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Member Notices

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

170-16

December 30, 2016
Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change

169-16

December 29, 2016
Final Contract Adjustment - TransForce Inc. (TFI) - CUSIP, Symbol and Name Change

168-16

December 28, 2016
Fixed Income Securities Eligible for Trading

167-16

December 22, 2016
Anticipated Contract Adjustment - Open Text Corporation (OTC) - Stock Split

166-16

December 20, 2016
Anticipated Contract Adjustment - Paramount Resources Ltd. (POU) - Spin-off

165-16

December 16, 2016
Final Contract Adjustment – FOLLOW-UP - Yamana Gold Inc. (YRI) - Rights Expiration

164-16

December 14, 2016
Fixed Income Securities Eligible for Trading

163-16

December 14, 2016
Directors and Officers of CDCC

162-16

December 13, 2016
REQUEST FOR COMMENTS - Amendments to the Rules and the Risk Manual of the Canadian Derivatives Clearing Corporation

161-16

December 13, 2016
Fixed Income Securities Eligible for Trading

159-16

December 13, 2016
Clearing Member Voluntary Withdrawal - BNP Paribas (Canada)

160-16

December 13, 2016
New Clearing Member – BNP Paribas

158-16

December 9, 2016
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING

157-16

December 6, 2016
Final Contract Adjustment - Newmarket Gold Inc. (NMI) - Plan of Arrangement (Follow-Up)

156-16

December 5, 2016
Request for Comments - Proposed Amendments to Sections A-102, A-220 and A-701 of the Rules of the Canadian Derivatives Clearing Corporation

154-16

December 5, 2016
Final Contract Adjustment - Newmarket Gold Inc. (NMI) - Plan of Arrangement (Final)

155-16

December 5, 2016
Final Contract Adjustment - Kirkland Lake Gold Inc. (KLG) - Plan of Arrangement (Final)

153-16

December 5, 2016
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

152-16

December 1, 2016
Intra-Commodity (Inter-Month) Spread Charge - “Share Futures”

151-16

November 29, 2016
Final Contract Adjustment - Teck Resources Limited (TCK) - Symbol Change

150-16

November 28, 2016
ERRATUM - New Equity Option Class

149-16

November 28, 2016
Future Contracts on Canadian Shares - “Share Futures”

148-16

November 28, 2016
New Equity Option Class

147-16

November 25, 2016
Expiry Schedule

146-16

November 24, 2016
FOLLOW-UP - Yamana Gold Inc. (YRI) - Rights Offering

145-16

November 23, 2016
SELF-CERTIFICATION - Amendments to the Rules, Operations Manual and Risk Manual of the Canadian Derivatives Clearing Corporation for the Introduction of Share Futures Contracts

144-16

November 22, 2016
Final Contract Adjustment - Yamana Gold Inc. (YRI) - Rights Offering

143-16

November 16, 2016
Fixed Income Securities Eligible for Trading

142-16

November 15, 2016
Fixed Income Securities Eligible for Trading

140-16

November 10, 2016
2016 – 2017 Holiday Schedule

141-16

November 10, 2016
Bank Holiday – November 11, 2016

139-16

November 9, 2016
Performance Sports Group Ltd. (PSG) - Delisting

138-16

November 9, 2016
Fixed Income Securities Eligible for Trading

137-16

November 9, 2016
Final Contract Adjustment - Westport Fuel Systems Inc. (WPT) - Symbol Change

136-16

November 7, 2016
SELF-CERTIFICATION - New Pricing Model on Options on Futures

135-16

November 7, 2016
FOLLOW-UP - Pacific Exploration & Production Corporation (PRE2) - Acceleration of Expirations

134-16

November 4, 2016
Fixed Income Securities Eligible for Trading

133-16

November 1, 2016
Final Contract Adjustment - Pacific Exploration & Production Corporation (PRE) - Plan of arrangement

