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Market Notices 2021
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JSE Market Notices 2021
Market Notices 2021
Notice Number: 615
29/12/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 614
24/12/2021
Commodity Derivatives
New Member - Tradition Government Bond Brokers & Derivatives Brokers (Pty) Ltd
Notice Number: 613
23/12/2021
Interest Rate Derivatives, Bond Market
Change in Member Name for Sanlam Capital Markets (Pty) Ltd to Sanlam Specialised Finance (Pty) Ltd
Notice Number: 612
23/12/2021
Commodity Derivatives
Changes to Initial Margin Requirements
Notice Number: 611
17/12/2021
Equity Derivatives
NDDUWI INDEX - Out of Currency Put Spread Option - XE56
Notice Number: 610
17/12/2021
Equity Derivatives
Exotic Option - J430TR INDEX - Strike Resetting Collar Option - XE55
Notice Number: 609
17/12/2021
Exotic Option - JSHR40TR INDEX - Strike Resetting Collar Option - XE54
Notice Number: 608
17/12/2021
Equity Market
Inward Listed Securities ZA227
Notice Number: 607
15/12/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 15 December 2021
Notice Number: 606A
15/12/2021
Equity Market, Bond Market
Strate Fee Changes for 2022
Notice Number: 606B
15/12/2021
Equity Market, Bond Market
JSE Equities Safekeeping and Settlement Fee Schedule 2022
Notice Number: 606C
15/12/2021
Equity Market, Bond Market
Bonds Safekeeping and Settlement Fee Schedule 2022
Notice Number: 606D
15/12/2021
Equity Market, Bond Market
2022 Strate Fee Letter
Notice Number: 605
15/12/2021
Equity Market
Inward Listed Securities - SXEIAC
Notice Number: 604
15/12/2021
Equity Market
Inward Listed Securities - ELVIID
Notice Number: 603
15/12/2021
Equity Market
Inward Listed Securities - ZA224
Notice Number: 602
15/12/2021
Equity Market
Inward Listed Securities - ZA223
Notice Number: 601
15/12/2021
Equity Market
Inward Listed Securities - ZA222
Notice Number: 600
13/12/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 December 2021
Notice Number: 599
13/12/2021
Commodity Derivatives
Proposal to add Additional Foreign Origin Wheat for Delivery on the JSE
Notice Number: 598
13/12/2021
All Markets
JSE Establishes a New Entity – JSE Private Placement (JPP)
Notice Number: 597
10/12/2021
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
FSCA Issues Notice Extending JSE Clear's Associated Clearing House License Until 31 December 2022
Notice Number: 596
10/12/2021
Equity Derivatives
JSHRALTR Index - Synthetic Future - XR09
Notice Number: 595
10/12/2021
Equity Derivatives
IDX Future (13DEC21 WENSI CSH) and IDX Dividend Neutral Future (13DEC21 WENSI CSH DN)
Notice Number: 594
10/12/2021
Equity Derivatives
IDX Future (13DEC21 FI CSH) and IDX Dividend Neutral Future (13DEC21 FI CSH DN)
Notice Number: 593
10/12/2021
Equity Derivatives
IDX Future (13 DEC 21 AMTI CSH) and IDX Dividend Neutral Future (13 DEC 21 AMTI CSH DN)
Notice Number: 592
09/12/2021
Equity Market, Equity Derivatives
Impact of BHP Unification on the Top 40 Derivative Contract
Notice Number: 591
09/12/2021
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 9 December 2021
Notice Number: 590
09/12/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 9 December 2021
Notice Number: 589
09/12/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 9 December 2021
Notice Number: 588
09/12/2021
Equity Derivatives
Treatment of EOG Resources Inc (EOGI) CA Special Div and Cash Div 14 Dec 2021 (Ex-Date)
Notice Number: 587
08/12/2021
Equity Derivatives
Treatment of Devon Energy Corp (DVNI) CA Special Div and Cash Div 9 Dec 2021 (Ex-Date)
Notice Number: 586
08/12/2021
Commodity Derivatives
Terms Of Reference (TOR) to create Focused Technical Working Group for CDM
Notice Number: 585
08/12/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE53
Notice Number: 584
07/12/2021
Commodity Derivatives
Request for Information to assist in determining the Oilseed Differentials
Notice Number: 583
07/12/2021
Commodity Derivatives
Confirmation of process to Adjust Soya Location Differentials
Notice Number: 582
07/12/2021
Equity Derivatives
Capital Index Basket Future - YR08
Notice Number: 581
07/12/2021
Equity Derivatives
Futures Close-Out - 15 December 2021
Notice Number: 580
06/12/2021
Currency Derivatives
Reminder - Currency Derivatives Close-Out 13 December 2021 - 17H00
Notice Number: 579
03/12/2021
Equity Market
Inward Listed Securities - SXEIAA
Notice Number: 578
02/12/2021
Equity Market
Inward Listed Securities - ASN756
Notice Number: 577
01/12/2021
Equity Derivatives
IDX Future (13DEC21 VIVI CSH) and IDX Dividend Neutral Future (13DEC21 VIVI CSH DN)
Notice Number: 576
01/12/2021
Equity Derivatives
Exotic Option - J430PR INDEX - Strike Resetting Put Spread - XS89
Notice Number: 575
30/11/2021
Equity Derivatives
Treatment of Brait PLC (BAT) Corporate Action - Rights Offer 1 December 2021 (Ex-Date)
Notice Number: 574
30/11/2021
Equity Derivatives
IDX Future (13DEC21 GDXJI CSH) and IDX Dividend Neutral Future (13DEC21 GDXJI CSH DN)
Notice Number: 573
30/11/2021
Equity Derivatives
IDX Future (13DEC21 KGCI CSH) and IDX Dividend Neutral Future (13DEC21 KGCI CSH DN)
Notice Number: 572
30/11/2021
Equity Derivatives
IDX Future (13DEC21 GDXI CSH) and IDX Dividend Neutral Future (13DEC21 GDXI CSH DN)
Notice Number: 571
30/11/2021
Equity Market
Inward Listed Securities - ASN753
Notice Number: 570
30/11/2021
Equity Market
Inward Listed Securities - ASN752
Notice Number: 569
29/11/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 29 November 2021
Notice Number: 568
29/11/2021
Equity Derivatives
NDUEEGF Index - Out of Currency Put Spread Option - XE52
Notice Number: 567
29/11/2021
Equity Derivatives
NDDUWI Index - Out of Currency Put Spread Option - XE51
Notice Number: 566
29/11/2021
Equity Derivatives
SPY US Equity - Out of Currency Put Option - XE50
Notice Number: 565
29/11/2021
Commodity Derivatives
Deregistration for the Herold Silo as a JSE Approved Silo
Notice Number: 564
29/11/2021
Equity Derivatives
IDX Future (13 DEC 21 WPMI CSH) and IDX Dividend Neutral Future (13 DEC 21 WPMI CSH DN)
Notice Number: 563
26/11/2021
Equity Market
Inward Listed Securities - ASN750
Notice Number: 562
26/11/2021
Equity Market
Inward Listed Securities - ASN749
Notice Number: 561
26/11/2021
Commodity Derivatives
Afrifocus Securities (Pty) Ltd - Voluntary Termination of Membership
Notice Number: 560
26/11/2021
Equity Market
Inward Listed Securities ASN751
Notice Number: 559
26/11/2021
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 558
25/11/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 25 November 2021
Notice Number: 557
25/11/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 25 November 2021
Notice Number: 556
25/11/2021
Equity Market
Inward Listed Securities - IMBIID
Notice Number: 555
25/11/2021
Equity Market
Inward Listed Securities - ASN745
Notice Number: 554
25/11/2021
Equity Market
Inward Listed Securities - ASN744
Notice Number: 553
25/11/2021
Equity Derivatives
Assessment of Derivative Contracts against Clearing Requirements
Notice Number: 552
24/11/2021
Commodity Derivatives
US Market Closure for Thanksgiving
Notice Number: 551
24/11/2021
Equity Derivatives
QQQ US Equity - Out of Currency Put Option - XE49
Notice Number: 550
24/11/2021
Equity Derivatives
Name Change from Mergence Africa Capital (Pty) Ltd to MAC Capital Solutions (Pty) Ltd
Notice Number: 549
24/11/2021
Equity Market
Primary Markets Price Changes for 2022
Notice Number: 548
23/11/2021
Commodity Derivatives
Changes to Calendar Spread Margin Requirements for Agricultural Derivative Markets on Maize Contracts
Notice Number: 547
23/11/2021
Commodity Derivatives
Verification of Reference Data on Client Accounts for New Random Allocation Rule - Client Accounts of the Same Legal Entity
Notice Number: 546
