Toggle navigation
Listed Companies
Communications
FTSE/JSE Index Series
FTSE/JSE Africa Index Series
FTSE/JSE Africa Index Series Documents
FTSE/JSE Fixed Income Index Series
JSE Bonds
Interest Rate Resets
JSE Bond Listings
JSE Pricing Supplements
New Bond Listings
Programme Documentation
Redemptions, Repurchases & Delistings
Tap Issues & Withdrawals
JSE Market Notices
JSE Service Hotlines
Presentations - Issuer Regulation
Registered Officers
SENS Announcements
Simplification Project
Software Provider Forum
SRI ICA Documents
Technical Library
BDA Technical Specifications
Bond CCP
CDM and IRD Markets Documentation
Enablement and Connectivity Documentation
Industry Classification Benchmark (ICB)
Market Data Documentation
Nutron Repo Project
Post-Trade Documentation
SENS Project
Trading And Market Data Documentation
Valuations
Reports
Currency Derivative Reports
Downloadable Files
EFP/EFR Trade Reports
Equity Derivative Reports
Delta Option and Structured Option Trades
Silo Unavailability
Trading Calendars
Portals
Capital Adequacy Login
Corporate Actions Login
ECS Login
Request an ISIN
JSE Market Data Portal Login
SALS (Client Settlement Authority)
Safe Custody Submission Login
SENS Login
Tools
Calculators
Bond Pricing Calculator
Listing Fee Calculator
Margin Calculator
Options Calculator
Portfolio Margin Calculator
Currency Futures Live Pricing
Nutron API Files
JSE Website
Group Website
Market Notices 2025
Client Portal
/
Communication
/
JSE Market Notices
Market Notices 2025
Notice Number: 097
26/03/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 096
26/03/2025
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 095
26/03/2025
Interest Rate Derivatives
IRD - Changes to Initial Margin Requirements Due to IRD Stress Scenario Update - 28 March 2025
Notice Number: 094
24/03/2025
Equity Derivatives
Exotic Option – J300TR Index Future – Strike Resetting Collar – XU59
Notice Number: 093
24/03/2025
Equity Derivatives
Exotic Option - J300 TR Index Future - Strike Resetting Put Option - XU58
Notice Number: 092
24/03/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 24 March 2025
Notice Number: 091
24/03/2025
Equity Derivatives
PRX - Fence Option - XU57
Notice Number: 090
24/03/2025
Equity Market
FirstRand ETN Listings - 24 March 2025
Notice Number: 089
24/03/2025
Equity Market
EQM - Reitway Global Property Income Prescient ETF
Notice Number: 088
20/03/2025
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 20 March 2025
Notice Number: 087
17/03/2025
Equity Derivatives
EDM - Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 086
13/03/2025
Equity Derivatives
Treatment of Transaction Capital Ltd (TCP) - Corporate Action - Name Change - 18 March 2025 (Ex-Date)
Notice Number: 085
13/03/2025
Equity Derivatives
Treatment of NEPI Rockcastle N.V (NRP) Corporate Action – Capital Payment 18 March 2025 (Ex-Date)
Notice Number: 084
12/03/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 12 March 2025
Notice Number: 083
12/03/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 12 March 2025
Notice Number: 082
11/03/2025
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Margin Update - Large Exposure Add-On Increase - 11 March 2025
Notice Number: 081
11/03/2025
Equity Derivatives
SPY Future - Out of Currency Put Spread Option - XU56
Notice Number: 080
10/03/2025
Equity Market
Standard Bank Actively Managed Certificate
Notice Number: 079
10/03/2025
Equity Derivatives
Futures Close-Out Thursday, 20 March 2025
Notice Number: 078
10/03/2025
Currency Derivatives
IRC - Reminder - Currency Derivatives Close-out - 17 March 2025 - 16h00
Notice Number: 077
07/03/2025
Equity Derivatives
SPY Future – Out of Currency Outright Put Option – XU55
Notice Number: 076
06/03/2025
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 6 March 2025
Notice Number: 075
05/03/2025
Equity Derivatives
Changes to Liquidation Period Add-on Parameters - 5 March 2025
Notice Number: 074
05/03/2025
Commodity Derivatives
Changes to Liquidation Period Margin Add-On Parameters
Notice Number: 073
28/02/2025
Commodity Derivatives
Application by Senwes Ltd to Deregister Vryburg Silo as a JSE Delivery Point
Notice Number: 072A
28/02/2025
Equity Market
Strate - Ad Valorem Fee
Notice Number: 072B
28/02/2025
Equity Market
Equity Advalorem Fee Increase 2025
Notice Number: 072C
28/02/2025
Equity Market
Equities Safekeeping and Settlement Fee Schedule 2025
Notice Number: 071
28/02/2025
Equity Market
UBS Actively Managed Certificate Listings
