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Market Notices 2018
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JSE Market Notices 2018
Market Notices 2018
Notice Number: 488
28/12/2018
Equity Derivatives
Treatment IShares MSCI ACWI Index Fund (ACWG and ACWD) Corporate Action Special Dividend 28 Dec 2018 (Ex. Date)
Notice Number: 487
28/12/2018
Equity Derivatives
New IDX Future (TMEG) and IDX Dividend Future (TMED)
Notice Number: 486
27/12/2018
Equity Derivatives
Treatment of Lighthouse Capital Ltd (LTE) Corporate Action – Capital Reduction 2 January 2019 (Ex-Date)
Notice Number: 485
27/12/2018
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 484
27/12/2018
Equity Market
Inward Listed Securities ZA154
Notice Number: 483
21/12/2018
Equity Derivatives
Treatment of Tencent Holding Ltd (TEN) Corporate Action - Spinoff 28 December 2018 (Ex-Date)
Notice Number: 482
21/12/2018
Equity Derivatives
Correction of Expiration Time on a Strike Resetting Collar Option (XS35)
Notice Number: 481
21/12/2018
Equity Derivatives
Correction of Expiration Time - Collar Option (XS34)
Notice Number: 480
21/12/2018
Equity Derivatives
New Can-Do (YOCQ) - Quanto Future (NDDUWI Index)
Notice Number: 479
21/12/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8% December 2016-2021
Notice Number: 478
20/12/2018
Commodity Derivatives
Changes to Initial Margin Requirements for WMAZ
Notice Number: 477
19/12/2018
Equity Derivatives
Correction of Expiration Time - Strike Resetting Collar Option (XS33)
Notice Number: 476
19/12/2018
Equity Derivatives
Listing New Strike Resetting Collar Option (XS32)
Notice Number: 475A
18/12/2018
All Markets
JDA Amendment of Certain SLA Delivery Times effective 8 April 2019
Notice Number: 475B
18/12/2018
All Markets
JDA Amendment of Certain SLA Delivery Times effective 8 April 2019
Notice Number: 474
18/12/2018
Equity Derivatives
New IDX Future (OXYG) and IDX Dividend Future (OXYD)
Notice Number: 473
18/12/2018
Equity Derivatives
New IDX Future (HLTG) and IDX Dividend Future (HLTD)
Notice Number: 472
18/12/2018
Equity Derivatives
New IDX Future (HFCG) and IDX Dividend Future (HFCD)
Notice Number: 471
18/12/2018
Equity Derivatives
Listing New Strike Resetting Put Option (XS31)
Notice Number: 470
14/12/2018
Equity Derivatives
New Cash Settled Single Stock Future - AEL
Notice Number: 469
13/12/2018
All Markets
Prinsloo van der Linde - Enforcement Action by the JSE
Notice Number: 453
12/12/2018
Currency Derivatives, Interest Rate Derivatives
Revised Debt Trading Fees - Effective 2 January 2019
Notice Number: 468
11/12/2018
Equity Derivatives
New Contracts Loaded due to Greenbay Properties Ltd (GRP) - Name Change 12 Dec 2018 (Ex-Date)
Notice Number: 467
11/12/2018
Equity Derivatives
Treatment of Greenbay Properties Ltd (GRP) Corporate Action - Name Change and Consolidation 12 December 2018 (Ex-Date)
Notice Number: 466
10/12/2018
Currency Derivatives, Interest Rate Derivatives
Bonds MT515 Service Market Notice 10 December 2018
Notice Number: 465
07/12/2018
Currency Derivatives, Interest Rate Derivatives
Voluntary Termination of Membership - PSG Fixed Income and Commodities (Pty) Ltd
Notice Number: 464
07/12/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 463A
06/12/2018
Equity Market
Strate Fees 2019
Notice Number: 463B
06/12/2018
Equity Market
Strate Fees 2019 letter
Notice Number: 463C
06/12/2018
Equity Market
Strate Equities Depository and Settlement Fee Schedule 2019
Notice Number: 462
06/12/2018
Equity Derivatives
Voluntary Termination of Trading Membership - JP Morgan Securities SA (Pty) Ltd
Notice Number: 461
06/12/2018
Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Voluntary Termination of Membership - Market Traders (Pty) Ltd
Notice Number: 460A
05/12/2018
Currency Derivatives, Interest Rate Derivatives
Bond Market Penalties and Settlement Authority Fees Guidance Note
Notice Number: 460B
05/12/2018
Currency Derivatives, Interest Rate Derivatives
Bond Market Penalties and Settlement Authority Fees Guidance Note
Notice Number: 459
05/12/2018
Equity Derivatives
New IDX Future (HLLG) and IDX Dividend Future (HLLD)
Notice Number: 458
04/12/2018
Equity Market
Inward Listed Securities SXEIII
Notice Number: 457
04/12/2018
Equity Market
Inward Listed Securities ZA150
Notice Number: 456
03/12/2018
Equity Derivatives
Treatment of Greenbay Properties Ltd (GRP) CA – Capital Reduction 5 December 2018 (Ex-Date)
Notice Number: 455
30/11/2018
Equity Market
Primary Markets Price Changes 2019
Notice Number: 454
30/11/2018
Interest Rate Derivatives
Revised Interest Rate Derivatives Trading Fees - Effective 2 January 2019
Notice Number: 452
30/11/2018
Equity Derivatives
Equity Derivatives Market Price Changes 2019
Notice Number: 451
30/11/2018
Commodity Derivatives
Commodity Derivatives Market Price Changes 2019
Notice Number: 450
30/11/2018
Equity Market
Equity Market Price Changes 2019
Notice Number: 449
30/11/2018
Equity Derivatives
Treatment of Imperial Holdings Ltd (IPL) Corporate Action – Name Change 5 December 2018 (Ex-Date)
Notice Number: 448
29/11/2018
Commodity Derivatives
Correction To Cash Settled Grain Contracts December 2019 Last Trading Day
Notice Number: 447
28/11/2018
Equity Derivatives
New IDX Future (MNDG) and IDX Dividend Future (MNDD)
Notice Number: 446
28/11/2018
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 445
27/11/2018
Equity Derivatives
Voluntary Termination of Membership - Cratos Capital Pty Ltd
Notice Number: 444
27/11/2018
Equity Derivatives
New Cash Settled Single Stock Future - LBR
Notice Number: 443
26/11/2018
Equity Market
Change in Member Name – Namibia Equity Brokers (Pty) Ltd to Cirrus Securities (Pty) Ltd
Notice Number: 442
23/11/2018
Equity Market
Change of Auction Process - Circuit Breaker Changes and Randomised Auction Uncross Period
Notice Number: 441
23/11/2018
Equity Derivatives
Changes To Initial Margin Requirements For Lonmin PLC
Notice Number: 440
22/11/2018
Equity Derivatives
New Contracts loaded due to BHP Billiton Plc (BIL) - Name Change 23 November 2018 (Ex-Date)
Notice Number: 439
22/11/2018
Equity Derivatives
New SSF Future Motus Holdings Limited (MTH)
Notice Number: 438
22/11/2018
Equity Derivatives
New IDX Future (HBAG) and IDX Dividend Future (HBAD)
Notice Number: 437
22/11/2018
Equity Market
Change in Member Name - Genesis Securities (Pty) Ltd to Khumo Securities (Pty) Ltd
Notice Number: 436
21/11/2018
Equity Derivatives
New IDX Future (VGTG) and IDX Dividend Future (VGTD)
Notice Number: 435
21/11/2018
Equity Derivatives
New IDX Future (LIFG) and IDX Dividend Future (LIFD)
Notice Number: 434
20/11/2018
Equity Derivatives
New Contracts loaded due to Imperial Holdings LTD (IPL) - Unbundling 22 November 2018 (Ex-Date)
Notice Number: 433
20/11/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 432
20/11/2018
Equity Derivatives
Treatment of BHP Billiton Plc (BIL) - Name Change 23 November 2018 (Ex-Date)
Notice Number: 431
20/11/2018
Commodity Derivatives
