Brochure

Member Notices

2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002

137-13

May 17, 2013
Criteria for Eligibility of Stock Options

136-13

May 16, 2013
Poseidon Concepts Corp. (PSN) - Delisting

135-13

May 16, 2013
Name Change - Coeur d'Alene Mines Corporation

134-13

May 16, 2013
Margin Parameters for Fixed Income Securities

133-13

May 16, 2013
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

132-13

May 14, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

131-13

May 13, 2013
Fixed Income Securities Eligible for Trading

130-13

May 10, 2013
Directors and Officers of CDCC - 2013 - 2014

129-13

May 9, 2013
Fixed Income Securities Eligible for Trading

128-13

May 9, 2013
Margin Parameters for Fixed Income Securities

127-13

May 7, 2013
Re-Introduction of an ETF Option Class - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU)

126-13

May 7, 2013
Over-The-Counter Derivative Instruments ("OTC DI")

125-13

May 7, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

124-13

May 3, 2013
Risk Parameter Update - Short Option Minimum (SOM)

123-13

May 3, 2013
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU) - Reverse Unit Split

122-13

May 3, 2013
SELF-CERTIFICATION- Amendment to the Risk Manual - Short Options Miminum

121-13

May 2, 2013
Anticipated Contract Adjustment - Resverlogix Corp. (RVX) - Spin-Off

120-13

May 2, 2013
Margin Parameters for Fixed Income Securities

119-13

May 1, 2013
Name Change - Agnico-Eagle Mines Ltd.

118-13

April 30, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

117-13

April 25, 2013
Margin Parameters for Fixed Income Securities

116-13

April 24, 2013
New Equity Options Classes

115-13

April 23, 2013
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off (Follow-Up) - ERRATUM

114-13

April 23, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

113-13

April 22, 2013
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off (Follow-Up)

112-13

April 19, 2013
Re-Introduction of an Option Class - Alacer Gold Corp.

111-13

April 18, 2013
Fixed Income Securities Eligible for Trading

110-13

April 18, 2013
Margin Parameters for Fixed Income Securities

109-13

April 18, 2013
Re-Introduction of an Option Class – Brookfield Asset Management Inc.

108-13

April 17, 2013
Final Contract Adjustment - Erratum - TELUS Corporation (T) - Stock Split

107-13

April 17, 2013
Erratum - 2013 List of Fees of Canadian Derivatives Clearing Corporation

106-13

April 17, 2013
2013 List of Fees of Canadian Derivatives Clearing Corporation

105-13

April 16, 2013
Final Contract Adjustment - Alacer Gold Corp. (ASR) - Special Dividend

104-13

April 16, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

103-13

April 12, 2013
Anticipated Contract Adjustment – Alacer Gold Corp. (ASR) - Special Dividend

102-13

April 11, 2013
Fixed Income Securities Eligible for Trading

101-13

April 11, 2013
Margin Parameters for Fixed Income Securities

099-13

April 10, 2013
Final Contract Adjustment - Primaris Retail Real Estate Investment Trust (PMZ.UN) – Plan of Arrangement (Follow-Up)

100-13

April 10, 2013
Final Contract Adjustment - Inmet Mining Corporation (IMN) - Plan of Arrangement – New Deliverable

098-13

April 10, 2013
Re-Introduction of an ETF Option Class – Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND)

096-13

April 9, 2013
Anticipated Contract Adjustment – Inmet Mining Corporation (IMN) – Plan of Arrangement

097-13

April 9, 2013
Final Contract Adjustment – TELUS Corporation (T) – Stock Split

095-13

April 9, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

094-13

April 5, 2013
Final Contract Adjustment - Primaris Retail Real Estate Investment Trust (PMZ.UN) - Plan of Arrangement

093-13

April 4, 2013
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gaz Bear Plus ETF (HND) - Reverse Unit Split

092-13

April 4, 2013
Margin Parameters for Fixed Income Securities

091-13

April 2, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

090-13

April 2, 2013
Clearing Member Voluntary Withdrawal - Jones, Gable & Company Limited

089-13

April 1, 2013
ANTICIPATED CONTRACT ADJUSTMENT - Inmet Mining Corporation (IMN) - Acquisition