132-16

November 1, 2016
Performance Sports Group Ltd (PSG) - Suspension

128-16

October 31, 2016
Final Contract Adjustment - Shopify Inc. (TSX: SH) - Symbol Change

129-16

October 31, 2016
Final Contract Adjustment - ONEX Corporation (TSX: OCX) - Symbol Change

130-16

October 31, 2016
Final Contract Adjustment - Enghouse Systems Ltd. (TSX: ESL) - Symbol Change

131-16

October 31, 2016
Final Contract Adjustment - Colliers International Group Inc. (TSX: CIG) - Symbol Change

127-16

October 26, 2016
Update - Pacific Exploration & Production Corporation (PRE)

126-16

October 26, 2016
Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Spin-off

125-16

October 19, 2016
Fixed Income Securities Eligible for Trading

124-16

October 17, 2016
List of Fees (Effective as of November 1, 2016)

123-16

October 14, 2016
Criteria for Eligibility of Securities Underlying Options

122-16

October 13, 2016
Fixed Income Securities Eligible for Trading

121-16

October 7, 2016
Fixed Income Securities Eligible for Trading

120-16

October 6, 2016
Re-Introduction of an Option Class - Element Fleet Management Corp. (EFN)

119-16

September 30, 2016
Lightstream Resources Ltd. (LTS) - Delisting

117-16

September 30, 2016
Anticipated Contract Adjustment - Newmarket Gold Inc. (NMI) Announces Acquisition - Kirkland Lake Gold Inc. (KLG) by Plan of Arrangement

118-16

September 30, 2016
Pacific Exploration & Production Corporation (PRE) - Update

116-16

September 29, 2016
Final Contract Adjustment - Element Financial Corporation (EFN) - Spin-Off

115-16

September 22, 2016
Fixed Income Securities Eligible for Trading

114-16

September 21, 2016
Fixed Income Securities Eligible for Trading

113-16

September 21, 2016
Re-Introduction of an Option Class - Brookfield Infrastructure Partners L.P. (BIP)

112-16

September 20, 2016
Lightstream Resources Ltd (LTS) - Suspension

111-16

September 14, 2016
Final Contract Adjustment - Kirkland Lake Gold Inc. (KGI) - Symbol Change

110-16

September 14, 2016
Fixed Income Securities Eligible for Trading

109-16

September 12, 2016
Fixed Income Securities Eligible for Trading

108-16

September 9, 2016
Fixed Income Securities Eligible for Trading

107-16

September 1, 2016
Final Contract Adjustment - Brookfield Infrastructure Partners L.P. (BIP.UN) - Unit Split

106-16

August 24, 2016
New Equity Options Classes

105-16

August 24, 2016
Fixed Income Securities Eligible for Trading

104-16

August 17, 2016
Self-certification - Amendments to the Operations Manual of CDCC to add Netting Cycles

103-16

August 16, 2016
Fixed Income Securities Eligible for Trading

102-16

August 16, 2016
Request for Comments - Amendments to the Risk Manual of CDCC for the New Pricing Model on Options on Futures

101-16

August 16, 2016
Request for Comments - Amendments to the Rules, the Operations Manual and the Risk Manual of CDCC for the Introduction of Share Futures Contracts

099-16

August 11, 2016
Anticipated Contract Adjustment - Brookfield Infrastructure Partners L.P.- Unit Split

100-16

August 11, 2016
Fixed Income Securities Eligible for Trading

098-16

August 9, 2016
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

097-16

August 4, 2016
Directors and Officers of CDCC

096-16

August 3, 2016
TMX Group Announces Business Integration

095-16

August 2, 2016
Fixed Income Securities Eligible for Trading

094-16

July 28, 2016
Criteria for Eligibility of Securities Underlying Options

093-16

July 27, 2016
Fixed Income Securities Eligible for Trading

092-16

July 26, 2016
Updated Haircuts on Government Securities Deposited as Collateral

091-16

July 15, 2016
Fixed Income Securities Eligible for Trading

090-16

July 13, 2016
Self-Certification - Amendments to sections A-308 and A-401 of the Rules and to the Default Manual of the Canadian Derivatives Clearing Corporaton

