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Market Notices 2017
Notice Number: 583
28/12/2017
Commodity Derivatives
Resignation of Member - Mooirivier Grain (Pty) Ltd
Notice Number: 582
28/12/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 581
22/12/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS16)
Notice Number: 580
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Jun 2017-2027
Notice Number: 579
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7.75 percent Jun 2017-2022
Notice Number: 578
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.25 percent Jun 2017-2019
Notice Number: 577
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.25 percent Jun 2017-2018
Notice Number: 576
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Dec 2016-2026
Notice Number: 575
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 percent Dec 2016-2021
Notice Number: 574
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 percent Dec 2016-2018
Notice Number: 573
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.75 percent Sept 2016-2026
Notice Number: 572
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.5 percent Sept 2016-2021
Notice Number: 571
21/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 8 percent Sept 2016-2018
Notice Number: 570A
21/12/2017
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2018-2019 Marketing Season
Notice Number: 570B
21/12/2017
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2018-2019 Marketing Season
Notice Number: 569
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 7.75 percent Dec 2017-2027
Notice Number: 568
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 percent Dec 2017-2022
Notice Number: 567
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 6.5 percent Dec 2017-2019
Notice Number: 566
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 6.5 percent Dec 2017-2018
Notice Number: 565
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 7.75 percent Sept 2017-2027
Notice Number: 564
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7.25 percent Sept 2017-2022
Notice Number: 563
20/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7 percent Sept 2017-2019
Notice Number: 562
20/12/2017
Commodity Derivatives
Introducing February 2018 Quanto Soybean Oil Can-Do Contract
Notice Number: 561
20/12/2017
Equity Market
Inward Listed Securities ZA127
Notice Number: 560
19/12/2017
Equity Derivatives
New Can-Do Future (XC15) - Out of Currency Settlement Option
Notice Number: 559
19/12/2017
Equity Derivatives
New Exchange Traded CFD MSPC
Notice Number: 558
19/12/2017
Equity Derivatives
New Exchange Traded CFD GRPC
Notice Number: 557
18/12/2017
Currency Derivatives, Interest Rate Derivatives
Submission of Potential claims for Operational Issues experienced in the Bonds Market following the DIS Implementation on 26 September 2017
Notice Number: 556
18/12/2017
Equity Market
Submission of Potential claims for Operational Issues experienced in the Cash Equities Market for Rolled Settlements 26 and 27 September 2017
Notice Number: 555
18/12/2017
Equity Derivatives
Listing New Strike Resetting Collar Option (XS15)
Notice Number: 554
18/12/2017
Currency Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.75 percent Mar 2016-2026
Notice Number: 553
18/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.25 percent Mar 2016-2021
Notice Number: 552
18/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 percent Mar 2016-2018
Notice Number: 551
18/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Dec 2015-2025
Notice Number: 550
18/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 percent Dec 2015-2020
Notice Number: 549
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.5% Mar 2017-2027
Notice Number: 548
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8% Mar 2017-2022
Notice Number: 547
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.5% Mar 2017-2019
Notice Number: 546
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.5% Mar 2017-2018
Notice Number: 545
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 9% Jun 2016-2026
Notice Number: 544
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.5% Jun 2016-2021
Notice Number: 543
15/12/2017
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 8% Jun 2016-2018
Notice Number: 542
15/12/2017
Equity Derivatives
Treatment of Rebosis Property Fund Ltd (REB) Corp Action - Rights Issue 20 Dec 2017 (Ex-Date)
Notice Number: 541
15/12/2017
Equity Market
Inward Listed Securities LPESP1
Notice Number: 540
13/12/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS14)
Notice Number: 539
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 10 Year JSE Eris Interest Rate Swap Future
Notice Number: 538
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 5 Year JSE Eris Interest Rate Swap Future
Notice Number: 537
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 2 Year JSE Eris Interest Rate Swap Future
Notice Number: 536
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 1 Year JSE Eris Interest Rate Swap Future
Notice Number: 535
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 10 Year JSE Eris Interest Rate Swap Future
Notice Number: 534
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 5 Year JSE Eris Interest Rate Swap Future
Notice Number: 533
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 2 Year JSE Eris Interest Rate Swap Future
Notice Number: 532
12/12/2017
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 1 Year JSE Eris Interest Rate Swap Future
Notice Number: 531
12/12/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS13)
Notice Number: 530
12/12/2017
Equity Market
Inward Listed Securities SXEIID
Notice Number: 529
12/12/2017
Commodity Derivatives
Update on the USD Deliverable Zambian Grain Contracts
Notice Number: 528
11/12/2017
Equity Derivatives
New Can-Do Future (XC14) - Out of Currency Settlement Option
Notice Number: 527
01/12/2017
Equity Derivatives
New Can-Do Future (XC13) - Out of Currency Settlement Option
Notice Number: 526
01/12/2017
Primary Markets Fees effective 2018
Notice Number: 525
01/12/2017
Interest Rate Derivatives
Interest Rate Derivatives Trading Fees effective 2018
Notice Number: 524
01/12/2017
Currency Derivatives
Currency Derivatives Trading Fees effective 2018
Notice Number: 523
01/12/2017
Interest Rate Derivatives
Bond Trading Fees effective 2018
Notice Number: 522
01/12/2017
Equity Market
Post Trade Services Fees effective 2018
Notice Number: 521
01/12/2017
Equity Market
Equity Market Fees effective 2018
Notice Number: 520
01/12/2017
Equity Derivatives
Equity Derivatives Market Fees effective 2018
Notice Number: 519
01/12/2017
Commodity Derivatives
Revised Commodity Derivatives Fees effective 2018
Notice Number: 519 - 526
01/12/2017
All Markets
JSE Price List 2018 Fees for Issuers, Services and Trading (Attachment)
Notice Number: 518
30/11/2017
Equity Market
Change in Member Name - Anchor Securities Stockbrokers (Pty) Ltd
Notice Number: 517
30/11/2017
Equity Derivatives
New Contracts Loaded due to Treatment of Peregrine Holdings Limited (PGR) Corporate Action - Unbundling 29 November 2017 (Ex-Date)
Notice Number: 516
30/11/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 515
29/11/2017
Commodity Derivatives
Consistency of JSE Storage Rates
Notice Number: 514
29/11/2017
Equity Derivatives
Can-Do Future (TRUY) - Truworths (TRU)
Notice Number: 513
29/11/2017
Commodity Derivatives
Introducing October 2018 Quanto Brent Crude Oil Can-Do Contract
Notice Number: 512
29/11/2017
Commodity Derivatives
Introducing January 2018 Quanto Brent Crude Oil Can-Do Contract
Notice Number: 511
29/11/2017
Equity Derivatives
New contracts loaded due to the Treatment of Reinet Investments SCA (REI) Corporate Action - Name Change and Conversion 29 November 2017 (Ex-Date)
Notice Number: 510
29/11/2017
Equity Derivatives
New Contracts Loaded due to the Treatment of Ascendis Health Ltd (ASC) Corporate Action - Rights Issue 29 November 2017 (Ex-Date)
Notice Number: 509
28/11/2017
Commodity Derivatives
Introducing a December 2017 Yellow Maize Commodity Can-Do
Notice Number: 508
28/11/2017
Equity Derivatives
New Cando EXF - Basket Future (BT04) - Total Return Basket
Notice Number: 507
24/11/2017
Equity Derivatives
Treatment of Ascendis Health Ltd (ASC) Corporate Action - Rights Issue 29 November 2017 (Ex-Date)
Notice Number: 506
24/11/2017
Equity Derivatives
Treatment of Redefine International PLC (RPL) Corporate Action - Name Change 29 November 2017 (Ex-Date)
Notice Number: 505
24/11/2017
Equity Derivatives
Treatment of Peregrine Holdings Ltd (PGR) Corporate Action - Unbundling 29 November 2017 (Ex-Date)
Notice Number: 504
24/11/2017
Equity Derivatives
Treatment of Reinet Investments SCA (REI) - Name Change and Conversion 29 Nov 2017 (Ex-Date)
Notice Number: 503
24/11/2017
All Markets
Expected Volatility in the Capital Markets from 24 November 2017
Notice Number: 502
23/11/2017
Equity Derivatives
New Cando EXF - Basket Future (BT03) - Total Return Basket
Notice Number: 501
20/11/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS12)
Notice Number: 500
20/11/2017
Equity Derivatives
New IDX Future (LNNG) and IDX Dividend Future (LNND)
Notice Number: 499
16/11/2017