088-13

April 1, 2013
NEW EQUITY OPTIONS CLASSES

087-13

March 28, 2013
Margin Parameters for Fixed Income Securities

086-13

March 27, 2013
Erratum - Directors and Officers of CDCC - 2012 - 2013

084-13

March 27, 2013
Final Contract Adjustment – ShawCor Ltd. (SCL) – Special Dividend

085-13

March 27, 2013
Directors and Officers of CDCC - 2012 - 2013

083-13

March 26, 2013
Final Contract Adjustment - Harry Winston Diamond (HW) – Name, Symbol, CUSIP Change

082-13

March 26, 2013
Final Contract Adjustment - ShawCor Ltd. (SCL.A) - CUSIP Change

081-13

March 26, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

080-13

March 22, 2013
Anticipated Contract Adjustment - ShawCor Ltd. (SCL.A) - Plan of Arrangement - Special Dividend

079-13

March 22, 2013
Final Contract Adjustment – Transcontinental Inc. (TCL.A) – Special Dividend

078-13

March 21, 2013
Fixed Income Securities Eligible for Trading

077-13

March 21, 2013
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off

076-13

March 21, 2013
Margin Parameters for Fixed Income Securities

075-13

March 20, 2013
Poseidon Concepts Corp. (PSN) - Put Options

074-13

March 19, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

072-13

March 18, 2013
ANTICIPATED CONTRACT ADJUSTMENT - TELUS (T) - Stock Split

073-13

March 18, 2013
ANTICIPATED CONTRACT ADJUSTMENT - TRANSCONTINENTAL INC. (TCL.A) - Special Dividend

071-13

March 15, 2013
Erratum - Fixed Income Securities Eligible for Trading

070-13

March 15, 2013
Fixed Income Securities Eligible for Trading

069-13

March 14, 2013
Fixed Income Securities Eligible for Trading

068-13

March 14, 2013
Margin Parameters for Fixed Income Securities

067-13

March 12, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

066-13

March 11, 2013
Poseidon Concepts Corp. (PSN)- Put Options

065-13

March 11, 2013
ERRATUM Fixed Income Clearing – Updated Eligibility List

064-13

March 11, 2013
Fixed Income Clearing – Updated Eligibility List

063-13

March 8, 2013
Anticipated Contract Adjustment - Canadian Utilities Limited (CU) - Stock Split

062-13

March 8, 2013
Anticipated Contract Adjustment - Aurizon Mines Ltd. (ARZ) - Plan of Arrangement

061-13

March 7, 2013
Margin Parameters for Fixed Income Securities

060-13

March 7, 2013
Criteria for Eligibility of Stock Options

059-13

March 5, 2013
Trading by U.S. Residents

058-13

March 5, 2013
Trading by U.S. Residents - State of California

057-13

March 5, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

056-13

February 28, 2013
Margin Parameters for Fixed Income Securities

055-13

February 28, 2013
Fixed Income Securities Eligible for Trading

054-13

February 28, 2013
Final Contract Adjustment - Keegan Resources Inc. (KGN) - NAME, SYMBOL AND CUSIP CHANGE

053-13

February 28, 2013
Final Contract Adjustment - Celtic Exploration Ltd. (CLT) - Plan of Arrangement

052-13

February 27, 2013
Final Contract Adjustment - Nexen Inc. (NXY) - Plan of Arrangement

051-13

February 26, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

050-13

February 21, 2013
Margin Parameters for Fixed Income Securities

049-13

February 21, 2013
Removal of Restriction on the Tender of Exercise Notices on Rare Element Resources Ltd.

048-13

February 20, 2013
2013 List of Fees of Canadian Derivatives Clearing Corporation

047-13

February 20, 2013
Restriction on the Tender of Exercise Notices on Rare Element Resources Ltd.

046-13

February 19, 2013
Poseidon Concepts Corp. (PSN) - Put Options

045-13

February 19, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

044-13

February 15, 2013
Restriction on the Tender of Exercise Notices on Poseidon Concepts Corp.