Introducing January 2019 Expiry Month for the Meal and Oils Contracts
Notice Number: 430
16/11/2018
Equity Derivatives
Treatment of Imperial Holdings Ltd (IPL) Corporate Action - Unbundling 22 November 2018 (Ex-Date)
Notice Number: 429
15/11/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do Future Contract Knock-In Barrier Option (CAHF) on USD/ZAR
Notice Number: 428
15/11/2018
Equity Derivatives
New IDX Future (URWG) and IDX Dividend Future (URWD)
Notice Number: 427
14/11/2018
Equity Derivatives
New IDX Future (AREG) and IDX Dividend Future (ARED)
Notice Number: 426
14/11/2018
All Markets
Resignation of Member 28E Capital (Pty) Ltd
Notice Number: 425
14/11/2018
Equity Derivatives
New Index Future (JCRI) - FTSE/JSE Equally Weighted Responsible Investment Top 30 Index
Notice Number: 424
09/11/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS30)
Notice Number: 423
08/11/2018
Equity Derivatives
New Can-Do Future (XC38) - Out of Currency Settlement Option
Notice Number: 422
08/11/2018
Equity Derivatives
New IDX Future (TELG) and IDX Dividend Future (TELD)
Notice Number: 421
08/11/2018
Equity Derivatives
New IDX Future (EOGG) and IDX Dividend Future (EOGD)
Notice Number: 420
08/11/2018
Equity Derivatives
New IDX Future (APHG) and IDX Dividend Future (APHD)
Notice Number: 419
07/11/2018
Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 418
05/11/2018
Currency Derivatives, Interest Rate Derivatives
Incorrect MTM on Feb19 Bond Futures published on 2 November 2018
Notice Number: 417
02/11/2018
Equity Derivatives
New IDX Future (SBAG) and IDX Dividend Future (SBAD)
Notice Number: 416
02/11/2018
Equity Derivatives
New IDX Future (EQIG) and IDX Dividend Future (EQID)
Notice Number: 415
02/11/2018
Equity Derivatives
New IDX Future (DLRG) and IDX Dividend Future (DLRD)
Notice Number: 414
02/11/2018
Equity Derivatives
New IDX Future (COEG) and IDX Dividend Future (COED)
Notice Number: 413
01/11/2018
Equity Derivatives
New IDX Future (REGG) and IDX Dividend Future (REGD)
Notice Number: 412
01/11/2018
Equity Derivatives
Thresholds for Publicaton of Traded Vols on Options
Notice Number: 411A
31/10/2018
Equity Derivatives
Change in Contract Specification for Any Day Index Futures and Options
Notice Number: 411B
31/10/2018
Equity Derivatives
Appendix A_Change to ALSX Contract Specifications
Notice Number: 411C
31/10/2018
Equity Derivatives
Appendix B_Change to DTOX Contract Specifications
Notice Number: 411D
31/10/2018
Equity Derivatives
Appendix C_Change to DCAX Contract Specifications
Notice Number: 410
31/10/2018
Commodity Derivatives
Resignation of Member - Nedgroup Securities (Pty) Ltd
Notice Number: 409
31/10/2018
Commodity Derivatives
Resignation of Member - Syfrets Securities Ltd
Notice Number: 408
31/10/2018
Equity Derivatives, Commodity Derivatives
Resignation of Member - First World Trader (Pty) Ltd
Notice Number: 407
31/10/2018
Equity Derivatives
Resignation of Member - Tradition Government Bond Brokers and Derivatives Brokers (Pty) Ltd
Notice Number: 406
29/10/2018
Commodity Derivatives
Approval of NWK for Additional Sweet Sorghum Delivery Points
Notice Number: 405
24/10/2018
Currency Derivatives, Interest Rate Derivatives
Amendment to Bond ETP Market Trading Day Start Time
Notice Number: 404
24/10/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 403
23/10/2018
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 402
23/10/2018
Equity Market
Inward Listed Securities SXEIIJ
Notice Number: 401
22/10/2018
Equity Market
Inward Listed Securities UBSOLA
Notice Number: 400
19/10/2018
Equity Derivatives
New IDX Future (MROG) and IDX Dividend Future (MROD)
Notice Number: 399
19/10/2018
Equity Derivatives
New IDX Future (DVNG) and IDX Dividend Future (DVND)
Notice Number: 398
19/10/2018
Equity Derivatives
New IDX Future (BENG) and IDX Dividend Future (BEND)
Notice Number: 397
19/10/2018
Equity Derivatives
New IDX Future (ABMG) and IDX Dividend Future (ABMD)
Notice Number: 396
18/10/2018
Commodity Derivatives
Application by NWK for Additional Sweet Sorghum Delivery Points
Notice Number: 395
17/10/2018
All Markets
JSE Markets Calendar 2019
Notice Number: 394
16/10/2018
Equity Market
Change of Auction Process - Circuit Breaker Changes and Randomised Auction Uncross Period
Notice Number: 393
15/10/2018
Equity Derivatives
New Can-Do Future (XC36) - Out of Currency Settlement Option
Notice Number: 392
15/10/2018
Commodity Derivatives
Deregistration of Leliefontein Depot
Notice Number: 391
12/10/2018
Equity Derivatives
New IDX Future (AMRG) and IDX Dividend Future (AMRD)
Notice Number: 390
12/10/2018
Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Change in Member Name – Peregrine Derivatives (Pty) Ltd to Legae Peresec Derivatives (Pty) Ltd
Notice Number: 389
11/10/2018
Equity Derivatives
New Contracts loaded due to Old Mutual Limited Corporate Action
Notice Number: 388
10/10/2018
Equity Derivatives
New IDX Future (VTRG) and IDX Dividend Future (VTRD)
Notice Number: 387
10/10/2018
Equity Derivatives
New IDX Future (WELG) and IDX Dividend Future (WELD)
Notice Number: 386
10/10/2018
Commodity Derivatives
Introducing February and June 2019 Quanto Soybean Can-Do Contracts
Notice Number: 385
10/10/2018
Commodity Derivatives
Introducing February and June 2019 Quanto Corn Can-Do Contracts
Notice Number: 384
09/10/2018
Equity Market
Imperial Holdings Ltd Segment Change from ZA01 to ZA02
Notice Number: 383
09/10/2018
Equity Derivatives
New IDX Future (GDXG) and IDX Dividend Future (GDXD)
Notice Number: 382
09/10/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 381
05/10/2018
Equity Derivatives
Treatment of Old Mutual Limited (OMU) CA - Unbundling 10 Oct 2018 (Ex-Date)
Notice Number: 380
05/10/2018
Equity Derivatives
Changes to Initial Margin Requirements for Trencore Limited
Notice Number: 379
05/10/2018
Commodity Derivatives
Resignation of Member - Kempro Brokers (Pty) Ltd
Notice Number: 378
04/10/2018
Equity Derivatives
Treatment of AVI Ltd (AVI) Corporate Action - Special Dividend and Cash Dividend - 10 October 2018 (Ex-Date)
Notice Number: 377
04/10/2018
Equity Derivatives
New Can-Do Future (XC35) - Out of Currency Settlement Option
Notice Number: 376A
02/10/2018
Currency Derivatives, Equity Derivatives
Proposed Amendments to the Derivatives Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 376B
02/10/2018
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the Derivatives Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 375A
02/10/2018
Currency Derivatives, Equity Derivatives
Proposed Amendments to the JSE IRC Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 375B
02/10/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 374
01/10/2018
Equity Market, Equity Derivatives
Change in Member Name – Peregrine Equities (Pty) Ltd to Legae Peresec (Pty) Ltd
Notice Number: 373
01/10/2018
Equity Derivatives
Resignation of Member - Nedbank Limited
Notice Number: 372
27/09/2018
Equity Derivatives
New IDX Future (MCOG) and IDX Dividend Future (MCOD)