Equity Derivatives
New Member Argon Securities (Pty) Ltd
Notice Number: 498
15/11/2017
Equity Derivatives
New Can-Do EXF - Basket Future (BC04)
Notice Number: 497
15/11/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS11)
Notice Number: 496
14/11/2017
Equity Derivatives
New Can-Do Future (XC07) - Out of Currency Settlement Option
Notice Number: 495
14/11/2017
Commodity Derivatives
Approval of OAB Additional Wheat Delivery Point
Notice Number: 494
14/11/2017
Equity Market
Inward Listed Securities DCCUS2
Notice Number: 493
13/11/2017
Equity Derivatives
New Contracts Loaded due to Treatment of Holdsport Limited (HSP) - Conversion 1 November 2017 (Ex-date)
Notice Number: 492
10/11/2017
Equity Derivatives
Follow up on Treatment of Tencent Holding Ltd (TENG) Corporate Action - Rights Offer
Notice Number: 491
09/11/2017
Equity Derivatives
Treatment of Fortress Inc Fund Ltd A (FFA) and Fortress Inc Fund Ltd B (FFB) Corporate Action - Name Change 15 November 2017 (Ex-Dated)
Notice Number: 490
09/11/2017
Equity Derivatives
New IDX Future (CHLG) and IDX Dividend Future (CHLD)
Notice Number: 489
06/11/2017
Commodity Derivatives
Introducing February 2018 Quanto Soybean Meal Can-Do Contract
Notice Number: 488
06/11/2017
Commodity Derivatives
Introducing February 2018 Quanto Soybean Oil Can-Do Contract
Notice Number: 487
06/11/2017
Equity Market
Potential claims for Operational Settlement Issues experienced in the Cash Equities Market for Rolled Settlements of 26 and 27 September 2017
Notice Number: 486A
03/11/2017
Commodity Derivatives
Proposed amendments to the JSE Derivatives Directives - Speculative Position Limits
Notice Number: 486B
03/11/2017
Commodity Derivatives
Proposed amendments to the JSE Derivatives Directives - Speculative Position Limits
Notice Number: 485
01/11/2017
Equity Derivatives
New Cando EXF - Basket Future (BC03)
Notice Number: 484
01/11/2017
Equity Derivatives
New IDX Future (LRCG) and IDX Dividend Future (LRCD)
Notice Number: 483
01/11/2017
Equity Derivatives
New IDX Future (APMG) and IDX Dividend Future (APMD)
Notice Number: 482
01/11/2017
Equity Derivatives
New IDX Future (CAHG) and IDX Dividend Future (CAHD)
Notice Number: 481
01/11/2017
Equity Derivatives
New IDX Future (ABCG) and IDX Dividend Future (ABCD)
Notice Number: 480
01/11/2017
Equity Derivatives
New IDX Future (THOG) and IDX Dividend Future (THOD)
Notice Number: 479
01/11/2017
Equity Derivatives
New IDX Future (TERG) and IDX Dividend Future (TERD)
Notice Number: 478
01/11/2017
Equity Derivatives
New IDX Future (STMG) and IDX Dividend Future (STMD)
Notice Number: 477
01/11/2017
Equity Derivatives
New IDX Future (ONNG) and IDX Dividend Future (ONND)
Notice Number: 476
01/11/2017
Equity Derivatives
New IDX Future (MKGG) and IDX Dividend Future (MKGD)
Notice Number: 475
01/11/2017
Equity Derivatives
New IDX Future (GGAG) and IDX Dividend Future (GGAD)
Notice Number: 474
01/11/2017
Equity Derivatives
New IDX Future (BMAG) and IDX Dividend Future (BMAD)
Notice Number: 473
31/10/2017
Equity Derivatives
Treatment of Holdsport Limited (HSP) Conversion 1 November 2017 (Ex-Date)
Notice Number: 472
31/10/2017
Equity Derivatives
New Cando EXF - Basket Future (BC02)
Notice Number: 471
30/10/2017
Equity Derivatives
New IDX Future (ANEG) and IDX Dividend Future (ANED)
Notice Number: 470
30/10/2017
Equity Market
Inward Listed Securities ESPIBM
Notice Number: 469
27/10/2017
Commodity Derivatives
Approval of GWK Additional Wheat Delivery Points
Notice Number: 468
27/10/2017
Equity Derivatives
New Cando EXF - Basket Future (BC01)
Notice Number: 467
26/10/2017
Equity Derivatives
New IDX Future (BMWG) and IDX Dividend Future (BMWD)
Notice Number: 466
26/10/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS10)
Notice Number: 465
26/10/2017
Equity Derivatives
New IDX Future (TTOG) and IDX Dividend Future (TTOD)
Notice Number: JSE Trustees (Pty) Ltd
26/10/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 463
24/10/2017
All Derivative Markets
Scheduled JSE Derivative Market Initial Margin Updates
Notice Number: 462
24/10/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS09)
Notice Number: Changes to Initial Margin Requirements for Agricultural Derivatives
24/10/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: Applications for Registration of JSE Registered Silos
24/10/2017
Commodity Derivatives
Applications for Registration of JSE Registered Silos
Notice Number: Treatment Rolls Royce Holding Plc (RR LN Equity) Corporate Action - 26 October 2017 (Ex-Date)
23/10/2017
Equity Derivatives
Treatment Rolls Royce Holding Plc (RR LN Equity) Corporate Action - 26 October 2017 (Ex-Date)
Notice Number: Satrix Rafi 40 (STXRAF) No Rights Issue Corporate Action - 25 October 2017 (Ex-Date)
23/10/2017
Equity Derivatives
Satrix Rafi 40 (STXRAF) No Rights Issue Corporate Action - 25 October 2017 (Ex-Date)
Notice Number: Bauba Platinum Limited (BAU) Corporate Action - Corporate Reduction 25 October 2017 (Ex-Date)
20/10/2017
Equity Derivatives
Bauba Platinum Limited (BAU) Corporate Action - Corporate Reduction 25 October 2017 (Ex-Date)
Notice Number: 456
19/10/2017
Commodity Derivatives
Application by OAB for an Additional Wheat Delivery Point
Notice Number: Treatment of Tencent Holding Ltd (TENG)Corporate Action Rights Offer 18 Oct 2017 (Ex-Date)
18/10/2017
Equity Derivatives
Treatment of Tencent Holding Ltd (TENG)Corporate Action Rights Offer 18 Oct 2017 (Ex-Date)
Notice Number: 454
18/10/2017
Equity Derivatives
New IDX Future (A2MG) and IDX Dividend Future (A2MD)
Notice Number: 453
17/10/2017
All Derivative Markets
Resignation of Clearing Member BNP Paribas South Africa Branch
Notice Number: 452A
16/10/2017
Equity Market
Proposed Amendments to the JSE Equities Rules and Directives - Block Trades and Off Order Book Principal Trades
Notice Number: 452B
16/10/2017
Equity Market
Proposed Amendments to the JSE Equities Rules and Directives - Block Trades and Off Order Book Principal Trades
Notice Number: 451
16/10/2017
Equity Derivatives
New Can-Do Future (XC06) - Out of Currency Settlement Option
Notice Number: 450
13/10/2017
Equity Market
Inward Listed Securities ZA124
Notice Number: 449
13/10/2017
All Markets
Change in Member Name - Momentum SP Reid Securities (Pty) Ltd
Notice Number: 448A
12/10/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 448B
12/10/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 448C
12/10/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 447A
12/10/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 447B
12/10/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 446A
12/10/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 446B
12/10/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 445
11/10/2017
Equity Market
Inward Listed Securities SPIB20
Notice Number: 444
10/10/2017
Equity Derivatives
New Can-Do Future (XC05) - Out of Currency Settlement Option
Notice Number: 443
10/10/2017
Equity Derivatives
New Cando EXF - Basket Future (BT02) - Total Return Basket
Notice Number: 442
09/10/2017
Equity Derivatives
New Can-Do Future (YPHQ) - Out of Currency Settlement Option
Notice Number: 441
09/10/2017
Equity Derivatives
Treatment of Stadio Holdings Limited (SDO) Corporate Action - Rights Issue 11 October 2017 (Ex-Date)
Notice Number: 440
09/10/2017
Equity Derivatives
New IDX Future (PFIG) and IDX Dividend Future (PFID)
Notice Number: 439
05/10/2017
Equity Derivatives
New Cando EXF - Basket Future (BT01) - Total Return Basket
Notice Number: 438
04/10/2017
Equity Market
Inward Listed Securities ZA125
Notice Number: 437
04/10/2017
Equity Derivatives
New SSF Future (SRRQ) and SSF Dividend Future (SRRF)
Notice Number: 436
04/10/2017
Currency Derivatives, Interest Rate Derivatives
Failed Settlements in the Cash Bonds Market 26 to 29 September 2017
Notice Number: 435
04/10/2017
Equity Derivatives
New Contracts Loaded - Treatment of Sibanye Gold Limited (SGL) Corporate Action - Capitalisation Issue 4 October 2017 (Ex-Date)
Notice Number: 434
04/10/2017
Equity Derivatives
Treatment of Sibanye Gold Limited (SGL) Corporate Action - Capitalisation Issue 4 October 2017 (Ex-Date)
Notice Number: 433
03/10/2017
Equity Derivatives
New Contracts Loaded - Treatment of Curro Holdings Limited (COH) - Unbundling 3 October 2017 (Ex-Date)
Notice Number: 432
03/10/2017
Currency Derivatives, Interest Rate Derivatives
Failed Settlements in the Cash Bonds Market 26 to 29 September 2017
Notice Number: 431
03/10/2017
Commodity Derivatives
Commodity Trading Members to Capture Delta Option Trades and Structured Option Trades (I.E. DOTS and SOTS)
Notice Number: 430
03/10/2017
Commodity Derivatives
Application by GWK for Additional Wheat Delivery Points
Notice Number: 429
03/10/2017
Commodity Derivatives
Correction of Final Wheat Location Differentials for Two NWK Silos
Notice Number: 428
02/10/2017
Interest Rate Derivatives
Failed Settlements in the Cash Bonds Market 26 to 29 September 2017
Notice Number: 427
02/10/2017
Equity Derivatives
Treatment of Curro Holdings Limited (COH) - Unbundling 3 October 2017 (Ex-Date)
Notice Number: 426
02/10/2017
Equity Market
Inward Listed Securities SPIB19
Notice Number: 425
01/10/2017
Equity Market, JSE Broker Deal Accounting
