Notice No
|
Issue Date
|
Title
|
RISK-2020-019 |
3/11/20 |
Amendment – Revision of Policy Relating to Fixed Deposits as Collateral |
RISK-2020-025 |
4/2/20 |
Revision to Initial Margins, Delivery Margins, Span priorities and Calendar Spread charge for various Classes of Contracts |
RISK-2020-026 |
4/21/20 |
Revision to Initial Margins for various Classes of Contracts. |
RISK-2020-032 |
5/1/20 |
Additional Initial Margin Requirements for Oil Futures Contracts |
RISK-2020-033 |
5/6/20 |
Revision to Initial Margins, Delivery Margins, Span priorities and Calendar Spread charge for various Classes of Contracts |
RISK-2020-038 |
6/4/20 |
Revision to Initial Margins and Delivery Margins for various Classes of Contracts |
RISK-2020-039 |
6/23/20 |
Introduction of Inter-Commodity Spread Credit for FX Rolling Futures Contracts |
RISK-2020-042 |
6/25/20 |
Introduction of Inter-Commodity Spread Credit for Indian Rupee Weekly Futures Contracts |
RISK-2020-045 |
7/6/20 |
Revision to Initial Margins and Delivery Margins for various Classes of Contracts |
RISK-2020-048 |
8/4/20 |
Notification of Event of Default – Phoenix Global DMCC |
RISK-2020-049 |
8/6/20 |
Emirates NBD System Changes – Friday 7 August 2020 |
RISK-2020-050 |
8/6/20 |
Revision to Initial Margins and Delivery Margins for various Classes of Contracts |
RISK-2020-055 |
8/17/20 |
Withdrawal of Bank Guarantees as Approved Collateral |
RISK-2020-059 |
9/7/20 |
Revision to Initial Margins and Delivery Margins for various Classes of Contracts |
RISK-2020-060 |
9/21/20 |
Amendment to Clearing Rules – Default Auction |
RISK-2020-061 |
9/22/20 |
Introduction of Inter-Commodity Spread Credit for FX Rolling Futures Contracts |
RISK-2020-063 |
9/25/20 |
Clearing Member Participation on DCCC Risk Committee |
RISK-2020-066 |
10/7/20 |
Revision to Initial Margins and Delivery Margins for various Classes of Contracts |
RISK-2020-069 |
10/22/20 |
Notification of Event of Default – Richcomm Global Services DMCC |
RISK-2020-072 |
10/28/20 |
Richcomm Global Services DMCC - Update |