23/11/2021
Equity Market
Inward Listed Securities ZA220
Notice Number: 545
22/11/2021
Equity Derivatives
SPY US EQUITY - Out of Currency Outright Put Option - XE48
Notice Number: 544
22/11/2021
Equity Derivatives
JSHRALTR Index - Synthetic Future - XR08
Notice Number: 543
19/11/2021
Equity Derivatives
Treatment of Mas Real Estate Inc (MSP) Corporate Action - Name Change 24 November 2021 (Ex-Date)
Notice Number: 542
19/11/2021
Bond Market, Bond ETP
Interest Rate Market Price Changes for 2022
Notice Number: 541
19/11/2021
Interest Rate Derivatives
Interest Rate Derivatives Market Price Changes for 2022
Notice Number: 540
19/11/2021
Currency Derivatives
Currency Derivatives Market Price Changes for 2022
Notice Number: 539
19/11/2021
Commodity Derivatives
Commodity Derivatives Market Price Changes for 2022
Notice Number: 538
19/11/2021
Equity Derivatives
Equity Derivatives Market Price Changes for 2022
Notice Number: 537
19/11/2021
Equity Market
Equity Market Price Changes for 2022
Notice Number: 536
18/11/2021
Equity Derivatives
Single Stock Future (15 DEC 21 REN PHY) and Single Stock Dividend Neutral Future (15 DEC 21 REN PHY DN)
Notice Number: 535
18/11/2021
Equity Derivatives
IDX Future (13 DEC 21 NFLXI CSH) and IDX Dividend Neutral Future (13 DEC 21 NFLXI CSH DN)
Notice Number: 534
17/11/2021
Equity Derivatives
Treatment of Datatec Ltd (DTC) Corporate Action - Special Dividend 24 November 2021 (Ex-Date)
Notice Number: 533
16/11/2021
Equity Derivatives
Single Stock Future (15 DEC 21 REN CSH) and Single Stock Dividend Neutral Future (15 DEC 21 REN CSH DN)
Notice Number: 532A
12/11/2021
Equity Market
Proposed amendments to the JSE Equities Rules and Directives - Section 6 of the Rules (JSE Equities Trading System), Directive BT 7 (Trade Cancellations) & proposed draft Directive BT 8 (Contra Trade Requests)
Notice Number: 532B
12/11/2021
Equity Market
Proposed amendments to the JSE Equities Rules and Directives - Section 6 of the Rules (JSE Equities Trading System), Directive BT 7 (Trade Cancellations) & proposed draft Directive BT 8 (Contra Trade Requests) - Annexure A
Notice Number: 532C
12/11/2021
Equity Market
Proposed amendments to the JSE Equities Rules and Directives - Section 6 of the Rules (JSE Equities Trading System), Directive BT 7 (Trade Cancellations) & proposed draft Directive BT 8 (Contra Trade Requests) - Annexure B
Notice Number: 531A
12/11/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives – Recognition of JSE Clear’s application to become a licensed Independent Clearing House and a licensed Central Counterparty
Notice Number: 531B
12/11/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives – Recognition of JSE Clear’s application to become a licensed Independent Clearing House and a licensed Central Counterparty - Appendix A
Notice Number: 531C
12/11/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives – Recognition of JSE Clear’s application to become a licensed Independent Clearing House and a licensed Central Counterparty - Appendix B
Notice Number: 531D
12/11/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives – Recognition of JSE Clear’s application to become a licensed Independent Clearing House and a licensed Central Counterparty - Appendix C
Notice Number: 531E
12/11/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives – Recognition of JSE Clear’s application to become a licensed Independent Clearing House and a licensed Central Counterparty - Appendix D
Notice Number: 530A
12/11/2021
Equity Derivatives, Commodity Derivatives
EDM and CDM - Proposed Amendment to the JSE Derivatives Rules and Directives - Recognition of JSE Clear's Application to Become a Licensed Independent Clearing House and a Licensed Central Counterparty
Notice Number: 530B
12/11/2021
Equity Derivatives, Commodity Derivatives
EDM and CDM - Proposed Amendment to the JSE Derivatives Rules and Directives - Appendix A
Notice Number: 530C
12/11/2021
Equity Derivatives, Commodity Derivatives
EDM and CDM - Proposed Amendment to the JSE Derivatives Rules and Directives - Appendix B
Notice Number: 530D
12/11/2021
Equity Derivatives, Commodity Derivatives
EDM and CDM - Proposed Amendment to the JSE Derivatives Rules and Directives - Appendix C
Notice Number: 530E
12/11/2021
Equity Derivatives, Commodity Derivatives
JSE Market Notice 53021B EDM and CDM - Proposed Amendment to the JSE Derivatives Rules and Directives - Appendix D
Notice Number: 529
12/11/2021
Equity Derivatives
IDX Future (13 DEC 21 ONLWI CSH) and IDX Dividend Neutral Future (13 DEC 21 ONLWI CSH DN)
Notice Number: 528
12/11/2021
Equity Market
Inward Listed Securities - ZA218
Notice Number: 527
12/11/2021
Equity Market
Inward Listed Securities - ZA217
Notice Number: 526
11/11/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements
Notice Number: 525
11/11/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 524
11/11/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 523
11/11/2021
Equity Derivatives
Treatment of Realty Income Corp (ONI) Corporate Action Unbundling 15 November 2021 (Ex-Date)
Notice Number: 522
10/11/2021
Equity Market
Inward Listed Securities - ASN739
Notice Number: 521
10/11/2021
Equity Market
Inward Listed Securities - ASN738
Notice Number: 520
10/11/2021
Equity Market
New ETF Listing - Satrix Capped All Share EFT
Notice Number: 519
09/11/2021
Equity Derivatives
IDX Anyday Future (20 DEC 21 IWMI CSH)
Notice Number: 518
09/11/2021
Equity Derivatives
SPY US Equity - Out of Currency Ratio Put Spread Option - XE47
Notice Number: 517
05/11/2021
Commodity Derivatives
Introducing February 2022 Quanto Maxi Soybean Meal Can-Do Contract
Notice Number: 516
05/11/2021
Commodity Derivatives
Introducing February 2022 Quanto Maxi Soybean Oil Can-Do Contract
Notice Number: 515
04/11/2021
Equity Derivatives
Corporate Action Basket Future - OMU Unbundling
Notice Number: 514
03/11/2021
Interest Rate Derivatives
IRD - Changes to Initial Margin Requirements for Derivative Markets - 3 November 2021
Notice Number: 513
02/11/2021
Equity Derivatives
MXWO Index - Out of Currency Collar Option - XE46
Notice Number: 512
29/10/2021
Equity Derivatives
Treatment of Old Mutual Limited (OMU) Corporate Action Unbundling - 3 November 2021 (Ex. Date)
Notice Number: 511
29/10/2021
Equity Market
Inward Listed Securities SBRN16
Notice Number: 510
29/10/2021
Equity Market
Inward Listed Securities ASN734
Notice Number: 509
29/10/2021
Equity Market
Inward Listed Securities ASN731
Notice Number: 508
29/10/2021
Equity Market
Inward Listed Securities ASN729
Notice Number: 507
28/10/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 28 October 2021
Notice Number: 506
28/10/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 28 October 2021
Notice Number: 505
28/10/2021
Equity Derivatives
EDM - NDDUWI Index - Out of Currency Put Spread - XE45
Notice Number: 504
27/10/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 503
27/10/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 27 October 2021
Notice Number: 502
27/10/2021
Equity Market
Inward Listed Securities - ASN732
Notice Number: 501
27/10/2021
Equity Market
Inward Listed Securities - ASN730
Notice Number: 500
27/10/2021
Equity Market
Inward Listed Securities - ASN728
Notice Number: 499
27/10/2021
Equity Derivatives
SPY US Equity - Out of Currency Put Option - XE44
Notice Number: 498
26/10/2021
Commodity Derivatives
Feedback on Proposed Changes to Random Allocation Algorithm for Physical Deliveries in Completion of a Futures Contract
Notice Number: 497A
22/10/2021
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Exchange for Position and Exchange for Risk Transactions
Notice Number: 497B
22/10/2021
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Annexure A
Notice Number: 497C
22/10/2021
