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Member Notices

2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002

155-15

December 22, 2015
FINAL CONTRACT ADJUSTMENT - Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution

154-15

December 18, 2015
New CDCC List of Fees - (Effective as of January 1, 2016)

153-15

December 17, 2015
Fixed Income Securities Eligible for Trading

152-15

December 16, 2015
Self-Certification - Amendments to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address Procyclicality of Margin

151-15

December 16, 2015
Fixed Income Securities Eligible for Trading

150-15

December 11, 2015
Fixed Income Securities Eligible for Trading

148-15

December 9, 2015
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

149-15

December 9, 2015
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

147-15

December 8, 2015
New Equity Option Class

146-15

December 1, 2015
Re-Introduction of ETF Option Classes

145-15

November 30, 2015
Anticipated Contract Adjustment - Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution

144-15

November 26, 2015
Fixed Income Securities Eligible for Trading

140-15

November 25, 2015
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU) - Reverse Unit Split

141-15

November 25, 2015
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split

142-15

November 25, 2015
Final Contract Adjustment - Horizons BetaPro S&P/TSX 60 Bear Plus ETF (HXD) - Reverse Unit Split

143-15

November 25, 2015
Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split

139-15

November 24, 2015
Modification to the three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – Postponement

138-15

November 24, 2015
Fixed Income Securities Eligible for Trading

137-15

November 18, 2015
Anticipated Contract Adjustment - Horizons ETFs HGU, HNU, HOU and HXD - Reverse Unit Split

136-15

November 18, 2015
Fixed Income Securities Eligible for Trading

132-15

November 18, 2015
Self-Certification - Amendments to Rule A-216 of CDCC Regarding Audited Statements of the Corporation

133-15

November 18, 2015
Self-Certification - Amendments to the Operations Manual Of CDCC for the Purpose of Adding a New Report (MS78)

134-15

November 18, 2015
Self-Certification - Amendments to the Canadian Derivatives Clearing Corporation Operations Manual for the Purpose of Moving the Afternoon Intra-Day Margin Process

135-15

November 18, 2015
Self-Certification - Amendment to the Rules of the Canadian Derivatives Clearing Corporation to Address Multiple Weekly Options Expiries

131-15

November 16, 2015
Expiry Schedule

130-15

November 12, 2015
2015 – 2016 Holiday Schedule

129-15

November 4, 2015
Bank Holiday – November 11, 2015

128-15

November 2, 2015
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – November 30, 2015

127-15

October 21, 2015
Fixed Income Securities Eligible for Trading

126-15

October 20, 2015
New Equity Option Class

125-15

October 19, 2015
Final Contract Adjustment - BMO S&P/TSX Laddered Preferred Share Index ETF (ZPR) - CUSIP and Name Change

124-15

October 19, 2015
Criteria for Eligibility of Securities Underlying Options

123-15

October 16, 2015
Fixed Income Securities Eligible for Trading

122-15

October 13, 2015
Fixed Income Securities Eligible for Trading

121-15

October 8, 2015
Anticipated Contract Adjustment - Canexus Corporation (CUS) - Plan of Arrangement

120-15

October 7, 2015
Anticipated Contract Adjustment - Canadian Oil Sands Limited (COS) - Acquisition

119-15

October 2, 2015
Fixed Income Securities Eligible for Trading

118-15

September 23, 2015
New Equity Options Classes

117-15

September 23, 2015
Fixed Income Securities Eligible for Trading

116-15

September 22, 2015
Modification to the three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - Launch – Postponement

115-15

September 16, 2015
Final Contract Adjustment - Empire Company Limited (EMP.A) - Stock Split

114-15

September 16, 2015
Fixed Income Securities Eligible for Trading

111-15

September 14, 2015
Accelerated Expiry - Launch – September 18, 2015

112-15

September 14, 2015
Accelerated Expiry - Initial Use - Catamaran Corporation – (CCT1) – September 18, 2015

113-15

September 14, 2015
Accelerated Expiry - Initial Use -Talisman Energy Inc. – (TLM1) – September 18, 2015

110-15

September 14, 2015
Directors and Officers of CDCC

109-15

September 10, 2015
Fixed Income Clearing – Updated Eligibility List

108-15

September 10, 2015
Fixed Income Securities Eligible for Trading

107-15

September 9, 2015
Re-introduction of an ETF Option Class - Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF (HEU)

106-15

August 26, 2015
Fixed Income Securities Eligible for Trading

105-15

August 25, 2015
Fixed Income Securities Eligible for Trading

104-15

August 21, 2015
Final contract adjustment - Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF (HEU) - Reverse Unit Split

102-15

August 21, 2015
Self-Certification - Amendments to Rule B-3 of the Rules of CDCC to Introduce Acceleration of Expiry

103-15

August 21, 2015
Self-Certification - Amendments to the Operations Manual of CDCC to Address the Increase of Limit Requiring Notice for Clearing Member’s Deposit/Withdrawal

