustment - Open Text Corporation (OTC) - Stock Split
|
2017 |
January 4, 2017 |
005-17 |
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-Off
|
2017 |
January 3, 2017 |
004-17 |
Approved Depositories
|
2017 |
January 3, 2017 |
003-17 |
Trading by U.S. Residents
|
2017 |
January 3, 2017 |
002-17 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2017 |
January 3, 2017 |
001-17 |
List of Notice-to-Members – 2016
|
2016 |
December 30, 2016 |
170-16 |
Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change
|
2016 |
December 29, 2016 |
169-16 |
Final Contract Adjustment - TransForce Inc. (TFI) - CUSIP, Symbol and Name Change
|
2016 |
December 28, 2016 |
168-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
December 22, 2016 |
167-16 |
Anticipated Contract Adjustment - Open Text Corporation (OTC) - Stock Split
|
2016 |
December 20, 2016 |
166-16 |
Anticipated Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-off
|
2016 |
December 16, 2016 |
165-16 |
Final Contract Adjustment – FOLLOW-UP - Yamana Gold Inc. (YRI) - Rights Expiration
|
2016 |
December 14, 2016 |
164-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
December 14, 2016 |
163-16 |
Directors and Officers of CDCC
|
2016 |
December 13, 2016 |
162-16 |
REQUEST FOR COMMENTS - Amendments to the Rules and the Risk Manual of the Canadian Derivatives Clearing Corporation
|
2016 |
December 13, 2016 |
161-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
December 13, 2016 |
160-16 |
New Clearing Member – BNP Paribas
|
2016 |
December 13, 2016 |
159-16 |
Clearing Member Voluntary Withdrawal - BNP Paribas (Canada)
|
2016 |
December 9, 2016 |
158-16 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2016 |
December 6, 2016 |
157-16 |
Final Contract Adjustment - Newmarket Gold Inc. (NMI) - Plan of Arrangement (Follow-Up)
|
2016 |
December 5, 2016 |
156-16 |
Request for Comments - Proposed Amendments to Sections A-102, A-220 and A-701 of the Rules of the Canadian Derivatives Clearing Corporation
|
2016 |
December 5, 2016 |
155-16 |
Final Contract Adjustment - Kirkland Lake Gold Inc. (KLG) - Plan of Arrangement (Final)
|
2016 |
December 5, 2016 |
154-16 |
Final Contract Adjustment - Newmarket Gold Inc. (NMI) - Plan of Arrangement (Final)
|
2016 |
December 5, 2016 |
153-16 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2016 |
December 1, 2016 |
152-16 |
Intra-Commodity (Inter-Month) Spread Charge - “Share Futures”
|
2016 |
November 29, 2016 |
151-16 |
Final Contract Adjustment - Teck Resources Limited (TCK) - Symbol Change
|
2016 |
November 28, 2016 |
150-16 |
ERRATUM - New Equity Option Class
|
2016 |
November 28, 2016 |
149-16 |
Future Contracts on Canadian Shares - “Share Futures”
|
2016 |
November 28, 2016 |
148-16 |
New Equity Option Class
|
2016 |
November 25, 2016 |
147-16 |
Expiry Schedule
|
2016 |
November 24, 2016 |
146-16 |
FOLLOW-UP - Yamana Gold Inc. (YRI) - Rights Offering
|
2016 |
November 23, 2016 |
145-16 |
SELF-CERTIFICATION - Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation for the Introduction of Share Futures Contracts
|
2016 |
November 22, 2016 |
144-16 |
Final Contract Adjustment - Yamana Gold Inc. (YRI) - Rights Offering
|
2016 |
November 16, 2016 |
143-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
November 15, 2016 |
142-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
November 10, 2016 |
141-16 |
Bank Holiday – November 11, 2016
|
2016 |
November 10, 2016 |
140-16 |
2016 – 2017 Holiday Schedule
|
2016 |
November 9, 2016 |
139-16 |
Performance Sports Group Ltd. (PSG) - Delisting
|
2016 |
November 9, 2016 |
138-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
November 9, 2016 |
137-16 |
Final Contract Adjustment - Westport Fuel Systems Inc. (WPT) - Symbol Change
|
2016 |
November 7, 2016 |
136-16 |
SELF-CERTIFICATION - New Pricing Model on Options on Futures
|
2016 |
November 7, 2016 |
135-16 |
FOLLOW-UP - Pacific Exploration & Production Corporation (PRE2) - Acceleration of Expirations
|
2016 |
November 4, 2016 |
134-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
November 1, 2016 |
133-16 |
Final Contract Adjustment - Pacific Exploration & Production Corporation (PRE) - Plan of arrangement
|
2016 |
November 1, 2016 |
132-16 |
Performance Sports Group Ltd (PSG) - Suspension
|
2016 |
October 31, 2016 |
131-16 |
Final Contract Adjustment - Colliers International Group Inc. (TSX: CIG) - Symbol Change
|
2016 |
October 31, 2016 |
130-16 |
Final Contract Adjustment - Enghouse Systems Ltd. (TSX: ESL) - Symbol Change
|
2016 |
October 31, 2016 |
129-16 |
Final Contract Adjustment - ONEX Corporation (TSX: OCX) - Symbol Change
|
2016 |
October 31, 2016 |
128-16 |
Final Contract Adjustment - Shopify Inc. (TSX: SH) - Symbol Change
|
2016 |
October 26, 2016 |
127-16 |
Update - Pacific Exploration & Production Corporation (PRE)
|
2016 |
October 26, 2016 |
126-16 |
Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Spin-off
|
2016 |
October 19, 2016 |
125-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
October 17, 2016 |
124-16 |
List of Fees (Effective as of November 1, 2016)
|
2016 |
October 14, 2016 |
123-16 |
Criteria for Eligibility of Securities Underlying Options
|
2016 |
October 13, 2016 |
122-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
October 7, 2016 |
121-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
October 6, 2016 |
120-16 |
Re-Introduction of an Option Class - Element Fleet Management Corp. (EFN)
|
2016 |
September 30, 2016 |
119-16 |
Lightstream Resources Ltd. (LTS) - Delisting
|
2016 |
September 30, 2016 |
118-16 |
Pacific Exploration & Production Corporation (PRE) - Update
|
2016 |
September 30, 2016 |
117-16 |
Anticipated Contract Adjustment - Newmarket Gold Inc. (NMI) Announces Acquisition - Kirkland Lake Gold Inc. (KLG) by Plan of Arrangement
|
2016 |
September 29, 2016 |
116-16 |
Final Contract Adjustment - Element Financial Corporation (EFN) - Spin-Off
|
2016 |
September 22, 2016 |
115-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
September 21, 2016 |
114-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
September 21, 2016 |
113-16 |
Re-Introduction of an Option Class - Brookfield Infrastructure Partners L.P. (BIP)
|
2016 |
September 20, 2016 |
112-16 |
Lightstream Resources Ltd (LTS) - Suspension
|
2016 |
September 14, 2016 |
111-16 |
Final Contract Adjustment - Kirkland Lake Gold Inc. (KGI) - Symbol Change
|
2016 |
September 14, 2016 |
110-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
September 12, 2016 |
109-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
September 9, 2016 |
108-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
September 1, 2016 |
107-16 |
Final Contract Adjustment - Brookfield Infrastructure Partners L.P. (BIP.UN) - Unit Split
|
2016 |
August 24, 2016 |
106-16 |
New Equity Options Classes
|
2016 |
August 24, 2016 |
105-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
August 17, 2016 |
104-16 |
Self-certification - Amendments to the Operations Manual of CDCC to add Netting Cycles
|
2016 |
August 16, 2016 |
103-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
August 16, 2016 |
102-16 |
Request for Comments - Amendments to the Risk Manual of CDCC for the New Pricing Model on Options on Futures
|
2016 |
August 16, 2016 |
101-16 |
Request for Comments - Amendments to the Rules, the Operations Manual and the Risk Manual of CDCC for the Introduction of Share Futures Contracts
|
2016 |
August 11, 2016 |
100-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
August 11, 2016 |
099-16 |
Anticipated Contract Adjustment - Brookfield Infrastructure Partners L.P.- Unit Split
|
2016 |
August 9, 2016 |
098-16 |
REQUEST FOR COMMENTS - Proposed amendments to Sections A-1A04 and A-401 of the Rules of The Canadian Derivatives Corporation in order to establish and document CDCC’S consultation power
|
2016 |
August 4, 2016 |
097-16 |
Directors and Officers of CDCC
|
2016 |
August 3, 2016 |
096-16 |
TMX Group Announces Business Integration
|
2016 |
August 2, 2016 |
095-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
July 28, 2016 |
094-16 |
Criteria for Eligibility of Securities Underlying Options
|
2016 |
July 27, 2016 |
093-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
July 26, 2016 |
092-16 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2016 |
July 15, 2016 |
091-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
July 13, 2016 |
090-16 |
Self-Certification - Amendments to sections A-308 and A-401 of the Rules and to the Default Manual of the Canadian Derivatives Clearing Corporaton
|
2016 |
July 7, 2016 |
089-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
July 5, 2016 |
088-16 |
Royal Gold Inc. (RGL) - Delisting
|
2016 |
June 30, 2016 |
087-16 |
Approved Depositories
|
2016 |
June 30, 2016 |
086-16 |
Trading by U.S. Residents
|
2016 |
June 29, 2016 |
085-16 |
Final Contract Adjustment - Concordia Healthcare Corp. (CXR) - CUSIP and Name Change
|
2016 |
June 29, 2016 |
084-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 22, 2016 |
083-16 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off - ERRATUM
|
2016 |
June 22, 2016 |
082-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 22, 2016 |
081-16 |
Re-Introduction of an Option Class - Brookfield Asset Management Inc. (BAM)
|
2016 |
June 21, 2016 |
080-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 20, 2016 |
079-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 20, 2016 |
078-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 16, 2016 |
077-16 |
iShares Gold Trust (IGT) - Delisting
|
2016 |
June 16, 2016 |
076-16 |
New Equity Option Class
|
2016 |
June 10, 2016 |
074-16 |
Self-certification - Amendments to sections A-102, A-1A01, A-301, A-303 and A-305 of the Rules and to the Risk Manual of the Canadian Derivatives Clearing Corporation - New Category of Clearing Members
|
2016 |
June 10, 2016 |
073-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 9, 2016 |
072-16 |
Anticipated Contract Adjustment - iShares Gold Trust (IGT) - Delisting
|
2016 |
June 7, 2016 |
071-16 |
Name Change - Westport Innovations Inc.
|
2016 |
June 2, 2016 |
070-16 |
Re-Introduction of an Option Class - Canadian Natural Resources Limited (CNQ)
|
2016 |
June 1, 2016 |
069-16 |
Clearing Member Voluntary Withdrawal - Maple Securities Canada Limited
|
2016 |
June 1, 2016 |
068-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
June 1, 2016 |
067-16 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off
|
2016 |
May 31, 2016 |
066-16 |
Final Contract Adjustment - Progressive Waste Solutions Ltd (BIN) - Merger and Consolidation
|
2016 |
May 31, 2016 |
065-16 |
Re-Introduction of ETF Option Classes - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD)
|
2016 |
May 30, 2016 |
064-16 |
Final Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Spin-Off
|
2016 |
May 30, 2016 |
063-16 |
New Weekly Equity Options Classes
|
2016 |
May 27, 2016 |
062-16 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD) - Reverse Unit Split
|
2016 |
May 27, 2016 |
061-16 |
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) and (HOU4) - Reverse Unit Split
|
2016 |
May 26, 2016 |
060-16 |
List of Fees (Effective As Of June 1, 2016)
|
2016 |
May 25, 2016 |
059-16 |
Final Contract Adjustment - Horizons ETFs HGU and HGU2 - Unit Split
|
2016 |
May 24, 2016 |
058-16 |
Final Contract Adjustment - RONA Inc. (RON) - Plan of Arrangement
|
2016 |
May 19, 2016 |
057-16 |
Request for Comments - Amendments to the Canadian Derivatives Clearing Corporation Operations Manual to add Netting Cycles
|
2016 |
May 18, 2016 |
056-16 |
Anticipated Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-off
|
2016 |
May 18, 2016 |
055-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
May 16, 2016 |
054-16 |
Anticipated Contract Adjustment - Horizons ETFs HGU - Unit Split
|
2016 |
May 16, 2016 |
053-16 |
Anticipated Contract Adjustment - Horizons ETFs HGD and HOU - Reverse Unit Split
|
2016 |
May 11, 2016 |
052-16 |
Anticipated Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Plan of Arrangement
|
2016 |
May 9, 2016 |
051-16 |
Name Change - Brookfield Renewable Energy Partners L.P.
|
2016 |
May 5, 2016 |
050-16 |
Final Contract Adjustment - Uni-Select Inc. (UNS) - Stock Split
|
2016 |
May 5, 2016 |
049-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
May 4, 2016 |
048-16 |
New Equity Option Class
|
2016 |
May 4, 2016 |
047-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
May 2, 2016 |
046-16 |
Anticipated Contract Adjustment - Manitoba Telecom Services Inc. (MBT) - Plan of Arrangement
|
2016 |
April 29, 2016 |
045-16 |
Anticipated Contract Adjustment - Uni-Select Inc. (UNS) - Stock Split
|
2016 |
April 29, 2016 |
044-16 |
Pacific Exploration & Production Corporation (PRE) - Delisting
|
2016 |
April 25, 2016 |
042-16 |
Criteria for Eligibility of Securities Underlying Options
|
2016 |
April 21, 2016 |
041-16 |
List of Fees - (Effective as of May 1, 2016)
|
2016 |
April 20, 2016 |
040-16 |
Pacific Exploration & Production Corporation (PRE) - Suspension
|
2016 |
April 8, 2016 |
039-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
April 7, 2016 |
038-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
April 6, 2016 |
037-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
April 6, 2016 |
036-16 |
New Equity Options Classes
|
2016 |
March 22, 2016 |
035-16 |
FINAL CONTRACT ADJUSTMENT - CANADIAN OIL SANDS LIMITED (COS)- ACQUISITION (FINAL)
|
2016 |
March 22, 2016 |
034-16 |
Anticipated Contract Adjustment - Bankers Petroleum Ltd. (BNK) - Plan of Arrangement
|
2016 |
March 21, 2016 |
033-16 |
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING
|
2016 |
March 18, 2016 |
032-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
March 15, 2016 |
031-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
March 15, 2016 |
030-16 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2016 |
March 10, 2016 |
029-16 |
New Equity Options Classes
|
2016 |
March 9, 2016 |
028-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 24, 2016 |
027-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 24, 2016 |
026-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 23, 2016 |
025-16 |
Weekly Equity Options – Option Classes Changes
|
2016 |
February 22, 2016 |
024-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 18, 2016 |
023-16 |
Final Contract Adjustment - Norbord Inc. (NBD) - Symbol Change
|
2016 |
February 18, 2016 |
022-16 |
Anticipated Contract Adjustment - Element Financial Corporation (EFN) - Spin-Off
|
2016 |
February 18, 2016 |
021-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 17, 2016 |
020-16 |
Final Contract Adjustment - WestJet Airlines Ltd. (WJA) - CUSIP Change
|
2016 |
February 17, 2016 |
019-16 |
Directors and Officers of CDCC
|
2016 |
February 16, 2016 |
018-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 10, 2016 |
017-16 |
Criteria for Eligibility of Securities Underlying Options
|
2016 |
February 10, 2016 |
016-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 4, 2016 |
015-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 3, 2016 |
014-16 |
Anticipated Contract Adjustment - RONA Inc. (RON) - Plan of Arrangement
|
2016 |
February 3, 2016 |
013-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
February 2, 2016 |
012-16 |
ANTICIPATED CONTRACT ADJUSTMENT - Amaya Inc. (AYA) - Acquisition
|
2016 |
January 28, 2016 |
011-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
January 25, 2016 |
010-16 |
Final Contract Adjustment - Cogeco Cable Inc. (CCA) - CUSIP and Name Change
|
2016 |
January 21, 2016 |
009-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
January 21, 2016 |
008-16 |
Anticipated Contract Adjustment - Progressive Waste Solutions Ltd. (BIN) - Merger
|
2016 |
January 18, 2016 |
007-16 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2016 |
January 13, 2016 |
006-16 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2016 |
January 13, 2016 |
005-16 |
Fixed Income Securities Eligible for Trading
|
2016 |
January 4, 2016 |
004-16 |
Approved Depositories
|
2016 |
January 4, 2016 |
003-16 |
Trading by U.S. Residents
|
2016 |
January 4, 2016 |
002-16 |
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs
|
2016 |
January 4, 2016 |
001-16 |
List of Notice-to-Members - 2015
|
2015 |
December 22, 2015 |
155-15 |
FINAL CONTRACT ADJUSTMENT - Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution
|
2015 |
December 18, 2015 |
154-15 |
New CDCC List of Fees - (Effective as of January 1, 2016)
|
2015 |
December 17, 2015 |
153-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
December 16, 2015 |
152-15 |
Self-Certification - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address Procyclicality of Margin
|
2015 |
December 16, 2015 |
151-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
December 11, 2015 |
150-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
December 9, 2015 |
149-15 |
REQUEST FOR COMMENTS - Amendments to the Default Manual and to Sections A-308 and A-401 of the Rules of the Canadian Derivatives Clearing Corporation
|
2015 |
December 9, 2015 |
148-15 |
REQUEST FOR COMMENTS - Proposed Amendments to the Risk Manual and to Sections A-102, A-1A01, A-301, A-303, A-305 of the Rules of the Canadian Derivatives Clearing Corporation
|
2015 |
December 8, 2015 |
147-15 |
New Equity Option Class
|
2015 |
December 1, 2015 |
146-15 |
Re-Introduction of ETF Option Classes
|
2015 |
November 30, 2015 |
145-15 |
Anticipated Contract Adjustment - Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution
|
2015 |
November 26, 2015 |
144-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
November 25, 2015 |
143-15 |
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
|
2015 |
November 25, 2015 |
142-15 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX 60 Bear Plus ETF (HXD) - Reverse Unit Split
|
2015 |
November 25, 2015 |
141-15 |
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split
|
2015 |
November 25, 2015 |
140-15 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU) - Reverse Unit Split
|
2015 |
November 24, 2015 |
139-15 |
Modification to the three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – Postponement
|
2015 |
November 24, 2015 |
138-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
November 18, 2015 |
137-15 |
Anticipated Contract Adjustment - Horizons ETFs HGU, HNU, HOU and HXD - Reverse Unit Split
|
2015 |
November 18, 2015 |
136-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
November 18, 2015 |
135-15 |
Self-Certification - Amendment to the Rules of the Canadian Derivatives Clearing Corporation to Address Multiple Weekly Options Expiries
|
2015 |
November 18, 2015 |
134-15 |
Self-Certification - Amendments to the Canadian Derivatives Clearing Corporation Operations Manual for the Purpose of Moving the Afternoon Intra-Day Margin Process
|
2015 |
November 18, 2015 |
133-15 |
Self-Certification - Amendments to the Operations Manual Of CDCC for the Purpose of Adding a New Report (MS78)
|
2015 |
November 18, 2015 |
132-15 |
Self-Certification - Amendments to Rule A-216 of CDCC Regarding Audited Statements of the Corporation
|
2015 |
November 16, 2015 |
131-15 |
Expiry Schedule
|
2015 |
November 12, 2015 |
130-15 |
2015 – 2016 Holiday Schedule
|
2015 |
November 4, 2015 |
129-15 |
Bank Holiday – November 11, 2015
|
2015 |
November 2, 2015 |
128-15 |
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – November 30, 2015
|
2015 |
October 21, 2015 |
127-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
October 20, 2015 |
126-15 |
New Equity Option Class
|
2015 |
October 19, 2015 |
125-15 |
Final Contract Adjustment - BMO S&P/TSX Laddered Preferred Share Index ETF (ZPR) - CUSIP and Name Change
|
2015 |
October 19, 2015 |
124-15 |
Criteria for Eligibility of Securities Underlying Options
|
2015 |
October 16, 2015 |
123-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
October 13, 2015 |
122-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
October 8, 2015 |
121-15 |
Anticipated Contract Adjustment - Canexus Corporation (CUS) - Plan of Arrangement
|
2015 |
October 7, 2015 |
120-15 |
Anticipated Contract Adjustment - Canadian Oil Sands Limited (COS) - Acquisition
|
2015 |
October 2, 2015 |
119-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
September 23, 2015 |
118-15 |
New Equity Options Classes
|
2015 |
September 23, 2015 |
117-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
September 22, 2015 |
116-15 |
Modification to the three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – Postponement
|
2015 |
September 16, 2015 |
115-15 |
Final Contract Adjustment - Empire Company Limited (EMP.A) - Stock Split
|
2015 |
September 16, 2015 |
114-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
September 14, 2015 |
113-15 |
Accelerated Expiry - Initial Use -Talisman Energy Inc. – (TLM1) – September 18, 2015
|
2015 |
September 14, 2015 |
112-15 |
Accelerated Expiry - Initial Use - Catamaran Corporation – (CCT1) – September 18, 2015
|
2015 |
September 14, 2015 |
111-15 |
Accelerated Expiry - Launch – September 18, 2015
|
2015 |
September 14, 2015 |
110-15 |
Directors and Officers of CDCC
|
2015 |
September 10, 2015 |
109-15 |
Fixed Income Clearing – Updated Eligibility List
|
2015 |
September 10, 2015 |
108-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
September 9, 2015 |
107-15 |
Re-introduction of an ETF Option Class - Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF (HEU)
|
2015 |
August 26, 2015 |
106-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
August 25, 2015 |
105-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
August 21, 2015 |
104-15 |
Final contract adjustment - Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF (HEU) - Reverse Unit Split
|
2015 |
August 21, 2015 |
103-15 |
Self-Certification - Amendments to the Operations Manual of CDCC to Address the Increase of Limit Requiring Notice for Clearing Member’s Deposit/Withdrawal
|
2015 |
August 21, 2015 |
102-15 |
Self-Certification - Amendments to Rule B-3 of the Rules of CDCC to Introduce Acceleration of Expiry
|
2015 |
August 20, 2015 |
101-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
August 18, 2015 |
100-15 |
New Equity Options Classes
|
2015 |
August 18, 2015 |
099-15 |
Directors and Officers of CDCC
|
2015 |
August 17, 2015 |
098-15 |
Final Contract Adjustment - Pacific Rubiales Energy Corporation (PRE) - Cusip and Name Change
|
2015 |
August 17, 2015 |
097-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
August 14, 2015 |
096-15 |
Request for Comments - Amendments to the Canadian Derivatives Clearing Coporation Operations Manual for the Purpose of Moving the Afternoon Intra-Day Margin Process
|
2015 |
August 14, 2015 |
095-15 |
Request for Comments - Amendment to the Rules of the Canadian Derivatives Clearing Corporation to Address Multiple Weekly Options Expiries
|
2015 |
August 11, 2015 |
094-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
August 6, 2015 |
093-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
July 29, 2015 |
092-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
July 29, 2015 |
091-15 |
Options & Futures Contracts on S&P/TSX Composite Index Banks (Industry Group) and S&P/TSX Capped Utilities Index
|
2015 |
July 28, 2015 |
090-15 |
Final Contract Adjustment - Canfor Pulp Products Inc. (CFX) - Special Cash Dividend
|
2015 |
July 27, 2015 |
089-15 |
Final Contract Adjustment - Catamaran Corporation. (CCT) - Plan of Arrangement (Final)
|
2015 |
July 27, 2015 |
088-15 |
Anticipated Contract Adjustment - Canfor Pulp Products Inc. (CFX) - Special Dividend
|
2015 |
July 22, 2015 |
087-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
July 20, 2015 |
086-15 |
Criteria for Eligibility of Securities Underlying Options
|
2015 |
July 20, 2015 |
085-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
July 9, 2015 |
084-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
July 7, 2015 |
083-15 |
Final Contract Adjustment - Calloway Real Estate Investment Trust (CWT.UN) - Name, Symbol and CUSIP Change
|
2015 |
July 7, 2015 |
082-15 |
Final Contract Adjustment - Legacy Oil + Gas Inc. (LEG) - Plan of Arrangement (Follow-Up)
|
2015 |
July 6, 2015 |
081-15 |
Final Contract Adjustment - Legacy Oil + Gas Inc. (LEG) - Plan of Arrangement
|
2015 |
July 3, 2015 |
080-15 |
Final Contract Adjustment - AuRico Gold Inc. (AUQ) - Plan of arrangement (Final)
|
2015 |
July 3, 2015 |
079-15 |
Final Contract Adjustment - Alamos Gold Inc. (AGI) - Plan of arrangement (Final)
|
2015 |
June 30, 2015 |
078-15 |
Approved Depositories
|
2015 |
June 30, 2015 |
077-15 |
Trading by U.S. Residents
|
2015 |
June 30, 2015 |
076-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
June 23, 2015 |
075-15 |
New Equity and ETF Options Classes
|
2015 |
June 22, 2015 |
074-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
June 18, 2015 |
073-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
June 16, 2015 |
072-15 |
New Weekly Equity Options Classes
|
2015 |
June 15, 2015 |
071-15 |
New list of fees (effective as of July 1,2015
|
2015 |
June 12, 2015 |
070-15 |
Final Contract Adjustment - Continental Gold Limited (CNL) Name and Cusip Change
|
2015 |
June 3, 2015 |
069-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
June 3, 2015 |
068-15 |
Anticipated Contract Adjustment - Legacy Oil & Gas Inc. (LEG) - Plan of arrangement
|
2015 |
May 27, 2015 |
067-15 |
Final Contract Adjustment - FirstService Corporation (FSV) - Spin-Off
|
2015 |
May 27, 2015 |
066-15 |
Request for Comments - Amendments to Rule B-3 of the Rules of CDCC to Introduce Acceleration of Expiry
|
2015 |
May 26, 2015 |
065-15 |
Anticipated Contract Adjustment - Pacific Rubiales Energy Corp. (PRE) - Plan of Arrangement
|
2015 |
May 22, 2015 |
064-15 |
SELF-CERTIFICATION - Amendments to the Rules and Risk Manual of CDCC Collateral Framework
|
2015 |
May 22, 2015 |
063-15 |
SELF-CERTIFICATION - Amendments to the Operations Manual and Risk Manual of CDCC to Address its Intra-Day Variation Margin Exposure
|
2015 |
May 22, 2015 |
062-15 |
SELF-CERTIFICATION - Amendments to the Operations Manual and Risk Manual of CDCC to Address Mismatched Settlement Risk in the Margin Calculation
|
2015 |
May 22, 2015 |
061-15 |
SELF-CERTIFICATION - Amendments to the Risk Manual of CDCC to Address Collateral Haircut
|
2015 |
May 20, 2015 |
060-15 |
New Equity and ETF Options Classes
|
2015 |
May 15, 2015 |
059-15 |
Re-Introduction of an Option Class - Brookfield Asset Management Inc. (BAM)
|
2015 |
May 13, 2015 |
058-15 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split - ERRATUM
|
2015 |
May 8, 2015 |
057-15 |
Self-Certification - Amendments to the risk manual of CDCC - Concentration Risk
|
2015 |
May 8, 2015 |
056-15 |
Self-Certification - Amendments to the operations manual of CDCC - Additional margin for specific wrong-way risk
|
2015 |
May 8, 2015 |
055-15 |
Self Certification - Amendments to the risk manual of CDCC to address close-out periods in the margin calculation
|
2015 |
May 8, 2015 |
054-15 |
Fixed Income Securities eligible for trading
|
2015 |
May 7, 2015 |
053-15 |
Final Contract Adjustment - Talisman Energy Inc. (TLM) - Plan of Arrangement
|
2015 |
May 6, 2015 |
052-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
April 30, 2015 |
051-15 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split
|
2015 |
April 29, 2015 |
050-15 |
Criteria for Eligibility of Securities Underlying Options
|
2015 |
April 22, 2015 |
049-15 |
Directors and Officers of CDCC
|
2015 |
April 20, 2015 |
048-15 |
Anticipated Contract Adjustment - Alamos Gold Inc. (AGI) - Merger
|
2015 |
April 16, 2015 |
047-15 |
Anticipated Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split
|
2015 |
April 10, 2015 |
046-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
April 8, 2015 |
045-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
April 1, 2015 |
044-15 |
Anticipated Contract Adjustment - Catamaran Corporation (CCT) - Acquisition
|
2015 |
April 1, 2015 |
043-15 |
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - launch – September 28, 2015
|
2015 |
March 27, 2015 |
042-15 |
Final Contract Adjustment - Keyera Corp. (KEY) - Stock Split
|
2015 |
March 20, 2015 |
041-15 |
Allied Nevada Gold Corp. (ANV) - Delisting
|
2015 |
March 19, 2015 |
040-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
March 17, 2015 |
039-15 |
Final Contract Adjustment - Gildan Activewear Inc. (GIL) - Stock Split
|
2015 |
March 16, 2015 |
038-15 |
FINAL CONTRACT ADJUSTMENT Brookfield Residential Properties Inc. (BRP) Plan of Arrangement
|
2015 |
March 13, 2015 |
037-15 |
Clearing Member Voluntary Withdrawal - Deutsche Bank Securities Limited
|
2015 |
March 12, 2015 |
036-15 |
Self-Certification – Amendment to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address the Stress Testing Framework
|
2015 |
March 12, 2015 |
035-15 |
Self-Certification - Amendment to CDCC Rules A-1 and A-6
|
2015 |
March 12, 2015 |
034-15 |
Self-Certification - Amendment to CDCC Rules A-1, D-1, D-4 AND D-5 - New Clearing Services for Financially-Settled Over-the-Counter Index Options
|
2015 |
March 12, 2015 |
033-15 |
Self-Certification - Amendments to Rules A-1, B-10, C-7 and C-12 of CDCC Rules
|
2015 |
March 12, 2015 |
032-15 |
Self-Certification - Amendments to the Risk Manual and to the Rules B-5, B-6, B-15 and D-1 of CDCC Rules
|
2015 |
March 12, 2015 |
031-15 |
Self-Certification - Amendment to CDCC Rules A-9 and B-14 - Adjustment Committee for Over-the-Counter Derivative Instruments
|
2015 |
March 11, 2015 |
030-15 |
Allied Nevada Gold Corp. (ANV) - Suspension
|
2015 |
March 11, 2015 |
029-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
March 5, 2015 |
028-15 |
Final Contract Adjustment - Magna International Inc. (MG) - Stock Split
|
2015 |
March 3, 2015 |
027-15 |
Directors and Officers of CDCC
|
2015 |
February 20, 2015 |
026-15 |
New Equity Option Class
|
2015 |
February 20, 2015 |
025-15 |
Anticipated Contract Adjustment - Keyera Corp. (KEY) - Stock Split
|
2015 |
February 17, 2015 |
024-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
February 17, 2015 |
023-15 |
Anticipated Contract Adjustment - FirstService Corporation (FSV) - Spin-Off
|
2015 |
February 12, 2015 |
022-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
February 11, 2015 |
021-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
February 10, 2015 |
020-15 |
Anticipated Contract Adjustment - Gildan Activewear Inc. (GIL) - Stock Split
|
2015 |
February 9, 2015 |
019-15 |
New Clearing Member – BBS Securities Inc.