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Annexure B
Notice Number: 496A
22/10/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Emigrant Client Concept
Notice Number: 496B
22/10/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Annexure A
Notice Number: 496C
22/10/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Approved Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Annexure B
Notice Number: 495A
22/10/2021
Equity Derivatives, Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules and Directives - Emigrant Client Concept
Notice Number: 495B
22/10/2021
Equity Derivatives, Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules and Directives - Annexure A
Notice Number: 495C
22/10/2021
Equity Derivatives, Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules and Directives - Annexure B
Notice Number: 494
22/10/2021
Equity Derivatives
IDX Future (13DEC21 NDDUWI CSH)
Notice Number: 493
22/10/2021
Equity Market
Inward Listed Securities - ASN727
Notice Number: 492A
22/10/2021
Equity Market
Approved Amendments to the JSE Equities Directives - Emigrant Client Concept
Notice Number: 492B
22/10/2021
Equity Market
Approved Amendments to the JSE Equities Directives - Annexure A
Notice Number: 491
22/10/2021
Commodity Derivatives
Withdrawal of Application by Silostrat (Pty) Ltd for Wheat Delivery Points
Notice Number: 490
20/10/2021
Equity Derivatives
IDX Future (13 DEC 21 COSTI CSH) and IDX Dividend Neutral Future (13 DEC 21 COSTI CSH DN)
Notice Number: 489
20/10/2021
Equity Market
Inward Listed Securities ZA219
Notice Number: 488
19/10/2021
Equity Derivatives
IDX Future (13DEC21 TTDI CSH) and IDX Dividend Neutral Future (13DEC21 TTDI CSH DN)
Notice Number: 487
19/10/2021
Equity Derivatives
IDX Future (13DEC21 MSTRI CSH) and IDX Dividend Neutral Future (13DEC21 MSTRI CSH DN)
Notice Number: 486
14/10/2021
Equity Market
Inward Listed Securities - ASN723
Notice Number: 485
14/10/2021
Equity Market
Inward Listed Securities - ASN722
Notice Number: 484
14/10/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 14 October 2021
Notice Number: 483
14/10/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 14 October 2021
Notice Number: 482
14/10/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 481A
13/10/2021
All Markets
Public Holiday 1 November 2021
Notice Number: 481B
13/10/2021
All Markets
Public Holiday 1 November 2021
Notice Number: 480
13/10/2021
Equity Market
EQM - Inward Listed Securities ASN720
Notice Number: 479
13/10/2021
Commodity Derivatives
Approval of NWK Limited Additonal Wheat Derlivery Point
Notice Number: 478
13/10/2021
Commodity Derivatives
Approval of BKB Grainco Additional Wheat Delivery Point
Notice Number: 477
13/10/2021
Equity Market
Inward Listed Securities - ZA215
Notice Number: 476
13/10/2021
Equity Market
Inward Listed Securities - ZA214
Notice Number: 475
13/10/2021
Equity Market
Inward Listed Securities - ZA213
Notice Number: 474
11/10/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE43
Notice Number: 473
11/10/2021
Equity Derivatives
Total Return Basket Future (YR07)
Notice Number: 472
08/10/2021
Equity Market
Inward Listed Securities - ASXIIA
Notice Number: 471
08/10/2021
Equity Market
Inward Listed Securities - SBRN15
Notice Number: 470
07/10/2021
Equity Derivatives
Exotic Option - SPY US EQUITY - Out of Currency Fence Option - XE41
Notice Number: 469
07/10/2021
Equity Derivatives
Exotic Option - SPY US EQUITY - Out of Currency Fence Option - XE40
Notice Number: 468
05/10/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Fence Option - XE39
Notice Number: 467
04/10/2021
Equity Market
Inward Listed Securities - IMBIIC
Notice Number: 466
04/10/2021
Equity Derivatives
IDX Future (13DEC21 LVSI CSH) and IDX Dividend Neutral Future (13DEC21 LVSI CSH DN)
Notice Number: 465
01/10/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 1 October 2021
Notice Number: 464
01/10/2021
Equity Derivatives
Total Return Basket Future YR06
Notice Number: 463
30/09/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 30 September 2021
Notice Number: 462
30/09/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 30 September 2021
Notice Number: 461
30/09/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 30 September 2021
Notice Number: 460
30/09/2021
Equity Market
Inward Listed Securities SBRN14
Notice Number: 459
30/09/2021
Equity Derivatives
Exotic Option - J430PR Index - Strike Resetting Put Spread - XS88
Notice Number: 458
29/09/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 457
29/09/2021
Equity Derivatives
IDX Future (13DEC21 OGZDI CSH) and IDX Dividend Neutral Future (13DEC21 OGZDI CSH DN)
Notice Number: 456A
28/09/2021
Commodity Derivatives
Final Wheat Location Differentials for the 2021-22 Marketing Season
Notice Number: 456B
28/09/2021
Commodity Derivatives
Final 2021-22 Wheat Differentials
Notice Number: 455
28/09/2021
Equity Derivatives
Total Return Basket Future - YR05
Notice Number: 454
28/09/2021
Equity Market
Inward Listed Securities - IMBIIB
Notice Number: 453
28/09/2021
Equity Derivatives
IDX Future (13DEC21 VICII CSH) and IDX Dividend Neutral Future (13DEC21 VICII CSH DN)
Notice Number: 452
28/09/2021
Equity Derivatives
IDX Future (13DEC21 MGMI CSH) and IDX Dividend Neutral Future (13DEC21 MGMI CSH DN)
Notice Number: 451
28/09/2021
Equity Market
Inward Listed Securities - ZA211
Notice Number: 450
27/09/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Spread Option - XE38
Notice Number: 449
27/09/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Option - XE37
Notice Number: 448
27/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Fence Option - XE36
Notice Number: 447
23/09/2021
Equity Market
Inward Listed Securities - ASN711
Notice Number: 446
23/09/2021
Equity Market
Inward Listed Securities - ASN709
Notice Number: 445
23/09/2021
Equity Market
Inward Listed Securities ASN705
Notice Number: 444
23/09/2021
Equity Market
Inward Listed Securities ASN704
Notice Number: 443
22/09/2021
Commodity Derivatives
Margin Adjustment and Delisting of Sorghum Contracts - 22 September 2021
Notice Number: 442
22/09/2021
Equity Market
Inward Listed Securities - ASN710
Notice Number: 441
22/09/2021
Equity Market
Inward Listed Securities - ASN706
Notice Number: 440
21/09/2021
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5Y Stnd 8% Dec 2016-2021
Notice Number: 439
21/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Call Option - XE35
Notice Number: 438
21/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Outright Put Option - XE34
Notice Number: 437
21/09/2021
Equity Market
Inward Listed Securities ZA212
Notice Number: 436
20/09/2021
Equity Market
Inward Listed Securities - IMBIIA
Notice Number: 435
17/09/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 17 September 2021
Notice Number: 434
17/09/2021
Equity Market
Inward Listed Securities - IBLIIR
Notice Number: 433
17/09/2021
Commodity Derivatives
Application by BKB Grainco for Additional Wheat Delivery Point
Notice Number: 432
17/09/2021
Commodity Derivatives
Application by Silostrat (Pty) LTD for Wheat Delivery Points
Notice Number: 431
17/09/2021
Equity Derivatives
IDX Future (13DEC21 WYNNI CSH) and IDX Dividend Neutral Future (13DEC21 WYNNI CSH DN)
Notice Number: 430
17/09/2021
Equity Derivatives
IDX Future (13DEC21 9698I CSH) and IDX Dividend Neutral Future (13DEC21 9698I CSH DN)
Notice Number: 429
17/09/2021
Equity Derivatives
Exotic Option - JSHR40 Index - Strike Resetting Collar Option - XE33
Notice Number: 428
17/09/2021
Equity Derivatives
Exotic Option - JSHR40TR Index - Strike Resetting Collar Option - XE32
Notice Number: 427
17/09/2021
Equity Derivatives
Exotic Option - JSHRALTR Index - Synthetic Future - XR07
Notice Number: 426
16/09/2021
Interest Rate Derivatives, Bond Market
Tullet Prebon South Africa (Pty) Ltd - Voluntary Termination of Membership
