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Member Notices

2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002

102-17

June 28, 2017
Final Contract Adjustment - Penn West Petroleum Ltd. (PWT) - CUSIP, Symbol and Name Change

101-17

June 28, 2017
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

100-17

June 28, 2017
Fixed Income Securities Eligible for Trading

099-17

June 28, 2017
Re-Introduction of an Option Class - Spartan Energy Corp. (SPE)

098-17

June 23, 2017
FINAL CONTRACT ADJUSTMENT - Spartan Energy Corp. (SPE) Reverse Stock Split (Follow-Up)

096-17

June 22, 2017
Final Contract Adjustment - Spartan Energy Corp. (SPE) - Reverse Stock Split

097-17

June 22, 2017
Final Contract Adjustment - Savanna Energy Services Corp. (SVY) - Acquisition

095-17

June 21, 2017
New Equity Option Class

094-17

June 21, 2017
Fixed Income Securities Eligible for Trading

091-17

June 21, 2017
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

092-17

June 21, 2017
Trading by U.S. Residents

093-17

June 21, 2017
Approved Depositories

090-17

June 20, 2017
Re-Introduction of an Option Class - Waste Connections Inc. (WCN)

089-17

June 20, 2017
Fixed Income Securities Eligible for Trading

087-17

June 19, 2017
Final Contract Adjustment - The North West Company Inc. (NWC) - CUSIP Change

088-17

June 19, 2017
Final Contract Adjustment - Canadian Energy Services & Technology Corp. (CEU) - CUSIP and Name Change

086-17

June 15, 2017
Final Contract Adjustment - DH Corporation (DH) - Plan of Arrangement

085-17

June 14, 2017
Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend

084-17

June 14, 2017
Name Change - iShares Canadian Short Term Bond Index ETF

083-17

June 13, 2017
Fixed Income Securities Eligible for Trading

082-17

June 12, 2017
Anticipated Contract Adjustment - Agrium Inc. (AGU) & Potash Corporation of Saskatchewan Inc. (POT) - Merger of Equals - UPDATE

081-17

June 6, 2017
Final Contract Adjustment - Canyon Services Group Inc. (FRC) - Plan of Arrangement (Final)

079-17

June 2, 2017
Final Contract Adjustment - Waste Connections, Inc. (WCN) - Stock Split

080-17

June 2, 2017
Fixed Income Securities Eligible for Trading

078-17

June 2, 2017
Final Contract Adjustment - Wi-LAN Inc. (WIN) - CUSIP, Symbol and Name Change

077-17

May 31, 2017
Re-Introduction of an Option Class and Future Contracts - Brookfield Asset Management Inc. (BAM.A)

076-17

May 31, 2017
Fixed Income Securities Eligible for Trading

075-17

May 31, 2017
Updated Haircuts on Government Securities Deposited as Collateral

074-17

May 29, 2017
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM and FBM) - Spin-Off

073-17

May 29, 2017
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU) - Reverse Unit Split (Follow-Up)

072-17

May 26, 2017
Final Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU) - Reverse Unit Split

071-17

May 24, 2017
Final Contract Adjustment - CCL Industries Inc. (CCL) - Stock Split

070-17

May 24, 2017
Final Contract Adjustment - Silver Wheaton Corp. (SLW) - CUSIP, Symbol and Name Change

069-17

May 23, 2017
Anticipated Contract Adjustment - Bellatrix Exploration Ltd. - Share Consolidation

068-17

May 19, 2017
Final Contract Adjustment - Painted Pony Petroleum Ltd. (PPY) - CUSIP, Symbol and Name Change

067-17

May 19, 2017
Anticipated Contract Adjustment - BetaPro S&P 500 VIX Short-Term Futures 2x Daily Bull ETF - Unit Consolidations

066-17

May 16, 2017
Fixed Income Securities Eligible for Trading

065-17

May 15, 2017
Final Contract Adjustment - Silver Wheaton Corp. (SLW) - CUSIP, Symbol and Name Change

064-17

May 11, 2017
Fixed Income Securities Eligible for Trading

063-17

May 10, 2017
Fixed Income Securities Eligible for Trading

062-17

May 8, 2017
Directors and Officers of the Canadian Derivatives Clearing Corporation

061-17

May 3, 2017
Fixed Income Securities Eligible for Trading

060-17

May 3, 2017
New Equity Options Classes

058-17

May 2, 2017
Anticipated Contract Adjustment - Waste Connections Inc. - Stock Split

059-17

May 2, 2017
Anticipated Contract Adjustment - Pembina Pipeline Corporation (PPL) and Veresen Inc. (VSN) - Plan of arrangement

057-17

April 28, 2017
Final Contract Adjustment - Milestone Apartments Real Estate Investment Trust (MST.UN) - Acquisition

056-17

April 28, 2017
Anticipated Contract Adjustment - Canam Group Inc. (CAM) - Plan of Arrangement

055-17

April 26, 2017
Clearing Member Voluntary Withdrawal - UBS Securities Canada Inc.