|
2015 |
February 6, 2015 |
018-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
February 5, 2015 |
017-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
February 4, 2015 |
016-15 |
Final Contract Adjustment - Metro Inc. (MRU) - Stock Split
|
2015 |
January 29, 2015 |
015-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 28, 2015 |
014-15 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2015 |
January 27, 2015 |
013-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 22, 2015 |
012-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 22, 2015 |
011-15 |
Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU)
|
2015 |
January 21, 2015 |
010-15 |
New Equity Options Classes
|
2015 |
January 16, 2015 |
009-15 |
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU1) - Reverse Unit Split (Follow-Up)
|
2015 |
January 15, 2015 |
008-15 |
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split
|
2015 |
January 15, 2015 |
007-15 |
IMAX Corporation (IMX) - Delisting
|
2015 |
January 14, 2015 |
006-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 9, 2015 |
005-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 8, 2015 |
004-15 |
Fixed Income Securities Eligible for Trading
|
2015 |
January 2, 2015 |
003-15 |
Trading by U.S. Residents
|
2015 |
January 2, 2015 |
002-15 |
Approved Depositories
|
2015 |
January 2, 2015 |
001-15 |
List of Notice-to-Members
|
2014 |
December 29, 2014 |
237-14 |
Final Contract Adjustment - Boardwalk Real Estate Investment Trust (BEI.UN) - Special Cash Dividend
|
2014 |
December 19, 2014 |
236-14 |
New CDCC List of Fees (Effective January 1, 2015)
|
2014 |
December 18, 2014 |
235-14 |
Anticipated Contract Adjustment - Talisman Energy Inc. (TLM) - Plan of arrangement
|
2014 |
December 17, 2014 |
234-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
December 15, 2014 |
233-14 |
Final Contract Adjustment - Tim Hortons Inc. (THI) - Plan of arrangement (Follow-Up)
|
2014 |
December 12, 2014 |
232-14 |
New Equity Option Class
|
2014 |
December 12, 2014 |
231-14 |
Final Contract Adjustment - Tim Hortons Inc. (THI) - Plan of Arrangement
|
2014 |
December 11, 2014 |
230-14 |
Erratum - New Equity And ETF Options Classes
|
2014 |
December 10, 2014 |
229-14 |
New Equity and ETF Options Classes
|
2014 |
December 10, 2014 |
228-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
December 9, 2014 |
227-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
December 3, 2014 |
226-14 |
Final Contract Adjustment - Amaya Gaming Group Inc. (AYA) - Name and CUSIP Change
|
2014 |
December 1, 2014 |
225-14 |
Self-Certification - Amendment to the Rules of Canadian Derivatives Clearing Corporation to make Mandatory the Establishment of a United States of America Dollar (USD) Bank Account for Every Clearing Member that Clears Options and/or Futures
|
2014 |
December 1, 2014 |
224-14 |
Self-Certification - Amendment to Rule A-1A09 Regarding Voluntary Withdrawal
|
2014 |
December 1, 2014 |
223-14 |
Directors and Officers of CDCC - 2014 - 2015
|
2014 |
November 28, 2014 |
222-14 |
Expiry Schedule
|
2014 |
November 27, 2014 |
221-14 |
Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU)
|
2014 |
November 25, 2014 |
220-14 |
Request for Comments - Amendments to the Rules, Operations Manual, Risk Manual and Default Manual of the Canadian Derivatives Clearing Corporation to Address the Clearing Fund Framework
|
2014 |
November 25, 2014 |
219-14 |
Request for Comments - Amendment to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address the Stress Testing Framework
|
2014 |
November 25, 2014 |
218-14 |
Request for Comments - Amendment to the Operations Manual and the Risk Manual of the Canadian Derivatives Clearing Corporation to Address its Intra-Day Variation Margin Exposure
|
2014 |
November 25, 2014 |
217-14 |
Request for Comments - Amendment to the Rules and the Risk Manual of the Canadian Derivatives Clearing Corporation to Address the Collateral Framework
|
2014 |
November 25, 2014 |
216-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
November 24, 2014 |
215-14 |
Directors and Officers of CDCC - 2014 - 2015
|
2014 |
November 21, 2014 |
214-14 |
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split
|
2014 |
November 19, 2014 |
213-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
November 13, 2014 |
212-14 |
2014 – 2015 Holiday Schedule
|
2014 |
November 12, 2014 |
211-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
November 10, 2014 |
210-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
November 10, 2014 |
209-14 |
Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2014 |
November 7, 2014 |
208-14 |
Self-Certification - Amendment to the Operations Manual - Department Name Change “Member Services” to “Corporate Operations”
|
2014 |
November 5, 2014 |
207-14 |
Final Contract Adjustment - Dollarama Inc. (DOL) - Stock Split
|
2014 |
November 3, 2014 |
206-14 |
Final Contract Adjustment - Bell Aliant (BA) - Acquisition (Follow-Up)
|
2014 |
November 3, 2014 |
205-14 |
Bank Holiday – November 11, 2014
|
2014 |
November 3, 2014 |
204-14 |
Name Change from Newedge Canada Inc. to Société Générale Capital Canada Inc.
|
2014 |
October 30, 2014 |
203-14 |
Criteria For Eligibility Of Stock Options
|
2014 |
October 30, 2014 |
202-14 |
Final Contract Adjustment - Bell Aliant (BA) - Acquisition
|
2014 |
October 29, 2014 |
201-14 |
Final Contract Adjustment - Stantec Inc. (STN) - Stock Split
|
2014 |
October 23, 2014 |
200-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
October 20, 2014 |
199-14 |
New Equity Options Classes
|
2014 |
October 20, 2014 |
198-14 |
Request for Comments - Amendment to the Rules of Canadian Derivatives Clearing Corporation to Make Mandatory the Establishment of a United States of America Dollar (USD) Bank Account for Every Clearing Member that Clears Options and/or Futures
|
2014 |
October 14, 2014 |
197-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
October 9, 2014 |
196-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
October 1, 2014 |
195-14 |
Clearing Member Voluntary Withdrawal - Morgan Stanley Canada Limited
|
2014 |
September 30, 2014 |
194-14 |
Final Contract Adjustment - Augusta Resource Corporation (AZC) - Amalgamation (Follow-Up)
|
2014 |
September 30, 2014 |
193-14 |
New Weekly Equity and ETF Options Classes
|
2014 |
September 29, 2014 |
192-14 |
Final Contract Adjustment - Augusta Resource Corporation (AZC) - Amalgamation
|
2014 |
September 25, 2014 |
191-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
September 24, 2014 |
190-14 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2014 |
September 24, 2014 |
189-14 |
Final Contract Adjustment - Saputo Inc. (SAP) - Stock Split
|
2014 |
September 23, 2014 |
188-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
September 22, 2014 |
187-14 |
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Postponement of Launch
|
2014 |
September 22, 2014 |
186-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
September 19, 2014 |
185-14 |
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2014 |
September 18, 2014 |
184-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
September 12, 2014 |
183-14 |
Anticipated Contract Adjustment - Dollarama Inc. (DOL) - Stock Split
|
2014 |
September 12, 2014 |
182-14 |
ANTICIPATED CONTRACT ADJUSTMENT - Stantec Inc. (STN) - Stock Split
|
2014 |
September 11, 2014 |
181-14 |
Anticipated Contract Adjustment - Tim Hortons Inc. (THI) - Plan of arrangement
|
2014 |
September 4, 2014 |
180-14 |
New Equity Options Classes
|
2014 |
August 28, 2014 |
179-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
August 27, 2014 |
178-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
August 20, 2014 |
177-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
August 15, 2014 |
176-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
August 14, 2014 |
175-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
August 11, 2014 |
174-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
August 8, 2014 |
173-14 |
Final Contract Adjustment - Nordion (NDN) - Plan of Arrangement
|
2014 |
August 7, 2014 |
172-14 |
Anticipated Contract Adjustment - Saputo inc. (SAP) - Stock Split
|
2014 |
August 6, 2014 |
171-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
August 5, 2014 |
170-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
August 5, 2014 |
169-14 |
Anticipated Contract Adjustment - Bell Aliant Inc. (BA) - Acquisition
|
2014 |
August 5, 2014 |
168-14 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2014 |
July 31, 2014 |
167-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
July 31, 2014 |
166-14 |
Self-Certification - Amendment to the Risk Manual of CDCC - Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology
|
2014 |
July 31, 2014 |
165-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
July 29, 2014 |
164-14 |
Request for Comments - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address the Concentration Risk
|
2014 |
July 29, 2014 |
163-14 |
Request for Comments - Amendments to the Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation to Address Mismatched Settlement Risk in the Margin Calculation
|
2014 |
July 29, 2014 |
162-14 |
Request for Comments - Amendments to the Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation to Address Additional Margin for Specific Wrong-Way Risk
|
2014 |
July 29, 2014 |
161-14 |
Request for Comments - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address Close-Out Periods in the Margin Calculation
|
2014 |
July 29, 2014 |
160-14 |
Request for Comments - Amendments to the Risk Manual of the Canadian Derivatives Clearing Coporation to Address Collateral Haircut
|
2014 |
July 29, 2014 |
159-14 |
Request For Comments - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address Procyclicality of Margin
|
2014 |
July 29, 2014 |
158-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
July 24, 2014 |
157-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
July 24, 2014 |
156-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
July 22, 2014 |
155-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
July 22, 2014 |
154-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
July 18, 2014 |
153-14 |
Criteria for Eligibility of Stock Options
|
2014 |
July 18, 2014 |
152-14 |
Name Change - iShares Funds (iShares ETFs)
|
2014 |
July 17, 2014 |
151-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
July 16, 2014 |
150-14 |
Trading by U.S. Residents
|
2014 |
July 15, 2014 |
149-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
July 11, 2014 |
148-14 |
Final Contract Adjustment - Canadian Energy Services & Technology Corp. (CEU) - Stock Split
|
2014 |
July 10, 2014 |
147-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
July 8, 2014 |
146-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
July 3, 2014 |
145-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
July 3, 2014 |
144-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
July 2, 2014 |
143-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
June 30, 2014 |
142-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
June 27, 2014 |
141-14 |
Re-Introduction of ETF Option Classes
|
2014 |
June 26, 2014 |
140-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
June 25, 2014 |
139-14 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. LIF) - Special Cash Dividend
|
2014 |
June 24, 2014 |
138-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
June 20, 2014 |
137-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
June 19, 2014 |
136-14 |
Weekly Options – Postponement of Launch
|
2014 |
June 19, 2014 |
135-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
June 18, 2014 |
134-14 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Capped Financials Bear Plus ETF (HFD) - Reverse Unit Split
|
2014 |
June 18, 2014 |
133-14 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Capped Energy Bear Plus ETF (HED) - Reverse Unit Split
|
2014 |
June 17, 2014 |
132-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
June 17, 2014 |
131-14 |
Final Contract Adjustement - Osisko Mining Corporation (OSK) - Plan of arrangement (Follow-Up)
|
2014 |
June 17, 2014 |
130-14 |
New Weekly Equity and ETF Options Classes
|
2014 |
June 17, 2014 |
129-14 |
New Equity Option Classes
|
2014 |
June 16, 2014 |
128-14 |
Final Contract Adjustment - Osisko Mining Corporation (OSK) - Plan of Arrangement
|
2014 |
June 16, 2014 |
127-14 |
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2014 |
June 13, 2014 |
126-14 |
Self-Certification - Amendment to the Rules and the Operations Manual of CDCC Listing of New Option Expirations: Weekly Options
|
2014 |
June 12, 2014 |
125-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
June 11, 2014 |
124-14 |
Final Contract Adjustment - Aurora Oil & Gas Ltd. (AEF) - Plan of Arrangement
|
2014 |
June 10, 2014 |
123-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
June 10, 2014 |
122-14 |
Final Contract Adjustment - Brookfield Office Properties Inc. (BPO) - Plan of Arrangement
|
2014 |
June 9, 2014 |
121-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
June 9, 2014 |
120-14 |
FTSE Emerging Market Index Futures (EMF) Contracts
|
2014 |
June 9, 2014 |
119-14 |
Self-Certification - Amendments to CDCC’s Rules, Operations Manual and Risk Manual - New Product: FTSE Emerging Markets Index Futures
|
2014 |
June 9, 2014 |
118-14 |
List of Fees of the Canadian Derivatives Clearing Corporation (Effective as of June 10, 2014)
|
2014 |
June 5, 2014 |
117-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
June 5, 2014 |
116-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
June 3, 2014 |
115-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
June 3, 2014 |
114-14 |
Final Contract Adjustment - Domtar Corporation (UFS) - Stock Split
|
2014 |
June 2, 2014 |
113-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
May 29, 2014 |
112-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
May 29, 2014 |
111-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
May 27, 2014 |
110-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
May 23, 2014 |
109-14 |
Aurora Oil & Gas Ltd. (AEF) - Delisting
|
2014 |
May 22, 2014 |
108-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
May 22, 2014 |
107-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
May 20, 2014 |
106-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
May 20, 2014 |
105-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
May 16, 2014 |
104-14 |
Anticipated Contract Adjustment - Canadian Energy Services & Technology Corp. (CEU) - Stock Split
|
2014 |
May 15, 2014 |
103-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
May 15, 2014 |
102-14 |
Final Contract Adjustment - Calfrac Well Services Ltd. (CFW) - Stock Split
|
2014 |
May 13, 2014 |
101-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
May 12, 2014 |
100-14 |
Final Contract Adjustment - Dundee Real Estate Investment Trust (D.UN) - Name and CUSIP Change
|
2014 |
May 9, 2014 |
099-14 |
Final Contract Adjustment - Dundee International Real Estate Investment Trust (DI.UN) - Name, Symbol and CUSIP Change
|
2014 |
May 9, 2014 |
098-14 |
Zero-Premium Options
|
2014 |
May 9, 2014 |
097-14 |
New Converge® Symbols
|
2014 |
May 9, 2014 |
096-14 |
Directors and Officers of CDCC - 2014 - 2015
|
2014 |
May 8, 2014 |
095-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
May 8, 2014 |
094-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
May 7, 2014 |
093-14 |
Final Contract Adjustment - Davis + Henderson Corp. (DH) - Name and CUSIP Change
|
2014 |
May 6, 2014 |
092-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
May 1, 2014 |
091-14 |
Criteria for Eligibility of Stock Options
|
2014 |
May 1, 2014 |
090-14 |
Anticipated Contract Adjustment - Domtar Corporation (UFS) - Stock Split
|
2014 |
May 1, 2014 |
089-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
May 1, 2014 |
088-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
April 30, 2014 |
087-14 |
Final Contract Adjustment - Santonia Energy Inc. (STE) - Plan of arrangement (Follow-Up)
|
2014 |
April 29, 2014 |
086-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
April 29, 2014 |
085-14 |
Anticipated Contract Adjustment - Osisko Mining Corporation (OSK) - Plan of Arrangement
|
2014 |
April 28, 2014 |
084-14 |
Final Contract Adjustment - Santonia Energy Inc. (STE) - Plan of Arrangement
|
2014 |
April 24, 2014 |
083-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
April 22, 2014 |
082-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
April 22, 2014 |
081-14 |
Equity Options Classes
|
2014 |
April 17, 2014 |
080-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
April 15, 2014 |
079-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
April 14, 2014 |
078-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
April 10, 2014 |
077-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
April 10, 2014 |
076-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
April 9, 2014 |
075-14 |
Final Contract Adjustment - Alimentation Couche-Tard Inc. (ATD.B) - Stock Split
|
2014 |
April 9, 2014 |
074-14 |
Final Contract Adjustment - Shoppers Drug Mart Corporation (SC) - Plan of arrangement (Follow-Up)
|
2014 |
April 8, 2014 |
073-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
April 3, 2014 |
072-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
April 2, 2014 |
071-14 |
Anticipated Contract Adjustment - Nordion Inc. (NDN) - Plan of arrangement
|
2014 |
April 1, 2014 |
070-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
March 31, 2014 |
069-14 |
Final Contract Adjustment - Shoppers Drug Mart Corporation (SC) - Plan of Arrangement
|
2014 |
March 27, 2014 |
068-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
March 26, 2014 |
067-14 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2014 |
March 26, 2014 |
066-14 |
Name Change - iShares Funds (iShares ETFs)
|
2014 |
March 25, 2014 |
065-14 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2014 |
March 24, 2014 |
064-14 |
Anticipated Contract Adjustment - Alimentation Couche-Tard (ATD.B) -Stock Split
|
2014 |
March 20, 2014 |
063-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
March 20, 2014 |
062-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
March 19, 2014 |
061-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
March 18, 2014 |
060-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
March 14, 2014 |
059-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
March 14, 2014 |
058-14 |
Self-Certification - Amendment to the Risk Manual - Modification to the Fixed Income Transactions Outright Margin Methodology for the 3-Months and 6-Months Bucket
|
2014 |
March 13, 2014 |
057-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
March 13, 2014 |
056-14 |
Fixed Income Securities Eligible For Trading
|
2014 |
March 11, 2014 |
055-14 |
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2014 |
March 11, 2014 |
054-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
March 7, 2014 |
053-14 |
Anticipated Contract Adjustment - Augusta Resource Corporation (AZC) - Acquisition - ERRATUM
|
2014 |
March 6, 2014 |
052-14 |
Anticipated Contract Adjustment - Augusta Resource Corporation (AZC) - Plan of arrangement
|
2014 |
March 6, 2014 |
051-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
March 4, 2014 |
050-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
February 28, 2014 |
049-14 |
Anticipated Contract Adjustment - Calfrac Well Services Ltd. (CFW) - Stock Split
|
2014 |
February 27, 2014 |
048-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
February 27, 2014 |
047-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
February 25, 2014 |
046-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
February 24, 2014 |
045-14 |
Final Contract Adjustment - Home Capital Group Inc. (HCG) - Stock Split
|
2014 |
February 24, 2014 |
044-14 |
Erratum - New Clearing Member – R. J. O’Brien & Associates Canada Inc.
|
2014 |
February 24, 2014 |
043-14 |
Coeur Mining Inc. (CDM) - Delisting
|
2014 |
February 20, 2014 |
042-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
February 20, 2014 |
041-14 |
Erratum - Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND)
|
2014 |
February 20, 2014 |
040-14 |
Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND)
|
2014 |
February 18, 2014 |
039-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
February 13, 2014 |
038-14 |
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND) - Reverse Unit Split
|
2014 |
February 13, 2014 |
037-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
February 13, 2014 |
036-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
February 12, 2014 |
035-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
February 11, 2014 |
034-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
February 11, 2014 |
033-14 |
Anticipated Contract Adjustment - Aurora Oil & Gas Ltd. (AEF) - Acquisition
|
2014 |
February 11, 2014 |
032-14 |
Request for Comments - Amendment to the Risk Manual - Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology
|
2014 |
February 6, 2014 |
031-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
February 6, 2014 |
030-14 |
Anticipated Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND) - Reverse Unit Split
|
2014 |
February 5, 2014 |
029-14 |
Final Contract Adjustment - Open Text Corporation (OTC) - Stock Split
|
2014 |
February 4, 2014 |
028-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
February 4, 2014 |
027-14 |
New Equity Options Classes
|
2014 |
February 4, 2014 |
026-14 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2014 |
February 3, 2014 |
025-14 |
Final Contract Adjustment - National Bank of Canada (NA) - Stock Split
|
2014 |
February 3, 2014 |
024-14 |
New Clearing Member – R. J. O’Brien & Associates Canada Inc.
|
2014 |
February 3, 2014 |
023-14 |
New Clearing Member – Interactive Brokers Canada Inc.
|
2014 |
January 31, 2014 |
022-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
January 30, 2014 |
021-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
January 28, 2014 |
020-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
January 27, 2014 |
019-14 |
Trading by U.S. Residents
|
2014 |
January 24, 2014 |
018-14 |
Criteria for Eligibility of Stock Options
|
2014 |
January 24, 2014 |
017-14 |
Anticipated Contract Adjustment - Open Text Corporation (OTC) - Stock Split
|
2014 |
January 23, 2014 |
016-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
January 21, 2014 |
015-14 |
Anticipated Contract Adjustment - Osisko Mining Corporation (OSK) - Plan of Arrangement
|
2014 |
January 21, 2014 |
014-14 |
Final Contract Adjustment - Coastal Energy Company (CEN) – Merger
|
2014 |
January 21, 2014 |
013-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
January 20, 2014 |
012-14 |
Final Contract Adjustment - The Toronto-Dominion Bank (TD) - Stock Split
|
2014 |
January 16, 2014 |
011-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
January 16, 2014 |
010-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
January 14, 2014 |
009-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
January 10, 2014 |
008-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
January 9, 2014 |
007-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
January 7, 2014 |
006-14 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2014 |
January 7, 2014 |
005-14 |
Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT) - Stock Split
|
2014 |
January 7, 2014 |
004-14 |
Fixed Income Securities Eligible for Trading
|
2014 |
January 2, 2014 |
003-14 |
Final Contract Adjustment – Follow-Up - Turquoise Hill Resources Ltd. (TRQ) - Rights Expiration
|
2014 |
January 2, 2014 |
002-14 |
Margin Parameters for Fixed Income Securities
|
2014 |
January 2, 2014 |
001-14 |
List of Notice-to-Members
|
2013 |
December 31, 2013 |
316-13 |
Final Contract Adjustment - Genivar Inc.(GNV) - Name, Symbol And Cusip Change
|
2013 |
December 31, 2013 |
315-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
December 27, 2013 |
314-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
December 24, 2013 |
313-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
December 23, 2013 |
312-13 |
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2013 |
December 19, 2013 |
311-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
December 19, 2013 |
310-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 19, 2013 |
309-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 18, 2013 |
308-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 17, 2013 |
307-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
December 17, 2013 |
306-13 |
Final Contract Adjustment - Angle Energy Inc. (NGL) - Plan of Arrangement (Follow-Up)
|
2013 |
December 17, 2013 |
305-13 |
Anticipated Contract Adjustment - West Fraser Timber Co. Ltd. (WFT) - Stock Split
|
2013 |
December 16, 2013 |
304-13 |
Final Contract Adjustment - Angle Energy Inc. (NGL) - Plan of Arrangement
|
2013 |
December 12, 2013 |
303-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
December 12, 2013 |
302-13 |
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
|
2013 |
December 11, 2013 |
301-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 10, 2013 |
300-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
December 9, 2013 |
299-13 |
Anticipated Contract Adjustment - The Toronto-Dominion Bank (TD) - Stock Split
|
2013 |
December 6, 2013 |
298-13 |
Fixed Income Clearing – Updated Eligibility List
|
2013 |
December 5, 2013 |
297-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
December 5, 2013 |
296-13 |
Anticipated Contract Adjustment - National Bank of Canada (NA) - Stock Split
|
2013 |
December 5, 2013 |
295-13 |
Clearing Member Voluntary Withdrawal - Richardson GMP Limited
|
2013 |
December 4, 2013 |
294-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 3, 2013 |
293-13 |
Final Contract Adjustment - Petrominerales Ltd. (PMG) - Plan of arrangement
|
2013 |
December 3, 2013 |
292-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
December 2, 2013 |
291-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
December 2, 2013 |
290-13 |
Final Contract Adjustment - Turquoise Hill Resources Ltd. (TRQ) - Rights Offering
|
2013 |
November 29, 2013 |
289-13 |
Self-Certification - Amendment to the Rules - Modification to the 30-Day Overnight Repo Rate Futures Contract (“ONX”) Specifications
|
2013 |
November 28, 2013 |
288-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
November 26, 2013 |
287-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
November 26, 2013 |
286-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
November 25, 2013 |
285-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
November 21, 2013 |
284-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
November 21, 2013 |
283-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
November 20, 2013 |
282-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
November 19, 2013 |
281-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
November 18, 2013 |
280-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
November 14, 2013 |
279-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
November 14, 2013 |
278-13 |
Request For Comments - Amendment to the Risk Manual - Modification to the Fixed Income Transactions Outright Margin Methodology for the 3-Months And 6-Months Bucket
|
2013 |
November 13, 2013 |
277-13 |
Anticipated Contract Adjustment - Brookfield Office Properties Inc. (BPO) - Acquisition
|
2013 |
November 13, 2013 |
276-13 |
Anticipated Contract Adjustment - Petrominerales Ltd. (PMG) - Plan of Arrangement
|
2013 |
November 12, 2013 |
275-13 |
Final Contract Adjustment - Canadian National Railway Company Inc. (CNR) - Stock Split
|
2013 |
November 12, 2013 |
274-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
November 12, 2013 |
273-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
November 12, 2013 |
272-13 |
2013 – 2014 Holiday Schedule
|
2013 |
November 12, 2013 |
271-13 |
Final Contract Adjustment - The Jean Coutu Group Inc. (PJC.A) - Special Cash Dividend
|
2013 |
November 7, 2013 |
270-13 |
Margin Parameters For Fixed Income Securities
|
2013 |
November 7, 2013 |
269-13 |
ANTICIPATED CONTRACT ADJUSTMENT - GENIVAR Inc. (GNV)- Plan of arrangement
|
2013 |
November 7, 2013 |
268-13 |
ANTICIPATED CONTRACT ADJUSTMENT - Angle Energy Inc. (NGL) - Plan of arrangement
|
2013 |
November 7, 2013 |
267-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
November 6, 2013 |
266-13 |
ANTICIPATED CONTRACT ADJUSTMENT - The Jean Coutu Group Inc. (PJC.A)- Special Cash Dividend
|
2013 |
November 6, 2013 |
265-13 |
ANTICIPATED CONTRACT ADJUSTMENT - Canadian National Railway Company (CNR) - Stock Split
|
2013 |
November 5, 2013 |
264-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
November 4, 2013 |
263-13 |
Amalgamation between MACQUARIE PRIVATE WEALTH INC. and RICHARDSON GMP LIMITED
|
2013 |
November 4, 2013 |
262-13 |
SELF-CERTIFICATION - Amendment To CDCC Operations Manual And Risk Manual - Banking Holiday
|
2013 |
November 1, 2013 |
261-13 |
New Clearing Member - Citibank Canada
|
2013 |
November 1, 2013 |
260-13 |
New Clearing Member – Credential Securities Inc.