089-16

July 7, 2016
Fixed Income Securities Eligible for Trading

088-16

July 5, 2016
Royal Gold Inc. (RGL) - Delisting

086-16

June 30, 2016
Trading by U.S. Residents

087-16

June 30, 2016
Approved Depositories

085-16

June 29, 2016
Final Contract Adjustment - Concordia Healthcare Corp. (CXR) - CUSIP and Name Change

084-16

June 29, 2016
Fixed Income Securities Eligible for Trading

083-16

June 22, 2016
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off - ERRATUM

082-16

June 22, 2016
Fixed Income Securities Eligible for Trading

081-16

June 22, 2016
Re-Introduction of an Option Class - Brookfield Asset Management Inc. (BAM)

080-16

June 21, 2016
Fixed Income Securities Eligible for Trading

079-16

June 20, 2016
Fixed Income Securities Eligible for Trading

078-16

June 20, 2016
Fixed Income Securities Eligible for Trading

077-16

June 16, 2016
iShares Gold Trust (IGT) - Delisting

076-16

June 16, 2016
New Equity Option Class

075-16

June 13, 2016
Final Contract Adjustment - Progressive Waste Solutions Ltd (BIN) - Merger and Consolidation (Follow-Up)

074-16

June 10, 2016
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

073-16

June 10, 2016
Fixed Income Securities Eligible for Trading

072-16

June 9, 2016
Anticipated Contract Adjustment - iShares Gold Trust (IGT) - Delisting

071-16

June 7, 2016
Name Change - Westport Innovations Inc.

070-16

June 2, 2016
Re-Introduction of an Option Class - Canadian Natural Resources Limited (CNQ)

069-16

June 1, 2016
Clearing Member Voluntary Withdrawal - Maple Securities Canada Limited

068-16

June 1, 2016
Fixed Income Securities Eligible for Trading

067-16

June 1, 2016
Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off

066-16

May 31, 2016
Final Contract Adjustment - Progressive Waste Solutions Ltd (BIN) - Merger and Consolidation

065-16

May 31, 2016
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)

064-16

May 30, 2016
Final Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Spin-Off

063-16

May 30, 2016
New Weekly Equity Options Classes

062-16

May 27, 2016
Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD) - Reverse Unit Split

061-16

May 27, 2016
Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) and (HOU4) - Reverse Unit Split

060-16

May 26, 2016
List of Fees (Effective As Of June 1, 2016)

059-16

May 25, 2016
Final Contract Adjustment - Horizons ETFs HGU and HGU2 - Unit Split

058-16

May 24, 2016
Final Contract Adjustment - RONA Inc. (RON) - Plan of Arrangement

057-16

May 19, 2016
Request for Comments - Amendments to the Canadian Derivatives Clearing Corporation Operations Manual to add Netting Cycles

056-16

May 18, 2016
Anticipated Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-off

055-16

May 18, 2016
Fixed Income Securities Eligible for Trading

053-16

May 16, 2016
Anticipated Contract Adjustment - Horizons ETFs HGD and HOU - Reverse Unit Split

054-16

May 16, 2016
Anticipated Contract Adjustment - Horizons ETFs HGU - Unit Split

052-16

May 11, 2016
Anticipated Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Plan of Arrangement

051-16

May 9, 2016
Name Change - Brookfield Renewable Energy Partners L.P.