Notice Number: 371
27/09/2018
Equity Derivatives
Treatment of Greenbay Properties Ltd (GRP) Corporate Action - Capital Reduction 3 October 2018 (Ex-Date)
Notice Number: 370A
26/09/2018
Commodity Derivatives
Final Wheat Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 370B
26/09/2018
Commodity Derivatives
Final Wheat Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 369
26/09/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 368
26/09/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 367
26/09/2018
Equity Derivatives
New Can-Do IDX Future (XI02) - MXWD Index
Notice Number: 366
26/09/2018
Equity Market
Inward Listed Securities ZA149
Notice Number: 365
26/09/2018
Equity Market
Inward Listed Securities ZA147
Notice Number: 364
25/09/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8.25 percent Mar 2018-2023
Notice Number: 363
21/09/2018
Equity Derivatives
New Can-Do Future (XC34) - Out of Currency Settlement Option
Notice Number: 362
21/09/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8 percent Dec 2016-2021
Notice Number: 361
21/09/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 360
21/09/2018
Equity Derivatives
EDM Instruments Unavailable for Trade Today
Notice Number: 359
20/09/2018
Equity Derivatives
Rounding Rule (Price Quotation) on JSE Indices - DCAP and JCAR
Notice Number: 358
20/09/2018
Equity Market
Inward Listed Securities SPIB27
Notice Number: 357
19/09/2018
Equity Derivatives
Changes to Initial Margin Requirements for Illiquid Equity Derivatives
Notice Number: 356
19/09/2018
Equity Market
Inward Listed Securities SPIB25
Notice Number: 355
18/09/2018
Equity Market
Inward Listed Securities ZA151
Notice Number: 354A
17/09/2018
Commodity Derivatives
Proposed Location Differentials for 2018-19 Wheat Marketing Season
Notice Number: 354B
17/09/2018
Commodity Derivatives
Proposed Location Differentials for 2018-19 Wheat Marketing Season
Notice Number: 353
14/09/2018
Equity Derivatives
Treatment of Old Mutual Limited (OMU) Corporate Action - Special Dividend and Cash Dividend - 19 September 2018 (Ex-Date)
Notice Number: 352
14/09/2018
Equity Derivatives
New Can-Do EXF Basket Future (BT12) - Total Return Basket
Notice Number: 351
14/09/2018
Equity Derivatives
New IDX Future (LYBG) and IDX Dividend Future (LYBD)
Notice Number: 350
12/09/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 349
10/09/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS29)
Notice Number: 348
10/09/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS28)
Notice Number: 347
10/09/2018
Commodity Derivatives
Approval of Kaap Agri Additional Wheat Delivery Point
Notice Number: 346A
05/09/2018
Commodity Derivatives
Trading Members Permitted to Capture Report Only Trades for the Correction of Allocation Errors
Notice Number: 346B
05/09/2018
Commodity Derivatives
Guideline to book Report Only Allocation Errors
Notice Number: 345
03/09/2018
Equity Derivatives
Treatment of Glencore PLC (GLN) Corporate Action - Capital Reduction 5 September 2018 (Ex-Date)
Notice Number: 344
03/09/2018
Equity Market
Change in Closing Price Methodology Trading Segment ZA06 (Exchange Traded Products)
Notice Number: 343
31/08/2018
Equity Derivatives
New IDX Future (PFEG) and IDX Dividend Future (PFED)
Notice Number: 342
31/08/2018
Equity Derivatives
New IDX Future (NEVG) and IDX Dividend Future (NEVD)
Notice Number: 341
31/08/2018
Equity Derivatives
New IDX Future (FTGG) and IDX Dividend Future (FTGD)
Notice Number: 340
30/08/2018
Equity Derivatives
New IDX Future (EMRG) and IDX Dividend Future (EMRD)
Notice Number: 339
30/08/2018
Equity Derivatives
New IDX Future (DEAG) and IDX Dividend Future (DEAD)
Notice Number: 338
29/08/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 337
28/08/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 336
27/08/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS27)
Notice Number: 335
27/08/2018
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Resignation of Member - Credit Suisse Securities Johannesburg (Pty) Ltd
Notice Number: 334
24/08/2018
Equity Derivatives
New IDX Future (NAVG) and IDX Dividend Future (NAVD)
Notice Number: 333
24/08/2018
Equity Derivatives
New IDX Future (FTIG) and IDX Dividend Future (FTID)
Notice Number: 332
23/08/2018
Equity Market
Inward Listed Securities UABSPA
Notice Number: 331
21/08/2018
Equity Derivatives
New IDX Future (SOTG) and IDX Dividend Future (SOTD)
Notice Number: 330
20/08/2018
Equity Derivatives
New Can-Do Future (XC33) - Out of Currency Settlement Option
Notice Number: 329
20/08/2018
Commodity Derivatives
Outcome of JSE Workshop on SOYA Differentials
Notice Number: 328
20/08/2018
Commodity Derivatives
New Member - Senwes Graanmakelaars (Pty) Ltd
Notice Number: 327
17/08/2018
Equity Derivatives
Treatment of Quilter Plc (QLT) Corporate Action Special Dividend - 22 August 2018 (Ex-Date)
Notice Number: 326A
16/08/2018
Equity Derivatives
New Can-Do EXF Basket Future (BT11) - Total Return Basket
Notice Number: 326B
16/08/2018
Equity Derivatives
New Can-Do EXF Basket Future (BT11) - Total Return Basket
Notice Number: 325
16/08/2018
Equity Derivatives
New IDX Future (WUBG) and IDX Dividend Future (WUBD)
Notice Number: 324
16/08/2018
Equity Derivatives
New IDX Future (PHMG) and IDX Dividend Future (PHMD)
Notice Number: 323
15/08/2018
Equity Market
Inward Listed Securities FTSIIC
Notice Number: 322
15/08/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 321
13/08/2018
Equity Derivatives
New Contracts loaded due to Steinhoff African RT Ltd - Name Change and Conversion 15 August 2018 (Ex-Date)
Notice Number: 320
10/08/2018
Equity Derivatives
Treatment of Steinhoff African RT Ltd (SRR) - Name Change and Conversion 15 August 2018 (Ex-Date)
Notice Number: 319A
10/08/2018
Commodity Derivatives
Request for Information to assist with determination of Location Differetials (LD) for 2018/2019 Wheat Marketing Season
Notice Number: 319B
10/08/2018
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for 2017-2018 Wheat Marketing Season
Notice Number: 318
08/08/2018
Equity Derivatives
New Can-Do (YOAQ) - Quanto Future (SPDR S and P 500 ETF Trust)
Notice Number: 317
07/08/2018
Equity Derivatives
New Cash Settled SSF Future (CSBS)
Notice Number: 316
06/08/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do (CX05) – Out of Currency Option ON ZAR/JPY
Notice Number: 315
06/08/2018
Equity Market
Introduction of Circuit Breakers on Segment ZA06 (Exchange Traded Products)
Notice Number: 314
06/08/2018
Equity Market
Change in Closing Price Methodology Trading Segment ZA06 (Exchange Traded Products)
Notice Number: 313
01/08/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS26)
Notice Number: 312
01/08/2018
Commodity Derivatives
Application by KAAP AGRI for an Additional Wheat Delivery Point
Notice Number: 311
01/08/2018
Equity Derivatives
New Can-Do (YMEZ) - Quanto Future (SPDR S&P 500 ETF Trust)
Notice Number: 310
31/07/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 309