|
2013 |
October 31, 2013 |
259-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
October 31, 2013 |
258-13 |
Margin Parameters For Fixed Income Securities
|
2013 |
October 31, 2013 |
257-13 |
Bank Holiday – November 11, 2013
|
2013 |
October 29, 2013 |
256-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
October 29, 2013 |
255-13 |
NAME CHANGE - iSHARES GOLD BULLION FUND
|
2013 |
October 28, 2013 |
254-13 |
Expiry Friday – SPAN File Availability
|
2013 |
October 25, 2013 |
253-13 |
Criteria for Eligibility of Stock Options
|
2013 |
October 25, 2013 |
252-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
October 24, 2013 |
251-13 |
Margin Parameters For Fixed Income Securities
|
2013 |
October 24, 2013 |
250-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
October 22, 2013 |
249-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
October 17, 2013 |
248-13 |
Margin Parameters For Fixed Income Securities
|
2013 |
October 16, 2013 |
247-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
October 16, 2013 |
246-13 |
Rainy River Resources Ltd. (RR)- Delisting
|
2013 |
October 15, 2013 |
245-13 |
Fixed Income Securities Eligible For Trading
|
2013 |
October 15, 2013 |
244-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
October 11, 2013 |
243-13 |
FIXED INCOME SECURITIES - Addition of Provincial Securities to the CCP Services
|
2013 |
October 10, 2013 |
242-13 |
Margin Parameters For Fixed Income Securities
|
2013 |
October 8, 2013 |
241-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
October 4, 2013 |
240-13 |
REQUEST FOR COMMENTS - Amendement To CDCC Operations Manual: Banking Holiday
|
2013 |
October 3, 2013 |
239-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
September 30, 2013 |
234-13 |
Self-Certification - Amendment To The Risk Manual - Provincial Securities As Acceptable Underlying Interests
|
2013 |
September 26, 2013 |
233-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
September 26, 2013 |
232-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
September 26, 2013 |
231-13 |
Anticipated Contract Adjustment - BlackBerry Ltd. (BB) - Acquisition
|
2013 |
September 24, 2013 |
230-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
September 24, 2013 |
229-13 |
New Equity Options Classes
|
2013 |
September 20, 2013 |
228-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
September 19, 2013 |
227-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
September 18, 2013 |
226-13 |
RE-INTRODUCTION OF AN ETF AND EQUITY OPTION CLASS - Horizons BetaPro S&P/TSX Index ETF (HXT) - TORC Oil & Gas Ltd. (TOG)
|
2013 |
September 17, 2013 |
225-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
September 16, 2013 |
224-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
September 13, 2013 |
223-13 |
European Securities and Markets Authority – EMIR Recognition Application
|
2013 |
September 12, 2013 |
222-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
September 12, 2013 |
221-13 |
FINAL CONTRACT ADJUSTMENT - TORC Oil & Gas Ltd. (TOG) - Reverse Stock Split
|
2013 |
September 11, 2013 |
220-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
September 10, 2013 |
219-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
September 6, 2013 |
218-13 |
Final Contract Adjustment - Horizons S&P/TSX 60 Index ETF (HXT) - Reverse Unit Split
|
2013 |
September 5, 2013 |
217-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
September 4, 2013 |
216-13 |
Final Contract Adjustment - Inter Pipeline Fund (IPL.UN) - Name, Symbol and Cusip Change
|
2013 |
September 3, 2013 |
215-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
September 3, 2013 |
214-13 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-counter Derivative Instruments
|
2013 |
August 29, 2013 |
213-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
August 29, 2013 |
212-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
August 28, 2013 |
211-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
August 27, 2013 |
210-13 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-counter Derivative Instruments
|
2013 |
August 23, 2013 |
209-13 |
2013 List of Fees of Canadian Derivatives Clearing Corporation
|
2013 |
August 23, 2013 |
208-13 |
Self-Certification - Amendment to Rule A-1A of the Rules of CDCC Criteria for CDCC Clearing Member Settlement Agents
|
2013 |
August 22, 2013 |
207-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
August 22, 2013 |
206-13 |
Fixed Income Clearing – Updated Eligibility List
|
2013 |
August 21, 2013 |
205-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
August 20, 2013 |
204-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2013 |
August 20, 2013 |
203-13 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2013 |
August 15, 2013 |
202-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
August 13, 2013 |
2013-201 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
August 12, 2013 |
2013-200 |
Final Contract Adjustment - Quebecor Inc. (QBR.B) - Stock Split
|
2013 |
August 8, 2013 |
199-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
August 6, 2013 |
198-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
August 1, 2013 |
197-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
August 1, 2013 |
196-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 30, 2013 |
195-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
July 29, 2013 |
194-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 26, 2013 |
193-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 25, 2013 |
192-13 |
Criteria for Eligibility of Stock Options
|
2013 |
July 25, 2013 |
191-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
July 23, 2013 |
190-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
July 22, 2013 |
189-13 |
Anticipated Contract Adjustment - Rainy River Resources Ltd. (RR) - Acquisition
|
2013 |
July 19, 2013 |
188-13 |
Anticipated Contract Adjustment - CML Healthcare Inc. (CLC) - Plan of Arrangement
|
2013 |
July 18, 2013 |
187-13 |
Anticipated Contract Adjustment - Shoppers Drug Mart Corporation (SC) - Plan of Arrangement
|
2013 |
July 18, 2013 |
186-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
July 17, 2013 |
185-13 |
Anticipated Contract Adjustment - TORC Oil & Gas Ltd. (TOG) - Reverse Stock Split
|
2013 |
July 17, 2013 |
184-13 |
Final Contract Adjustment - Research In Motion Limited (BB) - Name and CUSIP Change
|
2013 |
July 16, 2013 |
183-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
July 16, 2013 |
182-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 12, 2013 |
181-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 11, 2013 |
180-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
July 10, 2013 |
179-13 |
Final Contract Adjustment - Resverlogix Corp. (RVX) - Spin-Off (Follow-Up)
|
2013 |
July 9, 2013 |
178-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
July 8, 2013 |
177-13 |
Final Contract Adjustment - Astral Media Inc. (ACM.A) - Plan of Arrangement (Final)
|
2013 |
July 4, 2013 |
176-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
July 4, 2013 |
175-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
June 28, 2013 |
173-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
June 27, 2013 |
172-13 |
Final Contract Adjustment - QLT Inc. (QLT) - Special Distribution (Follow-Up)
|
2013 |
June 27, 2013 |
171-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
June 25, 2013 |
170-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
June 24, 2013 |
169-13 |
New Equity Options Classes
|
2013 |
June 20, 2013 |
168-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
June 19, 2013 |
167-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
June 19, 2013 |
166-13 |
Final Contract Adjustment - QLT Inc. (QLT) - Special Distribution
|
2013 |
June 18, 2013 |
165-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
June 17, 2013 |
164-13 |
Anticipated Contract Adjustment - Inter Pipeline Fund (IPL.UN) - Plan of Arrangement
|
2013 |
June 17, 2013 |
163-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
June 17, 2013 |
162-13 |
lululemon athletica inc. (LLL) - Delisting
|
2013 |
June 13, 2013 |
161-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
June 13, 2013 |
160-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
June 12, 2013 |
159-13 |
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization (Follow-Up)
|
2013 |
June 11, 2013 |
158-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
June 7, 2013 |
157-13 |
Re-Introduction of an Option Class - Dundee Corporation (DC)
|
2013 |
June 6, 2013 |
156-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
June 6, 2013 |
155-13 |
Fixed Income Transactions - Initial Margin Change
|
2013 |
June 6, 2013 |
154-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
June 6, 2013 |
153-13 |
Final Contract Adjustment - Aurizon Mines Ltd. (ARZ) - Plan of Arrangement (Follow-Up)
|
2013 |
June 6, 2013 |
152-13 |
Final Contract Adjustment - Canadian Utilities Limited (CU) - Stock Split
|
2013 |
June 5, 2013 |
151-13 |
Final Contract Adjustment - Aurizon Mines Ltd. (ARZ) - Plan of Arrangement
|
2013 |
June 4, 2013 |
150-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
June 3, 2013 |
149-13 |
Final Contract Adjustment - Resverlogix Corp. (RVX) - Spin-Off (Final)
|
2013 |
May 30, 2013 |
148-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
May 28, 2013 |
147-13 |
Anticipated Contract Adjustment - Resverlogix Corp. (RVX) - Spin-Off (Follow-Up)
|
2013 |
May 28, 2013 |
146-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
May 27, 2013 |
145-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
May 27, 2013 |
144-13 |
Final Contract Adjustment - Dundee Corporation (DC.A) - Plan of Arrangement
|
2013 |
May 27, 2013 |
143-13 |
Final Contract Adjustment - PetroBakken Energy Ltd. (PBN) - Name, Symbol and CUSIP change
|
2013 |
May 24, 2013 |
142-13 |
Self-Certification – Amendment to the Rules and Operations Manual – Standard Monthly Saturday Expiry Processing Move to Friday Evening
|
2013 |
May 23, 2013 |
141-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
May 23, 2013 |
140-13 |
Approved Depositories
|
2013 |
May 23, 2013 |
139-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
May 21, 2013 |
138-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
May 17, 2013 |
137-13 |
Criteria for Eligibility of Stock Options
|
2013 |
May 16, 2013 |
136-13 |
Poseidon Concepts Corp. (PSN) - Delisting
|
2013 |
May 16, 2013 |
135-13 |
Name Change - Coeur d'Alene Mines Corporation
|
2013 |
May 16, 2013 |
134-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
May 16, 2013 |
133-13 |
Request for Comments – Listing of New Option Expirations : Weekly Options Amendments to Rules B-5, B-6 and B-10 and to the Operations Manual of CDCC
|
2013 |
May 13, 2013 |
131-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
May 10, 2013 |
130-13 |
Directors and Officers of CDCC - 2013 - 2014
|
2013 |
May 9, 2013 |
129-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
May 9, 2013 |
128-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
May 7, 2013 |
127-13 |
Re-Introduction of an ETF Option Class - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU)
|
2013 |
May 7, 2013 |
126-13 |
Over-The-Counter Derivative Instruments ("OTC DI")
|
2013 |
May 7, 2013 |
125-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
May 3, 2013 |
124-13 |
Risk Parameter Update - Short Option Minimum (SOM)
|
2013 |
May 3, 2013 |
123-13 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU) - Reverse Unit Split
|
2013 |
May 3, 2013 |
122-13 |
SELF-CERTIFICATION- Amendment to the Risk Manual - Short Options Miminum
|
2013 |
May 2, 2013 |
121-13 |
Anticipated Contract Adjustment - Resverlogix Corp. (RVX) - Spin-Off
|
2013 |
May 2, 2013 |
120-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
May 1, 2013 |
119-13 |
Name Change - Agnico-Eagle Mines Ltd.
|
2013 |
April 25, 2013 |
117-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
April 24, 2013 |
116-13 |
New Equity Options Classes
|
2013 |
April 23, 2013 |
115-13 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off (Follow-Up) - ERRATUM
|
2013 |
April 23, 2013 |
114-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
April 9, 2013 |
097-13 |
Final Contract Adjustment – TELUS Corporation (T) – Stock Split
|
2013 |
April 9, 2013 |
096-13 |
Anticipated Contract Adjustment – Inmet Mining Corporation (IMN) – Plan of Arrangement
|
2013 |
April 9, 2013 |
095-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
April 5, 2013 |
094-13 |
Final Contract Adjustment - Primaris Retail Real Estate Investment Trust (PMZ.UN) - Plan of Arrangement
|
2013 |
April 4, 2013 |
093-13 |
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gaz Bear Plus ETF (HND) - Reverse Unit Split
|
2013 |
April 4, 2013 |
092-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
April 2, 2013 |
091-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
April 2, 2013 |
090-13 |
Clearing Member Voluntary Withdrawal - Jones, Gable & Company Limited
|
2013 |
April 1, 2013 |
089-13 |
ANTICIPATED CONTRACT ADJUSTMENT - Inmet Mining Corporation (IMN) - Acquisition
|
2013 |
April 1, 2013 |
088-13 |
NEW EQUITY OPTIONS CLASSES
|
2013 |
March 28, 2013 |
087-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
March 27, 2013 |
086-13 |
Erratum - Directors and Officers of CDCC - 2012 - 2013
|
2013 |
March 27, 2013 |
085-13 |
Directors and Officers of CDCC - 2012 - 2013
|
2013 |
March 27, 2013 |
084-13 |
Final Contract Adjustment – ShawCor Ltd. (SCL) – Special Dividend
|
2013 |
March 26, 2013 |
083-13 |
Final Contract Adjustment - Harry Winston Diamond (HW) – Name, Symbol, CUSIP Change
|
2013 |
March 26, 2013 |
082-13 |
Final Contract Adjustment - ShawCor Ltd. (SCL.A) - CUSIP Change
|
2013 |
March 26, 2013 |
081-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
March 22, 2013 |
080-13 |
Anticipated Contract Adjustment - ShawCor Ltd. (SCL.A) - Plan of Arrangement - Special Dividend
|
2013 |
March 22, 2013 |
079-13 |
Final Contract Adjustment – Transcontinental Inc. (TCL.A) – Special Dividend
|
2013 |
March 21, 2013 |
078-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
March 21, 2013 |
077-13 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off
|
2013 |
March 21, 2013 |
076-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
March 20, 2013 |
075-13 |
Poseidon Concepts Corp. (PSN) - Put Options
|
2013 |
March 19, 2013 |
074-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
March 18, 2013 |
073-13 |
ANTICIPATED CONTRACT ADJUSTMENT - TRANSCONTINENTAL INC. (TCL.A) - Special Dividend
|
2013 |
March 18, 2013 |
072-13 |
ANTICIPATED CONTRACT ADJUSTMENT - TELUS (T) - Stock Split
|
2013 |
March 15, 2013 |
071-13 |
Erratum - Fixed Income Securities Eligible for Trading
|
2013 |
March 15, 2013 |
070-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
March 14, 2013 |
069-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
March 14, 2013 |
068-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
March 12, 2013 |
067-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
March 8, 2013 |
063-13 |
Anticipated Contract Adjustment - Canadian Utilities Limited (CU) - Stock Split
|
2013 |
March 8, 2013 |
062-13 |
Anticipated Contract Adjustment - Aurizon Mines Ltd. (ARZ) - Plan of Arrangement
|
2013 |
March 7, 2013 |
061-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
March 7, 2013 |
060-13 |
Criteria for Eligibility of Stock Options
|
2013 |
March 5, 2013 |
059-13 |
Trading by U.S. Residents
|
2013 |
March 5, 2013 |
058-13 |
Trading by U.S. Residents - State of California
|
2013 |
March 5, 2013 |
057-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
February 28, 2013 |
056-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
February 28, 2013 |
055-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
February 28, 2013 |
054-13 |
Final Contract Adjustment - Keegan Resources Inc. (KGN) - NAME, SYMBOL AND CUSIP CHANGE
|
2013 |
February 28, 2013 |
053-13 |
Final Contract Adjustment - Celtic Exploration Ltd. (CLT) - Plan of Arrangement
|
2013 |
February 27, 2013 |
052-13 |
Final Contract Adjustment - Nexen Inc. (NXY) - Plan of Arrangement
|
2013 |
February 26, 2013 |
051-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
February 21, 2013 |
050-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
February 21, 2013 |
049-13 |
Removal of Restriction on the Tender of Exercise Notices on Rare Element Resources Ltd.
|
2013 |
February 20, 2013 |
048-13 |
2013 List of Fees of Canadian Derivatives Clearing Corporation
|
2013 |
February 20, 2013 |
047-13 |
Restriction on the Tender of Exercise Notices on Rare Element Resources Ltd.
|
2013 |
February 19, 2013 |
046-13 |
Poseidon Concepts Corp. (PSN) - Put Options
|
2013 |
February 19, 2013 |
045-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
February 15, 2013 |
044-13 |
Restriction on the Tender of Exercise Notices on Poseidon Concepts Corp.
|
2013 |
February 14, 2013 |
043-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
February 14, 2013 |
042-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
February 12, 2013 |
041-13 |
Self-Certification – Amendment to Section C-1802 – Delivery Standard of Rule C-18 of CDCC – 30 -Year Government of Canada Bond Futures Contract (LGB)
|
2013 |
February 12, 2013 |
040-13 |
Self-Certification – Amendment to Section C-1402 – Delivery Standard of Rule C-14 of CDCC – Five-Year Government of Canada Bond Futures Contract (CGF)
|
2013 |
February 12, 2013 |
039-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
February 8, 2013 |
038-13 |
Anticipated Contract Adjustment – Primaris Retail Real Estate Investment Trust (PMZ.UN) – Plan of Arrangement
|
2013 |
February 7, 2013 |
037-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
February 6, 2013 |
036-13 |
New Clearing Member - Morgan Stanley Canada Limited
|
2013 |
February 5, 2013 |
035-13 |
Request for Comments – Amendment to the Rules and Operations Manual – Standard Monthly Saturday Expiry Processing Move to Friday Evening
|
2013 |
February 5, 2013 |
034-13 |
Request for Comments – Amendment to the Operations Manual – Operational Risk Management Participation Requirements
|
2013 |
February 5, 2013 |
033-13 |
New Equity Options Classes
|
2013 |
February 5, 2013 |
032-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
February 1, 2013 |
031-13 |
Penson Financial Services Canada
|
2013 |
February 1, 2013 |
030-13 |
Clearing Member Voluntary Withdrawal – Penson Financial Services Canada
|
2013 |
January 31, 2013 |
029-13 |
Final Contract Adjustment - Research In Motion (RIM) - Symbol Change
|
2013 |
January 31, 2013 |
028-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
January 31, 2013 |
027-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 30, 2013 |
026-13 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2013 |
January 29, 2013 |
025-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
January 25, 2013 |
024-13 |
Anticipated Contract Adjustment - Uranium One Inc. (UUU) - Plan of Arrangement
|
2013 |
January 24, 2013 |
023-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 22, 2013 |
022-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
January 22, 2013 |
021-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
January 18, 2013 |
020-13 |
Anticipated Contract Adjustment - Keegan Resources Inc. (KGN) - Plan of Arrangement
|
2013 |
January 18, 2013 |
019-13 |
Anticipated Contract Adjustment - H&R Real Estate Investment Trust. (HR.UN) - Plan of Arrangement
|
2013 |
January 18, 2013 |
018-13 |
Self-Certification – Amendments to Rules A-1, A-7 and to the Risk Manual – Canada Mortgage Bonds as Acceptable Collateral
|
2013 |
January 18, 2013 |
017-13 |
Self-Certification – Amendment to Section 2 of the Operations Manual – OTCI – Time Frames for On-Line Access
|
2013 |
January 17, 2013 |
016-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
January 17, 2013 |
015-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 17, 2013 |
014-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 15, 2013 |
013-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
January 14, 2013 |
012-13 |
Final Contract Adjustment - Chartwell Seniors Housing Real Estate Investment Trust (CSH.UN) - CUSIP and Name Change
|
2013 |
January 10, 2013 |
011-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 10, 2013 |
010-13 |
Final Contract Adjustment - Fairborne Energy Ltd. (FEL) - CUSIP, Symbol and Name Change
|
2013 |
January 8, 2013 |
009-13 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2013 |
January 7, 2013 |
008-13 |
ERRATUM - FINAL CONTRACT ADJUSTMENT - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization
|
2013 |
January 4, 2013 |
007-13 |
Final Contract Adjustment - PetroBakken Energy Ltd. (PBN) - CUSIP Change
|
2013 |
January 4, 2013 |
006-13 |
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - CUSIP Change
|
2013 |
January 3, 2013 |
005-13 |
Final Contract Adjustment - Granite Real Estate Inc. (GRT) - Name, Symbol, CUSIP and ISIN Change
|
2013 |
January 3, 2013 |
004-13 |
Margin Parameters for Fixed Income Securities
|
2013 |
January 2, 2013 |
003-13 |
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization
|
2013 |
January 2, 2013 |
002-13 |
Fixed Income Securities Eligible for Trading
|
2013 |
January 2, 2013 |
001-13 |
List of Notice-to-Members
|
2012 |
December 31, 2012 |
250-12 |
ANTICIPATED CONTRACT ADJUSTMENT – FOLLOW-UP Petrobank Energy and Resources Ltd. (PBG) Corporate Reorganization
|
2012 |
December 31, 2012 |
249-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
December 27, 2012 |
248-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
December 27, 2012 |
247-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
December 24, 2012 |
246-12 |
Anticipated Contract Adjustment - Follow-up - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization
|
2012 |
December 24, 2012 |
245-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
December 20, 2012 |
244-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
December 20, 2012 |
243-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
December 19, 2012 |
242-12 |
Anticipated Contract Adjustment - Dundee Corporation (DC.A) - Plan of arrangement
|
2012 |
December 18, 2012 |
241-12 |
Final Contract Adjustment - Viterra Inc. (VT) - Plan of Arrangement
|
2012 |
December 18, 2012 |
240-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
December 14, 2012 |
239-12 |
equest for Comments – Amendment to Section C-1402 – Delivery Standard of Rule C-14 of CDCC – Five-Year Government of Canada Bond Futures Contract (CGF)
|
2012 |
December 14, 2012 |
238-12 |
Final Contract Adjustment - Progress Energy Resources Corp. (PRQ) - Plan of Arrangement
|
2012 |
December 13, 2012 |
237-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
December 11, 2012 |
236-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
December 7, 2012 |
235-12 |
Anticipated Contract Adjustment - Primaris Retail REIT (PMZ.UN) - Acquisition
|
2012 |
December 6, 2012 |
234-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
December 6, 2012 |
233-12 |
Request for Comments - Amendment to Section C-1802 - Delivery Standard of Rule C-18 of CDCC - 30-Year Government of Canada Bond Futures Contract (LGB)
|
2012 |
December 4, 2012 |
232-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
December 3, 2012 |
231-12 |
FINAL CONTRACT ADJUSTMENT - iShares Natural Gas Commodity Index Fund (GAS) - Merger
|
2012 |
November 29, 2012 |
230-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
November 29, 2012 |
229-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
November 27, 2012 |
228-12 |
New Equity Options Classes
|
2012 |
November 27, 2012 |
227-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
November 26, 2012 |
226-12 |
Anticipated Contract Adjustment - Follow-up - iShares Natural Gas Commodity Index Fund (GAS) - Merger
|
2012 |
November 22, 2012 |
225-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
November 22, 2012 |
224-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
November 20, 2012 |
223-12 |
Final Contract Adjustment - Erratum - Vero Energy Inc. (VRO) - Plan of Arrangement
|
2012 |
November 20, 2012 |
222-12 |
Anticipated Contract Adjustment - iShares Natural Gas Commodity Index Fund (GAS) - Merger
|
2012 |
November 20, 2012 |
221-12 |
Final Contract Adjustment - Vero Energy Inc. (VRO) - Plan of Arrangement
|
2012 |
November 20, 2012 |
220-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
November 15, 2012 |
219-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
November 15, 2012 |
218-12 |
Final Contract Adjustment - Garda World Security Corporation (GW) - Plan of Arrangement
|
2012 |
November 13, 2012 |
217-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
November 13, 2012 |
216-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
November 8, 2012 |
215-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
November 6, 2012 |
214-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
November 5, 2012 |
213-12 |
ANTICIPATED CONTRACT ADJUSTMENT - Petrobank Energy and Resources Ltd. (PBG) - PetroBakken Energy Ltd. (PBN) - Corporate Reorganization
|
2012 |
November 2, 2012 |
212-12 |
New Clearing Member - Questrade Inc.
|
2012 |
November 2, 2012 |
2012-211 |
2012 - 2013 Holiday Schedule
|
2012 |
November 1, 2012 |
2012-210 |
Bank Holiday - November 12, 2012
|
2012 |
November 1, 2012 |
209-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
October 30, 2012 |
208-12 |
Final Contract Adjustment-Erratum - Guide Exploration Ltd. (GO) - Plan of Arrangement (Follow-Up)
|
2012 |
October 30, 2012 |
207-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
October 29, 2012 |
206-12 |
Final Contract Adjustment - Guide Exploration Ltd. (GO) Plan of Arrangement (Follow-Up)
|
2012 |
October 26, 2012 |
205-12 |
Fixed Income Clearing - Updated Eligibility List
|
2012 |
October 25, 2012 |
204-12 |
Final Contract Adjustment - Guide Exploration Ltd. (GO) - Plan of Arrangement
|
2012 |
October 25, 2012 |
203-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
October 25, 2012 |
202-12 |
Clearing Member Voluntary Withdrawal - Canadian Imperial Bank of Commerce
|
2012 |
October 25, 2012 |
201-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
October 24, 2012 |
200-12 |
Criteria for Eligibility of Stock Options
|
2012 |
October 23, 2012 |
199-12 |
New Equity Options Classes
|
2012 |
October 23, 2012 |
198-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
October 18, 2012 |
197-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
October 17, 2012 |
196-12 |
Anticipated Contract Adjustment - Celtic Exploration Ltd. (CLT) - Plan of Arrangement
|
2012 |
October 16, 2012 |
195-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
October 15, 2012 |
194-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
October 12, 2012 |
193-12 |
Fixed Income Clearing - Updated Eligibility List
|
2012 |
October 11, 2012 |
192-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
October 11, 2012 |
191-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
October 11, 2012 |
190-12 |
Clearing Member Voluntary Withdrawal - Union Securities Ltd.
|
2012 |
October 9, 2012 |
189-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
October 4, 2012 |
188-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
October 2, 2012 |
187-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
October 2, 2012 |
186-12 |
Request for Comments - Amendment to the Risk Manual - Short Option Minimum
|
2012 |
October 2, 2012 |
185-12 |
Request for Comments - Amendment to the Risk Manual - Provincial Securities as Acceptable Underlying Interest
|
2012 |
September 28, 2012 |
184-12 |
New Clearing Member - BNP Paribas (Canada)
|
2012 |
September 27, 2012 |
183-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
September 27, 2012 |
182-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
September 26, 2012 |
181-12 |
Request for Comments - Amendment to Section 2 of the Operations Manual - OTCI - Time Frames for On-Line Access
|
2012 |
September 26, 2012 |
180-12 |
Request for Comments - Amendments to Rules A-1, A-7 and to the Risk Manual - Canada Mortgage Bonds as Acceptable Collateral
|
2012 |
September 26, 2012 |
179-12 |
Request for Comments - Amendment to Rule A-1A - Agency Relationship Criteria
|
2012 |
September 26, 2012 |
178-12 |
New Equity Options Classes
|
2012 |
September 25, 2012 |
177-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
September 24, 2012 |
176-12 |
Final Contract Adjustment - BMO Dow Jones Canada Titans 60 index ETF. (ZCN) - Name and CUSIP Change
|
2012 |
September 20, 2012 |
175-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
September 20, 2012 |
174-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
September 18, 2012 |
173-12 |
Final Contract Adjustment - Catamaran Corporation (CCT) - Stock Split
|
2012 |
September 18, 2012 |
172-12 |
Anticipated Contract Adjustment - Vero Energy Inc. (VRO) - Plan of Arrangement
|
2012 |
September 18, 2012 |
171-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
September 17, 2012 |
170-12 |
FINAL CONTRACT ADJUSTMENT - TMX Group Inc. (X) - Plan of Arrangement
|
2012 |
September 13, 2012 |
169-12 |
Anticipated Contract Adjustment - Garda World Security Corporation (GW) - Plan of Arrangement
|
2012 |
September 13, 2012 |
168-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
September 11, 2012 |
167-12 |
Self-Certification - Rehypothecation and Intra-Day Margin Call - Amendments to Rules A-1, A-6, A-7 and to the Operations Manual of CDCC
|
2012 |
September 11, 2012 |
166-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
September 6, 2012 |
165-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
September 5, 2012 |
164-12 |
Final Contract Adjustment - Erratum - Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement (Follow-Up)
|
2012 |
September 5, 2012 |
163-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
August 30, 2012 |
162-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
August 30, 2012 |
161-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
August 28, 2012 |
160-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
August 27, 2012 |
159 -12 |
FINAL CONTRACT ADJUSTMENT - Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement (Follow-Up)
|
2012 |
August 23, 2012 |
158-12 |
FINAL CONTRACT ADJUSTMENT - Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement
|
2012 |
August 23, 2012 |
157-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
August 21, 2012 |
156-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
August 17, 2012 |
155-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
August 16, 2012 |
154-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
August 14, 2012 |
153-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
August 10, 2012 |
152-12 |
Directors and Officers of CDCC - 2012 - 2013
|
2012 |
August 9, 2012 |
151-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
August 9, 2012 |
2012-150 |
Trading by U.S. Residents
|
2012 |
August 8, 2012 |
149-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
August 7, 2012 |
148-12 |
FINAL CONTRACT ADJUSTMENT - Ivanhoe Mines Ltd. (IVN)
|
2012 |
August 3, 2012 |
147-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
August 2, 2012 |
146-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
August 1, 2012 |
145-12 |
New Clearing Member - Citigroup Global Markets Canada Inc.
|
2012 |
July 31, 2012 |
144-12 |
Anticipated Contract Adjustment - Progress Energy Resources Corp. (PRQ) - Plan of Arrangement
|
2012 |
July 31, 2012 |
143-12 |
Anticipated Contract Adjustment - Nexen Inc. (NXY) - Plan of Arrangement
|
2012 |
July 31, 2012 |
142-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
July 27, 2012 |
141-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
July 26, 2012 |
140-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
July 24, 2012 |
139-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
July 20, 2012 |
138-12 |
Anticipated Contract Adjustment - TMX Group Inc. (X) - Plan of Arrangement
|
2012 |
July 20, 2012 |
137-12 |
Updated Haircuts on Government Securities Deposited as Collateral
|
2012 |
July 19, 2012 |
136-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
July 17, 2012 |
135-12 |
Criteria for Eligibility of Stock Options
|
2012 |
July 17, 2012 |
134-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
July 13, 2012 |
133-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
July 12, 2012 |
132-12 |
Final Contract Adjustment - Follow-Up - Ivanhoe Mines Ltd. (IVN) - Rights Expiration
|
2012 |
July 12, 2012 |
131-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
July 10, 2012 |
130-12 |
Final Contract Adjustment - SXC Health Solutions Corp. (SXC) - Name, Symbol and CUSIP Change
|
2012 |
July 10, 2012 |
129-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
July 6, 2012 |
128-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
July 5, 2012 |
127-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
July 4, 2012 |
126-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
July 4, 2012 |
125-12 |
Anticipated Contract Adjustment - Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement
|
2012 |
July 4, 2012 |
124-12 |
Final Contract Adjustment - Extendicare Real Estate Investment Trust (EXE.UN) - Plan of Arrangement
|
2012 |
June 28, 2012 |
123-12 |
MARGIN PARAMETERS FOR FIXED INCOME SECURITIES
|
2012 |
June 26, 2012 |
122-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
June 22, 2012 |
121-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
June 21, 2012 |
120-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
June 19, 2012 |
119-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
June 18, 2012 |
118-12 |
Final Contract Adjustment - Erratum - New Material Technologies Inc. (NEM) - Plan of Arrangment (Follow-up)
|
2012 |
June 15, 2012 |
117-12 |
Final Contract Adjustment - Neo Material Technologies Inc. (NEM) - Plan of Arrangement (Follow-Up)
|
2012 |
June 15, 2012 |
116-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
June 15, 2012 |
115-12 |
FINAL CONTRACT ADJUSTMENT - MI Developments Inc. (MIM) - NAME, SYMBOL AND CUSIP CHANGE
|
2012 |
June 14, 2012 |
114-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
June 13, 2012 |
113-12 |
ERRATUM - Final Contract Adjustment - Ivanhoe Mines Ltd. (IVN) - Rights Offering
|
2012 |
June 13, 2012 |
112-12 |
Final Contract Adjustment - Neo Material Technologies Inc. (NEM) - Plan of Arrangement
|
2012 |
June 12, 2012 |
111-12 |
Final Contract Adjustment - Ivanhoe Mines Ltd. (IVN) - Rights Offering
|
2012 |
June 12, 2012 |
110-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
June 8, 2012 |
109-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
June 7, 2012 |
108-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
June 5, 2012 |
107-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
June 4, 2012 |
106-12 |
Final Contract Adjustment - NAL Energy Corporation (NAE) - Plan of Arrangement
|
2012 |
June 1, 2012 |
105-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
May 31, 2012 |
104-12 |
New Fee Rebate Program on the S&P/TSX 60 Index Options Contract
|
2012 |
May 31, 2012 |
103-12 |
S&P/TSX 60 Index Options (SXO) - Contract Size Amendment
|
2012 |
May 31, 2012 |
102-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
May 31, 2012 |
101-12 |
Self-Certification - Amendment to Rule B-10 - European Style Index Options
|
2012 |
May 30, 2012 |
100-12 |
Directors and Officers of CDCC - 2012 - 2013
|
2012 |
May 29, 2012 |
099-12 |
Final Contract Adjustment - Guide Exploration Ltd. (GO) - ISIN and CUSIP Change
|
2012 |
May 29, 2012 |
098-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
May 25, 2012 |
097-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
May 25, 2012 |
096-12 |
Revised 2012 List of Fees of the Canadian Derivatives Clearing Corporation
|
2012 |
May 24, 2012 |
095-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
May 23, 2012 |
094-12 |
New Equity and Index Fund Options Classes
|
2012 |
May 22, 2012 |
093-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
May 18, 2012 |
092-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
May 17, 2012 |
091-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
May 16, 2012 |
090-12 |
Request for comments - Amendements to Rules A-1, A-6, A-7 and to the Operations Manual rehypothecation and Intraday Margin call
|
2012 |
May 15, 2012 |
089-12 |
Margin parameters for the Montréal Exchange derivatives instruments and over-the-counter derivative instruments
|
2012 |
May 14, 2012 |
088-12 |
Final Contract Adjustment - Athabasca Oil Sands Corp. (ATH) Name and CUSIP Change
|
2012 |
May 11, 2012 |
087-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
May 10, 2012 |
086-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
May 10, 2012 |
085-12 |
Approved Depositories
|
2012 |
May 9, 2012 |
084-12 |
Anticipated Contract Adjustment - Extendicare Real Estate Investment Trust (EXE.UN) - Plan of Arrangement
|
2012 |
May 9, 2012 |
083-12 |
RE-INTRODUCTION OF AN OPTION CLASS - NovaGold Resources Inc. - Re-Listing of New Series
|
2012 |
May 8, 2012 |
082-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
May 8, 2012 |
081-12 |
Final Contract Adjustment - Groupe Aeroplan Inc. (AIM) - Name and CUSIP Change
|
2012 |
May 4, 2012 |
080-12 |
Revised 2012 List of Fees of Canadian Derivatives Clearing Corporation
|
2012 |
May 3, 2012 |
079-12 |
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bear Plus Exchange Traded Fund (HND) - Unit Split
|
2012 |
May 3, 2012 |
078-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
May 2, 2012 |
077-12 |
Final Contract Adjustment - NovaGold Resources Inc. (NG) - Plan of Arrangement (Follow-Up)
|
2012 |
May 1, 2012 |
076-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
May 1, 2012 |
075-12 |
Criteria for Eligibility of Stock Options
|
2012 |
April 30, 2012 |
074-12 |
Bank of Canada Announcement
|
2012 |
April 26, 2012 |
073-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
April 24, 2012 |
072-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
April 23, 2012 |
071-12 |
Final Contract Adjustment - NovaGold Resources Inc. (NG) - Plan of Arrangement
|
2012 |
April 19, 2012 |
070-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
April 17, 2012 |
069-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
April 13, 2012 |
068-12 |
Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU2) - Reverse Unit Split (Follow-Up)
|
2012 |
April 13, 2012 |
067-12 |
Re-introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bull Plus ETF (HNU)
|
2012 |
April 12, 2012 |
066-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
April 12, 2012 |
065-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
April 12, 2012 |
064-12 |
Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
|
2012 |
April 10, 2012 |
063-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
April 9, 2012 |
062-12 |
FINAL CONTRACT ADJUSTMENT - Provident Energy Ltd. (PVE) - Plan of Arrangement (Follow-Up)
|
2012 |
April 5, 2012 |
061-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
April 5, 2012 |
060-12 |
Approved Depositories
|
2012 |
April 4, 2012 |
059-12 |
Final Contract Adjustment - Provident Energy Ltd. (PVE) - Plan of Arrangement
|
2012 |
April 4, 2012 |
058-12 |
FINAL CONTRACT ADJUSTMENT - Minefinders Corporation Ltd. (MFL) - Plan of Arrangement
|
2012 |
April 3, 2012 |
057-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
March 30, 2012 |
056-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
March 29, 2012 |
055-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
March 28, 2012 |
054-12 |
CUSIP and Name Change on ETF Options
|
2012 |
March 28, 2012 |
053-12 |
Membership Withdrawn - DWM Securities Inc.
