Member Notices

Year Date Number Title
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 &#150; Penn West Energy Trust (PWT) &#150; 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 &#150; Brookfield Asset Management Inc. (BAM) &#150; 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 &#150; ERRATUM &#150; Placer Dome Inc. (PDG) and Barrick Gold Corporation (ABX) &#150; 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 &#150; Brascan Corporation &#150; 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