Notice Number: 425
16/09/2021
Commodity Derivatives
Suidwes Makelary (Pty) Ltd - Voluntary Termination of Membership
Notice Number: 424
16/09/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 16 September 2021
Notice Number: 423
16/09/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 16 September 2021
Notice Number: 422A
16/09/2021
Commodity Derivatives
Proposed Wheat Location Differentials 2021-22 Marketing Season
Notice Number: 422B
16/09/2021
Commodity Derivatives
Proposed Wheat Location Differentials 2021-2022
Notice Number: 421
16/09/2021
Commodity Derivatives
Application by NWK Limited for Additional Wheat Delivery Point
Notice Number: 420
16/09/2021
Equity Market
Inward Listed Securities BATIIF
Notice Number: 419
15/09/2021
Equity Market
Inward Listed Securities ZA198
Notice Number: 418
15/09/2021
Equity Market
Inward Listed Securities SXEIIZ
Notice Number: 417
15/09/2021
Equity Market
Inward Listed Securities PBWIIA
Notice Number: 416
15/09/2021
Equity Market
Inward Listed Securities ASN701
Notice Number: 415
15/09/2021
Equity Market
Inward Listed Securities ASN699
Notice Number: 414
15/09/2021
Equity Market
Inward Listed Securities ASN698
Notice Number: 413
15/09/2021
Equity Market
Inward Listed Securities ASN697
Notice Number: 412
15/09/2021
Equity Market
Inward Listed Securities ASN696
Notice Number: 411
15/09/2021
Equity Market
Inward Listed Securities ASN690
Notice Number: 410
15/09/2021
Equity Market
Inward Listed Securities ASN689
Notice Number: 409
15/09/2021
Inward Listed Securities ASN688
Notice Number: 408
15/09/2021
Equity Market
Inward Listed Securities ASN687
Notice Number: 407
15/09/2021
Equity Market
Inward Listed Securities ASN686
Notice Number: 406
15/09/2021
Equity Market
Inward Listed Securities ASN657
Notice Number: 405
13/09/2021
Equity Derivatives
Treatment of Northam Platinum Ltd (NHM) Corporate Action - Name Change 15 September 2021 (Ex-date)
Notice Number: 404
13/09/2021
Equity Derivatives
IDX Future (13DEC21 KLACI CSH) and IDX Dividend Neutral Future (13DEC21 KLACI CSH DN)
Notice Number: 403
10/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE31
Notice Number: 402
10/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE30
Notice Number: 401
09/09/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 9 September 2021
Notice Number: 400
09/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Call Option - XE27
Notice Number: 399
09/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE26
Notice Number: 398A
07/09/2021
Equity Market
New ETF Distribution Template - Implementation
Notice Number: 398B
07/09/2021
Equity Market
ETF Distributions Template - V3
Notice Number: 397
07/09/2021
Equity Derivatives
Futures Close-Out - Thursday, 16 September 2021
Notice Number: 396
06/09/2021
Equity Derivatives
Treatment of South32 Limited (S32) Corporate Action – Special Dividend and Cash Dividend 8 September 2021 (Ex-date)
Notice Number: 395
06/09/2021
Equity Market
New ETF Listing - Satrix Global Infrastructure ETF (STXIFR)
Notice Number: 394
06/09/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 6 September 2021
Notice Number: 393
06/09/2021
All Markets, Market Data
JSE Markets Calendar 2022
Notice Number: 392
06/09/2021
Currency Derivatives
Reminder - Currency Derivatives Close-Out 13 September 2021 at 16H00
Notice Number: 391
06/09/2021
Equity Derivatives
IDX Future (13 Sep 21 AMCI CSH) and IDX Dividend Neutral Future (13 Sep 21 AMCI CSH DN)
Notice Number: 390
03/09/2021
Equity Market
Inward Listed Securities - ASN675
Notice Number: 389
03/09/2021
Equity Market
Inward Listed Securities - NWF010
Notice Number: 388
03/09/2021
Equity Market
Inward Listed Securities ASN678
Notice Number: 387
03/09/2021
Equity Market
Inward Listed Securities - ASN677
Notice Number: 386
02/09/2021
Equity Market
Inward Listed Securities - BATIIE
Notice Number: 385
02/09/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE25
Notice Number: 384
02/09/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 2 September 2021
Notice Number: 383
02/09/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 2 September 2021
Notice Number: 382
01/09/2021
Equity Market
Inward Listed Securities - ASN673
Notice Number: 381
01/09/2021
Equity Market
Inward Listed Securities - ASN672
Notice Number: 380
01/09/2021
Equity Market
Inward Listed Securities - ASN671
Notice Number: 379
31/08/2021
Equity Derivatives
Treatment of Glencore Plc (GLN) Corporate Action – Capital Reduction 1 September 2021 (Ex-Date)
Notice Number: 378
31/08/2021
Equity Derivatives
IDX Future (13DEC21 ACNI CSH) and IDX Dividend Neutral Future (13DEC21 ACNI CSH DN)
Notice Number: 377
31/08/2021
Equity Derivatives
IDX Future (13DEC21 ABBVI CSH) and IDX Dividend Neutral Future (13DEC21 ABBVI CSH DN)
Notice Number: 376
31/08/2021
Equity Derivatives
IDX Future (13DEC21 BLKI CSH) and IDX Dividend Neutral Future (13DEC21 BLKI CSH DN)
Notice Number: 375
30/08/2021
Equity Market
Inward Listed Securities - ASN691
Notice Number: 374
30/08/2021
Equity Derivatives
Moving of Aveng Ltd (AEG) from Segment ZA02 to Segment ZA03
Notice Number: 373
27/08/2021
Equity Derivatives
Exotic Option - NDDUWI INDEX - Out of Currency Put Spread Option - XE24
Notice Number: 372
26/08/2021
Equity Derivatives
Basket Rebalance - Total Return Basket Future (YR04)
Notice Number: 371
26/08/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 370
26/08/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 369
26/08/2021
Equity Market
Inward Listed Securities SBRN12
Notice Number: 368
26/08/2021
Equity Market
Inward Listed Securities UBRMID
Notice Number: 367
25/08/2021
Equity Derivatives
Assessment of Derivatives Contracts against Clearing Requirements
Notice Number: 366
23/08/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 365
20/08/2021
Equity Market
Inward Listed Securities - IBLIIQ
Notice Number: 364A
20/08/2021
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules and Directives - Delta Option Trades and Structured Option Trades
Notice Number: 364B
20/08/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Annexure A
Notice Number: 364C
20/08/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Annexure B
Notice Number: 364D
20/08/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Annexure C
Notice Number: 363
20/08/2021
Equity Derivatives
JSHRALTR Index - Synthetic Future - XR06
Notice Number: 362
20/08/2021
Equity Derivatives
JSHRALTR Index - Synthetic Future - XR05
Notice Number: 361
20/08/2021
Equity Market
Inward Listed Securities - ASN606
Notice Number: 360
20/08/2021
Equity Market
Inward Listed Securities - ASN605
Notice Number: 359
20/08/2021
Equity Market
Inward Listed Securities - ASN590
Notice Number: 358
20/08/2021
Equity Market
Inward Listed Securities - ASN589
Notice Number: 357
20/08/2021
Equity Market
Inward Listed Securities - ASN577
Notice Number: 356
20/08/2021
Equity Market
Inward Listed Securities - ASN576
Notice Number: 355
19/08/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 19 August 2021
Notice Number: 354
19/08/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 19 August 2021
Notice Number: 353
19/08/2021
Equity Derivatives
Exotic Option MXWO INDEX - Out of Currency Outright Put Option - XE23
Notice Number: 352
19/08/2021
Equity Derivatives
Exotic Option MXWO INDEX - Out of Currency Put Spread Option - XE22
Notice Number: 351
17/08/2021
Equity Market
Inward Listed Securities ZA209
Notice Number: 350
17/08/2021
Equity Market
Inward Listed Securities ZA208
Notice Number: 349
17/08/2021
Equity Market
Inward Listed Securities ZA207
Notice Number: 348
17/08/2021
Equity Market
Inward Listed Securities ASN661
Notice Number: 347
13/08/2021
Equity Derivatives
Treatment of Anglo American PLC (AGL) Corporate Action – Special Dividend and Cash Dividend 18 August 2021 (Ex-Date)