|
2012 |
March 27, 2012 |
052-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
March 27, 2012 |
051-12 |
New Equity Options Class
|
2012 |
March 27, 2012 |
050-12 |
Anticipated Contract Adjustment - NAL Energy Corporation (NAE) - Plan of Arrangement
|
2012 |
March 22, 2012 |
049-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
March 21, 2012 |
048-12 |
Anticipated Contract Adjustment - Astral Media Inc. (ACM.A) - Plan of Arrangement
|
2012 |
March 21, 2012 |
047-12 |
Anticipated Contract Adjustment - Viterra Inc. (VT) - Plan of Arrangement
|
2012 |
March 20, 2012 |
046-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
March 16, 2012 |
045-12 |
Final Contract Adjustment - Anvil Mining Limited (AVM) - Acquisition
|
2012 |
March 16, 2012 |
044-12 |
Fixed Income Securities Eligible for Trading
|
2012 |
March 15, 2012 |
043-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
March 15, 2012 |
042-12 |
Final Contract Adjustment - Vero Energy Inc. (VRO) - Special Cash Dividend
|
2012 |
March 13, 2012 |
041-12 |
Anticipated Contract Adjustment - Neo Material Technologies Inc. (NEM) - Plan of Arrangement
|
2012 |
March 13, 2012 |
040-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
March 9, 2012 |
039-12 |
Anticipated Contract Adjustment - Vero Energy Inc. (VRO) - Special Cash Dividend
|
2012 |
March 8, 2012 |
038-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
March 6, 2012 |
037-12 |
Final Contract Adjustment - Quadra FNX Mining Ltd. (QUX) - Plan of Arrangement
|
2012 |
March 6, 2012 |
036-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
March 5, 2012 |
035-12 |
Final Contract Adjustment - Grande Cache Coal Corporation (GCE) - Plan of Arrangement
|
2012 |
March 1, 2012 |
034-12 |
REVISED - Future Contracts on Canadian Shares - "Share Futures"
|
2012 |
March 1, 2012 |
033-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
February 29, 2012 |
032-12 |
REVISED - Future Contracts on Canadian Shares - "Share Futures"
|
2012 |
February 28, 2012 |
031-12 |
Future Contracts on Canadian Shares - "Share Futures"
|
2012 |
February 28, 2012 |
030-12 |
Self-Certification - Futures Contracts on Canadian Shares - Amendment to Rule A-1-Definitions, Rule A-8 - Daily Settlement, Rule A-9 - Adjustments in Contract Terms, Rule C-15 - Share Futures - Amendment to Risks and Operations Manuals of CDCC
|
2012 |
February 28, 2012 |
029-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
February 27, 2012 |
028-12 |
FINAL CONTRACT ADJUSTMENT - European Goldfields Limited (EGU) -Plan of Arrangement
|
2012 |
February 22, 2012 |
027-12 |
Anticipated Contract Adjustment - NovaGold Resources Inc. (NG) - Plan of Arrangement
|
2012 |
February 22, 2012 |
026-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
February 21, 2012 |
025-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
February 21, 2012 |
024-12 |
New Equity Options Classes
|
2012 |
February 21, 2012 |
023-12 |
Margin Parameters for Fixed Income Securities
|
2012 |
February 17, 2012 |
022-12 |
Overnight Index Swap Futures Contracts
|
2012 |
February 15, 2012 |
021-12 |
Self-Certification - New Product - Overnight Index Swap Futures Contracts (OIS) - Addition of New Rule C-22 - Amendment to Operations Manual of CDCC
|
2012 |
February 14, 2012 |
020-12 |
Request for Comments - Amendment to Rule B-10 - European Style Index Options
|
2012 |
February 14, 2012 |
019-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
February 10, 2012 |
018-12 |
OMNIBUS II SELF-CERTIFIED RULES AGAINST PUBLICATION - OMNIBUS PROJECT II - FEBRUARY 10, 2012 VERSIONS OF THE RULES AND THE OPERATIONS MANUAL OF CDCC COMPARED TO THE VERSIONS PUBLISHED FOR COMMENTS ON AUGUST 4, 2011
|
2012 |
February 9, 2012 |
017-12 |
SELF-CERTIFICATION - OMNIBUS PROJECT II - AMENDMENTS TO SECTIONS A-1, A-1A, A-2, A-4, A-6, A-7, A-8, C-11, C-13, C-14, C-16, C-18 AND D-6 OF THE RULES AND TO THE OPERATIONS MANUAL OF CDCC
|
2012 |
February 7, 2012 |
016-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
February 2, 2012 |
015-12 |
Final Contract Adjustment - Metro Inc. (MRU) - Underlying Change
|
2012 |
January 31, 2012 |
014-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
January 24, 2012 |
013-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
January 24, 2012 |
012-12 |
New Equity Options Classes
|
2012 |
January 24, 2012 |
011-12 |
Anticipated Contract Adjustment - Minefinders Corporation Ltd. (MFL) - Plan of Arrangement
|
2012 |
January 17, 2012 |
010-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
January 17, 2012 |
009-12 |
Extension of the Period of Request for Comments
|
2012 |
January 17, 2012 |
008-12 |
Anticipated Contract Adjustment - Provident Energy Ltd. (PVE) - Plan of Arrangement
|
2012 |
January 17, 2012 |
007-12 |
Criteria for Eligibility of Stock Options
|
2012 |
January 10, 2012 |
006-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
January 5, 2012 |
005-12 |
Trading by U.S. Residents
|
2012 |
January 4, 2012 |
004-12 |
Termination of Membership - MF Global Canada Co.
|
2012 |
January 4, 2012 |
003-12 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2012 |
January 4, 2012 |
002-12 |
Directors and Officers of CDCC - 2011 - 2012
|
2012 |
January 3, 2012 |
001-12 |
List of Notice-to-Members
|
2011 |
December 29, 2011 |
139-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
December 28, 2011 |
138-11 |
Final Contract Adjustment - Daylight Energy Ltd. (DAY) - Plan of Arrangement
|
2011 |
December 22, 2011 |
137-11 |
Request for Comments - Futures Contracts on Canadian Shares - Amendment to Rule A-9 - Adjustments in Contract Terms and Rule C-15 - Share Futures - Amendment to Risk and Operations Manuals of CDCC
|
2011 |
December 21, 2011 |
136-11 |
Canadian Derivatives Clearing Corporation - 2012 List of Fees
|
2011 |
December 20, 2011 |
135-11 |
Anticipated Contract Adjustment - European Goldfields Limited (EGU) - Plan of Arrangement
|
2011 |
December 20, 2011 |
134-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
December 13, 2011 |
133-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
December 7, 2011 |
132-11 |
Anticipated Contract Adjustment - Quadra FNX Mining Ltd. (QUX) - Plan of Arrangement
|
2011 |
December 6, 2011 |
131-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
November 29, 2011 |
130-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
November 25, 2011 |
129-11 |
Re-Introduction of an Option Class and Series - Horizons BetaPro Nymex Natural Gas Bull Plus ETF
|
2011 |
November 22, 2011 |
128-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
November 22, 2011 |
127-11 |
Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
|
2011 |
November 18, 2011 |
126-11 |
Update on the Suspension of MF Global Canada Co.
|
2011 |
November 18, 2011 |
125-11 |
New Equity Options Classes
|
2011 |
November 15, 2011 |
124-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
November 9, 2011 |
123-11 |
Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
|
2011 |
November 9, 2011 |
122-11 |
Update - MF Global Canada Co.
|
2011 |
November 9, 2011 |
121-11 |
Anticipated Contract Adjustment - Grande Cache Coal Corporation (GCE) - Plan of Arrangement
|
2011 |
November 8, 2011 |
120-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
November 8, 2011 |
119-11 |
ERRATUM - Final Contract Adjustment - Open Range Energy Corp. (ONR) - Plan of Arrangement
|
2011 |
November 7, 2011 |
118-11 |
Final Contract Adjustment - Open Range Energy Corp. (ONR) - Plan of Arrangement (Follow-Up)
|
2011 |
November 7, 2011 |
117-11 |
New Clearing Member - Bank of Montreal
|
2011 |
November 3, 2011 |
116-11 |
Final Contract Adjustment - Galleon Energy Inc. (GO) - Name and CUSIP Change
|
2011 |
November 3, 2011 |
115-11 |
FINAL CONTRACT ADJUSTMENT - Open Range Energy Corp. (ONR) - Plan of Arrangement
|
2011 |
November 2, 2011 |
114-11 |
Update Regarding MF Global Canada Co.
|
2011 |
November 1, 2011 |
113-11 |
Notice of Suspension of MF Global Canada Co.
|
2011 |
November 1, 2011 |
112-11 |
2011 - 2012 Holiday Schedule
|
2011 |
November 1, 2011 |
111-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
October 31, 2011 |
110-11 |
MF Global Canada Co.
|
2011 |
October 27, 2011 |
109-11 |
Bank Holiday - November 11, 2011
|
2011 |
October 25, 2011 |
108-11 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2011 |
October 25, 2011 |
107-11 |
New Equity Options Classes
|
2011 |
October 19, 2011 |
106-11 |
Anticipated Contract Adjustment - Open Range Energy Corp. (ONR) - Plan of Arrangement
|
2011 |
October 13, 2011 |
105-11 |
Anticipated Contract Adjustment - Daylight Energy Ltd. (DAY) - Acquisition
|
2011 |
October 11, 2011 |
104-11 |
Criteria for Eligibility of Stock Options
|
2011 |
October 7, 2011 |
103-11 |
Erratum - Final Contract Adjustment - Groupe Aeroplan Inc. (AER)- Symbol Change
|
2011 |
October 6, 2011 |
102-11 |
Final Contract Ajdjustment - Groupe Aeroplan Inc. (AER) - Name and Symbol Change
|
2011 |
October 5, 2011 |
101-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
October 3, 2011 |
100-11 |
Anticipated Contract Adjustment - Anvil Mining Limited (AVM) - Acquisition
|
2011 |
September 27, 2011 |
099-11 |
New Equity Options Classes
|
2011 |
September 19, 2011 |
098-11 |
Erratum - Margin Rates for Inter-Month Spread
|
2011 |
September 19, 2011 |
097-11 |
Amendments to the List of Fees of Canadian Derivatives Clearing Corporation
|
2011 |
September 16, 2011 |
096-11 |
ERRATUM - Sino-Forest Corporation (TRE) - Put Options
|
2011 |
September 15, 2011 |
095-11 |
Sino-Forest Corporation (TRE) - Put Options
|
2011 |
September 14, 2011 |
094-11 |
Sino-Forest Corporation (TRE) - Put Options
|
2011 |
September 9, 2011 |
093-11 |
Sino-Forest Corporation (TRE) - Put Options
|
2011 |
September 6, 2011 |
092-11 |
Final Contract Adjustment - Breakwater Resources Ltd. (BWR) - Acquisition
|
2011 |
September 6, 2011 |
091-11 |
Margin Intervals - Erratum
|
2011 |
September 6, 2011 |
090-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
August 26, 2011 |
089-11 |
Restriction on the Tender of Exercise Notices on Sino-Forest Corporation
|
2011 |
August 18, 2011 |
088-11 |
Final Contract Adjustment - Greystar Resources Ltd. (GSL) - Name, Symbol and CUSIP Change
|
2011 |
August 17, 2011 |
087-11 |
FINAL CONTRACT ADJUSTMENT - Breakwater Resources Ltd. (BWR) - Special Cash Dividend
|
2011 |
August 16, 2011 |
086-11 |
Erratum - New Clearing Member - Canadian Imperial Bank of Commerce
|
2011 |
August 10, 2011 |
085-11 |
Margin Intervals - Follow-up to Notice to Members No. 084-11
|
2011 |
August 9, 2011 |
084-11 |
Margin Intervals
|
2011 |
August 8, 2011 |
083-11 |
New Equity Options Classes
|
2011 |
August 5, 2011 |
082-11 |
Final Contract Adjustment - First Quantum Minerals Ltd. (FM) - Stock Split
|
2011 |
August 4, 2011 |
081-11 |
Request for Comments - Omnibus Project II - Amendment to Rules and Operations Manual of CDCC
|
2011 |
August 4, 2011 |
080-11 |
New Clearing Member - Canadian Imperial Bank of Commerce
|
2011 |
August 3, 2011 |
079-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
July 21, 2011 |
078-11 |
CRITERIA FOR ELIGIBILITY OF STOCK OPTIONS
|
2011 |
July 20, 2011 |
077-11 |
FINAL CONTRACT ADJUSTMENT - Equinox Minerals Limited (EQN) - Acquisition
|
2011 |
July 6, 2011 |
076-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
July 5, 2011 |
075-11 |
Trading by U.S. Residents
|
2011 |
June 30, 2011 |
074-11 |
SELF-CERTIFICATION - Omnibus Project - Amendments to Sections A-102, A-801, A-803, A-804, D-601 and D-606 of the Rules and to the Operations Manual of CDCC
|
2011 |
June 29, 2011 |
073-11 |
Final Contract Adjustment - lululemon athletica inc. (LLL) - Stock Split
|
2011 |
June 22, 2011 |
072-11 |
New Equity Options Classes
|
2011 |
June 22, 2011 |
071-11 |
Futures Contract on Canada Carbon Dioxide Equivalent (CO2e) Units (MCX)
|
2011 |
June 20, 2011 |
070-11 |
Anticipated Contract Adjustment - First Quantum Minerals Ltd. (FM) - Stock Split
|
2011 |
June 17, 2011 |
069-11 |
ANTICIPATED CONTRACT ADJUSTMENT - Breakwater Resources Ltd. (BWR)- Acquisition and Special Dividend
|
2011 |
June 14, 2011 |
068-11 |
2011 List of Fees of Canadian Derivatives Clearing Corporation - Revised Version
|
2011 |
June 13, 2011 |
067-11 |
Final Contract Adjustment - Gammon Gold Inc. (GAM) - Name, Symbol and CUSIP Change
|
2011 |
June 7, 2011 |
066-11 |
Final Contract Adjustment - Follow-Up - Brookfield Office Properties Inc. (BPO) - Rights Expiration
|
2011 |
June 3, 2011 |
065-11 |
Futures Contract on Canada Carbon Dioxide Equivalent (CO2e) Units MCX)
|
2011 |
June 2, 2011 |
064-11 |
Final Contract Adjustment - Toromont Industries Ltd. (TIH) - Spinoff
|
2011 |
June 2, 2011 |
063-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
May 25, 2011 |
062-11 |
New Long Term Series on ETF Options
|
2011 |
May 25, 2011 |
061-11 |
New Equity Options Classes
|
2011 |
May 18, 2011 |
060-11 |
Final Contract Adjustment - Enbridge Inc. (ENB) - Stock Split
|
2011 |
May 13, 2011 |
059-11 |
Final Contract Adjustment - Consolidated Thompson Iron Mines Limited (CLM) - Plan of Arrangement
|
2011 |
May 13, 2011 |
058-11 |
Re-Introduction of an Option Class - Claymore Natural Gas Commodity ETF - Re-Listing of New Series
|
2011 |
May 12, 2011 |
057-11 |
ERRATUM - FINAL CONTRACT ADJUSTMENT - Claymore Natural Gas Commodity ETF (GAS) - Reverse Unit Split
|
2011 |
May 11, 2011 |
056-11 |
Directors and Officers of CDCC - 2011 - 2012
|
2011 |
May 10, 2011 |
055-11 |
Final Contract Adjustment - IESI-BFC Ltd. (BIN) - Name and CUSIP Change
|
2011 |
May 9, 2011 |
054-11 |
Final Contract Adjustment - Claymore Natural Gas Commodity ETF (GAS) - Reverse Unit Split
|
2011 |
May 6, 2011 |
053-11 |
Final Contract Adjustment - Brookfield Office Properties Inc. (BPO) - Rights Offering
|
2011 |
May 6, 2011 |
052-11 |
Final Contract Adjustment - Brookfield Properties Corporation (BPO) - Name Change
|
2011 |
May 4, 2011 |
051-11 |
Final Contract Adjustment - Centerra Gold Inc. (CG) - Special Cash Dividend
|
2011 |
May 4, 2011 |
050-11 |
Anticipated Contract Adjustment - Brookfield Properties Corporation (BPO) - Rights Offering
|
2011 |
May 3, 2011 |
049-11 |
Mini Futures Contracts on the S&P/TSX 60 Index
|
2011 |
May 3, 2011 |
048-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
May 2, 2011 |
047-11 |
Anticipated Contract Adjustment - Centerra Gold Inc. (CG) - Special Cash Dividend
|
2011 |
May 2, 2011 |
046-11 |
Self-Certification - New Product: Mini Futures contracts on the S&P/TSX 60 Index - Amendment to Operations Manual of CDCC
|
2011 |
April 26, 2011 |
045-11 |
Anticipated Contract Adjustment - Equinox Minerals Limited (EQN) - Acquisition
|
2011 |
April 26, 2011 |
044-11 |
New Equity Options Classes
|
2011 |
April 21, 2011 |
043-11 |
Criteria for Eligibility of Stock Options
|
2011 |
April 15, 2011 |
042-11 |
Revision - Directors and Officers of CDCC - 2011
|
2011 |
April 13, 2011 |
041-11 |
Futures Contracts on Canadian Heavy Crude Oil Price Differential (WCH)
|
2011 |
April 8, 2011 |
040-11 |
Final Contract Adjustment - Fronteer Gold Inc. (FRG) - Plan of Arrangement
|
2011 |
April 7, 2011 |
039-11 |
Final Contract Adjustment - Western Coal Corp. (WTN) - Plan of Arrangement (Follow-up)
|
2011 |
April 6, 2011 |
038-11 |
ERRATUM Contract Adjustment - Western Coal Corp. (WTN)
|
2011 |
April 5, 2011 |
037-11 |
Final Contract Adjustment - Western Coal Corp. (WTN) - Plan of Arrangement
|
2011 |
April 5, 2011 |
036-11 |
Anticipated Contract Adjustment - Equinox Minerals Limited (EQN) - Acquisition
|
2011 |
April 5, 2011 |
035-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
March 30, 2011 |
034-11 |
Anticipated Contract Adjustment - lululemon athletica inc. (LLL) - Stock Split
|
2011 |
March 28, 2011 |
033-11 |
New Equity Options Classes
|
2011 |
March 23, 2011 |
032-11 |
New Long-Term Equity, ETF and Index Options
|
2011 |
March 22, 2011 |
031-11 |
Final Contract Adjustment - Ventana Gold Corp. (VEN) - Acquisition
|
2011 |
March 2, 2011 |
030-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
March 1, 2011 |
029-11 |
Anticipated Contract Adjustment - Lundin Mining Corporation (LUN) - Acquisition
|
2011 |
February 28, 2011 |
028-11 |
Request for Comments - New Product: Mini Futures Contracts on the S&P/TSX 60 Index (SXM) - Amendment to Operations Manual of CDCC
|
2011 |
February 28, 2011 |
027-11 |
Self-Certification - Omnibus Project - Amendments to Sections A-102, A-401, A-402, A-709 and C-303 of the Rules and to the Operations Manual of CDCC
|
2011 |
February 23, 2011 |
026-11 |
New Equity and ETF Options Classes
|
2011 |
February 23, 2011 |
025-11 |
Anticipated Contract Adjustment - Enbridge Inc. (ENB) - Stock Split
|
2011 |
February 22, 2011 |
024-11 |
Final Contract Adjustment - Anatolia Minerals Development Limited (ANO)- Name, Symbol and CUSIP Change
|
2011 |
February 16, 2011 |
023-11 |
Revised - Directors and Officers of CDCC - 2011
|
2011 |
February 8, 2011 |
022-11 |
Final Contract Adjustment - Potash Corporation of Saskatchewan Inc. (POT) - Stock Split
|
2011 |
February 4, 2011 |
021-11 |
Anticipated Contract Adjustment - Fronteer Gold Inc. (FRG) - Plan of Arrangement
|
2011 |
February 3, 2011 |
020-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
January 28, 2011 |
019-11 |
Name Change from Dundee Securities Corporation to DWM Securities Inc.