BDA Status Update on Rolled Settlements for 26 to 28 September 2017
Notice Number: 424
01/10/2017
Interest Rate Derivatives
Failed Settlements in the Cash Bonds Market 26 to 29 September 2017
Notice Number: 423
29/09/2017
Equity Market
Rolled Settlements in the Equity Market on 26 and 27 September 2017
Notice Number: 422
29/09/2017
Equity Derivatives
New IDX Future (SWKG) and IDX Dividend Future (SWKD)
Notice Number: 421
29/09/2017
Currency Derivatives, Interest Rate Derivatives
Cash Bonds Settlement Issues
Notice Number: EQM - Failed Trades in the Equity Market on 26 and 27 September 2017
28/09/2017
Equity Market
Failed Trades in the Equity Market on 26 and 27 September 2017
Notice Number: 419A
28/09/2017
Currency Derivatives, Interest Rate Derivatives
Settlement Issues
Notice Number: 419B
28/09/2017
Currency Derivatives, Interest Rate Derivatives
Settlement Issues
Notice Number: 418
28/09/2017
Equity Market
Failed Trades in the Equity Market on 26 and 27 September 2017
Notice Number: 417
28/09/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 416A
28/09/2017
Commodity Derivatives
Final Wheat Location Differentials and Storage Rates for 2017-18 Marketing Season
Notice Number: 416B
28/09/2017
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for 2017-18 Marketing Season
Notice Number: 415
27/09/2017
Equity Market
UPDATE - Failed Trades in the Equity Market on 26 September 2017 23h30
Notice Number: 414
27/09/2017
Equity Market
UPDATE - Failed Trades in the Equity Market on 26 September 2017
Notice Number: 413A
27/09/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 413B
27/09/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 412A
27/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 412B
27/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 412C
27/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 411A
27/09/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 411B
27/09/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 410A
27/09/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 410B
27/09/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 409
27/09/2017
Equity Market
Failed Trades in the Equity Market on 26 September 2017
Notice Number: 408
26/09/2017
Equity Derivatives
New Can-Do Future (XC04) - Out of Currency Settlement Option
Notice Number: 407A
26/09/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE IRM Rules and Directives - Strate's DIS
Notice Number: 407B
26/09/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE IRM Rules and Directives - Strate's DIS - Amendments to the IRM Rules
Notice Number: 407C
26/09/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE IRM Rules and Directives - Strate's DIS - Amendments to the IRM Directives
Notice Number: 407D
26/09/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE IRM Rules and Directives - Strate's DIS - Board Notice
Notice Number: 406
26/09/2017
All Markets
JSE Markets Calendar 2018
Notice Number: 405
22/09/2017
Equity Derivatives
New Cando EXF - Basket Future (YNSQ) - Total Return Basket
Notice Number: 404A
21/09/2017
Commodity Derivatives
Proposed Location Differentials for 2017 and 2018 Wheat Marketing Season
Notice Number: 404B
21/09/2017
Commodity Derivatives
Proposed Location Differentials for 2017 and 2018 Wheat Marketing Season
Notice Number: 403
20/09/2017
Equity Derivatives
Market Extension Times 20 September 2017
Notice Number: 402
20/09/2017
Equity Derivatives
New Can-Do Future (XC03) - Out of Currency Settlement Option
Notice Number: 401
20/09/2017
Equity Market
Passing of Mr Andy van Heerden
Notice Number: 400
20/09/2017
Equity Derivatives
New Cando EXF - Basket Future (YNRQ) - Total Return Basket
Notice Number: 399
20/09/2017
Equity Derivatives
New Contracts Loaded - Treatment of Naspers Ltd -N- Ltd (NPN) Corporate Action Unbundling 20 September 2017 (Ex-Date)
Notice Number: 398
20/09/2017
Equity Derivatives
New Contracts Loaded – Treatment of Db x-trackers – Name Change to SYGNIA ITRIX 13 Sept 2017 (Ex-date)
Notice Number: 397
18/09/2017
Equity Derivatives
New Cando EXF - Basket Future (YNRQ) - Total Return Basket
Notice Number: 396
18/09/2017
Commodity Derivatives
Introducing November 2017 Quanto Brent Crude Oil Can-Do Contract
Notice Number: 395
15/09/2017
Equity Derivatives
New Can-Do Future (XC02) - Out of Currency Settlement Option
Notice Number: 394
15/09/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS08)
Notice Number: 393
15/09/2017
Equity Derivatives
Listing Can-Do Future (GLNX) – GLENCORE (GLN)
Notice Number: 392
15/09/2017
Commodity Derivatives
Approval of NWK Additional Wheat Delivery Points
Notice Number: 391
15/09/2017
Equity Derivatives
Treatment of Naspers Ltd -N- LTD (NPN) Corporate Action - Unbundling 20 September 2017 (Ex-Date)
Notice Number: 390
15/09/2017
Equity Derivatives
New Member - F-Wise Capital (Pty) Ltd
Notice Number: 389
14/09/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS07)
Notice Number: 388
13/09/2017
Commodity Derivatives
Approval of SWK Additional Delivery Point
Notice Number: 387
13/09/2017
Equity Derivatives
Updated Market Extension Times September 2017 Closeout
Notice Number: 386A
12/09/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 386B
12/09/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 385A
12/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 385B
12/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 385C
12/09/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 384A
12/09/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 384B
12/09/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 383A
12/09/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 383B
12/09/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 382
12/09/2017
Commodity Derivatives
Introducing November 2017 Quanto Gold Commodity Can-Do Contract
Notice Number: 381
12/09/2017
Equity Derivatives, Commodity Derivatives
Resignation of Member - Regiments Securities (Pty) Ltd
Notice Number: 380
12/09/2017
Equity Derivatives
Resignation of Member - South African Reserve Bank
Notice Number: 379
08/09/2017
Equity Derivatives, Commodity Derivatives
Resignation of Member - GFI South Africa (Pty) Ltd
Notice Number: 378
06/09/2017
Equity Market, Equity Derivatives
Moving All Equity Market Instruments into Auction during Futures Close Out (FCO)
Notice Number: 377
04/09/2017
Equity Derivatives
New Can-Do Future (XC01) – Out of Currency Settlement Option
Notice Number: 376
04/09/2017
Equity Derivatives
Treatment Glencore PLC Corporate Action – 6 September 2017 (Ex. Date)
Notice Number: 375A
04/09/2017
Equity Derivatives
Change in Treatment of Scrip Dividend Corporate Actions
Notice Number: 375B
04/09/2017
Equity Derivatives
Change in Treatment of Scrip Dividend Corporate Actions
Notice Number: 374
01/09/2017
Equity Market
Inward Listed Securities ZA126
Notice Number: 373A
31/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 373B
31/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 373C
31/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 372A
31/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 372B
31/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 371A
31/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 371B
31/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 370
31/08/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 369
30/08/2017
Currency Derivatives, Interest Rate Derivatives
Companion Bond Changed from R203 to R204
Notice Number: 368
29/08/2017
All Markets
Resignation of Member - BNP Paribas Securities South Africa (Pty) Ltd
Notice Number: 367
23/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for ALSI
Notice Number: 366
23/08/2017
Equity Market
Inward Listed Securities SPIB18
Notice Number: 365
23/08/2017
Commodity Derivatives
Application by NWK for Additional Wheat Delivery Points
Notice Number: 364A
23/08/2017
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for 2017-2018 Wheat Marketing Season
Notice Number: 364B
23/08/2017
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for 2017-2018 Wheat Marketing Season
Notice Number: 363
21/08/2017
Equity Derivatives
New IDX Future (SYKG) and IDX Dividend Future (SYKD)
Notice Number: 362
21/08/2017
Equity Derivatives
New Cando EXF - Basket Future YPNQ
Notice Number: 361
21/08/2017
Equity Derivatives
FCO Option Exercise and Abandon Time
Notice Number: 360A
17/08/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 360B
17/08/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 359A
15/08/2017
Commodity Derivatives
Introducing Efficiencies in the Outloading of Grain at Storage Locations
Notice Number: 359B
15/08/2017
Commodity Derivatives
Introducing Efficiencies in the Outloading of Grain at Storage Locations
Notice Number: 358
15/08/2017
Commodity Derivatives
Application by SWK for an Additional Delivery Point
Notice Number: 357A
14/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 357B
14/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 357C
14/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 356A
14/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 356B
14/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 355A
14/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 355B
14/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 354