Notice Number: 346
13/08/2021
Equity Market
Inward Listed Securities - ZA210
Notice Number: 345
13/08/2021
Equity Market
Inward Listed Securities - ZA204
Notice Number: 344
12/08/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 12 August 2021
Notice Number: 343
12/08/2021
Equity Market
Inward Listed Securities WWETNQ
Notice Number: 342
12/08/2021
Equity Market
Inward Listed Securities WWETNC
Notice Number: 341
12/08/2021
Equity Market
Inward Listed Securities SRETNQ
Notice Number: 340
12/08/2021
Equity Market
Inward Listed Securities SRETNC
Notice Number: 339
12/08/2021
Equity Market
Inward Listed Securities EGETNQ
Notice Number: 338
12/08/2021
Equity Market
Inward Listed Securities EGETNC
Notice Number: 337
12/08/2021
Equity Derivatives
Single Stock Future (16SEP21 HDC CSH) and Single Stock Dividend Neutral Future (16SEP21 HDC CSH DN)
Notice Number: 336
12/08/2021
Equity Derivatives
Single Stock Future (16SEP21 HDC AFT PHY) and Single Stock Dividend Neutral Future (16SEP21 HDC AFT PHY DN)
Notice Number: 335
11/08/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 11 August 2021
Notice Number: 334
11/08/2021
Equity Derivatives
Exotic Option - JSHR40 INDEX - Strike Resetting Put Spread - XS87
Notice Number: 333
11/08/2021
Equity Market
New ETF Listing - Satrix Inclusion and Diversity ETF (STXID)
Notice Number: 332
10/08/2021
Bond Market
Bonds - Implied Spread Calculaton for JSE Listed Floating-Rate Notes
Notice Number: 331
06/08/2021
Equity Derivatives
Treatment of Omnia Holdings Ltd (OMN) Corporate Action – Special Dividend and Cash Dividend 11 August 2021 (Ex-Date)
Notice Number: 330
06/08/2021
Equity Derivatives
IDX Future (13 SEP 21 SNI CSH) and IDX Dividend Neutral Future (13 SEP 21 SNI CSH DN)
Notice Number: 329
06/08/2021
Equity Derivatives
Single Stock Future (16SEP21 HDC PHY) and Single Stock Dividend Neutral Future (16SEP21 HDC PHY DN)
Notice Number: 328
06/08/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 327
06/08/2021
Equity Derivatives
Anglo American Plat Ltd (AMS) Corporate Action Special Dividend and Cash Dividend - 11 August 2021 (Ex. Date)
Notice Number: 326
06/08/2021
Equity Market
New ETF Listing - Sygnia Itrix Solactive Healthcare ETF
Notice Number: 325
05/08/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 5 August 2021
Notice Number: 324
05/08/2021
Equity Derivatives
Exotic Option - MXWO INDEX - Out of Currency Outright Put Option - XE21
Notice Number: 323
05/08/2021
Equity Derivatives
Exotic Option - MXWO INDEX - Out of Currency Put Spread Option - XE20
Notice Number: 322
05/08/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 5 August 2021
Notice Number: 321
04/08/2021
Commodity Derivatives
Proposed Changes to Random Allocation Algorithm for Physical Delivery
Notice Number: 320
02/08/2021
Equity Market
Inward Listed Securities - ASN653
Notice Number: 319
02/08/2021
Equity Derivatives
IDX Future (13SEP21 SHVI CSH) and IDX Dividend Neutral Future (13DEC21 SHVI CSH DN)
Notice Number: 318
02/08/2021
Equity Derivatives
Exotic Option - MXWO INDEX - Out of Currency Collar Option - XE19
Notice Number: 317
02/08/2021
Commodity Derivatives
Listing of February and April Maize Expiries Twelve Months Prior to Expiration
Notice Number: 316
30/07/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 30 July 2021
Notice Number: 315
29/07/2021
Equity Derivatives
Total Return Basket Future (YR04)
Notice Number: 314
29/07/2021
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 313
29/07/2021
Equity Market
Inward Listed Securities ASN655
Notice Number: 312
29/07/2021
Equity Market
Inward Listed Securities ASN654
Notice Number: 311
28/07/2021
Equity Derivatives
Exotic Option SPY US Equity - Out of Currency Put Option - XE18
Notice Number: 310
28/07/2021
Equity Market
New Listing - Cloud Atlas S&P African Sovereign Bond ETF (ASBI)
Notice Number: 309
27/07/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 27 July 2021
Notice Number: 308
27/07/2021
Equity Derivatives
Exotic Option - NDDUWI INDEX - Out of Currency Put Spread Option - XE17
Notice Number: 307
26/07/2021
Equity Market
Inward Listed Securities - ZA203
Notice Number: 306
23/07/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Fence Option - XE16
Notice Number: 305
23/07/2021
Equity Derivatives
IDX Future (13SEP21 VOW3I CSH) and IDX Dividend Neutral Future (13SEP21 VOW3I CSH DN)
Notice Number: 304
23/07/2021
Equity Derivatives
IDX Future (13SEP21 VOWI CSH) and IDX Dividend Neutral Future (13SEP21 VOWI CSH DN)
Notice Number: 303
22/07/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 22 July 2021
Notice Number: 302
22/07/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 22 July 2021
Notice Number: 301
21/07/2021
Equity Derivatives
Assessment of Derivative Contracts Against Clearing Requirements
Notice Number: 300
21/07/2021
Equity Market
Inward Listed Securities - ASN648
Notice Number: 299
20/07/2021
Equity Market
Inward Listed Securities ZA206
Notice Number: 298
20/07/2021
Equity Market
Inward Listed Securities MXEIIA
Notice Number: 297
19/07/2021
Equity Derivatives
IDX Future (13SEP21 WFGI CSH) and IDX Dividend Neutral Future (13SEP21 WFGI CSH DN)
Notice Number: 296
15/07/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 15 July 2021
Notice Number: 295
15/07/2021
Equity Derivatives
Treatment of NVIDIA Corp (NVDAI) Corporate Action – Sub - division 20 July 2021 (Ex-Date)
Notice Number: 294
15/07/2021
All Markets
JSE Business Continuity and Security Plans
Notice Number: 293
14/07/2021
Equity Market
Reminder on the Prohibition of Naked Short-Selling in JSE Equities Market
Notice Number: 292
13/07/2021
Equity Derivatives
Treatment of EOG Resources Inc (EOGI) Corporate Action - Special Dividend and Cash Dividend 15 July 2021 (Ex. Date)
Notice Number: 291
12/07/2021
Equity Market
Inward Listed Securities - SBCOP
Notice Number: 290
12/07/2021
Equity Market
Inward Listed Securities - SBOIL
Notice Number: 289
12/07/2021
Equity Market
Inward Listed Securities - IBLIIO
Notice Number: 288
12/07/2021
Equity Derivatives
IDX Future (13SEP21 SNOWI CSH) and IDX Dividend Neutral Future (13SEP21 SNOWI DN)
Notice Number: 287
09/07/2021
Equity Market
Inward Listed Securities - ASN647
Notice Number: 286
09/07/2021
Equity Derivatives
Exotic Option - SPY US EQUITY - Out of Currency Outright Put Option - XE15
Notice Number: 285A
09/07/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Emigrant Client Concept
Notice Number: 285B
09/07/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Annexure A
Notice Number: 285C
09/07/2021
Currency Derivatives, Interest Rate Derivatives, Bond Market
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Rules and Directives - Annexure B
Notice Number: 284A
09/07/2021
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Emigrant Client Concept
Notice Number: 284B
09/07/2021
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Annexure A
Notice Number: 284C
09/07/2021
Equity Derivatives, Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules and Directives - Annexure B
Notice Number: 283A
09/07/2021
Equity Market
Proposed Amendments to the JSE Equities Directives - Emigrant Client Concept
Notice Number: 283B
09/07/2021
Equity Market
Proposed Amendments to the JSE Equities Directives - Annexure A
Notice Number: 283C
09/07/2021
Equity Market
Proposed Amendments to the JSE Equities Directives - Annexure B
Notice Number: 282
08/07/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 8 July 2021
Notice Number: 281
08/07/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 8 July 2021
Notice Number: 280
08/07/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 8 July 2021
Notice Number: 279
08/07/2021
Equity Derivatives
Out of Currency Option - Call Spread - MSCI World Index (MXWO) - XE14