|
2011 |
January 28, 2011 |
018-11 |
Anticipated Contract Adjustment - Potash Corporation of Saskatchewan Inc. (POT) - Stock Split
|
2011 |
January 28, 2011 |
017-11 |
Membership Withdrawn - W.D. Latimer Co. Limited
|
2011 |
January 25, 2011 |
016-11 |
New Equity Options Classes
|
2011 |
January 19, 2011 |
015-11 |
Final Contract Adjustment - Follow-Up - Ivanhoe Mines Ltd. (IVN) - Rights Expiration
|
2011 |
January 17, 2011 |
014-11 |
Criteria for Eligibility of Stock Options
|
2011 |
January 14, 2011 |
013-11 |
Anticipated Contract Adjustment - Inmet Mining Corporation (IMN) - Lundin Mining Corporation (LUN) - Plan of Arrangement
|
2011 |
January 13, 2011 |
012-11 |
Anticipated Contract Adjustment - Consolidated Thompson Iron mines Limited (CLM) - Plan of Arrangement
|
2011 |
January 7, 2011 |
011-11 |
Final Contract Adjustment - Penn West Energy Trust (PWT.UN) - Plan of Arrangement
|
2011 |
January 7, 2011 |
010-11 |
Final Contract Adjustment - Pengrowth Energy Trust (PGF.UN) - Plan of Arrangement
|
2011 |
January 6, 2011 |
009-11 |
Final Contract Adjustment - George Weston Limited (WN) - Special Cash Dividend
|
2011 |
January 6, 2011 |
008-11 |
Trading by U.S. Residents
|
2011 |
January 6, 2011 |
007-11 |
Re-Introduction of an Option Class - Petrobank Energy and Resources Ltd. - Re-Listing of New Series
|
2011 |
January 5, 2011 |
006-11 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2011 |
January 5, 2011 |
005-11 |
Final Contract Adjustment - Enerplus Resources Fund (ERF.UN) - Plan of Arrangement
|
2011 |
January 5, 2011 |
004-11 |
Final Contract Adjustment - Canadian Oil Sands Trust (COS.UN) - Plan of Arrangement
|
2011 |
January 5, 2011 |
003-11 |
Final Contract Adjustment - ARC Energy Trust (AET.UN) - Plan of Arrangement
|
2011 |
January 5, 2011 |
002-11 |
Final Contract Adjustment - NAL Oil & Gas Trust (NAE.UN) - Plan of Arrangement
|
2011 |
January 4, 2011 |
001-11 |
List of Notice-to-Members - 2010
|
2010 |
December 29, 2010 |
127-10 |
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Petrominerales Ltd. (PMG) Plan of arrangement (follow-up)
|
2010 |
December 24, 2010 |
126-10 |
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Petrominerales Ltd. (PMG) - Corporate Reorganizations
|
2010 |
December 24, 2010 |
125-10 |
Final Contract Adjustment - Ivanhoe Mines Ltd. (IVN) - Rights Offering
|
2010 |
December 21, 2010 |
124-10 |
Anticipated Contract Adjustment - Ivanhoe Mines Ltd. (IVN) - Rights Offering
|
2010 |
December 17, 2010 |
123-10 |
Anticipated Contract Adjustment - George Weston Limited (WN) - Special Cash Dividend
|
2010 |
December 10, 2010 |
122-10 |
Contract Adjustment - Uranium One Inc. - Listing of New Series
|
2010 |
December 7, 2010 |
121-10 |
Trading by U.S. Residents
|
2010 |
December 6, 2010 |
120-10 |
Final Contract Adjustment - Uranium One Inc. (UUU) - Special Cash Dividend
|
2010 |
December 3, 2010 |
119-10 |
2011 List of Fees of Canadian Derivatives Clearing Corporation
|
2010 |
December 2, 2010 |
118-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
November 29, 2010 |
117-10 |
New Equity Options Classes
|
2010 |
November 24, 2010 |
116-10 |
Anticipated Contract Adjustment - Western Coal Corp. (WTN) - Acquisition
|
2010 |
November 24, 2010 |
115-10 |
Request for Comments - Omnibus Project - Amendment to Rules and Operations Manual of CDCC
|
2010 |
November 23, 2010 |
114-10 |
New Clearing Member - The Toronto-Dominion Bank
|
2010 |
November 22, 2010 |
113-10 |
Self-Certification - Clearing of Fixed Income Transactions - Addition of Rule D-6 as a Supplement to Part D - Over-the-Counter Instruments ("OTCI") and Other Ancillary Amendments to CDCC's Rules and Operations Manual
|
2010 |
November 19, 2010 |
112-10 |
Anticipated Contract Adjustment - Ventana Gold Corp. (VEN) - Acquisition
|
2010 |
November 12, 2010 |
111-10 |
Contract Adjustment - Valeant Pharmaceuticals International, Inc. - Listing of New Series
|
2010 |
November 11, 2010 |
110-10 |
Anticipated Contract Adjustment - Toromont Industries Ltd. (TIH) - Spinoff
|
2010 |
November 11, 2010 |
109-10 |
Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bull Plus ETF - Listing of New Series
|
2010 |
November 10, 2010 |
108-10 |
Final Contract Adjustment - Magna International Inc. (MG) - Stock Split
|
2010 |
November 9, 2010 |
107-10 |
Final Contract Adjustment - Valeant Pharmaceuticals International, Inc. (VRX) - Special Cash Dividend
|
2010 |
November 9, 2010 |
106-10 |
Anticipated Contract Adjustment - Valeant Pharmaceuticals International, Inc. (VRX) - Special Cash Dividend
|
2010 |
November 5, 2010 |
105-10 |
Anticipated Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Petrominerales Ltd. (PMG) - Corporate Reorganization
|
2010 |
November 5, 2010 |
104-10 |
Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
|
2010 |
November 4, 2010 |
2010-103 |
Anticipated Contract Adjustment - ARC Energy Trust (AET.UN) - Plan of Arrangement
|
2010 |
November 3, 2010 |
102-10 |
Self-Certification - Modifications to the Specifications Five-Year Government of Canada Bond Futures Contract (CGF) - Amendments to Article C-1402 of Rule C-14 of CDCC's Rules
|
2010 |
November 3, 2010 |
101-10 |
Self-Certification - Amendment to Sections A-102, B-201 and B-307 of the Rules of CDCC
|
2010 |
November 2, 2010 |
100-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
November 1, 2010 |
2010-099 |
2010 - 2011 Holiday Schedule
|
2010 |
November 1, 2010 |
098-10 |
Bank Holiday - November 11, 2010
|
2010 |
October 29, 2010 |
097-10 |
Final Contract Adjustment - MDS Inc. (MDS) - Name, Symbol and CUSIP Change
|
2010 |
October 29, 2010 |
096-10 |
Final Contract Adjustment - Yellow Pages Income Fund (YLO.UN) - Plan of Arrangement
|
2010 |
October 26, 2010 |
095-10 |
New Equity Options Classes
|
2010 |
October 22, 2010 |
094-10 |
Anticipated Contract Adjustment - Pengrowth Energy Trust (PGF.UN) - Plan of Arrangement
|
2010 |
October 22, 2010 |
093-10 |
Anticipated Contract Adjustment - NAL Oil & Gas Trust (NAE.UN) - Plan of Arrangement
|
2010 |
October 19, 2010 |
092-10 |
Criteria for Eligibility of Stock Options
|
2010 |
October 15, 2010 |
091-10 |
Request for Comments - Modifications to the Eligibility Criteria for Underlying Itnerests of Equity Options and Addition of Securities Issued by Exchange Traded Funds as Underlying Interests of Equity Options in Rule B-6 of CDCC - Amendments to Sections B-601, B-602, B-603, B-604, B-606, B-607 and B-608, and Addition of New Sections B-605, B-609 and B-610
|
2010 |
October 5, 2010 |
090-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
October 1, 2010 |
089-10 |
Anticipated Contract Adjustment - Enerplus Resources Fund (ERF.UN) - Corporate Reorganization
|
2010 |
September 29, 2010 |
088-10 |
Self-Certification - Modifications to the Specifications Thirty-Year Government of Canada Bond Futures Contract (LGB) - Amendments to Article C-1802 of Rule C-18
|
2010 |
September 29, 2010 |
087-10 |
Request for Comments - Amendment to Sections A-102, B-201 and B-307 of the Rules of CDCC and Section 2 of the Operations Manual of CDCC
|
2010 |
September 27, 2010 |
086-10 |
Final Contract Adjustment - Biovail Corporation (BVF) - Name, Symbol and CUSIP Change
|
2010 |
September 22, 2010 |
085-10 |
Final Contract Adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of Arrangement (follow-up)
|
2010 |
September 22, 2010 |
084-10 |
Request for Comments - Modifications to the Specifications Five-Year Government of Canada Bond Futures Contract (CGF) - Amendments to Article C-1402 of Rule C-14 of CDCC's Rules
|
2010 |
September 20, 2010 |
083-10 |
Final Contract Adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of Arrangement
|
2010 |
September 20, 2010 |
082-10 |
New Equity Options Classes
|
2010 |
September 10, 2010 |
081-10 |
Anticipated Contract Adjustment - Penn West Energy Trust (PWT.UN) - Plan of Arrangement
|
2010 |
September 8, 2010 |
080-10 |
ERRATUM - Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
September 7, 2010 |
079-10 |
Final Contract Adjustment - SXC Health Solutions Corp. (SXC) - Stock Dividend
|
2010 |
September 2, 2010 |
078-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
September 2, 2010 |
077-10 |
Anticipated Contract Adjustment - Follow-Up - Uranium One Inc. (UUU) - Special Cash Dividend
|
2010 |
August 31, 2010 |
076-10 |
Final Contract Adjustment - Magna International Inc. (MG) - Underlying CHANGE
|
2010 |
August 31, 2010 |
075-10 |
Final Contract Adjustment - Gerdau Ameristeel Corporation (GNA) - Plan of arrangement
|
2010 |
August 31, 2010 |
074-10 |
Self-Certification - Modifications to the Specifications Two-Year Government of Canada Bond Futures Contract (CGZ) - Amendments to Article C-1602 of Rule C-16
|
2010 |
August 24, 2010 |
073-10 |
New equity and EFT options classes
|
2010 |
August 17, 2010 |
M073-10 |
Revised FIFO 2-year government of Canada bond futures (CGZ)
|
2010 |
August 17, 2010 |
072-10 |
2010 List of fees of canadian derivatives clearing corporation - revised version
|
2010 |
August 17, 2010 |
071-10 |
Over-the-counter derivative instruments ("OTC DI")
|
2010 |
August 5, 2010 |
070-10 |
ERRATUM - Anticipated Contract Adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of Arrangement
|
2010 |
August 4, 2010 |
069-10 |
Anticipated Contract Adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of Arrangement
|
2010 |
August 3, 2010 |
068-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
July 30, 2010 |
067-10 |
Modification of the Canadian Heavy Crude Oil Differential Price Futures Contract
|
2010 |
July 30, 2010 |
066-10 |
Important Notice - Listing of a New Futures Contract Based on the New NGX WCS WTI Daily Weighted Crude Oil Index and Amendment to the Symbol of the Current Futures Contract Based on the NGX WCS WTI Monthly Weighted Crude Oil Index
|
2010 |
July 27, 2010 |
065-10 |
New Options Classes
|
2010 |
July 16, 2010 |
064-10 |
FINAL CONTRACT ADJUSTMENT - Jinshan Gold Mines Inc. (JIN) - NAME, SYMBOL AND CUSIP CHANGE
|
2010 |
July 15, 2010 |
063-10 |
CRITERIA FOR ELIGIBILITY OF STOCK OPTIONS
|
2010 |
July 7, 2010 |
062-10 |
Request for Comments - Clearing of Fixed Income Transactions - Addition of Rule D as a Supplement to Part D: Over-the-Counter Derivative Instruments ("OTC DI") and Other Ancillary Amendments to Existing Rules of CDCC and Amended and Restated Operations Manual
|
2010 |
July 7, 2010 |
061-10 |
ERRATUM - Directors and Officers of CDCC - 2010 - 2011
|
2010 |
July 6, 2010 |
060-10 |
Self-Certification - Rule Amendment - CDCC Section B-201
|
2010 |
July 5, 2010 |
059-10 |
Directors and Officers of CDCC - 2010 - 2011
|
2010 |
July 5, 2010 |
058-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
June 30, 2010 |
057-10 |
Anticipated Contract Adjustment - Uranium One Inc. (UUU) - Special Cash Dividend
|
2010 |
June 29, 2010 |
056-10 |
New Options Classes
|
2010 |
June 28, 2010 |
055-10 |
Anticipated Contract Adjustment - Biovail Corporation (BVF) - Merger
|
2010 |
June 21, 2010 |
054-10 |
Trading by U.S. Residents - State of Ohio
|
2010 |
June 16, 2010 |
053-10 |
Trading by U.S. Residents - State of Ohio
|
2010 |
June 16, 2010 |
052-10 |
Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus Fund ETF - Listing of New Series
|
2010 |
June 11, 2010 |
051-10 |
New Futures Contract - Crude Oil (WCH)
|
2010 |
June 7, 2010 |
050-10 |
Anticipated Contract Adjustment - Gerdau Ameristeel Corporation (GNA) - Plan of Arrangement
|
2010 |
June 3, 2010 |
049-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
June 2, 2010 |
048-10 |
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD) - Reverse Unit Split
|
2010 |
June 2, 2010 |
047-10 |
Final Contract Adjustment - Precision Drilling Trust (PD.UN) - Plan of Arrangement
|
2010 |
May 28, 2010 |
046-10 |
ERRATUM - Final Contract Adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX) - Plan of Arrangement
|
2010 |
May 27, 2010 |
045-10 |
Final Contract Adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX)- Plan of Arrangement
|
2010 |
May 19, 2010 |
044-10 |
Options on three-month Canadian banker' acceptance futures
|
2010 |
May 19, 2010 |
043-10 |
New Equity and ETF Options Classes
|
2010 |
May 17, 2010 |
042-10 |
Trading by U.S. Residents
|
2010 |
May 14, 2010 |
041-10 |
Trading by U.S. Residents - State of Maryland
|
2010 |
May 14, 2010 |
040-10 |
Self-Certification - Addition of the New Rule C-21 Futures Contracts on Canadian Crude Oil with Cash Settlement
|
2010 |
May 14, 2010 |
039-10 |
New Long Term Equity Options
|
2010 |
May 14, 2010 |
038-10 |
Final Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Stock Split
|
2010 |
May 12, 2010 |
037-10 |
Name and ISIN Change - Fronteer Development Group Inc.
|
2010 |
May 12, 2010 |
036-10 |
Symbology Consolidation Equity and ETF Options
|
2010 |
May 10, 2010 |
035-10 |
Name Change from Canaccord Financial Ltd. to Canaccord Genuity Corp.
|
2010 |
May 6, 2010 |
034-10 |
Anticipated Contract Adjustment - Canadian Oil Sands Trust (COS.UN) - Plan of Arrangement
|
2010 |
May 5, 2010 |
033-10 |
Symbology Consolidation Equity Options
|
2010 |
May 4, 2010 |
032-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
April 30, 2010 |
031-10 |
Final Contract Adjustment - Celtic Exploration Ltd. (CLT) - Stock Split
|
2010 |
April 27, 2010 |
030-10 |
New Options Classes
|
2010 |
April 22, 2010 |
029-10 |
ISIN & Name Change on Index Options
|
2010 |
April 21, 2010 |
028-10 |
Symbology Consolidation Equity Options
|
2010 |
April 19, 2010 |
027-10 |
Criteria for Eligibility of Stock Options
|
2010 |
April 16, 2010 |
026-10 |
Request for Comments - Clearing of Fixed Income Transactions
|
2010 |
April 7, 2010 |
025-10 |
Symbology Consolidation for Long Term and Equity Options
|
2010 |
April 7, 2010 |
024-10 |
Request for Comments - Modifications to the Specifications - Two-Year Government of Canada Bond Futures Contract (CGZ) - Amendments to Article C-1602 of Rule C-16 of CDCC's Rules
|
2010 |
April 5, 2010 |
023-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
March 31, 2010 |
022-10 |
Anticipated Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Stock split
|
2010 |
March 29, 2010 |
021-10 |
Anticipated Contract Adjustment - Yellow Pages Income Fund (YLO.UN) - Plan of Arrangement
|
2010 |
March 25, 2010 |
020-10 |
Anticipated Contract Adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX) - Plan of Arrangement
|
2010 |
March 24, 2010 |
019-10 |
Final Contract Adjustment - Athabasca Potash Inc. (API) - Plan of arrangement
|
2010 |
March 19, 2010 |
018-10 |
Anticipated Contract Adjustment - Celtic Exploration Ltd. (CLT) - Stock Split
|
2010 |
March 10, 2010 |
017-10 |
Symbology Consolidation Currency Options, Index and Options on Futures
|
2010 |
March 9, 2010 |
016-10 |
New Options Classes
|
2010 |
March 3, 2010 |
015-10 |
Self-Certification - Rule Amendment - CDCC Rule B-3
|
2010 |
March 2, 2010 |
014-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
February 17, 2010 |
013-10 |
New Option Class
|
2010 |
February 16, 2010 |
012-10 |
ANTICIPATED CONTRACT ADJUSTMENT - Precision Drilling Trust (PD.UN) - Plan of arrangement
|
2010 |
February 11, 2010 |
011-10 |
SELF-CERTIFICATION - Rule Amendment - CDCC Rule A-9
|
2010 |
February 10, 2010 |
010-10 |
Name Change from Blackmont Capital Inc. to Macquarie Private Wealth Inc.
|
2010 |
February 8, 2010 |
009-10 |
Name Change from Research Capital Corporation to Mackie Research Capital Corporation
|
2010 |
February 2, 2010 |
008-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
February 1, 2010 |
007-10 |
New Options Classes
|
2010 |
February 1, 2010 |
006-10 |
Anticipated Contract Adjustment - Athabasca Potash Inc. (API) - Plan of Arrangement
|
2010 |
January 26, 2010 |
005-10 |
Returning to Original Options symbols
|
2010 |
January 20, 2010 |
004-10 |
Criteria for Eligibility of Stock Options
|
2010 |
January 11, 2010 |
003-10 |
Anticipated Contract Adjustment - Corriente Resources Inc. (CTQ) - Plan of Arrangement
|
2010 |
January 6, 2010 |
002-10 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2010 |
January 4, 2010 |
001-10 |
List of Notice-To-Members
|
2009 |
December 15, 2009 |
2009-135 |
2010 List of Fees of Canadian Derivatives Clearing Corporation
|
2009 |
December 9, 2009 |
134-09 |
New Options Classes
|
2009 |
December 9, 2009 |
133-09 |
Request for Comments - Adjustment Committee for Over-the-Counter Derivative Instruments - Amendments to Rule A-9 of CDCC's Rules
|
2009 |
December 3, 2009 |
132-09 |
Contract Adjustment - EnCana Corporation (ECA) - Listing of New Series
|
2009 |
December 2, 2009 |
131-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
December 2, 2009 |
130-09 |
Name Change from Canaccord Capital Corporation to Canaccord Financial Ltd.
|
2009 |
December 2, 2009 |
129-09 |
Final Contract Adjustment - EnCana Corporation (ECA) - Corporate Reorganization
|
2009 |
December 1, 2009 |
128-09 |
Request for Comments - Modification to the Notional Coupon Rate of the 30-Year Government of Canada Bond Futures Contract (LGB) - Amendments to Rule C-18 of CDCC's Rules
|
2009 |
November 25, 2009 |
127-09 |
New Clearing Member - Maple Securities Canada Limited
|
2009 |
November 10, 2009 |
126-09 |
Clarification - SPAN Parameter File
|
2009 |
November 6, 2009 |
2009-125 |
2010 Holiday Schedule
|
2009 |
November 3, 2009 |
124-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
November 3, 2009 |
123-09 |
Returning to Original Option Symbols
|
2009 |
November 2, 2009 |
122-09 |
Bank Holiday - November 11, 2009
|
2009 |
October 26, 2009 |
121-09 |
New Options Classes
|
2009 |
October 20, 2009 |
120-09 |
Self-Certification - Rule Amendment - CDCC Rule A-2
|
2009 |
October 15, 2009 |
119-09 |
Contract Adjustment Final - Highpine Oil & Gas Ltd. (HPX) - Plan of arrangement
|
2009 |
October 15, 2009 |
118-09 |
Trading by U.S. Residents
|
2009 |
October 15, 2009 |
117-09 |
Criteria for Eligibility of Stock Options
|
2009 |
October 7, 2009 |
116-09 |
Final Contract Adjustment - TriStar Oil & Gas Ltd. (TOG) - Plan of arrangement
|
2009 |
October 5, 2009 |
115-09 |
Contract Adjustment Follow-Up - TriStar Oil & Gas Ltd. (TOG) - Plan of arrangement
|
2009 |
October 5, 2009 |
114-09 |
Final Contract Adjustment - Addax Petroleum Corporation (AXC) - Acquisition
|
2009 |
October 5, 2009 |
113-09 |
Petrobank Energy and Resources Ltd. - Additional Symbol for an Equity Option
|
2009 |
October 2, 2009 |
112-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
October 2, 2009 |
111-09 |
SPAN Parameter Files - Canadian Options Symbology Initiative
|
2009 |
September 25, 2009 |
110-09 |
ANTICIPATED CONTRACT ADJUSTMENT - Highpine Oil & Gas Ltd (HPX) - Acquisition
|
2009 |
September 25, 2009 |
109-09 |
FINAL CONTRACT ADJUSTMENT - Tim Hortons Inc.(THI) - Plan of arrangement
|
2009 |
September 23, 2009 |
108-09 |
New Options Classes
|
2009 |
September 23, 2009 |
107-09 |
National Bank of Canada - Additional Symbol for Long Term Equity Option
|
2009 |
September 23, 2009 |
106-09 |
The Toronto-Dominion Bank - Additional Symbol for Long Term Equity Option
|
2009 |
September 23, 2009 |
105-09 |
Kinross Gold Corporation - Additional Symbol for an Equity Option
|
2009 |
September 23, 2009 |
104-09 |
Additional Symbol for an Equity Option
|
2009 |
September 23, 2009 |
103-09 |
Returning to Original Option Symbols
|
2009 |
September 23, 2009 |
102-09 |
Additional Symbol for an Equity Option
|
2009 |
September 23, 2009 |
101-09 |
Returning to Original Option Symbols
|
2009 |
September 17, 2009 |
100-09 |
Domtar Corporation - Additional Symbol for an Equity Option
|
2009 |
September 16, 2009 |
099-09 |
Long Term Equity Option Symbol Change
|
2009 |
September 16, 2009 |
098-09 |
Trading by U.S. Residents
|
2009 |
September 15, 2009 |
097-09 |
Name Change from International Advisory Services Group (IASG) ULC to Fidelity Clearing Canada ULC
|
2009 |
September 15, 2009 |
096-09 |
Anticipated Contract Adjustment - Encana Corporation (ECA) - Corporate reorganization
|
2009 |
September 2, 2009 |
095-09 |
New Options Classes
|
2009 |
September 2, 2009 |
094-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
September 1, 2009 |
093-09 |
Trading by U.S. Residents - State of California
|
2009 |
August 14, 2009 |
092-09 |
ANTICIPATED CONTRACT ADJUSTMENT TriStar Oil & Gas Ltd. (TOG) Plan of Arrangement
|
2009 |
August 7, 2009 |
091-09 |
ERRATUM - Final Contract Adjustment - Petro-Canada (PCA) - Plan of Arrangement
|
2009 |
August 6, 2009 |
090-09 |
Long Term Equity Option Symbol Change
|
2009 |
August 5, 2009 |
089-09 |
Final Contract Adjustment - Petro-Canada (PCA) - Plan of Arrangement
|
2009 |
August 5, 2009 |
088-09 |
Final Contract Adjustment - Suncor Energy Inc. (SU) - Plan of Arrangement - CUSIP Change
|
2009 |
August 5, 2009 |
087-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
August 4, 2009 |
086-09 |
Trading by U.S. Residents
|
2009 |
July 30, 2009 |
2009-085 |
New Appointment
|
2009 |
July 24, 2009 |
2009-084 |
National Bank of Canada - Additional Symbol for an Equity Option
|
2009 |
July 24, 2009 |
2009-083 |
First Quantum Minerals Ltd. - Additional Symbol for an Equity Option
|
2009 |
July 24, 2009 |
2009-082 |
New Options Classes
|
2009 |
July 22, 2009 |
2009-081 |
New Long Term Equity Option Classes Expiring in January 2012
|
2009 |
July 21, 2009 |
2009-080 |
Returning to original option symbols
|
2009 |
July 16, 2009 |
079-09 |
Option Symbol Change
|
2009 |
July 8, 2009 |
078-09 |
Criteria for Eligibility of Stock Options
|
2009 |
July 7, 2009 |
077-09 |
Final Contract Adjustment - Nova Chemicals Corp. (NCX) - Acquisition
|
2009 |
July 7, 2009 |
076-09 |
Election of an Additional Director
|
2009 |
July 6, 2009 |
075-09 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2010
|
2009 |
July 3, 2009 |
074-09 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
June 29, 2009 |
073-09 |
Anticipated Contract Adjustment - Addax Petroleum Corporation (AXC) - Acquisition
|
2009 |
June 25, 2009 |
072-09 |
New Long Term Equity Option Classes Expiring in January and March 2012
|
2009 |
June 25, 2009 |
071-09 |
Final Contract Adjustment - Nortel Networks Corporation (NT) - Delisting
|
2009 |
June 15, 2009 |
070-09 |
New Options Class - Domtar Corporation
|
2009 |
June 11, 2009 |
069-09 |
Final Contract Adjustment - Domtar Corporation (UFS) - Reverse Stock Split
|
2009 |
June 10, 2009 |
068-09 |
Final Contract Adjustment - Domtar Corporation (UFS) - Reverse Stock Split
|
2009 |
June 10, 2009 |
067-09 |
Symbol Conversion - Long-Term Equity Options Expiring in January and March 2010
|
2009 |
June 5, 2009 |
066-09 |
Anticipated Contract Adjustment - Follow-up - Domtar Corporation (UFS) - Reverse Stock Split
|
2009 |
June 4, 2009 |
065-09 |
New Long-Term Equity Option Classes Expiring in January 2012
|
2009 |
June 3, 2009 |
064-09 |
Horizons BetaPro S&P/TSX 60 Bear Plus Fund - Additional Symbol for an Equity Option
|
2009 |
June 3, 2009 |
063-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
June 3, 2009 |
062-09 |
Directors and Officers of CDCC - 2009-2010
|
2009 |
May 29, 2009 |
061-09 |
Final Contract Adjustment - Follow-up - Precision Drilling Trust (PD.UN) - Rights Offering
|
2009 |
May 20, 2009 |
060-09 |
Returning to Original Options Symbols
|
2009 |
May 15, 2009 |
059-09 |
Scotia iTrade Corp.
|
2009 |
May 15, 2009 |
058-09 |
Additional Symbols for Equity Options
|
2009 |
May 15, 2009 |
057-09 |
Final Contract Adjustment - ING Canada (IIC) - Name, Symbol and CUSIP Change
|
2009 |
May 14, 2009 |
056-09 |
Niko Resources Ltd. - Additional Symbol for an Equity Option
|
2009 |
May 13, 2009 |
055-09 |
New Mini Futures Contract - S&P/TSX Composite(TM) Index Mini Futures (SCF)
|
2009 |
May 12, 2009 |
054-09 |
Returning to Original Long Term Equity Options Symbols
|
2009 |
May 8, 2009 |
053-09 |
Inmet Mining Corporation - Additional Symbol for an Equity Option
|
2009 |
May 7, 2009 |
052-09 |
Suncor Energy Inc. - Additional Symbol for an Equity Option
|
2009 |
May 5, 2009 |
051-09 |
New Options Classes
|
2009 |
May 5, 2009 |
050-09 |
Symbol Conversion Long-Term Equity Options Expiring in January 2010
|
2009 |
May 4, 2009 |
049-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
April 30, 2009 |
048-09 |
Final Contract Adjustment - Precision Drilling Trust (PD.UN) - Rights Offering
|
2009 |
April 30, 2009 |
047-09 |
New Long Term Equity Options Classes Expiring in January 2011 and 2012
|
2009 |
April 29, 2009 |
046-09 |
Anticipated Contract Adjustment - Precision Drilling Trust (PD.UN) - Rights Offering
|
2009 |
April 29, 2009 |
045-09 |
The Toronto-Dominion Bank - Additional Symbol for Equity Options
|
2009 |
April 29, 2009 |
044-09 |
Royal Bank of Canada - Additional Symbol for Equity Options
|
2009 |
April 29, 2009 |
043-09 |
Goldcorp Inc. - Additional Symbol for Equity Options
|
2009 |
April 29, 2009 |
042-09 |
Returning to Original Options Symbols
|
2009 |
April 27, 2009 |
041-09 |
Final Contract Adjustment - Teck Cominco Limited (TCK) - Name Change
|
2009 |
April 24, 2009 |
040-09 |
Criteria for Eligibility of Stock Options
|
2009 |
April 23, 2009 |
039-09 |
New Clearing Member-International Advisory Services Group (IASG) ULC
|
2009 |
April 22, 2009 |
038-09 |
Returning to Original Option Symbol
|
2009 |
April 14, 2009 |
037-09 |
NEW INTEREST RATE FUTURES CONTRACT - 5-YEAR GOVERNMENT OF CANADA BOND FUTURES CONTRACT (CGF)
|
2009 |
April 2, 2009 |
036-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
April 2, 2009 |
035-09 |
New Option Classes
|
2009 |
March 30, 2009 |
034-09 |
Returning to Original Option Symbol
|
2009 |
March 30, 2009 |
033-09 |
Returning to Original Option Symbol
|
2009 |
March 24, 2009 |
032-09 |
Canadian Option Symbology Initiative - Update
|
2009 |
March 24, 2009 |
031-09 |
Anticipated Contract Adjustment - Petro-Canada (PCA) - Plan of Arrangement
|
2009 |
March 24, 2009 |
030-09 |
Anticipated Contract Adjustment - Suncor Energy Inc. (SU) - Plan of Arrangement
|
2009 |
March 13, 2009 |
029-09 |
Name Change from E*TRADE CANADA SECURITIES CORPORATION to SCOTIA ITRADE CORP.
|
2009 |
March 13, 2009 |
028-09 |
Anticipated Contract Adjustment - Domtar Corporation (UFS) - Reverse Stock Split
|
2009 |
March 10, 2009 |
027-09 |
Power Financial Corporation - Additional Symbol for an Equity Option
|
2009 |
March 3, 2009 |
026-09 |
Margin Parameters for the Montréal Exchange Derivative Instruments and Over-the-Counter Derivative Instruments
|
2009 |
February 24, 2009 |
025-09 |
ENCANA CORPORATION - ADDITIONAL SYMBOL FOR LONG TERM EQUITY OPTION
|
2009 |
February 24, 2009 |
024-09 |
GREAT-WEST LIFECO INC. - ADDITIONAL SYMBOL FOR AN EQUITY OPTION
|
2009 |
February 24, 2009 |
023-09 |
INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC. - ADDITIONAL SYMBOL FOR AN EQUITY OPTION
|
2009 |
February 24, 2009 |
022-09 |
ENERPLUS RESOURCES FUND - ADDITIONAL SYMBOL FOR AN EQUITY OPTION
|
2009 |
February 24, 2009 |
021-09 |
HUSKY ENERGY INC. - ADDITIONAL SYMBOLS FOR LONG TERM EQUITY OPTIONS
|
2009 |
February 24, 2009 |
020-09 |
Anticipated Contract Adjustment - Nova Chemicals Corporation (NCX) - Acquisition
|
2009 |
February 19, 2009 |
019-09 |
New Option Classes
|
2009 |
February 19, 2009 |
018-09 |
iShares CDN S&P/TSX Global Gold Index Fund - Additional Symbols for Long Term Equity Index Options
|
2009 |
February 18, 2009 |
017-09 |
Returning to Original Option Symbol
|
2009 |
February 17, 2009 |
016-09 |
Final Contract Adjustment - Oilexco Inc. (OIL) - Delisting
|
2009 |
February 12, 2009 |
015-09 |
Follow-up - Anticipated Contract Adjustment - Oilexco Inc. (OIL) - Delisting
|
2009 |
February 6, 2009 |
014-09 |
Trading by U.S. Residents
|
2009 |
February 5, 2009 |
013-09 |
Resignation
|
2009 |
February 3, 2009 |
012-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
January 28, 2009 |
011-09 |
Returning to Original Option Symbols
|
2009 |
January 26, 2009 |
010-09 |
Barrick Gold Corporation - Additional Symbole for an Equity Option
|
2009 |
January 22, 2009 |
009-09 |
Anticipated Contract Adjustment - Oilexco Inc. (OIL) - Delisting
|
2009 |
January 21, 2009 |
008-09 |
Royal BAnk of Canada - Additional Symbol for an Equity Option
|
2009 |
January 20, 2009 |
007-09 |
Index Option Symbol Change
|
2009 |
January 20, 2009 |
006-09 |
Final Contract Adjustment - ProEx Energy Ltd. (PXE) - Name, CUSIP and Symbole Change
|
2009 |
January 14, 2009 |
005-09 |
New Long Term Equity Option Class Expiring in January 2011
|
2009 |
January 14, 2009 |
004-09 |
Anticipated Contract Adjustment - Lundin Mining Corp. (LUN) - Business Combination
|
2009 |
January 7, 2009 |
003-09 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2009 |
January 6, 2009 |
002-09 |
Contract Adjustment - Ballard Power Systems Inc. (BLD) - CUSIP Change
|
2009 |
January 5, 2009 |
001-09 |
List of Notice-To-Members
|
2008 |
December 30, 2008 |
180-08 |
Final Contract Adjustment - CI Financial Income Fund (CIX.UN) - Plan of arrangement
|
2008 |
December 22, 2008 |
179-08 |
Rule Amendment - CDCC Rule C-14
|
2008 |
December 22, 2008 |
178-08 |
Rule Amendment - CDCC Rule A-1
|
2008 |
December 18, 2008 |
177-08 |
Options on Three-Month Bankers' Acceptance Futures - Additional Symbol to the Options on Futures
|
2008 |
December 17, 2008 |
176-08 |
Follow-up - Final Contract Adjustment - Norbord Inc. (NBD) - Rights Offering
|
2008 |
December 17, 2008 |
175-08 |
National Bank of Canada - Additional Symbols for Long Term Equity Options
|
2008 |
December 16, 2008 |
174-08 |
Anticipated Contract Adjustment - CI Financial Income Fund (CIX.UN) - Plan of arrangement
|
2008 |
December 15, 2008 |
173-08 |
Contract Adjustment - Galleon Energy Inc. (GO.A) - Underlying Symbol Change
|
2008 |
December 12, 2008 |
172-08 |
Gildan Activewear Inc. - Additional Symbol for an Equity Option
|
2008 |
December 11, 2008 |
171-08 |
National Bank of Canada - Additional Symbol for an Equity Option
|
2008 |
December 8, 2008 |
170-08 |
PENN WEST ENERGY TRUST ADDITIONAL SYMBOL FOR AN EQUITY OPTION
|
2008 |
December 4, 2008 |
169-08 |
New Equity Option Classes
|
2008 |
December 2, 2008 |
168-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
December 1, 2008 |
167-08 |
2009 List of Fees of Canadian Derivatives Clearing Corporation
|
2008 |
November 27, 2008 |
166-08 |
TD Bank Financial Group - Additional Symbols for Long Term Equity Options
|
2008 |
November 25, 2008 |
165-08 |
S&P/TSX 60 Index Options - Additional Symbol for an Index Option
|
2008 |
November 25, 2008 |
164-08 |
Kinross Gold Corporation - Additional Symbol for an Equity Option
|
2008 |
November 25, 2008 |
163-08 |
TD Bank Financial Group - Additional Symbol for an Equity Option
|
2008 |
November 25, 2008 |
162-08 |
Bank of Nova Scotia - Additional Symbol for an Equity Option
|
2008 |
November 25, 2008 |
161-08 |
Bank of Montreal - Additional Symbols for a Long Term Equity Option
|
2008 |
November 25, 2008 |
160-08 |
FINAL CONTRACT ADJUSTMENT Norbord Inc. (NBD) Rights offering
|
2008 |
November 24, 2008 |
159-08 |
Canadian Option Symbology Initiative
|
2008 |
November 21, 2008 |
158-08 |
Canadian Pacific Railway Limited - Additional Symbol for an Equity Option
|
2008 |
November 21, 2008 |
157-08 |
Manulife Financial Corporation - Additional Symbol for an Equity Option
|
2008 |
November 21, 2008 |
156-08 |
First Quantum Minerals Ltd. - Additional Symbol for an Equity Option
|
2008 |
November 21, 2008 |
155-08 |
iShares CDN S&P/TSX Capped Financials Index Fund - Additional Symbol for an Index Option
|
2008 |
November 21, 2008 |
154-08 |
Methanex Corporation - Additional Symbol for an Equity Option
|
2008 |
November 19, 2008 |
153-08 |
Sun Life Financial - Additional Symbol for an Equity Option
|
2008 |
November 4, 2008 |
152-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
November 3, 2008 |
151-08 |
TD Securities Inc.