30/07/2018
Equity Derivatives
New Cash Settled SSF Future (HMNS)
Notice Number: 308
30/07/2018
Currency Derivatives, Interest Rate Derivatives
Amendment of Contract Specifications to certian Listed Currency Futures Contracts
Notice Number: 307
30/07/2018
Currency Derivatives, Interest Rate Derivatives
Currency Futures Contract Listed - Rand Japanese Yen Any-day
Notice Number: 306A
30/07/2018
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE Interest Rate and Currency Derivatives Directives - Settlement of Transactions in Bonds
Notice Number: 306B
30/07/2018
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE IRC Directives - Settlement of Transactions in Bonds
Notice Number: 305
30/07/2018
Equity Derivatives
New Can-Do Future (XC32) - Out of Currency Settlement Option
Notice Number: 304
27/07/2018
Equity Market
Change in Member Name - Macquarie Equities South Africa (Pty) Ltd
Notice Number: 303
26/07/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS25)
Notice Number: 302
26/07/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS24)
Notice Number: 301
26/07/2018
Equity Market
Inward Listed Securities ZA140
Notice Number: 300
26/07/2018
Equity Derivatives
New IDX Future (NTRG) and IDX Dividend Future (NTRD)
Notice Number: 299
26/07/2018
Equity Derivatives
New IDX Future (CFUG) and IDX Dividend Future (CFUD)
Notice Number: 298
26/07/2018
Equity Derivatives
New IDX Future (BBTG) and IDX Dividend Future (BBTD)
Notice Number: 297
26/07/2018
Commodity Derivatives
JSE Workshop to Consider Introduction of Location Differentials for SOYA
Notice Number: 296
25/07/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 295
24/07/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BT10) - Total Return Basket
Notice Number: 294
23/07/2018
Equity Derivatives
New Cash Settled SSF Future (VKES)
Notice Number: 293
20/07/2018
Equity Derivatives
New Can-Do Future (XC31) - Out of Currency Settlement Option
Notice Number: 292
19/07/2018
Equity Market
Inward Listed Securities UEFPCA
Notice Number: 291
19/07/2018
Equity Derivatives
New IDX Future (PHUG) and IDX Dividend Future (PHUD)
Notice Number: 290
19/07/2018
Equity Derivatives
New IDX Future (SNSG) and IDX Dividend Future (SNSD)
Notice Number: 289A
18/07/2018
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules
Notice Number: 289B
18/07/2018
Currency Derivatives, Interest Rate Derivatives
Board Notice 92 of 2018 containing the FSCA’s approval
Notice Number: 289C
18/07/2018
Currency Derivatives, Interest Rate Derivatives
The approved amendments to the JSE Interest Rate and Currency Derivatives Rules
Notice Number: 288
18/07/2018
Equity Derivatives
New IDX Future (CHPG) and IDX Dividend Future (CHPD)
Notice Number: 287
17/07/2018
Currency Derivatives, Interest Rate Derivatives
RM - Bond ETP First Trading Date - 18 July 2018
Notice Number: 286
17/07/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 285
16/07/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do Structured Contract Option (CC01) on USD or ZAR
Notice Number: 284
16/07/2018
Equity Derivatives
Changes to initial margin requirements for XC27 and XC30
Notice Number: 283A
13/07/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Directives - Settlement of Transactions in Bonds
Notice Number: 283B
13/07/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Directives - Settlement of Transactions in Bonds
Notice Number: 282
13/07/2018
Commodity Derivatives
Closure of Rail Lines Servicing SWL Sidings
Notice Number: 281
12/07/2018
Equity Derivatives
New IDX Future (PSAG) and IDX Dividend Future (PSAD)
Notice Number: 280
12/07/2018
Equity Derivatives
New IDX Future (WMBG) and IDX Dividend Future (WMBD)
Notice Number: 279
10/07/2018
Equity Derivatives
EDM - New Contracts Barclays Africa Grp Ltd - Name Change and Conversion 11 July 2018
Notice Number: 278
10/07/2018
Equity Derivatives
Amendment to group margins - Old Mutual Limited and Quilter Plc
Notice Number: 277
10/07/2018
All Markets
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 276
09/07/2018
Equity Market
Inward Listed Securities SXEIIG
Notice Number: 275
06/07/2018
Currency Derivatives, Interest Rate Derivatives
New Currency Expiries Loaded
Notice Number: 274
06/07/2018
Equity Derivatives
Treatment of Barclays Africa Grp Ltd (BGA) - Name Change and Conversion 11 July 2018 (Ex-Date)
Notice Number: 273
05/07/2018
Commodity Derivatives
Closure of Rail Lines Servicing NWK Sidings
Notice Number: 272
05/07/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS23)
Notice Number: 271
05/07/2018
Equity Derivatives, Commodity Derivatives
Resignation of Member - RMB Securities (Pty) Ltd
Notice Number: 270
05/07/2018
Equity Derivatives
Resignation of Member - RMB Morgan Stanley (Pty) Ltd
Notice Number: 269
05/07/2018
Equity Derivatives
Resignation of Member - Absa Stockbrokers and Portfolio Management (Pty) Ltd
Notice Number: 268
05/07/2018
Equity Derivatives, Interest Rate Derivatives
New Member - Siyanda Capital (Pty) Ltd
Notice Number: 267
04/07/2018
Equity Derivatives
New IDX Future (EIXG) and IDX Dividend Future (EIXD)
Notice Number: 266
04/07/2018
Equity Derivatives
New IDX Future (BAGG) and IDX Dividend Future (BAGD)
Notice Number: 265
04/07/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 264
27/06/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 263
26/06/2018
Equity Derivatives
New Can-Do Future (XC30) - Out of Currency Settlement Option
Notice Number: 262
26/06/2018
Equity Derivatives
Inward Listed Securities SXEIIH
Notice Number: 261
25/06/2018
Equity Derivatives
New IDX Future (KGCG) and IDX Dividend Future (KGCD)
Notice Number: 260
25/06/2018
Equity Market
Introduction of Circuit Breakers on Segments ZA04 (Warrants) and ZA06 (Exhange Traded Products)
Notice Number: 259
24/06/2018
Equity Derivatives
EDM - New Contract Old Mutual PLC Corporate Action New SSF 25 June 2018
Notice Number: 258
24/06/2018
Equity Derivatives
New Contracts Loaded due to Old Mutual PLC Corporate Action
Notice Number: 257
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.5 percent Mar 2018-2028
Notice Number: 256
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8.25 percent Mar 2018-2023
Notice Number: 255
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 7.75 percent Mar 2018-2020
Notice Number: 254
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y stnd 7.5 percent Mar 2018-2019
Notice Number: 253
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.25 percent Jun 2017-2027
Notice Number: 252
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 7.75 percent Jun 2017-2022
Notice Number: 251
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 7.25 percent Jun 2017-2019
Notice Number: 250
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.25 percent Dec 2016-2026
Notice Number: 249
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8 percent Dec 2016-2021
Notice Number: 248
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 7.75 percent Dec 2016-2018