10/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for EIMG
Notice Number: 353
08/08/2017
Equity Derivatives
New Exchange Traded CFD PGRC
Notice Number: 352
04/08/2017
Equity Derivatives
New IDX Future (EIMG) and IDX Dividend Future (EIMD)
Notice Number: 351
04/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for XS06
Notice Number: 350
04/08/2017
Equity Market
Inward Listed Securities SPIB17
Notice Number: 349A
04/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Bond Derivatives
Notice Number: 349B
04/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Bond Derivatives
Notice Number: 348A
03/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 348B
03/08/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 347A
03/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 347B
03/08/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 346A
03/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 346B
03/08/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 345
03/08/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS06)
Notice Number: 344A
02/08/2017
Commodity Derivatives
Change to Merino Wool Indicator Standard Contract Size
Notice Number: 344B
02/08/2017
Commodity Derivatives
Change to Merino Wool Indicator Standard Contract Size
Notice Number: 343
02/08/2017
All Markets
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 342
02/08/2017
Equity Derivatives
New IDX Future (CDEG) and IDX Dividend Future (CDED)
Notice Number: 341
01/08/2017
Equity Market
Inward Listed Securities ZA121
Notice Number: 340
27/07/2017
Equity Derivatives
New Any-day Index Future (DCAX) – FTSE JSE Capped Shareholder Weighted 40 (J430)
Notice Number: 339
27/07/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 338
26/07/2017
Interest Rate Derivatives
Initial Margin Web Calculator for Interest Rate Derivatives
Notice Number: 337A
25/07/2017
Equity Derivatives
Updates to ALSI Pricing Methodology
Notice Number: 337B
25/07/2017
Equity Derivatives
Updates to ALSI Pricing Methodology
Notice Number: 336
24/07/2017
Commodity Derivatives
Suspension of Grain Outloading at Petrusburg and Hartswater
Notice Number: 335
24/07/2017
Commodity Derivatives
Outcome of Application by GWK for an Additional Delivery Point
Notice Number: 334
21/07/2017
Equity Derivatives
New SSF Future (MSPQ), Dividend Future (MSPF)
Notice Number: 333
21/07/2017
Equity Market
Inward Listed Securities FTSIIB
Notice Number: 332A
20/07/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 332B
20/07/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 331A
19/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 331B
19/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 330A
19/07/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 330B
19/07/2017
Currency Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 329
19/07/2017
Equity Derivatives
New IDX Future (NUEG) and IDX Dividend Future (NUED)
Notice Number: 328
19/07/2017
Commodity Derivatives
Changes to the Settlement Process of the Beef Carcass Contract
Notice Number: 327
17/07/2017
Commodity Derivatives
Approval of BKB Additional Delivery Point
Notice Number: 326
17/07/2017
Commodity Derivatives
Approval of TWK Additional Delivery Point
Notice Number: 325
14/07/2017
Equity Derivatives
New Can-Do Future (YPRQ) – Out of Currency Settlement Option
Notice Number: 324
14/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for YPKQ
Notice Number: 323
13/07/2017
Equity Derivatives
Treatment of ProShares VIX Short-Term Futures ETF (VIXG) Corporate Action – Share Split – 17th July 2017 (Ex-Date)
Notice Number: 322A
13/07/2017
Currency Derivatives, Interest Rate Derivatives
Portfolio VaR Implementation for Interest Rate Derivatives
Notice Number: 322B
13/07/2017
Currency Derivatives, Interest Rate Derivatives
Portfolio VaR Implementation for Interest Rate Derivatives
Notice Number: 321A
13/07/2017
Commodity Derivatives
JSE Proposal for Trading Members to Capture Delta Option Trades and Structured Option Trades(I.E. “DOTS” & “SOTS”)
Notice Number: 321B
13/07/2017
Commodity Derivatives
JSE Proposal for Trading Members to Capture Delta Option Trades and Structured Option Trades(I.E. “DOTS” & “SOTS”)
Notice Number: 320
12/07/2017
Equity Derivatives
New Contracts Loaded – Treatments of Rockcastle Global Real Estate Co Ltd (ROC) and New Europe Prop Inv Plc (NEP) Corporate Action – Conversion to NEPI Rockcastle Plc (NRP) 12th July 2017 (Ex-date)
Notice Number: 319
11/07/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS05)
Notice Number: 318
11/07/2017
Commodity Derivatives
Approval of SSK Additional Delivery Point
Notice Number: 317
11/07/2017
Equity Derivatives
New IDX Future (USFG) and IDX Dividend Future (USFD)
Notice Number: 316
11/07/2017
Equity Derivatives
New IDX Future (CPGG) and IDX Dividend Future (CPGD)
Notice Number: 315
11/07/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 314
10/07/2017
Interest Rate Derivatives
UTMTM Files Republished
Notice Number: 313
10/07/2017
Equity Derivatives
Treatment of Rockcastle Global Real Estate CO Ltd (ROC) - New Europe Prop INV PLV (NEP) Corporate Action - Conversion 12 July 2017 (Ex. Date)
Notice Number: 312
10/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for YQYQ
Notice Number: 311
07/07/2017
Equity Derivatives, Commodity Derivatives
Global Market Migration Go-live Decision
Notice Number: 310
07/07/2017
Currency Derivatives, Interest Rate Derivatives
Resignation of Interest Rate and Currency Derivatives Clearing Member - Sanlam Capital Markets (Pty) Ltd
Notice Number: 309A
06/07/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 309B
06/07/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 308A
06/07/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 308B
06/07/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 307A
06/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 307B
06/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 306A
06/07/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 306B
06/07/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 305A
06/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Exotic Derivatives
Notice Number: 305B
06/07/2017
Equity Derivatives
Changes to Initial Margin Requirements for Exotic Derivatives
Notice Number: 304
06/07/2017
Equity Derivatives, Commodity Derivatives
Global Market Operating Hours
Notice Number: 303
03/07/2017
Equity Derivatives
New Can-Do Future (YPOQ) – Out of Currency Settlement Option
Notice Number: 302
30/06/2017
Equity Derivatives
Treatment of Alexander Forbes Grp Hldgs (AFH) Corporate Action – 5 July 2017 (Ex. Date)
Notice Number: 301
30/06/2017
Equity Derivatives
Resignation of Equity Derivatives Clearing Member - Sanlam Capital Markets (Pty) Ltd
Notice Number: 300
29/06/2017
Equity Derivatives
New Can-Do Future (YQKQ) - Out of Currency Settlement Option
Notice Number: 299
29/06/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 298
29/06/2017
Equity Market
Inward Listed Securities ZA118
Notice Number: 297
28/06/2017
Commodity Derivatives
Application by GWK for an Additional Delivery Point
Notice Number: 296
28/06/2017
Commodity Derivatives
Introducing a July 2017 Yellow Maize Commodity Can-Do
Notice Number: 295
28/06/2017
Equity Derivatives
JSE Market Notice 29517 EDM - New IDX Future (TCOG) and IDX Dividend Future (TCOD)
Notice Number: 294
28/06/2017
Equity Derivatives
New IDX Future (MAHG) and IDX Dividend Future (MAHD)
Notice Number: 293
27/06/2017
Equity Derivatives
New Can-Do Future (YXAQ) – Out of Currency Settlement Option
Notice Number: 292
26/06/2017
Equity Market, Equity Derivatives
Moving All Instruments Into Auction During FCO
Notice Number: 291
26/06/2017
Equity Derivatives
New Can-Do Future (YQXQ) – Out of Currency Settlement Option
Notice Number: 290
26/06/2017
Equity Derivatives, Commodity Derivatives
Update - Global Market Migration Go Live Activities
Notice Number: 289A
26/06/2017
Commodity Derivatives
Confirmation Regards the New Wheat Import Tariff
Notice Number: 289B
26/06/2017
Commodity Derivatives
ITAC Report No. 538 Review of the Dollar Based Domestic Refernce Price
Notice Number: 288
23/06/2017
Commodity Derivatives
Application by TWK for an Additional Delivery Point
Notice Number: 287
23/06/2017
Commodity Derivatives
Application by BKB for an Additional Delivery Point
Notice Number: 286
23/06/2017
Equity Derivatives
Resignation of Member - Sanlam Capital Markets (Pty) Ltd
Notice Number: 285
23/06/2017
Equity Derivatives
New Can-Do Future (YQSQ) - Out of Currency Settlement Option
Notice Number: 284
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset -10Y Stnd 9 Percent Jun 2016-2026
Notice Number: 283
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.5 Percent Mar 2017-2027
Notice Number: 282
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.5 Percent Jun 2016-2021
Notice Number: 281
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd Percent Mar 2017-2022
Notice Number: 280
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 8 Percent Jun 2016-2018
Notice Number: 279
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.5 Percent Mar 2017-2019
Notice Number: 278
22/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.5 Percent Mar 2017-2018