|
2008 |
November 3, 2008 |
150-08 |
Bank Holiday - November 11, 2008
|
2008 |
October 31, 2008 |
149-08 |
Final Contract Adjustment - Fording Canadian Coal Trust (FDG-UN) - Acquisition
|
2008 |
October 31, 2008 |
148-08 |
SNC-Lavalin Group Inc. - Additional Symbol for an Equity Option
|
2008 |
October 31, 2008 |
147-08 |
Nova Chemicals Corporation - Additional Symbol for an Equity Option
|
2008 |
October 31, 2008 |
146-08 |
Finning International Inc. - Additional Symbol for an Equity Option
|
2008 |
October 30, 2008 |
145-08 |
New Equity Option Class
|
2008 |
October 28, 2008 |
144-08 |
ERRATUM - iShares CDN Gold Sector Index Fund - Additional Symbols for Long Term Equity Index Options
|
2008 |
October 27, 2008 |
143-08 |
iShares CDN Gold Sector Index Fund - Additional Symbols for Long Term Equity Index Options
|
2008 |
October 27, 2008 |
142-08 |
Teck Cominco Limited - Additional Symbols for Long Term Equity Options
|
2008 |
October 22, 2008 |
141-08 |
Follow-up - Contract Adjustment - Fording Canadian Coal Trust (FDG.UN) - Acquisition
|
2008 |
October 20, 2008 |
140-08 |
Options on Ten-Year Government of Canada Bond Futures - Addition of a Future Option Symbol
|
2008 |
October 20, 2008 |
139-08 |
U.S. Dollar - Addition of a Currency Option Symbol
|
2008 |
October 17, 2008 |
138-08 |
Precision Drilling Corporation - Addition of an Equity Option Symbol
|
2008 |
October 17, 2008 |
137-08 |
Canadian Oil Sands Trust - Addition of an Equity Option Symbol
|
2008 |
October 17, 2008 |
136-08 |
Inmet Mining Corporation - Addition of an Equity Option Symbol
|
2008 |
October 17, 2008 |
135-08 |
Inmet Mining Corporation - Addition of an Equity Option Symbol
|
2008 |
October 16, 2008 |
134-08 |
Criteria for Eligibility of Stock Options
|
2008 |
October 14, 2008 |
133-08 |
Options on Ten-Year Government of Canada Bond Futures Addition of Future Option Symbol.
|
2008 |
October 10, 2008 |
132-08 |
2009 Holiday Schedule
|
2008 |
October 9, 2008 |
131-08 |
iShares CDN S&P/TSX Capped Energy Index Fund - Addition of a Long Term Index Option Symbol
|
2008 |
October 9, 2008 |
130-08 |
Niko Resources Ltd. - Addition of an Equity Option Symbol
|
2008 |
October 9, 2008 |
129-08 |
Canadian Natural Resources Limited - Addition of Long Term Equity Options Symbols
|
2008 |
October 7, 2008 |
128-08 |
ERRATUM - Final Contract Adjustment - Aurelian Resources Inc. (ARU) - Acquisition
|
2008 |
October 6, 2008 |
127-08 |
Returning to Original Index Option Symbol
|
2008 |
October 6, 2008 |
126-08 |
Teck Cominco Limited Class B - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
125-08 |
Suncor Energy - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
124-08 |
Petrobank Energy and Resources Ltd. - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
123-08 |
Magna International Inc. Class A - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
122-08 |
Horizons Betapro S&P/TSX60 Bull Plus ETF - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
121-08 |
Horizons Betapro S&P/TSX60 Bear Plus ETF - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
120-08 |
Husky Energy Inc. - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
119-08 |
Encana Corporation - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
118-08 |
Addax Petroleum Corporation - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
117-08 |
Returning to Original Long Term Equity Option Symbol
|
2008 |
October 6, 2008 |
116-08 |
Harry Winston Diamond Corporation - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
115-08 |
Silver Standard Resources Inc. - Addition of an Equity Option Symbol
|
2008 |
October 6, 2008 |
114-08 |
Final Contract Adjustment - Aurelian Resources Inc. (ARU) - Acquisition
|
2008 |
October 3, 2008 |
113-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
October 2, 2008 |
112-08 |
New Equity Option Classes
|
2008 |
October 2, 2008 |
111-08 |
Agrium Inc. - Addition of an Equity Option Symbol
|
2008 |
October 2, 2008 |
110-08 |
Potash Corporation of Saskatchewan Inc. - Addition of an Equity Option Symbol
|
2008 |
October 2, 2008 |
109-08 |
Cameco Corporation - Addition of Long Term Equity Option Symbols
|
2008 |
October 2, 2008 |
108-08 |
Suncor Energy Inc. - Addition of Long TErm Equity Option Symbols
|
2008 |
October 1, 2008 |
107-08 |
Petro Canada - Addition of an Equity Option Symbol
|
2008 |
October 1, 2008 |
106-08 |
Nexen Inc. - Addition of an Equity Option Symbol
|
2008 |
October 1, 2008 |
105-08 |
Election of an Additional Director
|
2008 |
September 26, 2008 |
104-08 |
Research in Motion Limited - Addition of an Equity Option Symbol
|
2008 |
September 22, 2008 |
103-08 |
Return to Original Index Option Symbols
|
2008 |
September 19, 2008 |
102-08 |
Options on Ten-Year Government of Canada Bond Futures - Addition of Future Option Symbols
|
2008 |
September 18, 2008 |
101-08 |
S&P Canada 60 - Addition of an Index Option Symbol
|
2008 |
September 15, 2008 |
100-08 |
Barrick Gold Corporation - Addition of an Equity Option Symbol
|
2008 |
September 12, 2008 |
099-08 |
AMERICAN DOLLAR -- ADDITION OF A CURRENCY OPTION SYMBOL
|
2008 |
September 10, 2008 |
098-08 |
FNX Mining Company - Addition of an Equity Option Symbol
|
2008 |
September 10, 2008 |
097-08 |
First Quantum Minerals Ltd. - Addition of an Equity Option Symbol
|
2008 |
September 10, 2008 |
096-08 |
Goldcorp Inc. - Addition of an Equity Option Symbol
|
2008 |
September 3, 2008 |
095-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
August 27, 2008 |
094-08 |
Final Contract Adjustment - Duvernay Oil Corp. (DDV) - Acquisition
|
2008 |
August 27, 2008 |
093-08 |
ERRATUM - Cameco Corporation
|
2008 |
August 21, 2008 |
092-08 |
Cameco Corporation - Addition of an Equity Option Symbol
|
2008 |
August 14, 2008 |
091-08 |
Timminco Limited - Addition of an Equity Option Symbol
|
2008 |
August 11, 2008 |
090-08 |
ERRATUM - iShares CDN S&P/TSX 60 Index Fund (XIU) - Unit Split
|
2008 |
August 11, 2008 |
089-08 |
Final Contract Adjustment - Synenco Energy Inc. (SYN) - Acquisition
|
2008 |
August 7, 2008 |
088-08 |
Agnico-Eagle Mines Limited - Addition of an Equity Option Symbol
|
2008 |
August 6, 2008 |
087-08 |
Anticipated Contract Adjustment - Fording Canadian Coal Trust (FDG.UN) - Acquisition
|
2008 |
August 5, 2008 |
086-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
July 25, 2008 |
085-08 |
Anticipated Contract Adjustment - Synenco Energy Inc. (SYN) Acquisition
|
2008 |
July 25, 2008 |
084-2008 |
Anticipated Contract Adjustment - Aurelian Resources Inc. (ARU) Acquisition
|
2008 |
July 25, 2008 |
083-08 |
Contract Adjustment - iShares CDN S&P/TSX 60 Index Fund (XIU)- Unit Split
|
2008 |
July 25, 2008 |
082-08 |
Contract Adjustment - iShares CDN S&P/TSX Global Gold Index Fund (XGD) - Unit Split
|
2008 |
July 25, 2008 |
081-08 |
Contract Adjustment - iShares CDN S&P/TSX Capped Financials Index Fund (XFN) - Unit Split
|
2008 |
July 25, 2008 |
080-08 |
Contract Adjustment - iShares CDN S&P/TSX Capped Energy Index Fund (XEG) - Unit Split
|
2008 |
July 25, 2008 |
079-08 |
Contract Adjustment - iShares CDN S&P/TSX Capped Materials Index Fund (XMA) - Unit Split
|
2008 |
July 22, 2008 |
078-08 |
New Long Term Equity Option Classes Expiring in January 2011
|
2008 |
July 22, 2008 |
077-08 |
Canadian Imperial Bank of Commerce Addition of Long Term Equity Symbols
|
2008 |
July 22, 2008 |
076-08 |
Nortel Networks Corporation Addition of an Equity Option Symbol
|
2008 |
July 18, 2008 |
075-08 |
Criteria for Eligibility of Stock Options
|
2008 |
July 17, 2008 |
074-08 |
AGNICO-EAGLE MINES LIMITED ADDITION OF AN EQUITY OPTION SYMBOL
|
2008 |
July 17, 2008 |
073-08 |
BANK OF MONTREAL ADDITION OF AN EQUITY OPTION SYMBOL
|
2008 |
July 15, 2008 |
072-08 |
Options on Ishares CDN S&P/TSX Capped Financials Index Fund - Addition of an Index Option Symbol
|
2008 |
July 15, 2008 |
071-08 |
Anticipated Contract Adjustment - Duvernay Oil Corp.(DDV)Acquisition
|
2008 |
July 10, 2008 |
070-08 |
Correction of Margin Rates for Inter-Month Spreads, Consecutive and Non-Consecutive Butterfly Spreads for 3-month Canadian Bankers' Acceptance Futures Contracts (BAX)
|
2008 |
July 10, 2008 |
069-08 |
Returning to Original Long Term Equity Option Symbol
|
2008 |
July 9, 2008 |
068-08 |
Inmet Mining Corporation (IMN) - Amendment to the Stock Options Symbol
|
2008 |
July 8, 2008 |
067-08 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2009
|
2008 |
July 4, 2008 |
066-08 |
ERRATUM - Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
July 3, 2008 |
065-08 |
Margin Parameters for the Montrea Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
June 27, 2008 |
064-08 |
Canadian Imperial Bank of Commerce - Addition of an Equity Option Symbol
|
2008 |
June 25, 2008 |
063-08 |
iShares CDN LargeCap 60 Index Fund - Addition to the Index Option Symbol
|
2008 |
June 25, 2008 |
062-08 |
New Long Term Equity Option Classes Expiring in January and March 2011
|
2008 |
June 25, 2008 |
061-08 |
New Equity Option Classes
|
2008 |
June 19, 2008 |
060-08 |
Trading by U.S. Residents
|
2008 |
June 17, 2008 |
059-08 |
Options Symbology Initiative
|
2008 |
June 17, 2008 |
058-08 |
Name Change - TSX Group Inc.
|
2008 |
June 13, 2008 |
057-08 |
Directors and Officers of CDCC - 2008-2009
|
2008 |
June 10, 2008 |
056-08 |
Symbol Conversion - Long-Term Equity Options Expiring in January and March 2009
|
2008 |
June 9, 2008 |
055-08 |
Duvernay Oil Corp. - Addition of an Equity Option Symbol
|
2008 |
June 9, 2008 |
054-08 |
Teck Cominco Limited - Addition of an Equity Option Symbol
|
2008 |
June 3, 2008 |
053-08 |
Margin Parameters for the Montreal Exchange Derivative Instruments and Over-the-Counter Derivative Instruments
|
2008 |
May 27, 2008 |
052-08 |
New Product: Futures Contract on Canada Carbon Dioxide Equivalent (CO2e) Units (MCX)
|
2008 |
May 22, 2008 |
051-08 |
Husky Energy Inc. - Addition of an Equity Option Symbol
|
2008 |
May 21, 2008 |
050-08 |
S&P Canada 60 - Addition of an Index Option Symbol
|
2008 |
May 21, 2008 |
049-08 |
New Long Term Equity Option Classes Expiring in January 2011
|
2008 |
May 20, 2008 |
048-08 |
Canadian Natural Resources Limited - Addition of an Equity Option Symbol
|
2008 |
May 16, 2008 |
047-08 |
U.S. Dollar - Change to the Currency Option Symbol
|
2008 |
May 13, 2008 |
046-08 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2009
|
2008 |
May 12, 2008 |
045-08 |
Encana Corporation Addition of An Equity Option Symbol
|
2008 |
May 8, 2008 |
044-08 |
Amendment to the 2008 List of Fees of Canadian Derivatives Clearing Corporation
|
2008 |
May 7, 2008 |
043-08 |
Contract Adjustment - Suncor Energy Inc. (SU) - Stock Split
|
2008 |
May 7, 2008 |
042-08 |
Symbol Conversion - Long Term Equity Options Expiring in January 2009
|
2008 |
May 7, 2008 |
041-08 |
Futures Contracts Margin Requirements, Index Products Floating Margin Rates, Currency Option Margin Rates and Tracking Error Margin Rates
|
2008 |
May 5, 2008 |
040-08 |
New Products: Futures Contracts on Carbon Dioxide Equivalent (CO2e) Units - Addition of New Rules C-19, C-20 and Amendments to Rule A-1A01, A-102 and C-5 of CDCC's Rules
|
2008 |
May 5, 2008 |
039-08 |
ERRATUM - Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
May 2, 2008 |
038-08 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
April 30, 2008 |
037-08 |
New Equity Option Classes
|
2008 |
April 29, 2008 |
036-08 |
Anticipated Contract Adjustment - Synenco Energy Inc. (SYN) - Acquisition
|
2008 |
April 23, 2008 |
035-08 |
Fording Canadian Coal Trust - Addition to the Equity Option Symbol
|
2008 |
April 23, 2008 |
034-08 |
Amendment to Rule B-6 of CDCC
|
2008 |
April 17, 2008 |
033-08 |
Potash Corporation of Saskatchewan - Addition to the Equity Option Symbol
|
2008 |
April 17, 2008 |
032-08 |
Canadian Natural Resources Limited - Addition to the Long Term Equity Options Symbols
|
2008 |
April 16, 2008 |
031-08 |
Options on iShares CDN Energy Sector Index Fund - Addition to the Index Option Symbol
|
2008 |
April 15, 2008 |
030-08 |
Name, Symbol and CUSIP Change - The Thomson Corporation
|
2008 |
April 9, 2008 |
029-08 |
Criteria for Eligibility of Stock Options
|
2008 |
April 3, 2008 |
028-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
March 26, 2008 |
027-08 |
New Equity Option Classes
|
2008 |
March 18, 2008 |
026-08 |
Name Change - Saskatchewan Wheat Pool Inc.
|
2008 |
March 17, 2008 |
025-08 |
Agnico-Eagle Mines Limited - Addition to the Equity Option Symbol
|
2008 |
March 4, 2008 |
024-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
March 3, 2008 |
023-08 |
Anticipated Contract Adjustment - Suncor Energy Inc. (SU) - Stock Split
|
2008 |
February 26, 2008 |
022-08 |
Rule Amendment - CDCC Rule B-3
|
2008 |
February 21, 2008 |
021-08 |
Final Contract Adjustment - Axcan Pharma Inc. (AXP) - Acquisition
|
2008 |
February 21, 2008 |
020-08 |
New Equity Option Classes
|
2008 |
February 11, 2008 |
019-08 |
ERRATUM - Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
February 5, 2008 |
018-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
February 1, 2008 |
017-08 |
Final Contract Adjustment - Cognos Inc. (CSN) - Plan of arrangement
|
2008 |
January 31, 2008 |
016-08 |
Returning to Original Option Symbol - Teck Cominco Limited - TKX
|
2008 |
January 30, 2008 |
015-08 |
Returning to Original Option Symbol
|
2008 |
January 24, 2008 |
014-08 |
Final Contract Adjustment - Western Oil Sands Inc. (WTQ) - Warrants (follow-up)
|
2008 |
January 21, 2008 |
013-08 |
Important Information Regarding the March 2008 Options and Futures Expiries
|
2008 |
January 18, 2008 |
012-08 |
Inmet Mining Corporation - Addition of an Option Symbol
|
2008 |
January 17, 2008 |
011-08 |
Contract Adjustment - Follow-up - Canetic Resources Trust (CNE) - Penn West Energy Trust (PWT) - Plan of arrangement
|
2008 |
January 14, 2008 |
010-08 |
Final Contract Adjustment - Canetic Resources Trust (CNE) - Penn West Energy Trust (PWT) - Plan of arrangement
|
2008 |
January 14, 2008 |
009-08 |
Criteria for Eligibility of Stock Options
|
2008 |
January 11, 2008 |
008-08 |
Options on iShares CDN S&P/TSX Global Gold Index Fund - Addition of an Index Option Symbol
|
2008 |
January 10, 2008 |
007-08 |
Options on Three-Month Bankers' Acceptance Futures - Addition of a Futures Option Symbol
|
2008 |
January 9, 2008 |
006-08 |
Contract Adjustment - Follow-Up - Meridian Gold Inc. (MNG) - Yamana Gold Inc. (YRI) - Plan of arrangement
|
2008 |
January 8, 2008 |
005-08 |
Agrium Inc. - Addition to the Equity Option Symbol
|
2008 |
January 8, 2008 |
004-08 |
Potash Corp. of Saskatchewan Inc. - Addition to the Equity Option Symbol
|
2008 |
January 4, 2008 |
003-08 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2008 |
January 2, 2008 |
002-08 |
Name Change from Fimat Canada Inc. to Newedge Canada Inc.
|
2008 |
January 2, 2008 |
001-08 |
List of Notice-to-Members
|
2007 |
December 24, 2007 |
134-07 |
Final Contract Adjustment - Meridian Gold Inc. (MNG) - Yamana Gold Inc. (YRI) - Plan of arrangement
|
2007 |
December 20, 2007 |
133-07 |
Teck Cominco Limited - Addition to the Long Term Option Symbol
|
2007 |
December 7, 2007 |
132-07 |
Option on the Ten-Year Government of Canada Bond Future (OGB) - Addition to the Equity Option Symbol
|
2007 |
December 5, 2007 |
131-07 |
2008 List of Fees of Canadian Derivatives Clearing Corporation
|
2007 |
December 5, 2007 |
130-07 |
Revised - 2008 Holiday Schedule
|
2007 |
December 4, 2007 |
129-07 |
Orion Securities Inc. - Change of Name
|
2007 |
December 4, 2007 |
128-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
December 3, 2007 |
127-07 |
New Clearing Member - Credit Suisse Securities (Canada), Inc.
|
2007 |
December 3, 2007 |
126-07 |
Anticipated Contract Adjustment - Axcan Pharma inc. (AXP) - Acquisition
|
2007 |
November 30, 2007 |
125-07 |
Adjustment in Contract Terms: - Update on Modifications to the 10% Rule
|
2007 |
November 29, 2007 |
124-07 |
New Equity Option Class
|
2007 |
November 26, 2007 |
123-07 |
Name change - Paladin Resources Ltd.
|
2007 |
November 19, 2007 |
122-07 |
New Interest Rate Futures Contract - 30-Year Government of Canada Bond Futures Contract (LGB)
|
2007 |
November 16, 2007 |
121-07 |
Name, Symbol and CUSIP Change - Aber Diamond Corporation
|
2007 |
November 15, 2007 |
120-07 |
Important Notice Regarding the Launch Date of the Thirty Year Government of Canada Bond Futures Contract (lgb)
|
2007 |
November 15, 2007 |
119-07 |
Anticipated Contract Adjustment - Cognos (CSN) - Acquisition
|
2007 |
November 15, 2007 |
118-07 |
Final Contract Adjustment - Alcan Inc. (AL) - Acquisition
|
2007 |
November 12, 2007 |
117-07 |
Anticipated Contract Adjustment - BCE Inc. (BCE) - Acquisition
|
2007 |
November 7, 2007 |
116-07 |
Bank Holiday - November 12, 2007
|
2007 |
November 5, 2007 |
115-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
November 2, 2007 |
114-07 |
Anticipated Contract Adjustment - Canetic Resources Trust (CNE.UN) and Penn West Energy Trust (PWT.UN) - Plan of arrangement
|
2007 |
November 2, 2007 |
113-07 |
Contract Adjustment - Follow up - Abitibi-Consolidated Inc. - Bowater Inc. - Plan of arrangement
|
2007 |
October 26, 2007 |
112-07 |
Final Contract Adjustment - Abitibi-Consolidated Inc. - Bowater Inc. - Plan of arrangement
|
2007 |
October 24, 2007 |
111-07 |
New Equity Option Classes
|
2007 |
October 19, 2007 |
110-07 |
Final Contract Adjustment - Western Oil Sands Inc. (WTO) - Plan of arrangement
|
2007 |
October 17, 2007 |
109-07 |
Criteria for Eligibility of Stock Options
|
2007 |
October 10, 2007 |
108-07 |
U.S. DOLLAR - ADDITION TO THE CURRENCY OPTION SYMBOLS
|
2007 |
October 10, 2007 |
107-07 |
2008 Holiday Schedule
|
2007 |
October 5, 2007 |
2007-106 |
New Interest Rate Futures Contract 30-Year Government Of Canada Bond Futures Contract (LGB)
|
2007 |
October 5, 2007 |
105-07 |
Request for Comments - New Products: Futures Request for Comments New Products: Futures Contracts on Carbon Dioxide Equivalent (CO2e) Units Addition of New Rules C-19 and C-20 and Amendments to Rule A-1A of CDCC
|
2007 |
October 4, 2007 |
104-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
September 27, 2007 |
103-07 |
Symbol Change
|
2007 |
September 26, 2007 |
102-07 |
New Long Term Equity Option Classes Expiring in January 2009 and 2010
|
2007 |
September 26, 2007 |
101-07 |
Final Contract Adjustment - AUR Resources Inc. (AUR) - Plan of arrangement
|
2007 |
September 26, 2007 |
100-07 |
Potash Corp. of Saskatchewan Inc. Addition to the Equity Option Symbol
|
2007 |
September 26, 2007 |
099-07 |
Returning to Original Option Symbols
|
2007 |
September 25, 2007 |
098-07 |
Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Meridian Gold Inc. (MNG) - Plan of arrangement
|
2007 |
September 13, 2007 |
097-07 |
Amendments to Rules A-1 and A-9 of CDCC
|
2007 |
September 6, 2007 |
096-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
September 6, 2007 |
095-07 |
New Equity Option Classes
|
2007 |
August 24, 2007 |
094-07 |
NORTEL NETWORKS CORPORATION - ADDITION TO THE EQUITY OPTION SYMBOL
|
2007 |
August 22, 2007 |
093-07 |
Returning to Original Option Symbol
|
2007 |
August 17, 2007 |
092-07 |
Final Contract Adjustment
|
2007 |
August 17, 2007 |
091-07 |
Symbol Change
|
2007 |
August 14, 2007 |
090-07 |
Name Change from Man Financial Canada Co. to MF Global Canada Co.
|
2007 |
August 8, 2007 |
089-07 |
Final Contract Adjustment - ATS Automation Tooling Systems Inc. (ATS) - Subscription Rights
|
2007 |
August 3, 2007 |
088-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments <BR>
|
2007 |
August 2, 2007 |
087-07 |
Anticipated Contract Adjustment - Western Oil Sands Inc. (WTO) - Plan of Arrangement <BR>
|
2007 |
July 26, 2007 |
086-07 |
Request for Comments - Adjustments in Contract Terms: Modifications to the 10% Rule and the Elimination of Rounding Strike Prices - Amendments to Rules A-1 and A-9 of CDCC
|
2007 |
July 26, 2007 |
085-07 |
iShares CDN S&P/TSX 60 Index Fund - Amendment to the Stock Options Symbol
|
2007 |
July 25, 2007 |
084-07 |
New Long Term Equity Option Classes Expiring in January 2010
|
2007 |
July 24, 2007 |
083-07 |
Canadian Natural Resources Limited - Addition to Equity Options and Long Term Equity Options Symbols
|
2007 |
July 24, 2007 |
082-07 |
Final Contract Adjustment - Shaw Communications Inc. (SJR.B) - Stock split
|
2007 |
July 23, 2007 |
081-07 |
Final Contract Adjustment - Research In Motion Ltd. (RIM) - Stock dividend <BR>
|
2007 |
July 18, 2007 |
080-07 |
Final Contract Adjustment - IPSCO Inc. (IPS) - Plan of arrangement
|
2007 |
July 16, 2007 |
079-07 |
Final Contract Adjustment - Automation Tooling Systems (ATS) - Rights Offering
|
2007 |
July 13, 2007 |
078-07 |
Teck Cominco Limited - Addition to the Long Term Option Symbol
|
2007 |
July 13, 2007 |
077-07 |
Anticipated Contract Adjustment - Alcan Inc. (AL) - Acquisition
|
2007 |
July 12, 2007 |
076-07 |
Criteria for Eligibility of Stock Options
|
2007 |
July 11, 2007 |
075-07 |
Symbol Conversion Long-Term Equity Options Expiring in January 2008
|
2007 |
July 5, 2007 |
074-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
July 4, 2007 |
073-07 |
Anticipated Contract Adjustment - Teck Cominco Limited (TCK.B) - Aur Resources Inc. (AUR) - Plan of arrangement
|
2007 |
July 4, 2007 |
072-07 |
Anticipated Contract Adjustment - BCE Inc. (BCE) - Acquisition
|
2007 |
July 3, 2007 |
071-07 |
Final Contract Adjustment - Husky Energy Inc. (HSE) - Stock Split
|
2007 |
July 3, 2007 |
070-07 |
Directors and Officers of CDCC - 2007 - 2008
|
2007 |
June 22, 2007 |
069-07 |
New Clearing Member - E*Trade Canada Securities Corporation
|
2007 |
June 22, 2007 |
068-07 |
New Clearing Member - TD Waterhouse Canada Inc.
|
2007 |
June 21, 2007 |
067-07 |
Final Contract Adjustment - Algoma Steel Inc. (AGA) - Plan of arrangement
|
2007 |
June 20, 2007 |
2007-066 |
New Equity Options Classes
|
2007 |
June 20, 2007 |
2007-065 |
New Long Term Equity Option Classes Expiring in January and March 2010
|
2007 |
June 18, 2007 |
064-07 |
Name Change - Gammon Lake Resources Inc.
|
2007 |
June 15, 2007 |
063-07 |
Name Change - SXR Uranium One Inc.
|
2007 |
June 14, 2007 |
062-07 |
Final Contract Adjustment - Sobeys Inc. (SBY) - Plan of arrangement
|
2007 |
June 8, 2007 |
061-07 |
Anticipated Contract Adjustment - LionOre Mining International Ltd. (LIM) - Norilsk Nickel - Plan of arrangement
|
2007 |
June 7, 2007 |
060-07 |
Symbol Conversion Long-Term Equity Options Expiring in January and March 2008
|
2007 |
June 5, 2007 |
059-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
June 4, 2007 |
058-07 |
CUSIP Correction - Paladin Resources Ltd.