Notice Number: 247
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.75 percent Sep 2016-2026
Notice Number: 246
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8.5 percent Sep 2016-2021
Notice Number: 245
22/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 8 percent Sep 2016-2018
Notice Number: 244
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 7.75 percent Jun 2018-2028
Notice Number: 243
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 7.25 percent Jun 2018-2023
Notice Number: 242
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 6.75 percent Jun 2018-2020
Notice Number: 241
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y stnd 6.75 percent Jun 2018-2019
Notice Number: 240
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 7.75 percent Dec 2017-2027
Notice Number: 239
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 7 percent Dec 2017-2022
Notice Number: 238
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 6.5 percent Dec 2017-2019
Notice Number: 237
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y stnd 6.5 percent Dec 2017-2018
Notice Number: 236
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 7.75 percent Sep 2017-2027
Notice Number: 235
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 7.25 percent Sep 2017-2022
Notice Number: 234
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 7 percent Sep 2017-2019
Notice Number: 233
20/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y stnd 7 percent Sep 2017-2018
Notice Number: 232
20/06/2018
Equity Derivatives
New Can-Do Future (XC29) - Out of Currency Settlement
Notice Number: 231
20/06/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS22)
Notice Number: 230
20/06/2018
Equity Derivatives
New Contracts loaded due to Grindrod Shipping Holding Limited Corporate Action - Distribution in Specie 19 June 2018
Notice Number: 229A
19/06/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Rules - Settlement of Transactions in Bonds
Notice Number: 229B
19/06/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Rules - Settlement of Transactions in Bonds
Notice Number: 229C
19/06/2018
Currency Derivatives, Interest Rate Derivatives
Board Notice 85 of 2018
Notice Number: 228
19/06/2018
Equity Derivatives
New Can-Do Future (XC28) - Out of Currency Settlement Option
Notice Number: 227
19/06/2018
Equity Derivatives
New IDX Future (CRMG) and IDX Dividend Future (CRMD)
Notice Number: 226
19/06/2018
Equity Market
Inward Listed Securities ZA146
Notice Number: 225
18/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.75 percent Mar 2016-2026
Notice Number: 224
18/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8.25 percent Mar 2016-2021
Notice Number: 223
18/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.25 percent Dec 2015-2025
Notice Number: 222
18/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8 percent Dec 2015-2020
Notice Number: 221
15/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 8.5 percent Mar 2017-2027
Notice Number: 220
15/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8 percent Mar 2017-2022
Notice Number: 219
15/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y stnd 7.5 percent Mar 2017-2019
Notice Number: 218
15/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y stnd 9 percent Jun 2016-2026
Notice Number: 217
15/06/2018
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y stnd 8.5 percent Jun 2016-2021
Notice Number: 216
15/06/2018
Equity Derivatives
New IDX Future (ULAG) and IDX Dividend Future (ULAD)
Notice Number: 215
14/06/2018
Equity Derivatives
New IDX Future (IGVG) and IDX Dividend Future (IGVD)
Notice Number: EDM - Treatment of Grindrod Corporate Action - Distribution in Specie - 19 June 2018
14/06/2018
Equity Derivatives
EDM - Treatment of Grindrod Corporate Action - Distribution in Specie - 19 June 2018
Notice Number: EDM - Treatment of Grindrod Corporate Action - Distribution in Specie - 19 June 2018
13/06/2018
Equity Derivatives
Notice Number: 213
13/06/2018
Equity Derivatives
New Contracts Loaded due to Aveng Group Limited (AEG) Corporate Action - Rights Offer 13 June 2018 (Ex-Date)
Notice Number: 212
12/06/2018
Equity Derivatives
Treatment of Aveng Group Limited (AEG) Corporate Action - Rights Offer 13 June 2018 (Ex-Date)
Notice Number: 211
12/06/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 10 Year JSE Eris Interest Rate Swap Future
Notice Number: 210
12/06/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 5 Year JSE Eris Interest Rate Swap Future
Notice Number: 209
12/06/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 2 Year JSE Eris Interest Rate Swap Future
Notice Number: 208
12/06/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 1 Year JSE Eris Interest Rate Swap Future
Notice Number: 207
11/06/2018
Equity Market
Inward Listed Securities SPIB26
Notice Number: 206A
06/06/2018
Equity Derivatives
New Can-Do EXF - Basket Future - Total Return (BT09)
Notice Number: 206B
06/06/2018
Equity Derivatives
New Can-Do EXF - Basket Future - Total Return (BT09)
Notice Number: 205
06/06/2018
Equity Market
Inward Listings
Notice Number: 204
05/06/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 203
31/05/2018
Equity Derivatives
New Can-Do IDX Future (XI01) - MXWO Index
Notice Number: 202
31/05/2018
Equity Derivatives
Distell Group Ltd (DST) Corporate Action - Conversion and Scheme of Arrangement 1 June 2018 (Ex-Date)
Notice Number: 201
31/05/2018
Equity Derivatives
Resignation of Member - GFI Securities (SA) (Pty) Ltd
Notice Number: 200
30/05/2018
Equity Derivatives
New SSF Future (DGHQ) and SSF Dividend Future (DGHF)
Notice Number: 199
30/05/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 198
30/05/2018
Equity Derivatives
Resignation of Member - Cantor Fitzgerald (South Africa) (Pty) Ltd
Notice Number: 197
30/05/2018
Equity Derivatives
Resignation of Member - Eskom Holdings SOC Ltd
Notice Number: 196
30/05/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Resignation of Member - Metropolitan Asset Managers Ltd
Notice Number: 195
29/05/2018
Equity Derivatives
Treatment of Capevin Holdings Ltd (CVH) Corporate Action - Scheme of Arrangement 30 May 2018 (Ex-Date)
Notice Number: 194A
25/05/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Rules - Settlement of Transactions in Bonds
Notice Number: 194B
25/05/2018
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE IRC Rules - Settlement of Transactions in Bonds
Notice Number: 193
25/05/2018
Equity Market
Inward Listed Securities ZA139
Notice Number: 192
25/05/2018
Equity Market
Inward Listed Securities ZA138
Notice Number: 191
25/05/2018
Equity Derivatives
New IDX Future (YYYG) and IDX Dividend Future (YYYD)
Notice Number: 190
25/05/2018
Equity Market
New Tiered Billing Model for Equity Market - Further Details
Notice Number: 189
24/05/2018
Currency Derivatives, Interest Rate Derivatives
New Member PSG Securities Ltd
Notice Number: 188