050-16

May 5, 2016
Final Contract Adjustment - Uni-Select Inc. (UNS) - Stock Split

049-16

May 5, 2016
Fixed Income Securities Eligible for Trading

048-16

May 4, 2016
New Equity Option Class

047-16

May 4, 2016
Fixed Income Securities Eligible for Trading

046-16

May 2, 2016
Anticipated Contract Adjustment - Manitoba Telecom Services Inc. (MBT) - Plan of Arrangement

045-16

April 29, 2016
Anticipated Contract Adjustment - Uni-Select Inc. (UNS) - Stock Split

044-16

April 29, 2016
Pacific Exploration & Production Corporation (PRE) - Delisting

043-16

April 28, 2016
Self-Certification - Amendments to the Operations Manual of CDCC

042-16

April 25, 2016
Criteria for Eligibility of Securities Underlying Options

041-16

April 21, 2016
List of Fees - (Effective as of May 1, 2016)

040-16

April 20, 2016
Pacific Exploration & Production Corporation (PRE) - Suspension

039-16

April 8, 2016
Fixed Income Securities Eligible for Trading

038-16

April 7, 2016
Fixed Income Securities Eligible for Trading

037-16

April 6, 2016
Fixed Income Securities Eligible for Trading

036-16

April 6, 2016
New Equity Options Classes

035-16

March 22, 2016
FINAL CONTRACT ADJUSTMENT - CANADIAN OIL SANDS LIMITED (COS)- ACQUISITION (FINAL)

034-16

March 22, 2016
Anticipated Contract Adjustment - Bankers Petroleum Ltd. (BNK) - Plan of Arrangement

033-16

March 21, 2016
FIXED INCOME SECURITIES ELIGIBLE FOR TRADING

032-16

March 18, 2016
Fixed Income Securities Eligible for Trading

031-16

March 15, 2016
Fixed Income Securities Eligible for Trading

030-16

March 15, 2016
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

029-16

March 10, 2016
New Equity Options Classes

028-16

March 9, 2016
Fixed Income Securities Eligible for Trading

027-16

February 24, 2016
Fixed Income Securities Eligible for Trading

026-16

February 24, 2016
Fixed Income Securities Eligible for Trading

025-16

February 23, 2016
Weekly Equity Options – Option Classes Changes

024-16

February 22, 2016
Fixed Income Securities Eligible for Trading

023-16

February 18, 2016
Final Contract Adjustment - Norbord Inc. (NBD) - Symbol Change

022-16

February 18, 2016
Anticipated Contract Adjustment - Element Financial Corporation (EFN) - Spin-Off

021-16

February 18, 2016
Fixed Income Securities Eligible for Trading

020-16

February 17, 2016
Final Contract Adjustment - WestJet Airlines Ltd. (WJA) - CUSIP Change

019-16

February 17, 2016
Directors and Officers of CDCC

018-16

February 16, 2016
Fixed Income Securities Eligible for Trading

017-16

February 10, 2016
Criteria for Eligibility of Securities Underlying Options

016-16

February 10, 2016
Fixed Income Securities Eligible for Trading

015-16

February 4, 2016
Fixed Income Securities Eligible for Trading

014-16

February 3, 2016
Anticipated Contract Adjustment - RONA Inc. (RON) - Plan of Arrangement

013-16

February 3, 2016
Fixed Income Securities Eligible for Trading

012-16

February 2, 2016
ANTICIPATED CONTRACT ADJUSTMENT - Amaya Inc. (AYA) - Acquisition

011-16

January 28, 2016
Fixed Income Securities Eligible for Trading

010-16

January 25, 2016
Final Contract Adjustment - Cogeco Cable Inc. (CCA) - CUSIP and Name Change

009-16

January 21, 2016
Fixed Income Securities Eligible for Trading

008-16

January 21, 2016
Anticipated Contract Adjustment - Progressive Waste Solutions Ltd. (BIN) - Merger

007-16

January 18, 2016
Updated Haircuts on Government Securities Deposited as Collateral

006-16

January 13, 2016
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

005-16

January 13, 2016
Fixed Income Securities Eligible for Trading

002-16

January 4, 2016
Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs

003-16

January 4, 2016
Trading by U.S. Residents

004-16

January 4, 2016
Approved Depositories

001-16

January 4, 2016
List of Notice-to-Members - 2015