|
2007 |
June 1, 2007 |
057-07 |
Criteria for Eligibility of Stock Options
|
2007 |
May 23, 2007 |
056-07 |
New Long Term Equity Option Classes Expiring In January 2010
|
2007 |
May 17, 2007 |
055-07 |
Final Contract Adjustment - ACE Aviation Holdings Inc. (ACE) - Special distribution
|
2007 |
May 16, 2007 |
054-07 |
Final Contract Adjustment - Novelis Inc. (NVL) - Plan of arrangement
|
2007 |
May 16, 2007 |
053-07 |
Final Contract Adjustment - Finning International Inc. (FTT) - Stock Split
|
2007 |
May 14, 2007 |
052-07 |
First Quantum Minerals Ltd. - Addition to the Equity Option Symbol
|
2007 |
May 14, 2007 |
051-07 |
Name, Symbol and CUSIP Change - Blue Pearl Mining Ltd. - BLE
|
2007 |
May 11, 2007 |
050-07 |
Anticipated Contract Adjustment - Shaw Communications Inc. (SJR.B) - Stock Split
|
2007 |
May 9, 2007 |
049-07 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2008
|
2007 |
May 9, 2007 |
048-07 |
Directory of Clearing Organizations
|
2007 |
May 9, 2007 |
047-07 |
Anticipated Contract Adjustment - Alcan Inc. - Alcoa Inc. - Plan of arrangement
|
2007 |
May 8, 2007 |
046-07 |
Alcan Inc. - Addition to the Equity Option Symbol
|
2007 |
May 8, 2007 |
045-07 |
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock dividend
|
2007 |
May 8, 2007 |
044-07 |
Final Contract Adjustment - Potash Corporation of Saskatchewan Inc. (POT) - Stock dividend
|
2007 |
May 8, 2007 |
043-07 |
Final Contract Adjustment - Gildan Activewear Inc. (GIL) - Stock dividend
|
2007 |
May 8, 2007 |
042-07 |
Anticipated Contract Adjustment - Ipsco Inc. (IPS) - SSAB Svenkt Staal AB (SSABb) - Acquisition
|
2007 |
May 7, 2007 |
041-07 |
Alcan Inc. - Addition to the Long Term Option Symbols
|
2007 |
May 4, 2007 |
040-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
May 2, 2007 |
039-07 |
U.S. Dollar - Addition to the Equity Option Symbol
|
2007 |
May 1, 2007 |
038-07 |
Trading by U.S. Residents
|
2007 |
April 30, 2007 |
037-07 |
Final Contract Adjustment - Teck Cominco Limited (TCK.B) - Stock Split
|
2007 |
April 30, 2007 |
036-07 |
Final Contract Adjustment - Nexen Inc. (NXY) - Stock Split
|
2007 |
April 30, 2007 |
035-07 |
Anticipated Contract Adjustment - Sobeys Inc. (SBY) - Empire Company Limited (EMP.A) - Acquisition
|
2007 |
April 25, 2007 |
034-07 |
New Long Term Equity Option Classes Expiring in January 2009 and January 2010
|
2007 |
April 25, 2007 |
033-07 |
Final Contract Adjustment - Shell Canada Limited (SHC) - Plan of arrangement
|
2007 |
April 25, 2007 |
032-07 |
New Equity Option Classes
|
2007 |
April 20, 2007 |
031-07 |
Anticipated Contract Adjustment - Husky Energy Inc. (HSE) - Stock Split
|
2007 |
April 17, 2007 |
030-07 |
Anticipated Contract Adjustment - Algoma Steel Inc. (AGA) - Essar Global Limited - Acquisition
|
2007 |
April 10, 2007 |
029-07 |
Anticipated Contract Adjustment - Finning International Inc. (FTT) - Stock Split
|
2007 |
April 5, 2007 |
028-07 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments
|
2007 |
March 30, 2007 |
027-07 |
Anticipated Contract Adjustment - Nexen Inc. (NXY) - Stock Split
|
2007 |
March 29, 2007 |
026-07 |
Reverting to Original Option Symbol - Options on iShares CDN S&P/TSX Capped Energy Index Fund - XEX
|
2007 |
March 28, 2007 |
025-07 |
Anticipated Contract Adjustment - LionOre Mining International Ltd. (LIM) - Xstrata plc - Plan of arrangement
|
2007 |
March 28, 2007 |
024-07 |
New Equity Option Classes
|
2007 |
March 9, 2007 |
023-07 |
Anticipated Contract Adjustment - ACE Aviation Holdings Inc. - Special distribution
|
2007 |
March 5, 2007 |
022-07 |
Margin Parameters for the Montréal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments <BR>
|
2007 |
March 2, 2007 |
021-07 |
Final Contract Adjustment - Domtar Inc. (DTC) - Weyerhaeuser Company (WY) - Plan of arrangement
|
2007 |
February 28, 2007 |
020-07 |
New Equity Option Classes
|
2007 |
February 23, 2007 |
019-07 |
Final Contract Adjustment - Bema Gold Corporation (BGO) - Kinross Gold Corporation (K) - Plan of arrangement
|
2007 |
February 21, 2007 |
018-07 |
Returning to Original Option Symbols
|
2007 |
February 15, 2007 |
017-07 |
Anticipated Contract Adjustment - Novelis Inc. (NVL) - Hindalco Industries Limited - Acquisition
|
2007 |
February 13, 2007 |
016-07 |
Final Contract Adjustment - Paramount Resources Ltd. (POQ) - Spin-off (follow-up)
|
2007 |
February 5, 2007 |
015-07 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
January 30, 2007 |
014-07 |
Anticipated Contract Adjustment - Abitibi-Consolidated Inc. (A) - Bowater Inc. (BWX) - Merger
|
2007 |
January 25, 2007 |
013-07 |
Anticipated Contract Adjustment - Shell Canada Limited (SHC) - Royal Dutch Shell Plc - Acquisition
|
2007 |
January 24, 2007 |
012-07 |
New Equity Option Classes
|
2007 |
January 17, 2007 |
011-07 |
Contract Adjustment - Paramount Resources Ltd. - POU - Listing of New Equity Options Series
|
2007 |
January 15, 2007 |
010-07 |
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Spin off
|
2007 |
January 12, 2007 |
009-07 |
Final Contract Adjustment - Centurion Energy International Inc. (CUX) - Plan of arrangement
|
2007 |
January 11, 2007 |
008-07 |
Criteria for Eligibility of Stock Options
|
2007 |
January 9, 2007 |
007-07 |
Anticipated Contract Adjustment - Centurion Energy International Inc. (CUX) - Plan of arrangement
|
2007 |
January 9, 2007 |
006-07 |
Contract Adjustment - ACE Aviation Holdings Inc. - ACE - Listing of New Series
|
2007 |
January 8, 2007 |
005-07 |
Contract Adjustment - Anticipated - Paramount Resources Ltd. (Paramount) - Spin Off
|
2007 |
January 5, 2007 |
004-07 |
Final Contract Adjustment - Inco Limited (N) - CVRD Canada Inc. - Plan of arrangement
|
2007 |
January 5, 2007 |
003-07 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2007 |
January 4, 2007 |
002-07 |
Final Contract Adjustment - ACE Aviation Holdings Inc. (ACE) - Special distribution
|
2007 |
January 3, 2007 |
001-07 |
List of Notice-to-Members
|
2006 |
December 20, 2006 |
139-06 |
iShares Cdn S&P/TSX 60 Index Fund - Symbol Addition to the Index Fund Option
|
2006 |
December 19, 2006 |
138-06 |
Final Contract Adjustment - Rogers Communications Inc. (RCI) - Stock Split
|
2006 |
December 6, 2006 |
137-06 |
iShares CDN S&P/TSX Capped Gold Index Fund - Addition of a Long Term iShares Fund Unit Option Symbol
|
2006 |
December 6, 2006 |
136-06 |
Teck Cominco Limited - Addition of an Equity Option Symbol
|
2006 |
December 5, 2006 |
135-06 |
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivative Instruments
|
2006 |
December 1, 2006 |
134-06 |
2007 List of Fees of Canadian Derivatives Clearing Corporation
|
2006 |
November 30, 2006 |
133-06 |
Contract Adjustment - Nortel Networks Corporation - NT, LNT and ZNT - Listing of New Option Series
|
2006 |
November 28, 2006 |
132-06 |
Returning to Original Option Symbols
|
2006 |
November 24, 2006 |
131-06 |
Final Contract Adjustment - Nortel Networks Corporation (NT) - Reverse Stock Split
|
2006 |
November 16, 2006 |
130-06 |
Change to the acceptance conditions for the clearing of Over-the-Counter Derivative Instruments ("OTC DI")
|
2006 |
November 14, 2006 |
129-06 |
New Equity Option Class
|
2006 |
November 9, 2006 |
128-06 |
Change to Final Contract Adjustment - ATI Technologies Inc. (ATI) - Plan of arrangement
|
2006 |
November 8, 2006 |
127-06 |
Anticipated Contract Adjustment - Nortel Networks Corporation (NT) - Reverse Stock Split
|
2006 |
November 8, 2006 |
126-06 |
Anticipated Contract Adjustment - Bema Gold Corporation (BGO) - Kinross Gold Corporation (K) - Plan of arrangement
|
2006 |
November 7, 2006 |
125-06 |
Final Contract Adjustment - Glamis Gold Ltd. (GLG) - Goldcorp Inc. (G) - Plan of arrangement
|
2006 |
November 6, 2006 |
124-06 |
Bank Holiday - November 13, 2006
|
2006 |
November 6, 2006 |
123-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
November 2, 2006 |
122-06 |
Anticipated Contract Adjustment - Rogers Communications Inc. (RCI) - Stock Split
|
2006 |
November 2, 2006 |
121-06 |
2007 Holiday Schedule
|
2006 |
November 1, 2006 |
120-06 |
Final Contract Adjustment - Falconbridge Limited (FAL) - Plan of arrangement
|
2006 |
October 26, 2006 |
119-06 |
Anticipated Contract Adjustment - Inco Limited (N) - CVRD Canada Inc. - Plan of arrangement
|
2006 |
October 26, 2006 |
118-06 |
New Index Methodology for the S&P/TSX Capped Gold Index - No Impact on Listed Futures and Option Contracts
|
2006 |
October 25, 2006 |
2006-117 |
Final Contract adjustment ATI Technologies Inc. (ATI) Plan of arrangement
|
2006 |
October 24, 2006 |
2006-116 |
New Equity Option Classes
|
2006 |
October 18, 2006 |
115-06 |
Amendment to the 2006 List of Fees - Clearing Fees - Over The Counter
|
2006 |
October 18, 2006 |
114-06 |
Amendments to the Rules - Part D - Over-the-Counter Derivative Instruments ("OTC DI")
|
2006 |
October 12, 2006 |
113-06 |
Anticipated Contract Adjustment - Telus Corporation (T) - Plan of arrangement
|
2006 |
October 12, 2006 |
112-06 |
Anticipated Contract Adjustment - BCE Inc. (BCE) - Plan of arrangement
|
2006 |
October 5, 2006 |
111-06 |
Rule Amendment - CDCC Rule B-3
|
2006 |
October 3, 2006 |
110-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
September 19, 2006 |
109-06 |
New Equity Option Classes
|
2006 |
September 12, 2006 |
108-06 |
Anticipated Contract Adjustment - Inco Limited (N) - CVRD Canada Inc. - Plan of arrangement
|
2006 |
September 6, 2006 |
107-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
September 5, 2006 |
106-06 |
Anticipated Contract Adjustment - Glamis Gold Ltd. (GLG) - Goldcorp Inc. (G) - Plan of arrangement
|
2006 |
August 30, 2006 |
105-06 |
New Long Term Equity Option Classes Expiring in January 2008 and 2009
|
2006 |
August 28, 2006 |
104-06 |
Anticipated Contract Adjustment - Domtar Inc. (DTC) - Plan of arrangement
|
2006 |
August 18, 2006 |
103-06 |
Anticipated Contract Adjustment - Falconbridge Limited (FAL) - Xstrata Plc - Plan of arrangement
|
2006 |
August 3, 2006 |
102-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
July 31, 2006 |
101-06 |
Anticipated Contract Adjustment - ATI Technologies Inc. (ATI) - Plan of Arrangement
|
2006 |
July 26, 2006 |
100-06 |
Modifications of the Two-Year Government of Canada Bond Futures Contract (CGZ) Specifications
|
2006 |
July 26, 2006 |
099-06 |
New Long Term Equity Option Classes Expiring in January 2009
|
2006 |
July 24, 2006 |
098-06 |
2-Year Government of Canada Bond Futures Contract (CGZ) - Changes to the Contract Size, Notional Coupon and Delivery Standards - Amendment to Article C-1602 of CDCC Rules
|
2006 |
July 21, 2006 |
097-06 |
Shaw Communication Class B (SJX) - Equity Option Symbol Change
|
2006 |
July 21, 2006 |
096-06 |
Inco Limited (N) - Addition of an Equity Option Symbol
|
2006 |
July 12, 2006 |
095-06 |
Symbol Conversion - Long-Term Equity Optins Expiring in January 2007
|
2006 |
July 11, 2006 |
094-06 |
Contract Adjustment - Follow-up - BCE Inc. (BCE) - Plan of arrangement
|
2006 |
July 7, 2006 |
093-06 |
Contract Adjustment - BCE Inc. - BCE, LBC and ZBC - Listing of New Series
|
2006 |
July 6, 2006 |
092-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
June 30, 2006 |
091-06 |
Final Contract Adjustment - CI Financial Inc. (CIX) Plan of arrangement <BR>
|
2006 |
June 29, 2006 |
090-06 |
Final Contract Adjustment - BCE Inc. (BCE) - Plan of Arrangement
|
2006 |
June 29, 2006 |
089-06 |
Final Contract Adjustment - Penn West Energy Trust (PWT) - Plan of arrangement
|
2006 |
June 29, 2006 |
088-06 |
Anticipated Contract Adjustment - Inco Limited (N) - Phelps Dodge Corporation - Plan of arrangement
|
2006 |
June 29, 2006 |
087-06 |
Anticipated Contract Adjustment - Falconbridge Limited (FAL) - Inco Limited (N) - Plan of arrangement (Follow-up)
|
2006 |
June 29, 2006 |
086-06 |
Request for Comments - Clearing Over-The-Counter Derivative Contracts on Securities - Amendments to CDCC's Rules
|
2006 |
June 28, 2006 |
085-06 |
Final Contract Adjustment - Penn West Energy Trust (PWT) - Plan of arrangement
|
2006 |
June 28, 2006 |
084-06 |
Intraday Margin Calls
|
2006 |
June 28, 2006 |
083-06 |
Contract Adjustment - Norbord Inc. - NBD - Listing of New Options Series
|
2006 |
June 26, 2006 |
082-06 |
Symbol Change
|
2006 |
June 16, 2006 |
081-06 |
Final Contract Adjustment - Norbord Inc. (NBD) - Special Dividend
|
2006 |
June 16, 2006 |
080-06 |
New Long Term Equity Option Classes Expiring in January and March 2009
|
2006 |
June 15, 2006 |
079-06 |
Anticipated Contract Adjustment - BCE Inc. (BCE) - Plan of Arrangement
|
2006 |
June 8, 2006 |
078-06 |
Additions to the Equity Option Symbols
|
2006 |
June 6, 2006 |
077-06 |
Symbol Conversion - Long-Term Equity Options Expiring in January and March 2007
|
2006 |
June 5, 2006 |
076-06 |
Margin Parameters for the Montreal Exchange Derivatives Instruments
|
2006 |
June 1, 2006 |
075-06 |
New Equity Option Classes - Erratum
|
2006 |
May 31, 2006 |
074-06 |
New Equity Option Classes
|
2006 |
May 30, 2006 |
073-06 |
Rule Change - Acceptable Collateral
|
2006 |
May 25, 2006 |
072-06 |
Final Contract Adjustment - Ensign Energy Services Inc. (ESI) - Stock Split <BR>
|
2006 |
May 24, 2006 |
071-06 |
New Long Term Equity Option Classes Expiring in January 2009
|
2006 |
May 24, 2006 |
070-06 |
Final Contract Adjustment - <BR>ERRATUM OPTI Canada Inc. (OPC) - Stock Split
|
2006 |
May 24, 2006 |
069-06 |
Anticipated Contract Adjustment CI Financial Inc. (CIX) Plan of arrangement
|
2006 |
May 19, 2006 |
068-06 |
Anticipated Contract Adjustment - Falconbridge Limited (FAL) - Xstrata plc - Plan of arrangement
|
2006 |
May 18, 2006 |
067-06 |
Anticipated Contract Adjustment - Falconbridge Limtied (FAL) - Inco Limited (N) - Plan of arrangement (Follow-up)
|
2006 |
May 12, 2006 |
066-06 |
Final Contract Adjustment - Trican Well Service Limited (TCW) - Stock Split
|
2006 |
May 11, 2006 |
065-06 |
iShares CDN Gold Sector Index Fund - Addition to the Equity Option Symbol
|
2006 |
May 11, 2006 |
064-06 |
Agnico-Eagle Mines Limited - Addition to the Equity Option Symbol
|
2006 |
May 11, 2006 |
063-06 |
Anticipated Contract Adjustment - Inco Limited (N) - Plan of arrangement
|
2006 |
May 10, 2006 |
062-06 |
Final Contract Adjustment - Talisman Energy Inc. (TLM) - Stock Split
|
2006 |
May 10, 2006 |
061-06 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2007
|
2006 |
May 9, 2006 |
060-06 |
Final Contract Adjustment - Manulife Financial Corporation (MFC) - Stock Dividend
|
2006 |
May 8, 2006 |
059-06 |
Final Contract Adjustment - Imperial Oil Limited (IMO) - Stock Split
|
2006 |
May 3, 2006 |
058-06 |
Directors and Officers of CDCC - 2006 - 2007
|
2006 |
May 3, 2006 |
057-06 |
Margin Parameters for the Montreal Exchange Derivatives Instruments
|
2006 |
May 3, 2006 |
056-06 |
Symbol Change
|
2006 |
May 3, 2006 |
055-06 |
U.S. Dollar - Addition to the Equity Option Symbol
|
2006 |
May 2, 2006 |
054-06 |
Final Contract Adjustment - Opti Canada Inc. (OPC) - Stock Split
|
2006 |
April 28, 2006 |
053-06 |
Name Change - S&P/TSX Canadian Indices
|
2006 |
April 28, 2006 |
052-06 |
Final Contract Adjustment - Canadian Oil Sands Trust (COS) - Trust Unit Split
|
2006 |
April 25, 2006 |
051-06 |
Anticipated Contract Adjustment – Penn West Energy Trust (PWT) – Plan of arrangement
|
2006 |
April 20, 2006 |
050-06 |
iUnits S&P/TSX Capped Gold Index Fund - Addition to the Long Term Option Symbols
|
2006 |
April 20, 2006 |
049-06 |
Inco Limited - Addition To The Long Term Option Symbols
|
2006 |
April 19, 2006 |
048-06 |
New Long Term Equity Option Classes expiring in January 2007 and 2008
|
2006 |
April 18, 2006 |
047-06 |
Teck Cominco Limited Class B - Option Symbol Addition
|
2006 |
April 17, 2006 |
046-06 |
Anticipated Contract Adjustment - Ensign Energy Services Inc. (ESI) - Stock Split
|
2006 |
April 13, 2006 |
045-06 |
Letters of Credit/Bankers' Acceptances
|
2006 |
April 12, 2006 |
044-06 |
Contract Adjustment - Brookfield Asset Management Inc. - BAM - Listing of New Series
|
2006 |
April 6, 2006 |
043-06 |
Final Contract Adjustment – Brookfield Asset Management Inc. (BAM) – Stock dividend
|
2006 |
April 5, 2006 |
042-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
April 5, 2006 |
041-06 |
New Equity Option Classes
|
2006 |
March 29, 2006 |
040-06 |
Final Contract Adjustment - Dofasco Inc. (DFS) - Plan of arrangement
|
2006 |
March 23, 2006 |
039-06 |
Request for Comments - Proposed changes to the Contract Adjustment Rules
|
2006 |
March 16, 2006 |
038-06 |
Final Contract Adjustment - Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) - Plan of arrangement
|
2006 |
March 13, 2006 |
037-06 |
Criteria for Eligibility of Stock Options
|
2006 |
March 8, 2006 |
035-06 |
Final Contract Adjustment – ERRATUM – Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) – Plan of arrangement
|
2006 |
March 8, 2006 |
034-06 |
Final Contract Adjustment - Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) - Plan of arrangement
|
2006 |
March 7, 2006 |
033-06 |
Anticipated Contract Adjustment-Talisman Energy Inc. (TLM) - Stock Split
|
2006 |
March 3, 2006 |
032-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
March 2, 2006 |
031-06 |
Anticipated Contract Adjustment - Canadian Oil Sands Trust (COS) - Unit Split
|
2006 |
March 2, 2006 |
030-06 |
Anticipated Contract Adjustment-Falconbridge Limited (FAL) - Inco Limited (N) - Plan of arrangement
|
2006 |
March 1, 2006 |
029-06 |
Final Contract Adjustment - SNC-Lavalin Group Inc. (SNC) - Stock Split
|
2006 |
March 1, 2006 |
028-06 |
New Long Term Equity Option Classes Expiring in January 2007 and 2008
|
2006 |
February 24, 2006 |
027-06 |
Revision of the Notice to Members No. 2006-025 - Contract Adjustment - ACE Aviation Holdings Inc. (ACE)
|
2006 |
February 24, 2006 |
026-06 |
Options on Ten-Year Government of Canada Bond Futures (OGB) - Reopen for Trading
|
2006 |
February 23, 2006 |
025-06 |
Final Contract Adjustment - ACE Aviation Holdings Inc. (ACE) - Stock Distribution
|
2006 |
February 21, 2006 |
024-06 |
New Equity Option Classes
|
2006 |
February 14, 2006 |
023-06 |
Shaw Communication Class B (SJR) - Option Symbol Addition
|
2006 |
February 9, 2006 |
022-06 |
Final Contract Adjustment - Cameco Corporation (CCO, CCV) - Stock Split
|
2006 |
February 8, 2006 |
021-06 |
Trading by U.S. Residents
|
2006 |
February 8, 2006 |
020-06 |
Contract Adjustment - Follow-Up - Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) - Plan of arrangement
|
2006 |
February 7, 2006 |
019-06 |
Anticipated Contract Adjustment - Imperial Oil Limited (IMO) - Stock Split
|
2006 |
February 6, 2006 |
018-06 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2006 |
February 2, 2006 |
017-06 |
Name Change from Refco Canada Co. to Man Financial Canada Co.
|
2006 |
February 1, 2006 |
016-06 |
iUnits S&P/TSX 60 Index Fund - Option Symbol Addition
|
2006 |
February 1, 2006 |
015-06 |
Teck Cominco Limited - Class B - Option Symbol Addition
|
2006 |
January 31, 2006 |
014-06 |
Suncor Energy Inc. - Addition to the Long TErm Option Symbols
|
2006 |
January 27, 2006 |
013-06 |
Final Contract Adjustment - Canadian National Railway Company (CNR) - Stock Split
|
2006 |
January 26, 2006 |
012-06 |
iUNITS S&P/TSX Capped Energy Index Fund (XEG) - Option Symbol Change
|
2006 |
January 25, 2006 |
011-06 |
Amendments to the Rules - Clearing of Over-the-Counter Derivatives Contracts
|
2006 |
January 24, 2006 |
010-06 |
Anticipated Contract Adjustment - Dofasco Inc. (DFS) - Plan of arrangement
|
2006 |
January 23, 2006 |
009-06 |
iUnits S&P/TSX Capped Energy Index Fund (XEG) - Option Symbol Addition
|
2006 |
January 23, 2006 |
008-06 |
Cameco Corporation (CCO) - Option Symbol Addition
|
2006 |
January 9, 2006 |
006-06 |
Letters of Credit / Bankers' Acceptances
|
2006 |
January 9, 2006 |
005-06 |
Margin Parameters for the Montreal Exchange Derivatives Instruments <BR>
|
2006 |
January 5, 2006 |
004-06 |
iUnits S&P/TSX Capped Gold - Addition of a Stock Option Symbol
|
2006 |
January 4, 2006 |
003-06 |
New Equity Option Classes
|
2006 |
January 4, 2006 |
002-06 |
Anticipated Contract Adjustment - Dofasco Inc. (DFS) - Plan of Arrangement
|
2006 |
January 4, 2006 |
001-06 |
List of Notice to Members
|
2005 |
December 23, 2005 |
111-05 |
Anticipated Contract Adjustment - Follow Up - Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) - Plan of arrangement
|
2005 |
December 20, 2005 |
110-05 |
Final Contract Adjustment-Follow-up - CP Ships Limited (TEU)-Plan of arrangement <BR>
|
2005 |
December 16, 2005 |
109-05 |
Final Contract Adjustment - CP Ships Limited (TEU) - Plan of arrangement
|
2005 |
December 13, 2005 |
108-05 |
Anticipated Contract Adjustment - Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) - Plan of arrangement
|
2005 |
December 6, 2005 |
107-05 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2005 |
December 2, 2005 |
106-05 |
2006 List of Fees of Canadian Derivatives Clearing Corporation
|
2005 |
December 1, 2005 |
105-05 |
Anticipated Contract Adjustment - Dofasco Inc. (DFS) - Plan of arrangement
|
2005 |
December 1, 2005 |
104-05 |
Final Contract Adjustment - Update on the deliverable - Precision Drilling (PD) - Plan of arrangement
|
2005 |
November 23, 2005 |
103-05 |
2006 Holiday Schedule
|
2005 |
November 14, 2005 |
102-05 |
Name and CUSIP Change
|
2005 |
November 9, 2005 |
101-05 |
Erratum - Final Contract Adjustment - Precision Drilling (PD) - Plan of arrangement
|
2005 |
November 7, 2005 |
100-05 |
New Equity Option Class
|
2005 |
November 7, 2005 |
099-05 |
Final Contract Adjustment - Update - Precision Drilling (PD)-Plan of arrangement
|
2005 |
November 4, 2005 |
098-05 |
Anticipated Contract Adjustment Update - Precision Drilling (PD) - Plan of arrangement
|
2005 |
November 4, 2005 |
097-05 |
Bank Holiday - November 11, 2005
|
2005 |
November 2, 2005 |
096-05 |
Final Contract Adjustment - Precision Drilling (PD) - Plan of arrangement
|
2005 |
November 2, 2005 |
095-05 |
Margin Parameters for the Montréal Exchange Derivatives Instruments
|
2005 |
November 1, 2005 |
094-05 |
Symbole Change
|
2005 |
October 27, 2005 |
093-05 |
Final Contract Adjustment - PetroKazakhstan Inc. (PKZ) - Plan of Arrangement
|
2005 |
October 26, 2005 |
092-05 |
New Equity Option Classes
|
2005 |
October 24, 2005 |
091-05 |
Anticipated Contract Adjustment/Follow Up - CP Ships Limited (TEU) - Plan of arrangement
|
2005 |
October 14, 2005 |
090-05 |
Refco Canada Co.
|
2005 |
October 13, 2005 |
089-05 |
Anticipated Contract Adjustment - Falconbridge Limited (FAL) - Plan of Arrangement
|
2005 |
October 6, 2005 |
088-05 |
Letters of Credit / Bankers' Acceptances
|
2005 |
October 4, 2005 |
087-05 |
Margin Parameters for The Montréal Exchange Derivatives Instruments
|
2005 |
October 3, 2005 |
086-05 |
Symbol Change
|
2005 |
September 23, 2005 |
085-05 |
EnCana Corporation - Addition to the Long Term Equity Option Symbols
|
2005 |
September 22, 2005 |
084-05 |
New Equity Option Classes
|
2005 |
September 21, 2005 |
083-05 |
New Products of the Bourse Currency Option Contracts Options on the U.S. Dollar (USX)
|
2005 |
September 20, 2005 |
082-05 |
Nexen Inc. - Addition of a Stock Option Symbol
|
2005 |
September 13, 2005 |
081-05 |
Anticipated Contract Adjustment - Precision Drilling (PD) - Plan of Arrangement
|
2005 |
September 13, 2005 |
080-05 |
Anticipated Contract Adjustment - PetroKazakhstan Inc. (PKZ) - Plan of Arrangement
|
2005 |
September 13, 2005 |
079-05 |
Anticipated Contract Adjustment - CP Ships Limited (TEU) - Plan of Arrangement
|
2005 |
September 12, 2005 |
078-05 |
Options - Settlement Delivery Cycle
|
2005 |
September 12, 2005 |
077-05 |
Name Change - First Associates Investments Inc.
|
2005 |
September 6, 2005 |
076-05 |
Margin Parameters for Montréal Exchange Derivatives Instruments
|
2005 |
September 6, 2005 |
075-05 |
Petro-Canada - Addition of a Stock Option Symbol
|
2005 |
September 1, 2005 |
074-05 |
Cusip Change - Westjet Airlines Ltd. - WJA (Common Shares)
|
2005 |
August 26, 2005 |
073-05 |
Final Contract Adjustment - Fording Canadian Coal Trust (FDG) - Split
|
2005 |
August 24, 2005 |
072-05 |
Final Contract Adjustment-Petro-Canada (PCA) - Stock Split
|
2005 |
August 10, 2005 |
071-05 |
Canadian Natural Resources Limited-Amendments to the Long Term Equity Option Symbols
|
2005 |
August 4, 2005 |
070-05 |
Name Change - Refco Futures (Canada) Ltd.