22/05/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 187
21/05/2018
Equity Market
New Tiered Billing Model for Equity Market
Notice Number: 186A
21/05/2018
All Markets
Impact Assessment of Margin Requirements for Non-Centrally Cleared OTC Derivative Transactions
Notice Number: 186B
21/05/2018
All Markets
Questionnaire OTC Derivative Transactions
Notice Number: 185A
18/05/2018
Commodity Derivatives
Approval of Suidwes Landbou Additional White Maize Delivery Point
Notice Number: 185B
18/05/2018
Commodity Derivatives
Approval of Suidwes Landbou Additional White Maize Delivery Point
Notice Number: 184
16/05/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS21)
Notice Number: 183
16/05/2018
Equity Derivatives
New Contracts loaded due to Sun International Ltd (SUI) Corporate Action - Rights Offer 16 May 2018 (Ex-Date)
Notice Number: 182
15/05/2018
Equity Derivatives
Treatment of Sun International Ltd (SUI) Corporate Action - Rights Offer 16 May 2018 (Ex-Date)
Notice Number: 181
14/05/2018
Equity Derivatives
Treatment of Kering Euronext Paris (KER FP EQUITY) Corporate Action - Spin Off 14 May 2018 (Ex-Date)
Notice Number: 180
14/05/2018
Equity Derivatives
New IDX Future (FIVG) and IDX Dividend Future (FIVD)
Notice Number: 179
14/05/2018
Equity Derivatives
New IDX Future (PUMG) and IDX Dividend Future (PUMD)
Notice Number: 178
11/05/2018
Equity Derivatives
New IDX Future (YUCG) and IDX Dividend Future (YUCD)
Notice Number: 177
11/05/2018
Commodity Derivatives
Revision of Distance to Randfontein for Bamboesspruit Silo
Notice Number: 176
10/05/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS20)
Notice Number: 175
10/05/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS19)
Notice Number: 174
08/05/2018
Equity Derivatives
Changes to Initial Margin Requirements for BT08
Notice Number: 173
08/05/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 172
07/05/2018
Equity Derivatives
New IDX Future (RPCG) and IDX Dividend Future (RPCD)
Notice Number: 171
04/05/2018
Commodity Derivatives
Approval of AFGRI Additional Delivery Point
Notice Number: 170
03/05/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BT08) - Total Return Basket
Notice Number: 169
02/05/2018
Equity Derivatives
New IDX Future (NDDG) and IDX Dividend Future (NDDD)
Notice Number: 168
30/04/2018
Equity Market
Inward Listed Securities ZA143
Notice Number: 167
26/04/2018
Equity Derivatives
Treatment of Resilient REIT Limited (RES) - Unbundling 2 May 2018 (Ex-Date)
Notice Number: 166
26/04/2018
Equity Derivatives
Treatment of Mondi Ltd (MND) Corporate Action - Special Dividend 2 May 2018 (Ex-Date)
Notice Number: 165
26/04/2018
Equity Derivatives
Treatment of Mondi Plc (MNP) Corporate Action - Special Dividend 2 May 2018 (Ex-Date)
Notice Number: 164
26/04/2018
Equity Derivatives
New IDX Future (AHTG) and IDX Dividend Future (AHTD)
Notice Number: 163
26/04/2018
Commodity Derivatives
Application by Suidwes Landbou for an Additional White Maize Delivery Point
Notice Number: 162
25/04/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 161
25/04/2018
Equity Derivatives
New Can-Do Future (XC27) - Out of Currency Settlement Option
Notice Number: 160
25/04/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 159
24/04/2018
Equity Derivatives
New IDX Future (CSPG) and IDX Dividend Future (CSPD)
Notice Number: 158B
24/04/2018
Commodity Derivatives
Final Maize Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 158A
24/04/2018
Commodity Derivatives
Final Maize Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 157B
24/04/2018
Commodity Derivatives
New Storage Rate for Sorghum for 2018-19 Marketing Season
Notice Number: 157A
24/04/2018
Commodity Derivatives
New Storage Rate for Sorghum for 2018-19 Marketing Season
Notice Number: 156
24/04/2018
Equity Market
Inward Listed Securities ZA137
Notice Number: 155
24/04/2018
Equity Market
Inward Listed Securities ZA136
Notice Number: 154
20/04/2018
Equity Derivatives
Treatment of Glencore PLC (GLN) Corporate Action - Capital Reduction 24 April 2018 (Ex-Date)
Notice Number: 153
17/04/2018
All Markets
Handling Confidential Information
Notice Number: 152
17/04/2018
Equity Derivatives
Listing New Can-Do Option (XC26) - Barrier Structure
Notice Number: 151A
17/04/2018
Commodity Derivatives
Proposed Maize Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 151B
17/04/2018
Commodity Derivatives
Proposed Maize Location Differentials and Storage Rates for 2018-19 Marketing Season
Notice Number: 150
13/04/2018
Equity Market
Inward Listed Securities SPIB22
Notice Number: 149
13/04/2018
Commodity Derivatives
Application by AFGRI for an Additional Delivery Point
Notice Number: JSE Market Notice 14818 EQM - Inward Listed Securities SXEIIF.pdf
12/04/2018
Equity Market
Inward Listed Securities SXEIIF
Notice Number: 147
11/04/2018
Commodity Derivatives
Introduction of the May 2019 White and Yellow Maize Expiries
Notice Number: 146
11/04/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 145
10/04/2018
Equity Derivatives
New Contracts loaded due to Treatment of Sibanye Gold Limited (SGL) Corporate Action - Capitalisation Issue 11 April 2018 (Ex-Date)
Notice Number: 144
10/04/2018
Equity Market
Inward Listed Securities STXNDQ
Notice Number: 143
06/04/2018
Equity Derivatives
Treatment of Sibanye Gold Limited (SGL) Corporate Action - Cap Issue 11 April 2018 (Ex-Date)
Notice Number: 142
06/04/2018
Commodity Derivatives
Rail Out-loading Halted at NWK Silos
Notice Number: 141
04/04/2018
Equity Derivatives
New Index Future - FTSE/JSE Capped Shareholder All Share Index (DALC)
Notice Number: 140
04/04/2018
Commodity Derivatives
Approval of AFGRI Additional Sorghum Delivery Point
Notice Number: 139
29/03/2018
Currency Derivatives
New Currency Futures Contract Any-day Rand.Japanese Yen
Notice Number: 138
29/03/2018
Currency Derivatives
New Currency Futures Contract Any-day Japanese Yen.Rand
Notice Number: 137
29/03/2018
Equity Derivatives
Changes to Initial Margin Requirements for the Equity Derivatives Market
Notice Number: 136
28/03/2018
Equity Derivatives, Commodity Derivatives
Correction to Market Notice 8118 - VAT Increase on Booking Fees to 15%
Notice Number: 135
28/03/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 134
27/03/2018
All Markets
Correction to Notice 8118 - Implementation of the 1 Percent Increase in VAT Rate
Notice Number: 133
27/03/2018
Interest Rate Derivatives
MT515 Bonds
Notice Number: 132
27/03/2018
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 131
27/03/2018
Equity Market
Inward Listed Securities ZA135
Notice Number: 130
27/03/2018
Equity Market
Inward Listed Securities ZA134
Notice Number: 129
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.5 percent Mar 2018-2028
Notice Number: 128
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.25 percent Mar 2018-2023
Notice Number: 127
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 percent Mar 2018-2020
Notice Number: 126
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.5 percent Mar 2018-2019