Notice Number: 070
28/02/2025
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 069
27/02/2025
Currency Derivatives, Equity Derivatives
EDM and FXM - Changes to Class and Series Spread Margin Requirements for Derivative Markets
Notice Number: 068
26/02/2025
Equity Derivatives, Interest Rate Derivatives
Changes to Securities Collateral Risk Parameters for Derivative Markets
Notice Number: 067
26/02/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 26 February 2025
Notice Number: 066
26/02/2025
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 065
25/02/2025
Commodity Derivatives
Application by NWK Ltd to Deregister Madibogo as a JSE Delivery Point
Notice Number: 064
25/02/2025
Equity Derivatives
Spy Future - Out of Currency Outright Put Option - XU54
Notice Number: 063A
24/02/2025
Commodity Derivatives
Final Soya Bean Location Differentials and Final Storage Rate for 2025-26 Marketing Season
Notice Number: 063B
24/02/2025
Commodity Derivatives
Final Location Differentials for Soya Beans 2025-26 Season
Notice Number: 062A
24/02/2025
Commodity Derivatives
Final Sunflower Seeds Location Differentials and Final Storage Rate and Origin Discounts for 2025-26 Marketing Season
Notice Number: 062B
24/02/2025
Commodity Derivatives
Final Location Differentials for Sunflower Seeds 2025-26 Season
Notice Number: 061
24/02/2025
Currency Derivatives, Equity Derivatives
Changes to Class and Series Spread Margin Requirements for Derivative Markets - 24 February 2025
Notice Number: 060
24/02/2025
Equity Derivatives
Spy Future – Out of Currency Put Spread Option – XU53
Notice Number: 059
21/02/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 21 February 2025
Notice Number: 058
21/02/2025
Equity Derivatives
Exotic Option - J300TR Index Future - Strike Resetting Collar - XU52
Notice Number: 057
21/02/2025
Currency Derivatives, Equity Derivatives
Changes to Securities Collateral Risk Parameters for Derivative Markets
Notice Number: 056
20/02/2025
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 20 February 2025
Notice Number: 055
20/02/2025
All Derivative Markets
JSE Clear Price List for 2025 - Updated
Notice Number: 054
19/02/2025
Equity Derivatives
RESR Index Future
Notice Number: 053
19/02/2025
Equity Derivatives
INDR Index Future
Notice Number: 052A
18/02/2025
Equity Market
Approved Amendments to the JSE Equities Rules - Off Book Bookbuild Trades
Notice Number: 052B
18/02/2025
Equity Market
Approved Amendments to the JSE Equities Rules - Off Book Bookbuild Trades - Annexure A
Notice Number: 052C
18/02/2025
Equity Market
Approved Amendments to the JSE Equities Rules - Off Book Bookbuild Trades - Annexure B
Notice Number: 051
14/02/2025
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 050
13/02/2025
Equity Derivatives
Treatment of TRENCOR LTD (TRE) – Corporate Action – Special Dividend – 19 February 2025 (Ex. Date)
Notice Number: 049
13/02/2025
Equity Derivatives
Treatment of FORD MOTOR CO (FI) Corporate Action – Special Dividend and Cash Dividend – 18 February 2025 (Ex. Date)
Notice Number: 048
13/02/2025
Commodity Derivatives
Approval of Senwes Ltd Soya Delivery Point
Notice Number: 047
13/02/2025
Commodity Derivatives
Approval of Senwes Ltd Soya Delivery Point
Notice Number: 046
13/02/2025
Commodity Derivatives
Approval of AFGRI Agri Services (Pty) Ltd Soya Delivery Point
Notice Number: 045
13/02/2025
Commodity Derivatives
Approval of Request by BKB Limited to Deregister Waterval Depot as a Soya Delivery Point
Notice Number: 044
13/02/2025
Commodity Derivatives
Approval of NWK Ltd Soya Delivery Point
Notice Number: 043
13/02/2025
Equity Derivatives, Commodity Derivatives
EDM and CDM - DWT Securities (Pty) Ltd - Voluntary Termination of Membership
Notice Number: 042
12/02/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 12 February 2025
Notice Number: 041
12/02/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 12 February 2025
Notice Number: 040
07/02/2025
Equity Derivatives
SPY Future - Out of Currency Call Spread Option - XU51
Notice Number: 039
06/02/2025
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 6 February 2025
Notice Number: 038
03/02/2025
Equity Derivatives
EDM - Changes to Initial Margine Requirements for Derivative Markets
Notice Number: 037
30/01/2025
Equity Derivatives
Changes to Liquidation Period Add-On Parameters - 30 January 2025
Notice Number: 036
30/01/2025
All Derivative Markets
Retraction of JSE Clear Account Fee
Notice Number: 035