Notice Number: 278
22/06/2017
Equity Market
Inward Listed Securities ZA123
Notice Number: 276A
22/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Exotic Derivatives
Notice Number: 276B
22/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Exotic Derivatives
Notice Number: 275
22/06/2017
Equity Derivatives
New IDX Future (TSMG) and IDX Dividend Future (TSMD)
Notice Number: 274
22/06/2017
Equity Derivatives
New IDX Future (ROKG) and IDX Dividend Future (ROKD)
Notice Number: 273
22/06/2017
Equity Derivatives
New IDX Future (LOGG) and IDX Dividend Future (LOGD)
Notice Number: 272
22/06/2017
Equity Derivatives
New IDX Future (HEXG) and IDX Dividend Future (HEXD)
Notice Number: 271
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Dec 2015-2025
Notice Number: 270
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Dec 2016-2026
Notice Number: 269
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 % Jun 2017-2027
Notice Number: 268
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.75 % Mar 2016-2026
Notice Number: 267
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.75 % Sep 2016-2026
Notice Number: 266
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7.75 % Jun 2017-2022
Notice Number: 256
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 % Dec 2015-2020
Notice Number: 264
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 % Dec 2016-2021
Notice Number: 263
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.25 % Mar 2016-2021
Notice Number: 262
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.5 % Sep 2016-2021
Notice Number: 261
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 8 % Sep 2016-2018
Notice Number: 260
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 % Mar 2016-2018
Notice Number: 259
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 % Dec 2016-2018
Notice Number: 258
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.25 % Dec 2015-2017
Notice Number: 257
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.25 % Jun 2017-2019
Notice Number: 256
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.5 % Dec 2016-2017
Notice Number: 255
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.25 % Jun 2017-2018
Notice Number: 254
21/06/2017
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.75 % Sep 2016-2017
Notice Number: 253A
21/06/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 253B
21/06/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 252A
21/06/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 252B
21/06/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 251A
21/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 251B
21/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 250A
21/06/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 250B
21/06/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 249A
21/06/2017
Equity Derivatives
Equity Derivatives Market Price Update - IDX Options
Notice Number: 249B
21/06/2017
Equity Derivatives
Equity Derivatives Market Price List
Notice Number: 248A
20/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for XW03
Notice Number: 248B
20/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for XW03
Notice Number: 247
19/06/2017
Equity Derivatives
New Can-Do Future (XW03) – Portfolio of Options
Notice Number: 246
15/06/2017
Equity Derivatives
New IDX Future (EQMG) and IDX Dividend Future (EQMD)
Notice Number: 245
15/06/2017
Equity Derivatives
Can-Do IDX Future (YQYQ) – Tencent Holdings – 700 HK Equity
Notice Number: 244
15/06/2017
Equity Derivatives
New Can-Do EXF - Basket Future (YQZQ) – Total Return Basket
Notice Number: 243
15/06/2017
Equity Market
Inward Listed Securities SPIB16
Notice Number: 241
14/06/2017
Interest Rate Derivatives
New Swap Future Contract - 10 Year JSE Eris Interest Rate Swap Future
Notice Number: 240
14/06/2017
Interest Rate Derivatives
New Swap Future Contract - 5 Year JSE Eris Interest Rate Swap Future
Notice Number: 239
14/06/2017
Interest Rate Derivatives
New Swap Future Contract - 2 Year JSE Eris Interest Rate Swap Future
Notice Number: 238
14/06/2017
Interest Rate Derivatives
New Swap Future Contract - 1 Year JSE Eris Interest Rate Swap Future
Notice Number: 237
14/06/2017
Equity Market
Inward Listed Securities SPIB15
Notice Number: 236
13/06/2017
Equity Derivatives
New Can-Do Future (YPFQ) - Out of Currency Settlement Option
Notice Number: 235
13/06/2017
Equity Derivatives
New IDX Future (AMAG) and IDX Dividend Future (AMAD)
Notice Number: 234
12/06/2017
Equity Derivatives
New IDX Future (ENBG) and IDX Dividend Future (ENBD)
Notice Number: 233
12/06/2017
Equity Derivatives
New IDX Future (EPDG) and IDX Dividend Future (EPDD)
Notice Number: 232
12/06/2017
Equity Derivatives
New IDX Future (ETPG) and IDX Dividend Future (ETPD)
Notice Number: 231
09/06/2017
Equity Derivatives
New Can-DO Future (YPZQ) - Out of Currency Settlement Option
Notice Number: 230
09/06/2017
Equity Derivatives, End of Day Products
Updated Market Extension Times - June 2017 Closeout
Notice Number: 229
09/06/2017
Equity Derivatives
New Can-DO EXF - Basket Future (YPYQ) – Total Return Basket
Notice Number: 228
09/06/2017
Commodity Derivatives
Application by SSK for an Additional Delivery Point
Notice Number: 227
07/06/2017
Equity Derivatives
New IDX Future (GGPG) and IDX Dividend Future (GGPD)
Notice Number: 226
07/06/2017
Equity Derivatives
New IDX Future (NCMG) and IDX Dividend Future (NCMD)
Notice Number: 225A
06/06/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 225B
06/06/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 224A
06/06/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 224B
06/06/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 223A
06/06/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 223B
06/06/2017
Equity Derivatives, Commodity Derivatives
JSE Market Notice 22317B CDM and EDM - Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 222A
06/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 222B
06/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 221A
06/06/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 221B
06/06/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 220
05/06/2017
Commodity Derivatives
JSE Deliverable Wheat Derivatives Contract - Confirmation of Grade Discounts
Notice Number: 219
02/06/2017
Equity Market
Resignation of Member - Prime Securities (Pty) Ltd
Notice Number: 218
02/06/2017
Equity Market
Resignation of Member - BPI Capital Africa (Pty) Ltd
Notice Number: 217
02/06/2017
Commodity Derivatives
Changes to Initial Margin Requirements for WMAZ-YMAZ
Notice Number: 216
02/06/2017
Equity Derivatives
New IDX future (ADBG) and IDX Dividend Future (ADBD)
Notice Number: 215
02/06/2017
Equity Market
Inward Listed Securities ZA119
Notice Number: 214
01/06/2017
Equity Derivatives
Changes to Initial Margin Requirements for SGL
Notice Number: 213
31/05/2017
Equity Derivatives
New Exchange Traded CFD
Notice Number: 212
31/05/2017
Commodity Derivatives
Introduction of a Cash Settled Merino Wool Indicator Futures Contract
Notice Number: 211
30/05/2017
Commodity Derivatives
Introduction of the September and December 2018 White - Yellow Maize Expiries
Notice Number: 210
25/05/2017
Equity Derivatives
New IDX Future (IIIG) and IDX Dividend Future (IIID)
Notice Number: 209
25/05/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 208
24/05/2017
Commodity Derivatives
Approval of Suidwes Additional Soya Delivery Points
Notice Number: 207
24/05/2017
Equity Derivatives
Sibanya Gold Limited (SGL) Corporate Action – Rights Issue 24 May 2017 (Ex-Date)
Notice Number: 20617A
23/05/2017
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules - Strate's DIS
Notice Number: 20617B
23/05/2017
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules - Strate's DIS
Notice Number: 20617C
23/05/2017
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules - Strate's DIS
Notice Number: 205
23/05/2017
Equity Derivatives
Listing New IDX Structure Can-Do Future (YPXQ)
Notice Number: 204
23/05/2017
Equity Derivatives
Listing New IDX Structure Can-Do Future (YPWQ)
Notice Number: 203
23/05/2017
Equity Derivatives
New Can-do EXF - Basket Future (YPVQ) – Total Return Basket
Notice Number: 202A
22/05/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 202B
22/05/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 201A
22/05/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 201B
22/05/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 200A
22/05/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 200B
22/05/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 199A
22/05/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 199B
22/05/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 198A
22/05/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 198B
22/05/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 197
22/05/2017
Equity Derivatives
Changes to Initial Margin Requirements for YPSQ
Notice Number: 196
19/05/2017
Commodity Derivatives
Mark-To-Market Methodology for the Commodity Derivatives Market
Notice Number: 195
19/05/2017
Equity Derivatives
Treatment of Sibanye Gold Limited (SGL) Corporate Action – Rights Issue 24 May 2017 (Ex-Date)
Notice Number: 194