Notice Number: 125
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Jun 2017-2027
Notice Number: 124
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7.75 percent Jun 2017-2022
Notice Number: 123
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.25 percent Jun 2017-2019
Notice Number: 122
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7.25 percent Jun 2017-2018
Notice Number: 121
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.25 percent Dec 2016-2026
Notice Number: 120
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8 percent Dec 2016-2021
Notice Number: 119
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7.75 percent Dec 2016-2018
Notice Number: 118
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 8.75 percent Sep 2016-2026
Notice Number: 117
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8.5 percent Sep 2016-2021
Notice Number: 116
22/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 8 percent Sep 2016-2018
Notice Number: 115
20/03/2018
Equity Derivatives
Can-Do Future (TFGX) - The Foschini Group Limited (TFGX)
Notice Number: 114
20/03/2018
Equity Derivatives
New Can-Do Future (XC25) - Out of Currency Settlement Option
Notice Number: 113
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 7.75 percent Dec 2017-2027
Notice Number: 112
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7 percent Dec 2017-2022
Notice Number: 111
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 6.5 percent Dec 2017-2019
Notice Number: 110
20/03/2018
Equity Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 6.5 percent Dec 2017-2018
Notice Number: 109
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 10Y Stnd 7.75 percent Sep 2017-2027
Notice Number: 108
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 7.25 percent Sep 2017-2022
Notice Number: 107
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 2Y Stnd 7 percent Sep 2017-2019
Notice Number: 106
20/03/2018
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 1Y Stnd 7 percent Sep 2017-2018
Notice Number: 105
19/03/2018
Equity Derivatives
New Index Future (JCAR) - FTSE JSE Capped Property Index Total Return Index
Notice Number: 104
16/03/2018
Equity Derivatives, Commodity Derivatives
Resignation of Member - GTC Derivatives (Pty) Ltd
Notice Number: 103
15/03/2018
Equity Derivatives
Changes to Initial Margin Requirements for Strike Resetting Option Contracts
Notice Number: 102
15/03/2018
Equity Market
Inward Listed Securities ETFGRE
Notice Number: 101
15/03/2018
Equity Market
Inward Listed Securities ETFWLD
Notice Number: 100
15/03/2018
Equity Market
Inward Listed Securities ETFGGB
Notice Number: 99
14/03/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 10 Year JSE Eris Interest Rate Swap Future
Notice Number: 98
14/03/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 5 Year JSE Eris Interest Rate Swap Future
Notice Number: 97
14/03/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 2 Year JSE Eris Interest Rate Swap Future
Notice Number: 96
14/03/2018
Currency Derivatives, Interest Rate Derivatives
New Swap Future Contract - 1 Year JSE Eris Interest Rate Swap Future
Notice Number: 95
14/03/2018
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 94
13/03/2018
Currency Derivatives
New Currency Expiries Loaded
Notice Number: 93A
12/03/2018
Commodity Derivatives
Request for Information for 2018-2019 Maize Marketing Season
Notice Number: 93B
12/03/2018
Commodity Derivatives
Maize Silos 2017-18
Notice Number: 92
12/03/2018
Equity Derivatives
Updated Market Extension times - March 2018 Closeout
Notice Number: 91
09/03/2018
Commodity Derivatives
Application by AFGRI for Additional Sorghum Delivery Point
Notice Number: 90
09/03/2018
Equity Derivatives
Changes to Initial Margin Requirements for SNH
Notice Number: 89
08/03/2018
All Markets
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 88
08/03/2018
Equity Derivatives
Resignation of Member - Transnet SOC Ltd
Notice Number: 87
08/03/2018
Equity Derivatives
Resignation of Member - Noah Capital Markets (Pty) Ltd
Notice Number: 86
08/03/2018
Equity Derivatives
New Can-Do Future (XC22) - Out of Currency Settlement Option
Notice Number: 85
07/03/2018
Equity Market
Inward Listed Securities ETF5IT
Notice Number: 84
07/03/2018
Equity Market
Inward Listed Securities ETF500
Notice Number: 83
05/03/2018
Equity Derivatives
Treatment of South32 Ltd (S32Q) Corporate Action - Special Dividend 7 March 2018 (Ex-Date)
Notice Number: 82
02/03/2018
Equity Derivatives
New IDX Future (BRYG) and IDX Dividend Future (BRYD)
Notice Number: 81
02/03/2018
All Markets
Implementation of the 1% Increase in VAT Rate
Notice Number: 80
01/03/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do Future Contract Knock-In Barrier Option (CAHE) on USD/ZAR
Notice Number: 79
01/03/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do Future Contract Knock-In Barrier Option (CAHC) on USD/ZAR
Notice Number: 78
01/03/2018
Currency Derivatives, Interest Rate Derivatives
Listing Currency Can-Do Future Contract Knock-In Barrier Option (CAHB) on USD/ZAR
Notice Number: 77
28/02/2018
Equity Derivatives
New IDX Future (BKNG) and IDX Dividend Future (BKND)
Notice Number: 76
28/02/2018
Equity Derivatives
Treatment of Priceline Group and (PCLN) Corporate Action - Name Change 28 Feb 2018 (Ex-Date)
Notice Number: 75
28/02/2018
Equity Derivatives
Listing New Strike Resetting Option (XS18)
Notice Number: 74
28/02/2018
Equity Derivatives
Index Future (JCAP) - FTSE JSE Capped Property Index (J254)
Notice Number: 73
27/02/2018
Equity Derivatives
New IDX Future (YOXG) and IDX Dividend Future (YOXD)
Notice Number: 72
27/02/2018
Equity Derivatives
New IDX Future (BUFG) and IDX Dividend Future (BUFD)
Notice Number: 71
27/02/2018
Equity Derivatives
New IDX Future (ACAG) and IDX Dividend Future (ACAD)
Notice Number: 70
27/02/2018
Equity Derivatives
New Index Future (DCAR) - FTSE JSE Capped Shareholder Weighted 40 Total Return Index
Notice Number: 69
27/02/2018
Equity Derivatives
New Index Future (ALSR) - FTSE JSE Top 40 Total Return Index
Notice Number: 68
27/02/2018
Equity Derivatives
New Can-Do Future (XC21) - Out of Currency Settlement Option
Notice Number: 67
27/02/2018
Equity Derivatives
New Can-Do Future (XC20) - Out of Currency Settlement Option
Notice Number: 66
27/02/2018
Equity Derivatives
New Can-Do Future (XC19) - Out of Currency Settlement Option
Notice Number: 65
27/02/2018
Equity Market
Inward Listed Securities SPIB24
Notice Number: 64
27/02/2018
Equity Market
Inward Listed Securities SXEIIE
Notice Number: 63
26/02/2018
Equity Market
Inward Listed Securities UEFPCA
Notice Number: Resignation of Member - Sanlam Securities (Pty) Ltd
26/02/2018
Equity Derivatives
Resignation of Member - Sanlam Securities (Pty) Ltd
Notice Number: 61A
23/02/2018
Commodity Derivatives
Soya Beans Standard Storage Rate and confirmation of Delivery Points for the 2018-19 Marketing Season
Notice Number: 61B
23/02/2018