101-15

August 20, 2015
Fixed Income Securities Eligible for Trading

100-15

August 18, 2015
New Equity Options Classes

099-15

August 18, 2015
Directors and Officers of CDCC

098-15

August 17, 2015
Final Contract Adjustment - Pacific Rubiales Energy Corporation (PRE) - Cusip and Name Change

097-15

August 17, 2015
Fixed Income Securities Eligible for Trading

096-15

August 14, 2015
Request for Comments - Amendments to the Canadian Derivatives Clearing Coporation Operations Manual for the Purpose of Moving the Afternoon Intra-Day Margin Process

095-15

August 14, 2015
Request for Comments - Amendment to the Rules of the Canadian Derivatives Clearing Corporation to Address Multiple Weekly Options Expiries

094-15

August 11, 2015
Fixed Income Securities Eligible for Trading

093-15

August 6, 2015
Fixed Income Securities Eligible for Trading

092-15

July 29, 2015
Fixed Income Securities Eligible for Trading

091-15

July 29, 2015
Options & Futures Contracts on S&P/TSX Composite Index Banks (Industry Group) and S&P/TSX Capped Utilities Index

090-15

July 28, 2015
Final Contract Adjustment - Canfor Pulp Products Inc. (CFX) - Special Cash Dividend

089-15

July 27, 2015
Final Contract Adjustment - Catamaran Corporation. (CCT) - Plan of Arrangement (Final)

088-15

July 27, 2015
Anticipated Contract Adjustment - Canfor Pulp Products Inc. (CFX) - Special Dividend

087-15

July 22, 2015
Fixed Income Securities Eligible for Trading

086-15

July 20, 2015
Criteria for Eligibility of Securities Underlying Options

085-15

July 20, 2015
Fixed Income Securities Eligible for Trading

084-15

July 9, 2015
Fixed Income Securities Eligible for Trading

083-15

July 7, 2015
Final Contract Adjustment - Calloway Real Estate Investment Trust (CWT.UN) - Name, Symbol and CUSIP Change

082-15

July 7, 2015
Final Contract Adjustment - Legacy Oil + Gas Inc. (LEG) - Plan of Arrangement (Follow-Up)

081-15

July 6, 2015
Final Contract Adjustment - Legacy Oil + Gas Inc. (LEG) - Plan of Arrangement

079-15

July 3, 2015
Final Contract Adjustment - Alamos Gold Inc. (AGI) - Plan of arrangement (Final)

080-15

July 3, 2015
Final Contract Adjustment - AuRico Gold Inc. (AUQ) - Plan of arrangement (Final)

077-15

June 30, 2015
Trading by U.S. Residents

078-15

June 30, 2015
Approved Depositories

076-15

June 30, 2015
Fixed Income Securities Eligible for Trading

075-15

June 23, 2015
New Equity and ETF Options Classes

074-15

June 22, 2015
Fixed Income Securities Eligible for Trading

073-15

June 18, 2015
Fixed Income Securities Eligible for Trading

072-15

June 16, 2015
New Weekly Equity Options Classes

071-15

June 15, 2015
New list of fees (effective as of July 1,2015

070-15

June 12, 2015
Final Contract Adjustment - Continental Gold Limited (CNL) Name and Cusip Change

069-15

June 3, 2015
Fixed Income Securities Eligible for Trading

068-15

June 3, 2015
Anticipated Contract Adjustment - Legacy Oil & Gas Inc. (LEG) - Plan of arrangement

067-15

May 27, 2015
Final Contract Adjustment - FirstService Corporation (FSV) - Spin-Off

066-15

May 27, 2015
Request for Comments - Amendments to Rule B-3 of the Rules of CDCC to Introduce Acceleration of Expiry

065-15

May 26, 2015
Anticipated Contract Adjustment - Pacific Rubiales Energy Corp. (PRE) - Plan of Arrangement

061-15

May 22, 2015
SELF-CERTIFICATION - Amendments to the Risk Manual of CDCC to Address Collateral Haircut

062-15

May 22, 2015
SELF-CERTIFICATION - Amendments to the Operations Manual and Risk Manual of CDCC to Address Mismatched Settlement Risk in the Margin Calculation

063-15

May 22, 2015
SELF-CERTIFICATION - Amendments to the Operations Manual and Risk Manual of CDCC to Address its Intra-Day Variation Margin Exposure

064-15

May 22, 2015
SELF-CERTIFICATION - Amendments to the Rules and Risk Manual of CDCC Collateral Framework

060-15

May 20, 2015
New Equity and ETF Options Classes

059-15

May 15, 2015
Re-Introduction of an Option Class - Brookfield Asset Management Inc. (BAM)

058-15

May 13, 2015
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split - ERRATUM

057-15

May 8, 2015
Self-Certification - Amendments to the risk manual of CDCC - Concentration Risk

056-15

May 8, 2015
Self-Certification - Amendments to the operations manual of CDCC - Additional margin for specific wrong-way risk