Notice Number: 278
05/07/2021
Equity Market
Inward Listed Securities - IBLIIN
Notice Number: 277
01/07/2021
Equity Market
Inward Listed Securities - ASN642
Notice Number: 276
29/06/2021
Equity Derivatives
Index Future (16SEP21 INIM ) – JMNNG Index
Notice Number: 275
28/06/2021
Equity Market
Inward Listed Securities - SBRN11
Notice Number: 274
28/06/2021
Equity Market
Inward Listed Securities - SBRN10
Notice Number: 273
28/06/2021
Equity Market
Inward Listed Securities - ASN604
Notice Number: 272
28/06/2021
Equity Market
Inward Listed Securities - ASN640
Notice Number: 271
28/06/2021
Equity Derivatives
Exotic Option - NDDUWI INDEX - Out of Currency Put Option - XE13
Notice Number: 270
25/06/2021
Equity Market, Bond Market
Promoting Continued Compliance with the Listings Requirements - Censures and Penalties
Notice Number: 269
25/06/2021
Equity Market
Inward Listed Securities ASN639
Notice Number: 268
25/06/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 25 June 2021
Notice Number: 267
25/06/2021
Equity Market
Inward Listed Securities - ASN637
Notice Number: 266
24/06/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 24 June 2021
Notice Number: 265
24/06/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 24 June 2021
Notice Number: 264
24/06/2021
Bond Market
Implied Spreads for JSE Listed Fixed Rate Corporate Bonds
Notice Number: 263
24/06/2021
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 262
24/06/2021
Equity Derivatives
Quanto Future - IEI US Equity Dividend Neutral
Notice Number: 261
24/06/2021
Equity Derivatives
Quanto Future - IEF US Equity Dividend Neutral
Notice Number: 260
23/06/2021
Equity Market
Inward Listed Securities - ZA202
Notice Number: 259
23/06/2021
Equity Derivatives
Enablement of Onscreen Trading - AnyDay Contracts
Notice Number: 258
23/06/2021
Equity Market
Inward Listed Securities - ASN636
Notice Number: 257
23/06/2021
Equity Market
Inward Listed Securities - SBRN09
Notice Number: 256
22/06/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 22 June 2021
Notice Number: 255
22/06/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE12
Notice Number: 254
21/06/2021
Equity Market
Inward Listed Securities - ZA201
Notice Number: 253
21/06/2021
Equity Market
Inward Listed Securities - ZA200
Notice Number: 252
21/06/2021
Equity Market
Inward Listed Securities - ZA199
Notice Number: 251
21/06/2021
Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset - 5y Stnd 8% Dec 2016-2021
Notice Number: 250
21/06/2021
Commodity Derivatives
Changes to Series Spread Margin Requirements for Commodity Derivatives Market
Notice Number: 249
21/06/2021
Equity Derivatives
Quanto Future - IEI US Equity
Notice Number: 248
21/06/2021
Equity Derivatives
Quanto Future - IEF US Equity
Notice Number: 247
18/06/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 June 2021
Notice Number: 246
18/06/2021
Equity Derivatives
IDX Future (13 SEP 21 LENI CSH) and IDX Dividend Neutral Future (13 SEP 21 LENI CSH DN)
Notice Number: 245
18/06/2021
Equity Derivatives
Treatment of Klepierre SA (LIFI) Corporate Action - Special Dividend - 21 June 2021 (Ex. Date)
Notice Number: 244
18/06/2021
Equity Derivatives
Treatment of Barloworld (BAW) Corporate Action - Special and Cash Dividend - 23 June 2021 (Ex. Date)
Notice Number: 243
18/06/2021
Equity Derivatives
Exotic Option - JSHR40 INDEX - Strike Resetting Collar Option - XS86
Notice Number: 242
17/06/2021
Equity Market
Inward Listed Securities - MXWIIB
Notice Number: 241
17/06/2021
Equity Derivatives
Exotic Option - JSHRALTR INDEX - Synthetic Future - XRF4
Notice Number: 240
17/06/2021
Equity Derivatives
Treatment of Prosus / Naspers Voluntary Share Exchange Offer
Notice Number: 239
17/06/2021
Equity Derivatives
Exotic Option - J430PR INDEX - Strike Resetting Put Spread Option - XS85
Notice Number: 238
17/06/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 237
17/06/2021
Currency Derivatives, Interest Rate Derivatives
JSE Market Notice 23721 IRM - Voluntary Termination of Membership - Afrifocus Securities (Pty) Ltd
Notice Number: 236
15/06/2021
Equity Derivatives
Exotic Option - J430TR INDEX - Strike Resetting Put Option - XS84
Notice Number: 235
14/06/2021
Equity Derivatives
Unsuspension of Single Stock Futures Contracts - ACL - 14 June 2021
Notice Number: 234
14/06/2021
Commodity Derivatives
Update of Price Limits Applicable to Deliverable Grain Contracts
Notice Number: 233
14/06/2021
Commodity Derivatives
Approval of Silostrat (Pty) Ltd as JSE Storage Operator Including Registered Delivery Points
Notice Number: 232
11/06/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 11 June 2021
Notice Number: 231
10/06/2021
Interest Rate Derivatives
Bond Option Implied Volatility Surface
Notice Number: 230
10/06/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 10 June 2021
Notice Number: 229
10/06/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 10 June 2021
Notice Number: 228
10/06/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 10 June 2021
Notice Number: 227A
10/06/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules - "Exchange for Physical" and "Exchange for Risk" Transactions
Notice Number: 227B
10/06/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules - Annexure A
Notice Number: 227C
10/06/2021
Commodity Derivatives
Proposed Amendments to the JSE Derivatives Rules - Annexure B
Notice Number: 226
08/06/2021
Equity Derivatives
Futures Close-Out 17 June 2021
Notice Number: 225
07/06/2021
Currency Derivatives
Reminder - Currency Derivatives Close-Out 14 June 2021 - 16H00
Notice Number: 224
07/06/2021
Equity Derivatives
IDX Future (14 JUN 21 ZI CSH) and IDX Dividend Neutral Future (14 JUN 21 ZI DN)
Notice Number: 223
04/06/2021
Equity Market
Inward Listed Securities - ASN630
Notice Number: 222
02/06/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Spread Option - XE11
Notice Number: 221
02/06/2021
Equity Derivatives
Treatment of Anglo American Plc (AGL) Corporate Action - Unbundling 7 June 2021 (Ex-date)
Notice Number: 220
31/05/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 219
28/05/2021
Equity Market
Inward Listed Securities - ASN629
Notice Number: 218
28/05/2021
Equity Market
Inward Listed Securities - ASN628
Notice Number: 217
27/05/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 27 May 2021
Notice Number: 216
27/05/2021
Equity Derivatives
Exotic Option - NDDUWI INDEX - Out of Currency Put Option - XE10
Notice Number: 215
27/05/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 27 May 2021
Notice Number: 214
27/05/2021
Equity Market
Inward Listed Securities - SBRN07
Notice Number: 213
27/05/2021
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 212
27/05/2021
Commodity Derivatives
Correction to the Senwes Bultfontein Maize Location Differential
Notice Number: 211
27/05/2021
Equity Derivatives
Assessment of Derivative Contracts Against Listing Requirements - 27 May 2021
Notice Number: 210
26/05/2021
Equity Market
New ETF Listing - NewFunds Reitway Global Property ETF (NEWPRP)
Notice Number: 209
25/05/2021
Equity Derivatives
Treatment of Devon Energy Corp (DVNI) Corporate Action – Special Dividend and Cash Dividend 11 June 2021 (Ex-Date)
Notice Number: 208
25/05/2021
Equity Derivatives
Treatment of Barrick Gold Corp (ABXI) Corporate Action – Return of Capital 27 May 2021 (Ex-Date)
Notice Number: 207A
25/05/2021
Commodity Derivatives
Detailed Agricultural Contract Specifications Implemented
Notice Number: 207B
25/05/2021
Commodity Derivatives
Detailed Agricultural Contract Specifications 2021
Notice Number: 206
24/05/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 24 May 2021
Notice Number: 205
24/05/2021
Equity Derivatives
Exotic Option – NDDUWI Index Out of Currency Fence Option – XE09
Notice Number: 204