Commodity Derivatives
Soya Beans Standard Storage Rate and confirmation of Delivery Points for the 2018-19 Marketing Season
Notice Number: 60
22/02/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 59A
22/02/2018
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for the 2018-19 Marketing Season
Notice Number: 59B
22/02/2018
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for the 2018-19 Marketing Season
Notice Number: 58
22/02/2018
Commodity Derivatives
Introduction of the December 2018 Wheat Expiry
Notice Number: 57
21/02/2018
Commodity Derivatives
Member Representation on the Agricultural Derivatives Advisory Committee
Notice Number: 56
21/02/2018
Commodity Derivatives
Proposal to Increase Standard Contract Size for SOYA Beans
Notice Number: 55
21/02/2018
Equity Derivatives
Treatment of Exxaro Resources Ltd (EXX) Corporate Action - Special Dividend 28 February 2018 (Ex-date)
Notice Number: 54
19/02/2018
Equity Derivatives
Resignation of Member - Genesis Securities (Pty) Ltd
Notice Number: 53
16/02/2018
Equity Market
Submission of Potential claims for Operational Settlement Issues experienced in the Cash Equities Market for Rolled Settlements of 26 and 27 September 2017
Notice Number: 52
16/02/2018
Equity Derivatives
Changes to Initial Margin Requirements for BT07
Notice Number: 51
15/02/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BT07) - Total Return Basket
Notice Number: 50
15/02/2018
Equity Derivatives
Changes to Initial Margin Requirements for BC05
Notice Number: 49
14/02/2018
All Derivative Markets
Price changes effective 2018
Notice Number: 48
14/02/2018
Commodity Derivatives
Introduction of the March and May 2019 SOYA Bean Expiries
Notice Number: 47A
12/02/2018
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for the 2018-19 Marketing Season
Notice Number: 47B
12/02/2018
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for the 2018-19 Marketing Season
Notice Number: 46
12/02/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BT06) - Total Return Basket
Notice Number: 45
09/02/2018
Commodity Derivatives
Application by Suidwes for Additional Soya Delivery Points
Notice Number: Resignation of Member - Courtney Capital Management (Pty) Ltd
08/02/2018
Equity Derivatives, Commodity Derivatives
Resignation of Member - Courtney Capital Management (Pty) Ltd
Notice Number: 43
07/02/2018
Equity Derivatives
Changes to Initial Margin Requirements for XS09
Notice Number: 42
02/02/2018
Interest Rate Derivatives
Update Invalid Trades on Bonds Market - End of Day
Notice Number: 41
02/02/2018
Interest Rate Derivatives
Update Invalid Trades on Bonds Market
Notice Number: 40
02/02/2018
Equity Market
Inward Listed Securities ZA133
Notice Number: 39
02/02/2018
Equity Market
Inward Listed Securities ZA132
Notice Number: 38
02/02/2018
Interest Rate Derivatives
Update Invalid Trades on Bonds Market
Notice Number: 37
01/02/2018
Interest Rate Derivatives
Invalid Trades on Bonds Market
Notice Number: 36
01/02/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BT05) - Total Return Basket
Notice Number: 35
01/02/2018
Equity Market
Inward Listed Securities ZA117
Notice Number: 34
31/01/2018
Equity Derivatives
Index Future (Bank) - FTSE JSE African Banks Index (J835)
Notice Number: 33
31/01/2018
Interest Rate Derivatives
Duplicate, Invalid Trades on Bonds Market (Update)
Notice Number: 32
31/01/2018
Interest Rate Derivatives
Duplicate, Invalid Trades on Bonds Market
Notice Number: 31
30/01/2018
Commodity Derivatives
Introducing February 2018 Quanto Brent Crude Oil Can-Do Contract
Notice Number: 30
30/01/2018
Equity Derivatives
New IDX Future (ANTG) and IDX Dividend Future (ANTD)
Notice Number: 29
29/01/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BC06)
Notice Number: 28
29/01/2018
Commodity Derivatives
Introduction of the March and May 2019 Sunflower Seeds Expiries
Notice Number: 27
29/01/2018
Equity Derivatives
New Can-Do EXF - Basket Future (BC05)
Notice Number: 26
26/01/2018
Equity Derivatives
New Can-Do Future (XC18) - Out of Currency Settlement Option
Notice Number: 25
26/01/2018
Equity Derivatives
New Can-Do Future (XC17) - Out of Currency Settlement Option
Notice Number: 24
26/01/2018
Equity Derivatives
Listing New Strike Resetting Put Spread Option (XS17)
Notice Number: 23A
26/01/2018
Equity Market
Approved Amendments to the JSE Equities Rules and Directives - Block Trades and Off Order Book Principal Trades
Notice Number: 23B
26/01/2018
Equity Market
Approved Amendments to the JSE Equities Rules and Directives
Notice Number: 23C
26/01/2018
Equity Market
Board Notice 5 of 2018
Notice Number: 22
26/01/2018
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 21
24/01/2018
Currency Derivatives, Interest Rate Derivatives
Inward Listed Securities ASN231
Notice Number: 20
24/01/2018
Currency Derivatives, Interest Rate Derivatives
Inward Listed Securities ASN216
Notice Number: 19
24/01/2018
Equity Derivatives
New Index Future (PTRI) - FTSE JSE Tradable Property Index Total Return (J800)
Notice Number: 18
24/01/2018
Equity Derivatives
New Index Future (PROP) - FTSE JSE Tradable Property Index (J800)
Notice Number: 17
23/01/2018
Equity Derivatives
Can-Do Future (PSGX) - PSG Group Ltd (PSG)
Notice Number: 16
23/01/2018
Currency Derivatives, Interest Rate Derivatives
Treatment of Eskom Bonds in the JSE Fixed Income Index Series
Notice Number: 15
18/01/2018
Equity Derivatives
New Can-Do Future (XC16) - Out of Currency Settlement Option
Notice Number: 14
18/01/2018
Equity Derivatives
Can-Do Future (RDFY) - Redefine Properties Ltd (RDF)
Notice Number: 13
17/01/2018
Commodity Derivatives
Introduction of The March 2019 White and Yellow Maize Expiries
Notice Number: 12
17/01/2018
Currency Derivatives, Equity Derivatives, Commodity Derivatives
Resignation of Member - Norton Derivatives (Pty) Ltd
Notice Number: 11
16/01/2018
Currency Derivatives, Interest Rate Derivatives
Treatment of Futures on ES33 and ES42 Bonds
Notice Number: 10
12/01/2018
Equity Derivatives
Can-Do Future (PSGY) - PSG Group Ltd (PSG)
Notice Number: 09
12/01/2018
Equity Derivatives
Can-Do Future (SHPY) - Shoprite Holdings Limited (SHP)
Notice Number: 08A
11/01/2018
Equity Market
Strate Fees 2018
Notice Number: 08B
11/01/2018
Equity Market
Equities Depository and Settlement Fee Schedule 2018
Notice Number: 07
11/01/2018
Equity Derivatives
New Cash Settled Single Stock Future - GRPS
Notice Number: 06
09/01/2018
Equity Derivatives
Treatment of Datatec Ltd (DTC) Corporate Action - Special Dividend 10 January 2018 (Ex-Date)
Notice Number: 05
08/01/2018
Equity Market
Inward Listed Securities ZA130
Notice Number: 04
08/01/2018
Equity Market
Inward Listed Securities ZA129
Notice Number: 03
08/01/2018
Equity Market
Inward Listed Securities ZA128
Notice Number: 02
04/01/2018
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements
Notice Number: 01
03/01/2018
Equity Derivatives
New Exchange Traded CFD SRRC
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