29/01/2025
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 034
29/01/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 29 January 2025
Notice Number: 033
29/01/2025
Equity Derivatives
Spy Future - Out of Currency Outright Put Options - XU50
Notice Number: 032A
28/01/2025
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for the 2025-26 Marketing Season and Final Storage Rate
Notice Number: 032B
28/01/2025
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for 2025-26 Season
Notice Number: 031A
28/01/2025
Commodity Derivatives
CDM - Proposed Location Differentials for Soya Bean for 2025 - 2026 Marketing Season and Final Storage Rate
Notice Number: 031B
28/01/2025
Commodity Derivatives
CDM - Proposed Location Differentials SOYA
Notice Number: 030
27/01/2025
Currency Derivatives, Equity Derivatives
Changes to Class and Series Spread Margin Requirements for Derivative Markets - 27 January 2025
Notice Number: 029
24/01/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 24 January 2025
Notice Number: 028
23/01/2025
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 23 January 2025
Notice Number: 027
23/01/2025
Equity Derivatives
Exotic Option - J430PR Index Future - Strike Resetting Put Spread - XU49
Notice Number: 026
23/01/2025
Commodity Derivatives
CDM - Application by Senwes Ltd for an Additional Soya Delivery Point
Notice Number: 025
22/01/2025
Equity Market
TBI Actively Managed ETF
Notice Number: 024
22/01/2025
Commodity Derivatives
CDM - Notification by BKB to Deregister Waterval Depot as a Soya Delivery Point
Notice Number: 023
21/01/2025
All Derivative Markets
Bank of England's Extension of JSE Clear's UK Recognition
Notice Number: 022
21/01/2025
Commodity Derivatives
Application by AFGRI Agri Services (Pty) Ltd for Additional Soya Delivery Point
Notice Number: 021
21/01/2025
Commodity Derivatives
CDM - Application by NWK Ltd for Additional Soya Delivery Point
Notice Number: 020
21/01/2025
Commodity Derivatives
CDM - Application by Senwes Ltd for Additional Soya Delivery Point
Notice Number: 019
20/01/2025
Equity Derivatives
IDX Future (17MAR25 ANETI CSH) and IDX Dividend Neutral Future (17MAR25 ANETI CSH DN)
Notice Number: 018
20/01/2025
Equity Derivatives
Equity Derivatives Market - Exotic Derivatives Price Changes for 2025
Notice Number: 017
17/01/2025
Equity Derivatives
Exotic Option - J300TR Index Future - Strike Resetting Collar - XU48
Notice Number: 016
17/01/2025
Commodity Derivatives
Changes to Liquidation Period Margin Add-On Parameters
Notice Number: 015
15/01/2025
All Markets
All Markets - SAIS Professional Stockbroker Examinations May - June 2025
Notice Number: 014
15/01/2025
Equity Derivatives
EDM - Single Stock Future (20 FEB 25 MSP) – MAS P.L.C (SSF)
Notice Number: 013
15/01/2025
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 012
15/01/2025
Equity Derivatives
SPY Future - Out of Currency PUT Spread Option - XU47
Notice Number: 011
14/01/2025
Equity Derivatives
Price Return Basket Future (YR34)
Notice Number: 010A
14/01/2025
Commodity Derivatives
Request for Information to Assist with Determining Location Differentials for Sunflower Seeds 2025-2026 Marketing Season
Notice Number: 010B
14/01/2025
Commodity Derivatives
Request for Information to Assist with Determining Location Differentials for Sunflower Seeds 2025-2026 Marketing Season
Notice Number: 009
14/01/2025
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 008
13/01/2025
Equity Derivatives
IDX Future (17MAR25 PLTRI CSH) and IDX Dividend Neutral Future (17MAR25 PLTRI CSH DN)
Notice Number: 007
13/01/2025
Equity Derivatives
IDX Future (17MAR25 VMEOI CSH) and IDX Dividend Neutral Future (17MAR25 VMEOI CSH DN)
Notice Number: 006
13/01/2025
Equity Derivatives
SPY Future - Out of Currency Outright Put Option - XU46
Notice Number: 005
13/01/2025
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 January 2025
Notice Number: 004
10/01/2025
Currency Derivatives, Equity Derivatives
EDM and FXM - Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 003
09/01/2025
Equity Derivatives
Spy Future – Out of Currency Outright Put Option – XU45
Notice Number: 002
06/01/2025
Equity Derivatives
EDM - Treatment of Life Health Group Limited (LHC) - Corporate Action Special Dividend -8 January 2025 Ex. Date
Notice Number: 001
03/01/2025
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 3 January 2025
Archive
2025
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011
2010
Market / Service