043-13

February 14, 2013
Fixed Income Securities Eligible for Trading

042-13

February 14, 2013
Margin Parameters for Fixed Income Securities

041-13

February 12, 2013
Self-Certification – Amendment to Section C-1802 – Delivery Standard of Rule C-18 of CDCC – 30 -Year Government of Canada Bond Futures Contract (LGB)

040-13

February 12, 2013
Self-Certification – Amendment to Section C-1402 – Delivery Standard of Rule C-14 of CDCC – Five-Year Government of Canada Bond Futures Contract (CGF)

039-13

February 12, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

038-13

February 8, 2013
Anticipated Contract Adjustment – Primaris Retail Real Estate Investment Trust (PMZ.UN) – Plan of Arrangement

037-13

February 7, 2013
Margin Parameters for Fixed Income Securities

036-13

February 6, 2013
New Clearing Member - Morgan Stanley Canada Limited

035-13

February 5, 2013
Request for Comments – Amendment to the Rules and Operations Manual – Standard Monthly Saturday Expiry Processing Move to Friday Evening

034-13

February 5, 2013
Request for Comments – Amendment to the Operations Manual – Operational Risk Management Participation Requirements

033-13

February 5, 2013
New Equity Options Classes

032-13

February 5, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

031-13

February 1, 2013
Penson Financial Services Canada

030-13

February 1, 2013
Clearing Member Voluntary Withdrawal – Penson Financial Services Canada

029-13

January 31, 2013
Final Contract Adjustment - Research In Motion (RIM) - Symbol Change

028-13

January 31, 2013
Fixed Income Securities Eligible for Trading

027-13

January 31, 2013
Margin Parameters for Fixed Income Securities

026-13

January 30, 2013
Updated Haircuts on Government Securities Deposited as Collateral

025-13

January 29, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

024-13

January 25, 2013
Anticipated Contract Adjustment - Uranium One Inc. (UUU) - Plan of Arrangement

023-13

January 24, 2013
Margin Parameters for Fixed Income Securities

022-13

January 22, 2013
Fixed Income Securities Eligible for Trading

021-13

January 22, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

019-13

January 18, 2013
Anticipated Contract Adjustment - H&R Real Estate Investment Trust. (HR.UN) - Plan of Arrangement

020-13

January 18, 2013
Anticipated Contract Adjustment - Keegan Resources Inc. (KGN) - Plan of Arrangement

017-13

January 18, 2013
Self-Certification – Amendment to Section 2 of the Operations Manual – OTCI – Time Frames for On-Line Access

018-13

January 18, 2013
Self-Certification – Amendments to Rules A-1, A-7 and to the Risk Manual – Canada Mortgage Bonds as Acceptable Collateral

016-13

January 17, 2013
Fixed Income Securities Eligible for Trading

015-13

January 17, 2013
Margin Parameters for Fixed Income Securities

014-13

January 17, 2013
Margin Parameters for Fixed Income Securities

013-13

January 15, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

012-13

January 14, 2013
Final Contract Adjustment - Chartwell Seniors Housing Real Estate Investment Trust (CSH.UN) - CUSIP and Name Change

010-13

January 10, 2013
Final Contract Adjustment - Fairborne Energy Ltd. (FEL) - CUSIP, Symbol and Name Change

011-13

January 10, 2013
Margin Parameters for Fixed Income Securities

009-13

January 8, 2013
Margin Parameters for the Montreal Exchange Derivatives Instruments and Over-the-Counter Derivatives Instruments

008-13

January 7, 2013
ERRATUM - FINAL CONTRACT ADJUSTMENT - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization

007-13

January 4, 2013
Final Contract Adjustment - PetroBakken Energy Ltd. (PBN) - CUSIP Change

006-13

January 4, 2013
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - CUSIP Change

005-13

January 3, 2013
Final Contract Adjustment - Granite Real Estate Inc. (GRT) - Name, Symbol, CUSIP and ISIN Change

004-13

January 3, 2013
Margin Parameters for Fixed Income Securities

003-13

January 2, 2013
Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization

002-13

January 2, 2013
Fixed Income Securities Eligible for Trading

001-13

January 2, 2013
List of Notice-to-Members