054-17

April 20, 2017
ANTICIPATED CONTRACT ADJUSTMENT - Trican Well Service Ltd. (TCW) & Canyon Services Group Inc. (FRC) - Merger

053-17

April 17, 2017
Fixed Income Securities Eligible for Trading

052-17

April 13, 2017
Fixed Income Securities Eligible for Trading

051-17

April 11, 2017
Criteria for Eligibility of Securities Underlying Options

050-17

April 7, 2017
Fixed Income Securities Eligible for Trading

049-17

April 7, 2017
Fixed Income Securities Eligible for Trading

048-17

April 5, 2017
Fixed Income Securities Eligible for Trading

047-17

April 5, 2017
Self-certification - Amendments to the rules, operations manual and risk manual of CDCC

046-17

April 5, 2017
Self-Certification - Amendments to Sections A-1A04 and A-401 of the Rules of the Canadian Derivatives Clearing Corporation

045-17

March 29, 2017
New Equity Option Class

044-17

March 28, 2017
Final Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend

043-17

March 27, 2017
Fixed Income Securities Eligible for Trading

042-17

March 21, 2017
Final Contract Adjustment - Manitoba Telecom Inc. (MBT) - Plan of arrangement (Follow-Up)

041-17

March 20, 2017
Fixed Income Securities Eligible for Trading

040-17

March 20, 2017
Concentration Thresholds “Share Futures”

039-17

March 17, 2017
Final Contract Adjustment - Manitoba Telecom Services Inc (MBT) - Plan of Arrangement

038-17

March 16, 2017
Directors and Officers of CDCC

037-17

March 16, 2017
Anticipated Contract Adjustment - DH Corporation (DH) - Plan of arrangement

036-17

March 15, 2017
Fixed Income Securities Eligible for Trading

035-17

March 10, 2017
Arrangement Agreement - Savanna Energy Services (SVY) - Acquisition Announcement

034-17

March 9, 2017
Intra-Commodity (Inter-Month) Spread Charge “Share Futures”

033-17

March 8, 2017
Fixed Income Securities Eligible for Trading

032-17

March 6, 2017
Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend

031-17

February 23, 2017
Self-Certification - Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation

030-17

February 22, 2017
Fixed Income Securities Eligible for Trading

029-17

February 22, 2017
Self-Certification - Amendments to the Operations Manual of the Canadian Derivatives Clearing Corporation to Reduce Support Time on Expiry

028-17

February 21, 2017
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

027-17

February 21, 2017
Self-Certification - Amendments to the Rules of the Canadian Derivatives Clearing Corporation - New Foreign Exchange Rate Fixing

026-17

February 14, 2017
Fixed Income Securities Eligible for Trading

025-17

February 9, 2017
Fixed Income Securities Eligible for Trading

024-17

February 8, 2017
Fixed Income Securities Eligible for Trading

023-17

February 8, 2017
New Equity Options Classes

022-17

February 7, 2017
Request for Comments - Change to CDCC Rules and Default Manual - Recovery Process

021-17

February 3, 2017
Additional Future Contracts on Canadian Shares - “Share Futures”

020-17

February 3, 2017
Fixed Income Securities Eligible for Trading

019-17

February 3, 2017
Final Contract Adjustment - Open Text Corporation (OTC) - Symbol Change

018-17

January 31, 2017
Final Contract Adjustment - Pan American Silver Corp. (PAA) - Symbol Change

017-17

January 31, 2017
Updated Haircuts on Government Securities Deposited as Collateral

016-17

January 27, 2017
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING

015-17

January 20, 2017
Anticipated Contract Adjustment - Milestone Apartments REIT (MST) - Acquisition Agreement

014-17

January 19, 2017
Fixed Income Securities Eligible for Trading

013-17

January 17, 2017
Criteria for Eligibility of Securities Underlying Options

012-17

January 16, 2017
Re-Introduction of an Option Class - Paramount Resources Ltd. (POU)

011-17

January 16, 2017
Directors and Officers of CDCC

010-17

January 11, 2017
Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change (FOLLOW-UP)

009-17

January 11, 2017
Fixed Income Securities Eligible For Trading

008-17

January 10, 2017
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-Off (Follow-Up)

007-17

January 5, 2017
Name Change - HudBay Minerals Inc.

005-17

January 4, 2017
Final Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-Off

006-17

January 4, 2017
Final Contract Adjustment - Open Text Corporation (OTC) - Stock Split

002-17

January 3, 2017
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

003-17

January 3, 2017
Trading by U.S. Residents

004-17

January 3, 2017
Approved Depositories

001-17

January 3, 2017
List of Notice-to-Members – 2016