21/05/2021
Equity Derivatives
JSHRALTR Index - Outright Put Option - XR04
Notice Number: 203
21/05/2021
Equity Market
Inward Listed Securities - SBRN06
Notice Number: 202
21/05/2021
Equity Derivatives
Exotic Option - JSHRALTR Index - Synthetic Future - XR03
Notice Number: 201
20/05/2021
Equity Market
Inward Listed Securities - ZA196
Notice Number: 200
19/05/2021
Commodity Derivatives
Introducing November 2021 Quanto Maxi Soybean Oil Commodity Can-Do Contract
Notice Number: 199
19/05/2021
Commodity Derivatives
Introducing November 2021 Quanto Maxi Soybean Meal Commodity Can-Do Contract
Notice Number: 198
19/05/2021
Commodity Derivatives
Introducing August 2021 Quanto Maxi Soybean Oil Commodity Can-Do Contract
Notice Number: 197
19/05/2021
Commodity Derivatives
Introducing August 2021 Quanto Maxi Soybean Meal Commodity Can-Do Contract
Notice Number: 196
17/05/2021
Equity Derivatives
IDX Future (14 JUN 21 BXPI CSH) and IDX Dividend Neutral Future (14 JUN 21 BXPI CSH DN)
Notice Number: 195
17/05/2021
Equity Derivatives
IDX Future (14 JUN 21 BAMI CSH) and IDX Dividend Neutral Future (14 JUN 21 BAMI CSH DN)
Notice Number: 194
17/05/2021
Equity Derivatives
IDX Future (14 JUN 21 ABNBI CSH) and IDX Dividend Neutral Future (14 JUN 21 ABNBI CSH DN)
Notice Number: 193
17/05/2021
Equity Derivatives
IDX Future (14 JUN 21 WYI CSH) and IDX Dividend Neutral Future (14 JUN 21 WYI CSH DN)
Notice Number: 192
17/05/2021
Equity Derivatives
IDX Future (14 JUN 21 ESSI CSH) and IDX Dividend Neutral Future (14 JUN 21 ESSI CSH DN)
Notice Number: 191
13/05/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 May 2021
Notice Number: 190
13/05/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 May 2021
Notice Number: 189
13/05/2021
Equity Market
Inward Listed Securities ZA190
Notice Number: 188
13/05/2021
Equity Market
Inward Listed Securities ASN612
Notice Number: 187
13/05/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 May 2021
Notice Number: 186
13/05/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Spread Option - XE08
Notice Number: 185
13/05/2021
Equity Derivatives
Exotic Option - JSHR40 Index - Strike Resetting Collar Option - XS83
Notice Number: 184
13/05/2021
Equity Market
Inward Listed Securities - SYGEMF
Notice Number: 183
12/05/2021
Equity Market
Inward Listed Securities ASN608
Notice Number: 182
12/05/2021
Equity Market
Inward Listed Securities ASN603
Notice Number: 181
12/05/2021
Equity Derivatives
Exotic Option - QQQ US Equity - Out of Currency Put Option - XE07
Notice Number: 180
12/05/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Outright Put Option - XE06
Notice Number: 179
12/05/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Outright Put Option - XE05
Notice Number: 178
11/05/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Spread Option - XE04
Notice Number: 177
07/05/2021
Equity Derivatives
Treatment of Allied Electronics Corp A (AEL) Corporate Action - Special Dividend - 12 May 2021 (Ex-Date)
Notice Number: 176
07/05/2021
Equity Derivatives
Treatment of Lonza Group AG (LONNI) Corporate Action Return of Capital - 10 May 2021 (Ex-Date)
Notice Number: 175
07/05/2021
Equity Market
Inward Listed Securities - IBLIIK
Notice Number: 174
07/05/2021
Equity Derivatives
Capital Index Basket Future (YR03)
Notice Number: 173
07/05/2021
All Markets
Itumeleng Marishane - Enforcement Action by the JSE - 7 May 2021
Notice Number: 172
06/05/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE03
Notice Number: 171
05/05/2021
Currency Derivatives, Interest Rate Derivatives, Commodity Derivatives, Bond Market, Bond ETP
Spire Awards 2020 - Error Identified in the Results
Notice Number: 170
03/05/2021
Equity Derivatives
IDX Future (14JUN21 ONI CSH) and IDX Dividend Neutral Future (14JUN21 ONI CSH DN)
Notice Number: 169
03/05/2021
Equity Derivatives
Treatment of Zeder Inv Ltd (ZED) Corporate Action - Special Dividend - 5 May 2021 (Ex.Date)
Notice Number: 168
03/05/2021
Equity Derivatives
Treatment of RMB Holdings Ltd (RMH) Corporate Action Special Dividend - 5 May 2021 (Ex. Date)
Notice Number: 167
03/05/2021
Equity Derivatives
Exotic Option - MXWO Index - Out of Currency Collar Option - XE02
Notice Number: 166
30/04/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 165
30/04/2021
Equity Derivatives
IDX Future (14 JUN 21 WPCI CSH) and IDX Dividend Neutral Future (14 JUN 21 WPCI CSH DN)
Notice Number: 164
29/04/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 29 April 2021
Notice Number: 163
29/04/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 29 April 2021
Notice Number: 162
29/04/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 161
29/04/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 29 April 2021
Notice Number: 160
29/04/2021
Equity Derivatives
Treatment of RDI Reit P.L.C (RPL) Corporate Action Capital Payment with Termination - 3 May 2021 (Ex. Date)
Notice Number: 159A
29/04/2021
Commodity Derivatives
Sorghum Standard Storage Rate for 2021-22 Marketing Season Including Registered Delivery Points
Notice Number: 159B
29/04/2021
Commodity Derivatives
Sorghum Delivery Points 2021-22
Notice Number: 158A
29/04/2021
Commodity Derivatives
Final Maize Location Differentials and Storage Rates for 2021-22 Marketing Season
Notice Number: 158B
29/04/2021
Commodity Derivatives
Final Location Maize Differentials 2021-22
Notice Number: 157
28/04/2021
Equity Derivatives
Treatment of Admiral Group PLC (ADMI) Corporate Action – Special Dividend and Cash Dividend 6 May 2021 (Ex-Date)
Notice Number: 156A
28/04/2021
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules and Directives - Delta Option Trades and Structured Option Trades
Notice Number: 156B
28/04/2021
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules and Directives - Annexure A
Notice Number: 156C
28/04/2021
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules and Directives - Annexure B
Notice Number: 155
26/04/2021
Commodity Derivatives
Application for Registered Storage Operator and Delivery Point by Silostrat Investments (Pty) Ltd
Notice Number: 154
26/04/2021
Equity Market
Inward Listed Securities - ZA194
Notice Number: 153
26/04/2021
Equity Market
Inward Listed Securities - BATIIC
Notice Number: 152
26/04/2021
Equity Market
Inward Listed Securities - BATIID
Notice Number: 151
23/04/2021
Commodity Derivatives
Changes to Series Spread Margin Requirements for Commodity Derivatives Market - 23 April 2021
Notice Number: 150
21/04/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XE01
Notice Number: 149
21/04/2021
Equity Derivatives
Treatment of Exxaro Resources Ltd (EXX) Corporate Action Special and Cash Dividend 28 April 2021 (Ex-Date)
Notice Number: 148
21/04/2021
Equity Derivatives
J430PR Index - Strike Resetting Collar Option - XS82
Notice Number: 147
20/04/2021
Equity Derivatives
Treatment of Glencore Plc (GLN) Corporate Action - Capital Reduction 21 April 2021 (Ex-Date)
Notice Number: 146
19/04/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivatives Markets
Notice Number: 145
19/04/2021
Equity Market
Inward Listed Securities ZA193
Notice Number: 144
19/04/2021
Equity Market
Inward Listed Securities ZA192
Notice Number: 143
19/04/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XD99
Notice Number: 142A
16/04/2021
Commodity Derivatives
Proposed Maize Location Differentials and Storage Rates for 2021/22 Marketing Season
Notice Number: 142B
16/04/2021
Commodity Derivatives
Proposed Maize Location Differentials and Storage Rates for 2021/22 Marketing Season
Notice Number: 141
15/04/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 15 April 2021
Notice Number: 140
15/04/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 15 April 2021
Notice Number: 139
15/04/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 15 April 2021