19/05/2017
Equity Derivatives
Listing New IDX Structure Can-Do Future (YPSQ)
Notice Number: 193
18/05/2017
Equity Derivatives, Commodity Derivatives, End of Day Products
Update - Global Market Migration Revised Go-Live Date
Notice Number: 192
17/05/2017
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Passing of Mrs Lona van Wyngaard
Notice Number: 191
17/05/2017
Equity Derivatives
New IDX Future (EXAG) and IDX Dividend Future (EXAD)
Notice Number: 190
16/05/2017
Equity Derivatives
Treatment of Pandora A-S (PNDORA DC EQUITY) Corporate Action – Special Dividend 16 May 2017 (Ex-date)
Notice Number: 189
16/05/2017
Equity Market
Inward Listed Securities SPIB14
Notice Number: 188
15/05/2017
Equity Derivatives
MTM Detailed CSV Republished
Notice Number: 187A
15/05/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 187B
15/05/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 186A
15/05/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 186B
15/05/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 185A
15/05/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 185B
15/05/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 184
15/05/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 184B
15/05/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 183
15/05/2017
Interest Rate Derivatives
New Currency Futures Contract - Norwegian Krone-Rand Currency Future
Notice Number: 182A
12/05/2017
Commodity Derivatives
Introducing Cash Settled Lamb Carcass Futures Contract
Notice Number: 182B
12/05/2017
Commodity Derivatives
Lamb Carcass Contract Specifications
Notice Number: 182C
12/05/2017
Commodity Derivatives
Lamb Price Determination Procedure
Notice Number: 182D
12/05/2017
Commodity Derivatives
Lamb Audit Process
Notice Number: 182E
12/05/2017
Commodity Derivatives
Trading Calendar for Lamb Carcass Contract
Notice Number: 181
11/05/2017
Equity Derivatives
New IDX Future (SX5G) and IDX Dividend Future (SX5D)
Notice Number: 180
10/05/2017
Equity Derivatives
Can-Do IDX Future (YPTQ) – MXWO Index
Notice Number: 179
10/05/2017
Equity Derivatives
Treatment Glencore PLC (PLC) Corporate Action – 10 May 2017 (Ex. Date)
Notice Number: 178
10/05/2017
Commodity Derivatives
Approval of AFGRI Additional Soya Delivery Points
Notice Number: 177
09/05/2017
Equity Derivatives
New IDX Future (BLTG) and IDX Dividend Future (BLTD)
Notice Number: 176
09/05/2017
Equity Derivatives
New IDX Future (OMLG) and IDX Dividend Future (OMLD)
Notice Number: 175
09/05/2017
Equity Derivatives
New Can-Do Future (YPQQ) - Out of Currency Settlement Option
Notice Number: 174A
09/05/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 174B
09/05/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 173
08/05/2017
Currency Derivatives, Interest Rate Derivatives
Screens Available for Pre-Trade Bond Market Transparency
Notice Number: 172
05/05/2017
Equity Market
Inward Listed Securities ZA120
Notice Number: 171
04/05/2017
Equity Derivatives
New IDX Future (AMDG) and IDX Dividend Future (AMDD)
Notice Number: 170
03/05/2017
Commodity Derivatives
Application by Suidwes for Additional Soya Delivery Points
Notice Number: 169
28/04/2017
Currency Derivatives, Interest Rate Derivatives
Incorrect Prices for ABIL Bonds on MTM Value Today
Notice Number: 168A
28/04/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 168B
28/04/2017
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 168C
28/04/2017
Currency Derivatives, Interest Rate Derivatives
BN 58 of 2017
Notice Number: 167A
28/04/2017
Equity Derivatives, Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 167B
28/04/2017
Equity Derivatives, Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 167C
28/04/2017
Equity Derivatives, Commodity Derivatives
BN 58 of 2017
Notice Number: 166A
28/04/2017
Equity Market
Approved Amendments to the JSE Equities Rules - JSE Conflicts of Interest Arrangements
Notice Number: 166B
28/04/2017
Equity Market
Approved Amendments to the JSE Equities Rules - JSE Conflicts of Interest Arrangements
Notice Number: 166C
28/04/2017
Equity Market
BN 58 of 2017
Notice Number: 165
26/04/2017
Currency Derivatives, Interest Rate Derivatives
Name Change SA International and Capital Market Brokers (Pty) Ltd
Notice Number: 164
26/04/2017
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Name Change TTSA Securities (Pty) Ltd
Notice Number: 163
26/04/2017
Treatment Rolls Royce Holding Plc (RR LN Equity) Corporate Action – 27 April 2017 (Ex. Date)
Notice Number: 162
26/04/2017
Equity Derivatives
Treatment of DIRXN Daily JR Bull Gold 3X ETF (JNUG) Corporate Action – Share Split – 1 May 2017 (Ex. Date)
Notice Number: 161
26/04/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 160A
25/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 160B
25/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 159A
25/04/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 159B
25/04/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 158A
25/04/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 158B
25/04/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 157A
25/04/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 157B
25/04/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 156
25/04/2017
Equity Derivatives
New IDX future (WIXG) and IDX Dividend Future (WIXD)
Notice Number: 155A
25/04/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 155B
25/04/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 154A
21/04/2017
Commodity Derivatives
Sorghum Standard Storage Rates for 2017-18 Marketing Season Including Registered Delivery Points
Notice Number: 154B
21/04/2017
Commodity Derivatives
Sorghum Delivery Points
Notice Number: 153
20/04/2017
Commodity Derivatives
Scheduled Maintenance at Overberg Agri Bredasdorp Silo
Notice Number: JSE Market Notice 15217A CDM - Final Maize Location Differentials and Storage Rates for 2017-18 Marketing Season.pdf
20/04/2017
Commodity Derivatives
Final Maize Location Differentials and Storage Rates for 2017-18 Marketing Season
Notice Number: 152B
20/04/2017
Commodity Derivatives
Final Maize Location Differentials and Storage Rates for 2017-18 Marketing Season
Notice Number: 151
18/04/2017
Equity Derivatives
Treatment of Clover Industries Limited (CLR) Corporate Action Scrip Dividend – 19 April 2017 (Ex. Date)
Notice Number: 150
12/04/2017
Commodity Derivatives
Application by AFGRI for Additional Soya Delivery Points
Notice Number: 149
11/04/2017
Commodity Derivatives
Introduction of the May 2018 SOYA and SUNS Expiries
Notice Number: 148A
11/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 148A
11/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 147A
11/04/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 147B
11/04/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 146A
11/04/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 146B
11/04/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 145A
11/04/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 145B
11/04/2017
Commodity Derivatives
CDM - Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 144A
11/04/2017
Commodity Derivatives
Proposed Maize Location Differentials and Storage Rates for 2017-18 Season Marketing Season
Notice Number: 144B
11/04/2017
Commodity Derivatives
Proposed Maize Location Differentials
Notice Number: 143
11/04/2017
Equity Derivatives
New Can-Do EXF - Basket Future (YPUQ)
Notice Number: 142A
10/04/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 142B
10/04/2017
Equity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 141
10/04/2017
Equity Derivatives
New Can-Do Future (YPOQ) – Out of Currency Settlement Option
Notice Number: 140
06/04/2017
Equity Derivatives
New SSF Future (EPPQ), Dividend Future (EPPF)
Notice Number: 139
05/04/2017
Commodity Derivatives
Reporting Outloading Issues at the JSE Registered Storage Sites
Notice Number: 138
05/04/2017
Commodity Derivatives
Changes to the Soya Bean Crush Contract Codes
Notice Number: 137
05/04/2017
Commodity Derivatives
Transition of Exclusively Accept Electronic JSE Silo Receipts in Completion of a Futures Contract
Notice Number: 136
04/04/2017
Commodity Derivatives
Changes to First Position Day for Physically Settled Contracts Resulting in Price Limits Removed
Notice Number: 135
04/04/2017
Equity Market
Inward Listed Securities LPGME1
Notice Number: JSE Market Notice 13417A IRM - Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives.pdf
03/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 134B
03/04/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 133A
03/04/2017
Commodity Derivatives
Introduction to a Cash Settled Merino Wool Futures Contract Working Closely with Cape Wool SA for The Settlement
Notice Number: JSE Market Notice 13317B CDM - Proposed Wool Contract Specifications - Working with Cape Wool SA to Introduce Contract.pdf
03/04/2017
Commodity Derivatives
Proposed Wool Contract Specifications - Working with Cape Wool SA to Introduce Contract
Notice Number: 133C
03/04/2017
Commodity Derivatives
CWSA Market Indicator - Rules Description
Notice Number: 132
03/04/2017
Equity Derivatives
New Can-Do EXF - Basket Future (YPPQ) - Total Return Basket
Notice Number: 131
31/03/2017
Commodity Derivatives