055-15

May 8, 2015
Self Certification - Amendments to the risk manual of CDCC to address close-out periods in the margin calculation

054-15

May 8, 2015
Fixed Income Securities eligible for trading

053-15

May 7, 2015
Final Contract Adjustment - Talisman Energy Inc. (TLM) - Plan of Arrangement

052-15

May 6, 2015
Fixed Income Securities Eligible for Trading

051-15

April 30, 2015
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split

050-15

April 29, 2015
Criteria for Eligibility of Securities Underlying Options

049-15

April 22, 2015
Directors and Officers of CDCC

048-15

April 20, 2015
Anticipated Contract Adjustment - Alamos Gold Inc. (AGI) - Merger

047-15

April 16, 2015
Anticipated Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Stock Split

046-15

April 10, 2015
Fixed Income Securities Eligible for Trading

045-15

April 8, 2015
Fixed Income Securities Eligible for Trading

044-15

April 1, 2015
Anticipated Contract Adjustment - Catamaran Corporation (CCT) - Acquisition

043-15

April 1, 2015
Modification to the Three-Month Canadian Bankers’ Acceptance Futures (BAX) Contract Margin Methodology - launch – September 28, 2015

042-15

March 27, 2015
Final Contract Adjustment - Keyera Corp. (KEY) - Stock Split

041-15

March 20, 2015
Allied Nevada Gold Corp. (ANV) - Delisting

040-15

March 19, 2015
Fixed Income Securities Eligible for Trading

039-15

March 17, 2015
Final Contract Adjustment - Gildan Activewear Inc. (GIL) - Stock Split

038-15

March 16, 2015
FINAL CONTRACT ADJUSTMENT Brookfield Residential Properties Inc. (BRP) Plan of Arrangement

037-15

March 13, 2015
Clearing Member Voluntary Withdrawal - Deutsche Bank Securities Limited

031-15

March 12, 2015
Self-Certification - Amendment to CDCC Rules A-9 and B-14 - Adjustment Committee for Over-the-Counter Derivative Instruments

032-15

March 12, 2015
Self-Certification - Amendments to the Risk Manual and to the Rules B-5, B-6, B-15 and D-1 of CDCC Rules

033-15

March 12, 2015
Self-Certification - Amendments to Rules A-1, B-10, C-7 and C-12 of CDCC Rules

034-15

March 12, 2015
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

035-15

March 12, 2015
Self-Certification - Amendment to CDCC Rules A-1 and A-6

036-15

March 12, 2015
Self-Certification – Amendment to the Risk Manual of the Canadian Derivatives Clearing Corporation to Address the Stress Testing Framework

030-15

March 11, 2015
Allied Nevada Gold Corp. (ANV) - Suspension

029-15

March 11, 2015
Fixed Income Securities Eligible for Trading

028-15

March 5, 2015
Final Contract Adjustment - Magna International Inc. (MG) - Stock Split

027-15

March 3, 2015
Directors and Officers of CDCC

026-15

February 20, 2015
New Equity Option Class

025-15

February 20, 2015
Anticipated Contract Adjustment - Keyera Corp. (KEY) - Stock Split

024-15

February 17, 2015
Fixed Income Securities Eligible for Trading

023-15

February 17, 2015
Anticipated Contract Adjustment - FirstService Corporation (FSV) - Spin-Off

022-15

February 12, 2015
Fixed Income Securities Eligible for Trading

021-15

February 11, 2015
Fixed Income Securities Eligible for Trading

020-15

February 10, 2015
Anticipated Contract Adjustment - Gildan Activewear Inc. (GIL) - Stock Split

019-15

February 9, 2015
New Clearing Member – BBS Securities Inc.

018-15

February 6, 2015
Fixed Income Securities Eligible for Trading

017-15

February 5, 2015
Fixed Income Securities Eligible for Trading

016-15

February 4, 2015
Final Contract Adjustment - Metro Inc. (MRU) - Stock Split

015-15

January 29, 2015
Fixed Income Securities Eligible for Trading

014-15

January 28, 2015
Updated Haircuts on Government Securities Deposited as Collateral

013-15

January 27, 2015
Fixed Income Securities Eligible for Trading

012-15

January 22, 2015
Fixed Income Securities Eligible for Trading

011-15

January 22, 2015
Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU)

010-15

January 21, 2015
New Equity Options Classes

009-15

January 16, 2015
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU1) - Reverse Unit Split (Follow-Up)

008-15

January 15, 2015
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split

007-15

January 15, 2015
IMAX Corporation (IMX) - Delisting

006-15

January 14, 2015
Fixed Income Securities Eligible for Trading

005-15

January 9, 2015
Fixed Income Securities Eligible for Trading

004-15

January 8, 2015
Fixed Income Securities Eligible for Trading

002-15

January 2, 2015
Approved Depositories

003-15

January 2, 2015
Trading by U.S. Residents

001-15

January 2, 2015
List of Notice-to-Members