|
2005 |
August 4, 2005 |
069-05 |
New Symbol to Identify New Series of Options on the iUnits S&P/TSX 60 Index Fund
|
2005 |
August 4, 2005 |
068-05 |
Petro-Canada Amendments to the Stock Option Symbol
|
2005 |
August 3, 2005 |
067-05 |
Margin Intervals
|
2005 |
July 29, 2005 |
066-05 |
Anticipated Contract Adjustment - Petro-Canada (PCA)-Stock Split
|
2005 |
July 26, 2005 |
065-05 |
New Equity Option Classes
|
2005 |
July 20, 2005 |
064-05 |
New Long Term Equity Option Classes Expiring in January 2008
|
2005 |
July 5, 2005 |
063-05 |
Final Contract Adjustment-Falconbridge Limited (FL) and Noranda Inc. (NRD) - Merger
|
2005 |
July 5, 2005 |
062-05 |
Symbol Conversion-Long-Term Equity Options Expiring in January 2006
|
2005 |
July 5, 2005 |
061-05 |
Letters of Credit/Bankers' Acceptances
|
2005 |
July 5, 2005 |
060-05 |
Inter-month Spread Margin Rates
|
2005 |
July 5, 2005 |
059-05 |
Margin Intervals
|
2005 |
June 22, 2005 |
058-05 |
New Long Term Equity Option Classes Expiring in January and March 2008
|
2005 |
June 22, 2005 |
057-05 |
New Long Term Equity Option Classes Expiring in January 2007 and 2008
|
2005 |
June 22, 2005 |
056-05 |
New Equity Option Class
|
2005 |
June 16, 2005 |
055-05 |
Request for comments - Clearing of over-the-counter Energy Derivative Contracts - Amendments to CDCC's Rules
|
2005 |
June 7, 2005 |
053-05 |
Symbol Conversion Long-Term Equity Options Expiring in January and March 2006
|
2005 |
June 3, 2005 |
052-05 |
Margin Intervals
|
2005 |
May 31, 2005 |
051-05 |
Directors and Officers of CDCC 2005-2006
|
2005 |
May 24, 2005 |
050-05 |
New Long Term Equity Options Classes Expiring in January 2008
|
2005 |
May 12, 2005 |
049-05 |
Non-Consecutive inter-month Butterfly Spread Margin Rates
|
2005 |
May 12, 2005 |
048-05 |
Final Contract Adjustment Precision Drilling Corporation (PD) Stock Split <BR>
|
2005 |
May 10, 2005 |
047-05 |
Symbol Conversion Long-Term Equity Options Expiring In January 2006 <BR>
|
2005 |
May 10, 2005 |
046-05 |
Final Contract Adjustment Canadian Natural Resources Limited (CNQ) Stock Split
|
2005 |
May 9, 2005 |
045-05 |
Contract Adjustment Follow Up EnCana Corporation (ECA) Stock Split
|
2005 |
May 5, 2005 |
044-05 |
Margin Intervals
|
2005 |
May 2, 2005 |
043-05 |
FINAL CONTRACT ADJUSTMENT EnCana Corporation (ECA) Stock Split <BR>
|
2005 |
May 2, 2005 |
042-05 |
FINAL CONTRACT ADJUSTMENT Nexen Inc. (NXY) <BR>Stock Split <BR>
|
2005 |
April 29, 2005 |
041-05 |
Final Contract Adjustment TSX Group Inc. (X)
|
2005 |
April 21, 2005 |
040-05 |
Norbord Inc. (NBD)
|
2005 |
April 20, 2005 |
039-05 |
New Long Term Equity Option Classes Expiring in January 2007 and 2008
|
2005 |
April 19, 2005 |
038-05 |
New Equity Option Classes
|
2005 |
April 12, 2005 |
037-05 |
Letters of Credit/Bankers' Acceptances
|
2005 |
April 11, 2005 |
036-05 |
iUnits S&P/TSX Capped Gold Index Fund-Amendments to the Stock Option Symbol
|
2005 |
April 4, 2005 |
035-05 |
Inter-month Spread Margin Rates
|
2005 |
April 4, 2005 |
034-05 |
Margin Intervals
|
2005 |
March 18, 2005 |
033-05 |
Anticipated Contract Adjustment-Canadian Natural Resources Limited (CNQ) - Stock Split
|
2005 |
March 17, 2005 |
032-05 |
Anticipated Contract Adjustment-Nexen Inc. (NXY) - Stock Split
|
2005 |
March 16, 2005 |
031-05 |
Inter-Month Butterfly Spread Margin Rates
|
2005 |
March 16, 2005 |
030-05 |
Anticipated Contract Adjustment - Precision Drilling Corporation (PD) - Stock Split
|
2005 |
March 15, 2005 |
029-05 |
New Long TErm Equity Option Classes Expiring in January 2006 and 2007
|
2005 |
March 15, 2005 |
028-05 |
New Equity Option Classes
|
2005 |
March 10, 2005 |
027-05 |
Contract Adjustment Anticipated Falconbridge Limited and Noranda Inc. Proposed Merger
|
2005 |
March 3, 2005 |
026-05 |
Margin intervals
|
2005 |
February 28, 2005 |
025-05 |
iUnits S&P/TSX Capped Energy Index Fund - Amendments to the STock Option Symbol
|
2005 |
February 28, 2005 |
024-05 |
Canadian Natural Resources Ltd. (CNQ) - Amendments to the Stock Option Symbol
|
2005 |
February 28, 2005 |
023-05 |
Cameco Corporation (CCO) - Amendments to the Stock Option Symbol
|
2005 |
February 23, 2005 |
022-05 |
Information Bulletin regarding Equity Options on Ace Aviation Holdings Inc. (ACE)
|
2005 |
February 22, 2005 |
021-05 |
New Equity Option Class - Western Silver Corporation - WTC
|
2005 |
February 22, 2005 |
020-05 |
New Equity Option Class - Glamis Gold Ltd. - GLG
|
2005 |
February 22, 2005 |
019-05 |
New Equity Option Class - Canadian Oil Sands Trust Units - COS
|
2005 |
February 10, 2005 |
018-05 |
Goldcorp Inc. (G) - Takeover of Wheaton River Minerals Ltd. (WRM)
|
2005 |
February 8, 2005 |
017-05 |
Contract Adjustment - New Equity Option Class
|
2005 |
February 3, 2005 |
016-05 |
Final Contract Adjustment/Follow-Up - Molson Inc. (MOL.A) - Proposed Merger
|
2005 |
February 3, 2005 |
015-05 |
Final Contract Adjustment/Follow Up - Molson Inc. (MOL.A) - Proposed Merger
|
2005 |
February 2, 2005 |
014-05 |
Margin Intervals
|
2005 |
February 2, 2005 |
013-05 |
Final Contract Adjustment - Molson Inc. (MOL.A) Proposed Merger
|
2005 |
February 1, 2005 |
012-05 |
Trading by U.S. Residents
|
2005 |
January 28, 2005 |
011-05 |
Criteria for Eligibility of Stock Options
|
2005 |
January 27, 2005 |
010-05 |
Contract Adjustment - Anticipated - TSX Group Inc. (X)
|
2005 |
January 19, 2005 |
009-05 |
New Equity Option Classes
|
2005 |
January 17, 2005 |
008-05 |
Equity Options Contracts Adjustment Policy <BR>for Tender Offers - Reminder
|
2005 |
January 10, 2005 |
007-05 |
Contract Adjustment - Alcan Inc. - Listing of New Series
|
2005 |
January 10, 2005 |
006-05 |
Acceptable Margin Deposits for Short Call Options
|
2005 |
January 10, 2005 |
005-05 |
Letters of Credit/Bankers' Acceptances
|
2005 |
January 5, 2005 |
004-05 |
Contract Adjustment Final - Alcan (AL) Spin off
|
2005 |
January 5, 2005 |
003-05 |
Inter-month Spread Margin Rates
|
2005 |
January 5, 2005 |
002-05 |
Margin Intervals
|
2005 |
January 5, 2005 |
001-05 |
2004 List of Notice-to-Members
|
2004 |
December 23, 2004 |
077-04 |
Contract Adjustment - Final - Cameco Corporation (CCO) Stock Split
|
2004 |
December 23, 2004 |
076-04 |
Contract Adjustment - Final - Alcan (AL) Spin Off
|
2004 |
December 7, 2004 |
075-04 |
Contract Adjustment - Anticipated - Alcan (AL) - Spin off
|
2004 |
December 2, 2004 |
074-04 |
Margin Intervals
|
2004 |
December 2, 2004 |
073-04 |
Name, Symbol and Cusip Change - BCE Emergis Inc.
|
2004 |
December 1, 2004 |
072-04 |
2005 List of Fees of Canadian Derivatives Clearing Corporation
|
2004 |
November 30, 2004 |
071-04 |
Cusip Change - Kinross Gold Corporation
|
2004 |
November 29, 2004 |
070-04 |
2005 Holiday Schedule
|
2004 |
November 17, 2004 |
069-04 |
2-Year Government of Canada Bond Futures (CGZ) <BR>Rule Amendment of the Delivery Standards C-1602
|
2004 |
November 17, 2004 |
068-04 |
New Equity Option Classes
|
2004 |
November 9, 2004 |
067-04 |
Anticipated Contract Adjustment-Molson Inc. (MOL.A) - Proposed Merger
|
2004 |
November 4, 2004 |
065-04 |
Rule Amendment A-7
|
2004 |
October 29, 2004 |
064-04 |
Rule Amendment-CDCC Article B-1301 Options on Three -Month Canadian Bankers' Acceptance Futures Contract (OBX)
|
2004 |
October 26, 2004 |
063-04 |
Bank Holiday - November 11, 2004
|
2004 |
October 4, 2004 |
062-04 |
Acceptable Margin Deposits for Short Call Options
|
2004 |
October 4, 2004 |
061-04 |
Inter-month Spread Margin Rates
|
2004 |
October 4, 2004 |
060-04 |
Margin Intervals
|
2004 |
September 29, 2004 |
059-04 |
Letters of Credit / Bankers' Acceptances
|
2004 |
September 27, 2004 |
058-04 |
Contract Adjustment Final <BR>Great-West Lifeco Inc. (GWO) - Stock Split
|
2004 |
September 20, 2004 |
057-04 |
New Equity Option Classes
|
2004 |
September 3, 2004 |
056-04 |
Margin Intervals
|
2004 |
August 31, 2004 |
055-04 |
Rule Amendment - CDCC Rule B-3
|
2004 |
August 3, 2004 |
054-04 |
Margin Intervals
|
2004 |
July 21, 2004 |
053-04 |
Long-Term Equity Options Expiring in January 2007
|
2004 |
July 15, 2004 |
052-04 |
Trading by U.S. Residents
|
2004 |
July 8, 2004 |
051-04 |
ERRATUM - Inter-month Spread Margin Rates
|
2004 |
July 6, 2004 |
050-04 |
Margin Intervals
|
2004 |
July 6, 2004 |
049-04 |
Inter-month Spread Margin Rates
|
2004 |
July 5, 2004 |
048-04 |
Symbol Conversion Long-Term Equity Options Expiring in January 2005
|
2004 |
July 5, 2004 |
047-04 |
Acceptable Margin Deposits for Short Call Options
|
2004 |
June 30, 2004 |
046-04 |
Letters of Credit / Bankers' Acceptances
|
2004 |
June 22, 2004 |
045-04 |
Long-Term Equity Options Expiring in January and March 2007
|
2004 |
June 17, 2004 |
044-04 |
New Equity Option Class - Sherritt International Corporation
|
2004 |
June 16, 2004 |
043-04 |
Directors and Officers of CDCC - 2004 - 2005
|
2004 |
June 16, 2004 |
042-04 |
Contract Adjustment - Final - BCE Emergis Inc. (IFM) Special Cash Dividend
|
2004 |
June 16, 2004 |
041-04 |
Research in Motion Limited - Amendment to the Stock Option Symbol
|
2004 |
June 7, 2004 |
040-04 |
Symbol Conversion Long-Term Equity Options Expiring in January 2005 and March 2005
|
2004 |
June 7, 2004 |
039-04 |
Cusip Change - AEterna Zentaris Inc.
|
2004 |
June 2, 2004 |
038-04 |
Margin Intervals
|
2004 |
June 2, 2004 |
037-04 |
Symbol Change - AEterna Zentaris Inc.
|
2004 |
May 28, 2004 |
036-04 |
Name Change - Aeterna Laboratories Inc.
|
2004 |
May 26, 2004 |
035-04 |
Important Notice for New Listing of Research in Motion Equity Options
|
2004 |
May 25, 2004 |
034-04 |
Long-Term Equity Options Expiring in January 2007
|
2004 |
May 18, 2004 |
033-04 |
Contract Adjustment – Brascan Corporation – BNN - Listing of New Series
|
2004 |
May 17, 2004 |
032-04 |
New Equity Option Class
|
2004 |
May 17, 2004 |
031-04 |
Long-Term Equity Options Expiring in January 2006 and 2007
|
2004 |
May 12, 2004 |
030-04 |
Contract Adjustment - Research in Motion Limited (RIM) Stock Split
|
2004 |
May 12, 2004 |
029-04 |
Contract Adjustment - Canadian Natural Resources Limited (CNQ) Stock Split
|
2004 |
May 10, 2004 |
028-04 |
Anticipated Contract Adjustment - BCE Emergis Inc. (IFM) - Special Cash Dividend
|
2004 |
May 10, 2004 |
027-04 |
Symbol Conversion - Long-Term Equity Options Expiring in January 2005
|
2004 |
May 10, 2004 |
026-04 |
Contract Adjustment - Talisman Energy Inc. (TLM) - Stock Split
|
2004 |
May 5, 2004 |
025-04 |
Margin Intervals
|
2004 |
May 5, 2004 |
024-04 |
Contract Adjustment - WestJet Airlines Ltd. WJA <BR>Listing of New Series
|
2004 |
April 20, 2004 |
023-04 |
New Interest Rate Futures Contract <BR>2-Year Government of Canada Bond Futures Contract (CGZ)
|
2004 |
April 16, 2004 |
022-04 |
Contract Adjustment Brascan Corporation (BNN) - Stock Split
|
2004 |
April 16, 2004 |
021-04 |
Contract Adjustment Westjet Airlines Ltd. (WJA) Stock Split
|
2004 |
April 14, 2004 |
020-04 |
Equity option class
|
2004 |
April 5, 2004 |
019-04 |
Margin Intervals
|
2004 |
April 2, 2004 |
018-04 |
Margin Intervals
|
2004 |
April 2, 2004 |
017-04 |
Inter-month Spread Margin Rates
|
2004 |
April 2, 2004 |
016-04 |
Acceptable Margin Deposits for Short Call Options
|
2004 |
April 2, 2004 |
015-04 |
Letters of Credit/Bankers' Acceptances
|
2004 |
March 31, 2004 |
014-04 |
Contract Adjustment <BR>Bank of Nova Scotia (BNS) <BR>Stock Split - Follow-Up
|
2004 |
March 18, 2004 |
013-04 |
Contract Adjustment - Bank of Nova Scotia (BNS) Stock Split
|
2004 |
March 16, 2004 |
012-04 |
Equity Option Class
|
2004 |
March 5, 2004 |
011-04 |
Margin Intervals
|
2004 |
February 13, 2004 |
010-04 |
Equity Option Class-Canadian National Railway Company-CNR
|
2004 |
February 12, 2004 |
009-04 |
Contract Adjustment - Canadian National Railway Company (CNR) - Stock Split
|
2004 |
February 5, 2004 |
008-04 |
Trading by U.S. Residents
|
2004 |
February 5, 2004 |
007-04 |
Margin Intervals
|
2004 |
January 30, 2004 |
006-04 |
Letters of Credit/Bankers' Acceptances
|
2004 |
January 30, 2004 |
005-04 |
Acceptable Margin Deposits for Short Call Options
|
2004 |
January 27, 2004 |
004-04 |
New Equity Option Classes
|
2004 |
January 7, 2004 |
003-04 |
Inter-month Spread Margin Rates
|
2004 |
January 7, 2004 |
002-04 |
Margin Intervals
|
2004 |
January 6, 2004 |
001-04 |
List of Notice-To-Members
|
2003 |
December 29, 2003 |
070-03 |
Research in Motion Inc. (RIM) - Amendments to the Stock Option Symbol
|
2003 |
December 8, 2003 |
069-03 |
Margin Intervals
|
2003 |
December 4, 2003 |
068-03 |
Contract Adjustment - Canada Life Financial Corporation (CL) Plan of Arrangement with Great-West Lifeco Inc. (GWO)
|
2003 |
December 4, 2003 |
067-03 |
2004 List of Fees of Canadian Derivatives Clearing Corporation
|
2003 |
November 27, 2003 |
066-03 |
iUnits S&P/TSX Capped Gold Index Fund AMENDMENT TO THE STOCK OPTIONS SYMBOLS
|
2003 |
November 25, 2003 |
065-03 |
New Equity Option Class - Quebecor World Inc.
|
2003 |
November 24, 2003 |
064-03 |
2004 Holiday Schedule
|
2003 |
November 14, 2003 |
063-03 |
Acceptable Margin Deposits for Short Call Options
|
2003 |
November 7, 2003 |
062-03 |
Margin Intervals
|
2003 |
November 5, 2003 |
061-03 |
Letters of Credit/Bankers' Acceptances
|
2003 |
November 3, 2003 |
060-03 |
Bank Holiday - November 11, 2003
|
2003 |
October 8, 2003 |
059-03 |
30-Day Overnight Repo Rate Futures Contract (ONX) Final Settlement Price Amendments to Article C-1701
|
2003 |
October 6, 2003 |
058-03 |
Inter-month Spread Margin Rates
|
2003 |
October 6, 2003 |
057-03 |
Margin Intervals
|
2003 |
September 4, 2003 |
056-03 |
Margin Intervals
|
2003 |
August 25, 2003 |
055-03 |
New Equity Option Class - Magna International Inc. (New)
|
2003 |
August 22, 2003 |
054-03 |
Contract Adjustment - Magna International Inc. (MG) <BR>Spin-Off
|
2003 |
August 6, 2003 |
053-03 |
Margin Intervals
|
2003 |
July 31, 2003 |
052-03 |
Letters of Credit/Bankers' Acceptances
|
2003 |
July 25, 2003 |
051-03 |
Bonds Acceptable as Margin Deposits for Government of Canada Bond Short Call Options (OBA)
|
2003 |
July 23, 2003 |
050-03 |
Anticipated Contract Adjustment - Magna International Inc. (MG) Spin-Off
|
2003 |
July 18, 2003 |
049-03 |
Long-Term Equity Options Expiring in January 2006
|
2003 |
July 9, 2003 |
048-03 |
Contract Adjustment - Canada Life Financial Corporation (CL) - Plan of Arrangement with Great-West Lifeco Inc. (GWO) - FOLLOW-UP
|
2003 |
July 8, 2003 |
047-03 |
Anticipated Contract Adjustment - Canada Life Financial Corporation (CL) Anticipated Plan of Arrangement with Great-West Lifeco Inc. (GW)
|
2003 |
July 3, 2003 |
043-03 |
New Clearing Member - J.P. Morgan Securities Canada Inc.
|
2003 |
June 23, 2003 |
042-03 |
Directors and Officers of CDCC <BR>2003 - 2004
|
2003 |
June 23, 2003 |
041-03 |
Anticipated Contract Adjustment - Canada Life Financial Corporation (CL)
|
2003 |
June 23, 2003 |
040-03 |
Long-Term Options Expiring in January and March 2006
|
2003 |
June 20, 2003 |
039-03 |
Name Change - Sun Life Financial Services of Canada Inc.
|
2003 |
June 19, 2003 |
038-03 |
Name Change - Yorkton Securities Inc.
|
2003 |
June 19, 2003 |
037-03 |
Name Change - Friedberg Mercantile Group
|
2003 |
June 13, 2003 |
036-03 |
New Government of Canada Bond Option Class
|
2003 |
June 6, 2003 |
035-03 |
Margin Intervals
|
2003 |
June 6, 2003 |
034-03 |
Symbol Conversion Long-Term Equity Options Expiring in January 2004 and March 2004
|
2003 |
June 4, 2003 |
033-03 |
Margin Intervals
|
2003 |
June 4, 2003 |
032-03 |
Name Change - UBS Bunting Warburg Inc.
|
2003 |
June 3, 2003 |
031-03 |
CUSIP Change - PetroKazakhstan Inc. (PKN)
|
2003 |
May 30, 2003 |
030-03 |
Name and Symbol Change - Hurricane Hydrocarbons Ltd.
|
2003 |
May 22, 2003 |
029-03 |
Electronic Access to the CDCC Rules and Bylaws
|
2003 |
May 16, 2003 |
028-03 |
Long-Term Equity Options Expiring in January 2006
|
2003 |
May 14, 2003 |
027-03 |
Name and Cusip Change - TransCanada PipeLines Ltd.
|
2003 |
May 14, 2003 |
026-03 |
Service Offering - Mind Trade Management (MTM) Access Availability For All Approved Participants And Foreign Approved Participants
|
2003 |
May 6, 2003 |
025-03 |
Symbol Conversion Long-Term Equity Options Expiring in January 2004
|
2003 |
May 6, 2003 |
024-03 |
Suspension of the Option on the Ten-Year Government of Canada Bond Future (OGB)
|
2003 |
May 5, 2003 |
023-03 |
Margin Intervals
|
2003 |
April 30, 2003 |
022-03 |
Letters of Credit/Bankers' Acceptances
|
2003 |
April 29, 2003 |
021-03 |
Name Change - S&P/TSX Canadian Indices
|
2003 |
April 24, 2003 |
020-03 |
Acceptable Margin Deposits for Short Call Options
|
2003 |
April 14, 2003 |
019-03 |
New Barclays iUnits Option Classes
|
2003 |
April 11, 2003 |
018-03 |
Margin Intervals
|
2003 |
April 11, 2003 |
017-03 |
Rule Amendments
|
2003 |
April 4, 2003 |
016-03 |
Inter-month Spread Margin Rates
|
2003 |
April 4, 2003 |
015-03 |
Margin Intervals
|
2003 |
April 2, 2003 |
014-03 |
Name Change - Fimat
|
2003 |
April 1, 2003 |
013-03 |
Margin Intervals
|
2003 |
March 27, 2003 |
012-03 |
New Equity Option Class
|
2003 |
March 12, 2003 |
011-03 |
Contract Adjustment - Angiotech Pharmaceuticals Inc. (ANP)
|
2003 |
March 6, 2003 |
010-03 |
Margin Intervals
|
2003 |
February 6, 2003 |
009-03 |
Margin Intervals
|
2003 |
February 5, 2003 |
008-03 |
New Equity Option Classes
|
2003 |
January 31, 2003 |
007-03 |
Trading by U.S. Residents
|
2003 |
January 31, 2003 |
006-03 |
Letters of Credit/Bankers' Acceptances
|
2003 |
January 23, 2003 |
005-03 |
Modification to The April 2003 Expiry Date
|
2003 |
January 22, 2003 |
004-03 |
Acceptable margin deposits for short call options
|
2003 |
January 9, 2003 |
003-03 |
Margin Intervals
|
2003 |
January 9, 2003 |
002-03 |
Inter-Month Spread Margin Rates
|
2003 |
January 2, 2003 |
001-03 |
2002 List of Notice to Members
|
2002 |
December 31, 2002 |
102-02 |
Long-Term Equity Option Symbol Change
|
2002 |
December 23, 2002 |
101-02 |
New Clearing Member
|
2002 |
December 17, 2002 |
100-02 |
Correction - 2003 List of Fees (English Version) of Canadian Derivatives Clearing Corporation
|
2002 |
December 12, 2002 |
099-02 |
Information Regarding Following Companies with Listing Options: <BR>Canada Life Financial Corporation (CL) <BR>Manulife Financial Corporation (MFC)
|
2002 |
December 11, 2002 |
098-02 |
Rule Amendment - CDCC Rule C-12
|
2002 |
December 10, 2002 |
097-02 |
Margin Intervals
|
2002 |
December 5, 2002 |
096-02 |
Long-Term Equity Options LBA, ZBA, LCL ,ZLC, LIU, ZUI, ZTD, ZBC, LDP, ZDP, LCM, ZMC <BR>Expiring in January, March 2004 & January, March 2005
|
2002 |
December 5, 2002 |
095-02 |
2003 List of Fees of Canadian Derivatives Clearing Corporation
|
2002 |
November 28, 2002 |
094-02 |
Revised 2003 Holiday Schedule
|
2002 |
November 28, 2002 |
093-02 |
2003 Holiday Schedule
|
2002 |
November 13, 2002 |
092-02 |
Symbol Change
|
2002 |
November 7, 2002 |
091-02 |
Margin Intervals
|
2002 |
November 1, 2002 |
090-02 |
Bank Holiday - November 11, 2002
|
2002 |
November 1, 2002 |
089-02 |
Letters of Credit/Bankers' Acceptances
|
2002 |
October 17, 2002 |
088-02 |
New Clearing Member Union Securities Ltd.
|
2002 |
October 16, 2002 |
087-02 |
Acceptable Margin Deposits for Short Call Options
|
2002 |
October 9, 2002 |
086-02 |
Suspension of the Five-Year Government of Canada Bond Futures (CGF) From Listing of Bourse de Montréal Inc.
|
2002 |
October 7, 2002 |
085-02 |
Margin Intervals
|
2002 |
September 12, 2002 |
084-02 |
Name Change Hurricane Hydrocarbons Ltd. Class A
|
2002 |
September 6, 2002 |
083-02 |
Sponsored Options New Option Classes
|
2002 |
September 6, 2002 |
082-02 |
Margin Intervals
|
2002 |
August 30, 2002 |
081-02 |
Contract Adjustment Trizechahn Corporation (TZQ)
|
2002 |
August 30, 2002 |
080-02 |
Erratum - Sponsored Options New Option Series
|
2002 |
August 7, 2002 |
079-02 |
Margin Intervals
|
2002 |
July 30, 2002 |
078-02 |
Contract Adjustment Trizechahn Corporation (TZQ)
|
2002 |
July 29, 2002 |
077-02 |
Letters of Credit/Bankers' Acceptances
|
2002 |
July 22, 2002 |
076-02 |
Rule Amendments - CDCC Rule A-1 - Definition
|
2002 |
July 22, 2002 |
075-02 |
Rule Amendments - CDCC Rules A8 and B4
|
2002 |
July 15, 2002 |
074-02 |
Inter-month Spread Margin Rates
|
2002 |
July 15, 2002 |
073-02 |
Long-Term Equity Options (LBC, LNT, LTD) Expiring In January 2004 And (ZNT) Expiring In January 2005
|
2002 |
July 11, 2002 |
072-02 |
Margin Intervals
|
2002 |
July 10, 2002 |
071-02 |
Acceptable Margin Deposits for Short Call Options
|
2002 |
June 26, 2002 |
070-02 |
Long-Term Equity Option (ZRD) Expiring In January 2005
|
2002 |
June 25, 2002 |
069-02 |
Dividend Notice
|
2002 |
June 19, 2002 |
068-02 |
New Rule C-17 - 30-Day Overnight Repo Rate Futures
|
2002 |
June 18, 2002 |
067-02 |
Charles Schwab Canada Co. Merger With Scotia Capital Inc.
|
2002 |
June 18, 2002 |
066-02 |
Dividend Notice
|
2002 |
June 13, 2002 |
065-02 |
Revised Settlement Dates Due To June 24, 2002 Holiday
|
2002 |
June 13, 2002 |
064-02 |
Symbol Conversion Long-Term Equity Options Expiring In January and March 2003
|
2002 |
June 12, 2002 |
063-02 |
Contract Adjustment <BR>Clarica Life Insurance Company (CLI)
|
2002 |
June 12, 2002 |
062-02 |
Listing of 30-Day Overnight Repo Rate Futures
|
2002 |
June 12, 2002 |
061-02 |
Dividend Notice
|
2002 |
June 12, 2002 |
060-02 |
Settlement Dates Due to June 24, 2002 Holiday
|
2002 |
June 11, 2002 |
059-02 |
Margin Intervals
|
2002 |
June 7, 2002 |
058-02 |
Sponsored Options New Option Class and Series
|
2002 |
June 4, 2002 |
057-02 |
Dividend Notice
|
2002 |
May 30, 2002 |
056-02 |
Contract Adjustment <BR>Clarica Life Insurance Company (CLI)
|
2002 |
May 28, 2002 |
055-02 |
Dividend Notice
|
2002 |
May 27, 2002 |
054-02 |
New Equity Option Classes
|
2002 |
May 24, 2002 |
053-02 |
Contract Adjustment <BR>Trizechahn Corporation
|
2002 |
May 22, 2002 |
052-02 |
Long-Term Equity Options <BR>Expiring in January 2005
|
2002 |
May 20, 2002 |
051-02 |
Dividend Notice
|
2002 |
May 14, 2002 |
050-02 |
Margin Intervals
|
2002 |
May 13, 2002 |
049-02 |
Dividend Notice
|
2002 |
May 10, 2002 |
048-02 |
Contract Adjustment <BR>Suncor Energy Inc.
|
2002 |
May 10, 2002 |
047-02 |
Revised Symbol Conversion <BR>Long-Term Equity Options Expiring in January 2003
|
2002 |
May 9, 2002 |
046-02 |
Symbol Conversion Long Term Equity Options Expiring in January 2003
|
2002 |
May 9, 2002 |
045-02 |
Contract Adjustment <BR>Trizechahn Corporation
|
2002 |
May 7, 2002 |
044-02 |
Contract Adjustment <BR>Trizechahn Corporation
|
2002 |
May 6, 2002 |
043-02 |
Dividend Notice
|
2002 |
May 3, 2002 |
042-02 |
New Designation Of The Products Based On S&P/TSE Indices
|
2002 |
May 1, 2002 |
041-02 |
Dividend Notice
|
2002 |
April 25, 2002 |
040-02 |
Listing Of S&P/TSE Sectoral Index Futures Contracts
|
2002 |
April 23, 2002 |
039-02 |
Long-Term Equity Options Expiring In January 2005
|
2002 |
April 22, 2002 |
038-02 |
Dividend Notice
|
2002 |
April 18, 2002 |
037-02 |
Anticipated Contract Adjustment <BR>Trizechahn Corporation
|
2002 |
April 16, 2002 |
036-02 |
Long-Term Equity Options Expiring In January 2004
|
2002 |
April 15, 2002 |
035-02 |
Contract Adjustment Alberta Energy Company Ltd.
|
2002 |
April 15, 2002 |
034-02 |
Anticipated Contract Adjustment Clarica Life Insurance Company (CLI)
|
2002 |
April 12, 2002 |
033-02 |
Acceptable Margin Deposits For Short Call Options
|
2002 |
April 9, 2002 |
032-02 |
Symbol Conversion <BR>Long-Term Equity Options Expiring in January 2003
|
2002 |
April 9, 2002 |
031-02 |
Dividend Notice
|
2002 |
April 9, 2002 |
030-02 |
Margin Intervals
|
2002 |
April 5, 2002 |
029-02 |
Contract Adjustment <BR>Alberta Energy Company Ltd.
|
2002 |
April 2, 2002 |
028-02 |
Anticipated Contract Ajustment <BR>Alberta Energy Company Ltd.
|
2002 |
March 25, 2002 |
027-02 |
Dividend Notice
|
2002 |
March 20, 2002 |
026-02 |
Fees Structure - March 2002
|
2002 |
March 12, 2002 |
025-02 |
Margin Intervals
|
2002 |
March 12, 2002 |
024-02 |
Dividend Notice
|
2002 |
March 11, 2002 |
023-02 |
Name Change <BR>NBC Clearing Services Incorporated
|
2002 |
March 8, 2002 |
022-02 |
Long Term Stock Options Expiring in 2002 <BR>Symbol Conversion
|
2002 |
March 6, 2002 |
021-02 |
Dividend notice
|
2002 |
March 4, 2002 |
020-02 |
Dividend notice
|
2002 |
February 25, 2002 |
019-02 |
Dividend notice
|
2002 |
February 18, 2002 |
018-02 |
Dividend notice
|
2002 |
February 18, 2002 |
017-02 |
Contract Adjustment <BR>Franco-Nevada Mining Corporation (FN)
|
2002 |
February 12, 2002 |
016-02 |
Margin Intervals
|
2002 |
February 11, 2002 |
015-02 |
Dividend notice
|
2002 |
February 5, 2002 |
014-02 |
Dividend notice
|
2002 |
January 28, 2002 |
013-02 |
Trading by U.S. Residents
|
2002 |
January 28, 2002 |
012-02 |
Dividend notice
|
2002 |
January 25, 2002 |
011-02 |
Launch of the Sponsored Options <BR>New CDCC Option Classes and Series
|
2002 |
January 25, 2002 |
010-02 |
Launch of the Sponsored Options <BR>New CDCC Option Classes and Series
|
2002 |
January 24, 2002 |
009-02 |
Anticipated Contract Adjustment <BR>Franco-Nevada Mining Corporation (FN)
|
2002 |
January 22, 2002 |
008-02 |
Fees Structure - January 2002
|
2002 |
January 21, 2002 |
007-02 |
Dividend notice
|
2002 |
January 14, 2002 |
006-02 |
Acceptable Margin Deposits for Short Call Options
|
2002 |
January 10, 2002 |
005-02 |
New Rule B-15 Sponsored Options
|
2002 |
January 9, 2002 |
004-02 |
Margin Intervals
|
2002 |
January 9, 2002 |
003-02 |
Classes Listed as of December 2001
|
2002 |
January 4, 2002 |
002-02 |
Contract Adjustment - Reminder <BR>Bell Canada
|
2002 |
January 2, 2002 |
001-02 |
List of Notice to Members - 2001
|