JSE Delivery Wheat Derivatives Contract - Dec 17 and Mar 18 expiries to be Introduced on Monday
Notice Number: 130
31/03/2017
Equity Market
Inward Listed Securities ZA114
Notice Number: 129
30/03/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS04)
Notice Number: 128
30/03/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 127
29/03/2017
Commodity Derivatives
Mark-To-Market Methodology for the Commodity Derivatives Market
Notice Number: 126
29/03/2017
Equity Derivatives
New Contracts Loaded – Life Health Grp Holding (LHC) Corporate Action – Rights Issue 29 March 2017 (Ex-Date)
Notice Number: 125
28/03/2017
Equity Derivatives
New IDX future (AMTG) and IDX Dividend Future (AMTD)
Notice Number: 124
28/03/2017
Equity Derivatives
New Can-Do EXF - Basket Future (YPNQ)
Notice Number: 123
28/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for SNPG
Notice Number: 122A
28/03/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 122B
28/03/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 121A
28/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 121B
28/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 120A
28/03/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 120B
28/03/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 119
27/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for DTOR
Notice Number: 118
27/03/2017
Commodity Derivatives
Approval of AFGRI Stoffberg Silo as Bitter Sorghum Delivery Point
Notice Number: 117
24/03/2017
Equity Derivatives
Treatment of Life Health Grp Holding (LHC) Corporate Action – Rights Issue 29 March 2017 (Ex-Date)
Notice Number: 116
24/03/2017
Equity Derivatives, Commodity Derivatives
Update - Global Market Migration During ITaC Transition
Notice Number: 115
23/03/2017
Equity Derivatives
New Index Future (DTOR) – FTSE,JSE Shareholder Weighted Top 40 Total Return Index
Notice Number: 114
22/03/2017
Equity Derivatives
New SSF Future (AFHQ), Dividend Future (AFHF)
Notice Number: 113A
20/03/2017
Commodity Derivatives
Introduction of the Initial Expiry for the Zambia White, Wheat and Soya Bean US Dollar Traded and Settled
Notice Number: 113B
20/03/2017
Commodity Derivatives
Summary Zambian Grain Contract Specifications - March 2017
Notice Number: 113C
20/03/2017
Commodity Derivatives
Detailed Zambain Contract Specifications - March 2017
Notice Number: 112
20/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 111
20/03/2017
Commodity Derivatives
Approval of SSK Krombeksrivier Silo as Wheat Delivery Point
Notice Number: 110
17/03/2017
Commodity Derivatives
Update on JSE Deliverable Wheat Derivative Contract - Dec 17 and Mar 18 Expiries
Notice Number: 109
16/03/2017
Commodity Derivatives
Application by AFGRI for Additional Bitter Sorghum Delivery Point
Notice Number: 108
15/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 107
14/03/2017
Currency Derivatives, Interest Rate Derivatives
Passing of Mr Daniel Barend Petrus du Toit
Notice Number: 106
14/03/2017
Equity Derivatives
New Can-Do Future (YPMQ) - Out of Currency Settlement Option
Notice Number: 105
14/03/2017
Equity Market
Inward Listed Securities SXEIIC
Notice Number: 104
14/03/2017
Equity Derivatives
New Can-Do Future (YPLQ) – Out of Currency Settlement Strangle
Notice Number: 103
14/03/2017
Equity Derivatives
New Can-Do Future (YPIQ) – Out of Currency Settlement Option
Notice Number: 102
14/03/2017
Equity Derivatives
New Can-Do Future (YPJQ) - Out of Currency Settlement Option
Notice Number: 101
14/03/2017
Equity Derivatives
New Can-Do Future (YPKQ) – Out of Currency Settlement Collar
Notice Number: 100
13/03/2017
Equity Market
Resignation of Member - GTC Securities (Pty) Ltd
Notice Number: 99
10/03/2017
Equity Market
Inward Listed Securities ZA116
Notice Number: 98
09/03/2017
Equity Derivatives
IDX Future (UUDG) and IDX Dividend Future (UUDD)
Notice Number: 97
09/03/2017
Equity Derivatives
IDX Future (UNDG) and IDX Dividend Future (UNDD)
Notice Number: 96A
08/03/2017
Currency Derivatives, Interest Rate Derivatives
CPI Rebase 2017
Notice Number: 96B
08/03/2017
Currency Derivatives, Interest Rate Derivatives
CPI Rebase
Notice Number: 96C
08/03/2017
Currency Derivatives, Interest Rate Derivatives
Treasury Impact CPI Rebasing Inflation Linked Government Bonds
Notice Number: 95
08/03/2017
Equity Derivatives
New SSF Future (AVVQ), Dividend Future (AVVF)
Notice Number: 94A
08/03/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 94B
08/03/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 93A
08/03/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 93B
08/03/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 92A
08/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 92B
08/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 91A
08/03/2017
Equity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 91B
08/03/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 90
07/03/2017
Equity Derivatives
New Member - Cratos Institutional (Pty) Ltd
Notice Number: 89A
07/03/2017
Commodity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 89B
07/03/2017
Commodity Derivatives
Concentration Margin - Maximum Underlying Participation
Notice Number: 88
06/03/2017
Equity Derivatives
New Can-Do Future (YPHQ) – Out of Currency Settlement Option
Notice Number: 87
06/03/2017
Commodity Derivatives
Early Introduction of the Maize June 2017 Expiries
Notice Number: 8617a
06/03/2017
Commodity Derivatives
Request for Information to Assist with Determination of Location Differentials for Maize for 2017-2018 Season
Notice Number: 86B
06/03/2017
Commodity Derivatives
Maize Silos 2017-18
Notice Number: 85
03/03/2017
Equity Derivatives
New IDX future (SNPG) and IDX Dividend Future (SNPD)
Notice Number: 84
03/03/2017
Equity Derivatives
Treatment of Pinnacle Holdings Ltd (PNC) Corporate Action – Name Change 8 March 2017 (Ex-Date)
Notice Number: 83
03/03/2017
Currency Derivatives, Interest Rate Derivatives
Resignation of Member - WWC Trading (Pty) Ltd
Notice Number: 82
01/03/2017
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 81
01/03/2017
Currency Derivatives, Interest Rate Derivatives
New Member - Sygnia Securities (Pty) Ltd
Notice Number: 80
28/02/2017
Commodity Derivatives
Introducing June 2017 Quanto Brent Crude Oil Can-Do Contract
Notice Number: 79
27/02/2017
Commodity Derivatives
Application by SSK for Additional Wheat Delivery Point
Notice Number: 78
27/02/2017
Commodity Derivatives
JSE Deliverable Wheat Contract - Dec 17 and Mar 18 Expiries
Notice Number: 77
27/02/2017
Commodity Derivatives
Request for Early Introduction of the June 2017 Maize Expiries
Notice Number: 75
24/02/2017
Commodity Derivatives
Introduction of the June 2017 White and Yellow Maize Expiries
Notice Number: 75A
23/02/2017
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for 2017-18 Marketing Season
Notice Number: 75B
23/02/2017
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for 2017-18 Marketing Season
Notice Number: 74
23/02/2017
Commodity Derivatives
Confirmation of Supporting Documentation Required for Physical Delivery of Foreign Grains
Notice Number: 73
23/02/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 72
22/02/2017
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS03)
Notice Number: 71A
21/02/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 71B
21/02/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 70A
20/02/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 70B
20/02/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for IRM
Notice Number: 69A
20/02/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 69B
20/02/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 68A
20/02/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 68B
20/02/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 67A
20/02/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 67B
20/02/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 66
20/02/2017
Equity Derivatives, Commodity Derivatives
Global Market Migration During ITaC Transition
Notice Number: 65
17/02/2017
Commodity Derivatives
Introduction of the March 2018 White and Yellow Maize Expiries
Notice Number: 64
16/02/2017
Equity Derivatives
New IDX Future (AAGG) and IDX Dividend Future (AAGD)
Notice Number: 63
16/02/2017
Equity Derivatives
New Can-Do EXF Basket Future (YPEQ)
Notice Number: 62A
15/02/2017
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 62B
15/02/2017
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 61A
15/02/2017
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 61B
15/02/2017
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules - JSE Conflicts of Interest Arrangements
Notice Number: 61B
15/02/2017
Equity Market
Proposed Amendments to the JSE Equities Rules - JSE Conflicts of Interest Arrangements
Notice Number: 60A
15/02/2017
Equity Market
Proposed Amendments to the JSE Equities Rules - JSE Conflicts of Interest Arrangements
Notice Number: 59
14/02/2017
Equity Derivatives
New IDX Future (XMEG) and IDX Dividend Future (XMED)
Notice Number: Proposed Location Differentials for Sunflower Seeds for 2017-18 Marketing Season
14/02/2017
Commodity Derivatives
Notice Number: 58B
14/02/2017
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for 2017-18 Marketing Season
Notice Number: 57A
14/02/2017
