Notice No
|
Issue Date
|
Title
|
COMP-2017-040 |
12/13/17 |
Value Added Tax |
CLRG-2017-018 |
6/30/17 |
Update on DCCC 'End of Day' SPAN Risk Parameter File |
RISK-2017-024 |
8/4/17 |
Revision to SPAN priorities for various Classes of Contracts |
TRDG-2017-004 |
1/23/17 |
Revision to Intra Day Price Bands of Gold Futures, Spot Gold and Silver Futures Contracts |
RISK-2017-020 |
7/4/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-010 |
3/3/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-023 |
8/2/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-011 |
4/10/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-002 |
1/6/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-028 |
9/6/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-006 |
2/3/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-033 |
11/2/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-030 |
10/3/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-013 |
5/2/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-038 |
12/4/17 |
Revision to Initial Margins for various Classes of Contracts |
RISK-2017-016 |
6/5/17 |
Revision to Initial Margins for various Classes of Contracts |
MKTG-2017-035 |
11/20/17 |
Revision in Transaction Fees on DSGC Contracts |
FINA-2017-032 |
10/31/17 |
Request for information – Tax Registration Number (TRN) |
TRDG-2017-021 |
7/14/17 |
Listing of additional Delivery Months, Calendar Spreads and amendment to the “Cash Settlement Day” of the Indian Single Stock Cash Settled Futures Contracts |
TRDG-2017-019 |
6/30/17 |
Listing of additional Delivery Months, Calendar Spreads and amendment to the “Cash Settlement Day” of the cash settled WTI Light Sweet Crude Oil Futures Contracts and Brent Crude Oil Futures Contracts |