Commodity Derivatives
Soya Beans Standard Storage Rate and Confirmation of Delivery Points for 2017-18 Marketing Season
Notice Number: 57B
14/02/2017
Commodity Derivatives
Soya Beans Silo
Notice Number: 56
13/02/2017
Equity Derivatives
New IDX Future (MTTG) and IDX Dividend Future (MTTD)
Notice Number: 54A
08/02/2017
Commodity Derivatives
Revival of the South African Wheat Industry
Notice Number: 54B
08/02/2017
Commodity Derivatives
Wheat Indaba Invitation
Notice Number: 35
08/02/2017
Equity Derivatives
New Cash Settled Single Stock Future - BLUS
Notice Number: 52
07/02/2017
Equity Derivatives
New IDX Future (NVDG) and IDX Dividend Future (NVDD)
Notice Number: 51
07/02/2017
Equity Derivatives
New IDX Future (SQMG) and IDX Dividend Future (SQMD)
Notice Number: 51A
07/02/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 50B
07/02/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 49A
06/02/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 49B
06/02/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 48A
06/02/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 48
06/02/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 47A
06/02/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 47B
06/02/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 46A
06/02/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 46B
06/02/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 45A
06/02/2017
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules and Directives - Off ATS Transactions
Notice Number: 45B
06/02/2017
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules and Directives - Off ATS Transactions
Notice Number: 45C
06/02/2017
Commodity Derivatives
Board Notice 7 of 2017
Notice Number: 44
03/02/2017
Equity Derivatives
New Cando EXF Basket Future (YPCQ)
Notice Number: 43
03/02/2017
Equity Derivatives
New Exchange Traded CFD Retail Food Group Limited RFGC
Notice Number: 42
03/02/2017
Equity Derivatives
New SSF Future (RFGQ), Dividend Future (RFGF)
Notice Number: 41
02/02/2017
Equity Market
Inward Listed Securities DCCUSD
Notice Number: 40
02/02/2017
Equity Derivatives
New Can-Do EXF Basket Future (YPBQ)
Notice Number: 39
01/02/2017
Equity Derivatives
New Can Do Single Stock Future - SAPX
Notice Number: 38
31/01/2017
Equity Derivatives
New Can-Do EXF Basket Future (YPAQ)
Notice Number: 37
31/01/2017
Currency Derivatives, Interest Rate Derivatives
New I2029 Bond Future
Notice Number: 36
30/01/2017
Commodity Derivatives
Deregistration of AFGRI Storage Bunkers
Notice Number: 35
27/01/2017
Equity Derivatives
New IDX Future (ANRG) and IDX Dividend Future (ANRD)
Notice Number: 34
27/01/2017
Equity Derivatives
Listing New Can-Do Basket Future (YNZQ)
Notice Number: 33
27/01/2017
Commodity Derivatives
Extending Reporting Period for DOT and SOT Option Transactions
Notice Number: 32
26/01/2017
Equity Derivatives
New SSF Future (GRPQ), Dividend Future (GRPF)
Notice Number: 31
26/01/2017
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 30
25/01/2017
Equity Derivatives
New Can Do Single Stock Future (SGLX)
Notice Number: 29
24/01/2017
Equity Derivatives
Changes to Initial Margin Requirements
Notice Number: 28A
24/01/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 28B
24/01/2017
Equity Derivatives
Concentration Margin Maximum Underlying Participation
Notice Number: 27A
23/01/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 27B
23/01/2017
Currency Derivatives, Interest Rate Derivatives
Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: 26A
23/01/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 26B
23/01/2017
Equity Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: 25A
23/01/2017
Equity Derivatives
EDM - Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 25B
23/01/2017
Equity Derivatives
Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: 24A
23/01/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 24B
23/01/2017
Commodity Derivatives
Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 23
23/01/2017
Equity Derivatives
New Contracts Loaded Phumelela Gaming and Leisure Limited (PHM) Corporate Action – Rights Issue 23 Jan17
Notice Number: 22
23/01/2017
Commodity Derivatives
Transition to Exclusively Accept Electronic Silo Certificates in Completion of a Futures Contract
Notice Number: 21
23/01/2017
Commodity Derivatives
Introduction of a Cash Settled Soya Bean Crush Contract
Notice Number: 20
23/01/2017
Commodity Derivatives
Introduction of a Cash Settled Quanto White Maize Contract
Notice Number: 019
19/01/2017
Equity Derivatives
New Strike Resetting Put Spread Option (XS02)
Notice Number: 018
18/01/2017
Equity Derivatives
New IDX Future (TLSG) and IDX Dividend Future (TLSD)
Notice Number: 017
18/01/2017
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Passing of Mr Johan Swiegers
Notice Number: 016
17/01/2017
Equity Derivatives
New Cash Settled Single Stock Future - LBHS
Notice Number: 015A
17/01/2017
Commodity Derivatives
Introduction of December 2017 and March 2018 Wheat Expiries and Origin Discounts for the New Season
Notice Number: 015B
17/01/2017
Commodity Derivatives
Media Statement - 23 December 2016
Notice Number: 014A
13/01/2017
Commodity Derivatives
Request for Information to Assist with Determination of Location Differentials for SUNS 2017-2018 Marketing Season
Notice Number: 014B
13/01/2017
Commodity Derivatives
Request for Information to Assist with Determination of Location (Attachment)
Notice Number: 013
13/01/2017
Equity Derivatives
Global Market Migration During ITAC Transition
Notice Number: 012
13/01/2017
Equity Derivatives, Commodity Derivatives
Global Market Migration During ITAC Transition
Notice Number: JSE Market Notice 01117 IRM - New Eris Interest Rate Swap Future Reset - Listing 10Y Stnd 8.5 Mar 2017-2027.pdf
10/01/2017
Currency Derivatives
JSE Market Notice 01117 IRM - New Eris Interest Rate Swap Future Reset - Listing 10Y Stnd 8.5% Mar 2017-2027
Notice Number: JSE Market Notice 01017 IRM - New Eris Interest Rate Swap Future Reset -Listing 5Y Stnd 8 Mar 2017-2022.pdf
10/01/2017
Currency Derivatives
JSE Market Notice 01017 IRM - New Eris Interest Rate Swap Future Reset -Listing 5Y Stnd 8% Mar 2017-2022
Notice Number: JSE Market Notice 00917 IRM - New Eris Interest Rate Swap Future Reset - Listing 2Y Stnd 7.5Mar 2017-2019.pdf
10/01/2017
Currency Derivatives
JSE Market Notice 00917 IRM - New Eris Interest Rate Swap Future Reset - Listing 2Y Stnd 7.5 % Mar 2017-2019
Notice Number: JSE Market Notice 00817 IRM - New Eris Interest Rate Swap Future Reset - Listing 1Y Stnd 7.5 Mar 2017-2018.pdf
10/01/2017
Currency Derivatives
JSE Market Notice 00817 IRM - New Eris Interest Rate Swap Future Reset - Listing 1Y Stnd 7.5 % Mar 2017-2018
Notice Number: JSE Market Notice 00717 CDM - Amendment to the Return Trigger for Extended Price Limits.pdf
09/01/2017
Commodity Derivatives
JSE Market Notice 00717 CDM - Amendment to the Return Trigger for Extended Price Limits
Notice Number: JSE Market Notice 00617A CDM and EDM - Changes to Initial Margin Requirements for Global Market Derivatives.pdf
09/01/2017
Equity Derivatives, Commodity Derivatives
JSE Market Notice 00617A CDM and EDM - Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: JSE Market Notice 00617B CDM and EDM - Changes to Initial Margin Requirements for Global Market Derivatives.xlsx
09/01/2017
Equity Derivatives, Commodity Derivatives
JSE Market Notice 00617B CDM and EDM - Changes to Initial Margin Requirements for Global Market Derivatives
Notice Number: JSE Market Notice 00517A IRM - Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives.pdf
09/01/2017
Currency Derivatives, Interest Rate Derivatives
JSE Market Notice 00517A IRM - Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: JSE Market Notice 00517B IRM - Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives.xlsx
09/01/2017
Currency Derivatives, Interest Rate Derivatives
JSE Market Notice 00517B IRM - Changes to Initial Margin Requirements for Interest Rate and Currency Derivatives
Notice Number: JSE Market Notice 00417A EDM - Changes to Initial Margin Requirements for Equity Derivatives.pdf
09/01/2017
Equity Derivatives
JSE Market Notice 00417A EDM - Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: JSE Market Notice 00417B EDM - Changes to Initial Margin Requirements for Equity Derivatives.xlsx
09/01/2017
Equity Derivatives
JSE Market Notice 00417B EDM - Changes to Initial Margin Requirements for Equity Derivatives
Notice Number: JSE Market Notice 00317A CDM - Changes to Initial Margin Requirements for Agricultural Derivatives.pdf
09/01/2017
Commodity Derivatives
JSE Market Notice 00317A CDM - Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: JSE Market Notice 00317B CDM - Changes to Initial Margin Requirements for Agricultural Derivatives.xlsx
09/01/2017
Commodity Derivatives
JSE Market Notice 00317B CDM - Changes to Initial Margin Requirements for Agricultural Derivatives
Notice Number: 002
06/01/2017
Equity Derivatives
Treatment of ProShares Ultra VIX (UVXG) Corporate Action – 12 January 2017 (Ex. Date)
Notice Number: 001
04/01/2017
Currency Derivatives, Interest Rate Derivatives
Inward Listed Securities ASN178
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