Notice Number: 138
14/04/2021
Equity Derivatives
IDX Future (14JUN21 VODI CSH) and IDX Dividend Neutral Future (14JUN21 VODI CSH DN)
Notice Number: 137
14/04/2021
Equity Derivatives
IDX Future (14JUN21 EWJI CSH) and IDX Dividend Neutral Future (14JUN21 EWJI CSH DN)
Notice Number: 136
12/04/2021
Commodity Derivatives
Changes to Calendar Spread Margin Requirements for Agricultural Derivative Markets on Maize Contracts
Notice Number: 135
08/04/2021
Commodity Derivatives
Application by BKB Grainco for an Additional Maize and Sorghum Delivery Point
Notice Number: 134
08/04/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XD98
Notice Number: 133
07/04/2021
Equity Derivatives
Treatment of AVI Ltd (AVI) Corporate Action – Special Dividend and Cash Dividend - 14 April 2021 (Ex-Date)
Notice Number: 132
07/04/2021
Equity Market
Inward Listed Securities ASN588
Notice Number: 131
07/04/2021
Equity Market
Inward Listed Securities SPIB38
Notice Number: 130
07/04/2021
Commodity Derivatives
Voluntary Termination of Membership - JP Morgan Securities South Africa (Pty) Ltd
Notice Number: 129
06/04/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 6 April 2021
Notice Number: 128
31/03/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 31 March 2021
Notice Number: 127
31/03/2021
Equity Derivatives
Total Return Index Basket Future (YR02)
Notice Number: 126
31/03/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 31 March 2021
Notice Number: 125
31/03/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 31 March 2021
Notice Number: 124
30/03/2021
Equity Market
Inward Listed Securities - ASN591
Notice Number: 123A
30/03/2021
Commodity Derivatives
Amended Detailed Agricultural Contract Specifications for Final Comment
Notice Number: 123B
30/03/2021
Commodity Derivatives
Detailed Agricultural Contract Specifications 2021
Notice Number: 122
30/03/2021
Equity Market
Exotic Option - SPY US Equity - Out of Currency Put Option - XD97
Notice Number: 121
30/03/2021
Equity Derivatives
Unsuspension of Single Stock Futures Contracts - MPT MUR NPK - 30 March 2021
Notice Number: 120
29/03/2021
Equity Market
Inward Listed Securities SVXIIA
Notice Number: 119
25/03/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 25 March 2021
Notice Number: 118
25/03/2021
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 117
24/03/2021
Equity Market
Inward Listed Securities - ZA189
Notice Number: 116
23/03/2021
Interest Rate
JSE Eris Interest Rate Swap Future Reset - 5y Stnd 8% Dec 2016-2021
Notice Number: 115
23/03/2021
Equity Derivatives
Exotic Option - QQQ US Equity - Out of Currency Call Option - XD96
Notice Number: 114
23/03/2021
Equity Derivatives
Exotic Option - QQQ US Equity - Out of Currency Put Option - XD95
Notice Number: 113
23/03/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XD94
Notice Number: 112
23/03/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Call Option - XD93
Notice Number: 111
19/03/2021
Equity Derivatives
Exotic Option - JSHR40 INDEX - Strike Resetting Collar Option - XS80
Notice Number: 110
19/03/2021
Equity Derivatives
Exotic Option - JSHR40 INDEX - Strike Resetting Collar Option - XS79
Notice Number: 109
18/03/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 March 2021
Notice Number: 108
18/03/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 March 2021
Notice Number: 107
18/03/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 March 2021
Notice Number: 106A
18/03/2021
Commodity Derivatives
Request for Information to assist with determination of Location Differentials for Maize for 2021-2022 Marketing Season
Notice Number: 106B
18/03/2021
Commodity Derivatives
Request for Information to assist with determination of Location Differentials for Maize for 2021-2022 Marketing Season
Notice Number: 105
17/03/2021
All Markets
FSCA Securities Sector Risk Assessment Survey
Notice Number: 104
16/03/2021
Commodity Derivatives
Approval of SWK Additional Sunflower Seeds Delivery Point
Notice Number: 103
16/03/2021
Equity Derivatives
Quanto Future - SPY US Equity
Notice Number: 102
16/03/2021
Equity Market
Inward Listed Securities IBLIIJ
Notice Number: 101
16/03/2021
Equity Derivatives
IDX Future (15MAR21 VIAC CSH) and IDX Dividend Neutral Future (15MAR21 VIAC CSH DN)
Notice Number: 100
12/03/2021
Equity Market
Voluntary Termination of Membership - Macquarie Securities South Africa Ltd
Notice Number: 099
12/03/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Spread Option - XD92
Notice Number: 098
12/03/2021
Equity Derivatives
IDX Future (15MAR21 DISCAI CSH) and IDX Dividend Neutral Future (15MAR21 DISCAI CSH DN)
Notice Number: 097
12/03/2021
Equity Derivatives
Futures Close-Out Thursday - 18 March 2021
Notice Number: 096
11/03/2021
Equity Market
Inward Listed Securities BATIIA
Notice Number: 095
11/03/2021
Currency Derivatives
Reminder - Currency Derivatives Close-Out 15 March 2021 - 16H00
Notice Number: 094
11/03/2021
Equity Market
Inward Listed Securities SPIB37
Notice Number: 093
10/03/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 092
10/03/2021
Equity Derivatives
Suspension and Delisting of Inactive Derivative Contracts on FTSE/JSE General Retailers Index
Notice Number: 091
10/03/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 090
09/03/2021
Commodity Derivatives
Listing Soya Beans March 2022
Notice Number: 089A
05/03/2021
Equity Market
JSE Consultation Paper - Cutting Red Tape Aimed at Effective and Appropriate Regulation
Notice Number: 089B
05/03/2021
Equity Market
JSE Consultation Paper March 2021
Notice Number: 089C
05/03/2021
Equity Market
Comments Template
Notice Number: 088
05/03/2021
Equity Derivatives
Exotic Option - MXWO Index - Out of Currency Put Spread Option - XD91
Notice Number: 087
04/03/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 086
04/03/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 085
04/03/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 084
03/03/2021
Commodity Derivatives
Introducing June 2021 Quanto Maxi Soybean Oil Can-Do Contract
Notice Number: 083
03/03/2021
Commodity Derivatives
Introducing June 2021 Quanto Maxi Soybean Meal Can-Do Contract
Notice Number: 082
03/03/2021
Equity Market
Inward Listed Securities ASN581
Notice Number: 081
03/03/2021
Equity Market
Inward Listed Securities ASN574
Notice Number: 080
03/03/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Spread Option - XD90
Notice Number: 079
03/03/2021
Commodity Derivatives
Name Change from Bester Derivatives Trading (Pty) Ltd to BDT Africa (Pty) Ltd
Notice Number: 078
03/03/2021
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate, Interest Rate Derivatives, Bond Market
Name Change from Thebe Stockbroking (Pty) Ltd to TSB Securities (Pty) Ltd
Notice Number: 077
02/03/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Spread Option - XD89
Notice Number: 076
02/03/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Spread Option - XD88
Notice Number: 075
02/03/2021
Equity Derivatives
Exotic Option - NDDUWI Index - Out of Currency Put Option - XD87
Notice Number: 074
01/03/2021
Equity Derivatives
Treatment of Devon Energy Corp (DVNI) Corporate Action – Special and Cash Dividend – 12 March 2021 (Ex-Date)
Notice Number: 073
01/03/2021
Equity Derivatives
Treatment of Amphenol Corp (APHI) Corporate Action - Sub-division 5 March 2021 (Ex-Date)
Notice Number: 072
01/03/2021
Equity Derivatives
Treatment of the Underlying Price on Delta and Calendar Spread Options
Notice Number: 071
26/02/2021
Equity Derivatives
Single Stock Future (18MAR21 SYG500 CSH) and (18MAR21 SYG500 PHY) - SYGNIA ITRIX S&P 500 ETF
Notice Number: 070
26/02/2021
Equity Market
Inward Listed Securities - ASN578
Notice Number: 069
26/02/2021
Equity Derivatives
Exotic Option JSHR40 Index - Strike Resetting Put Spread - XS78
Notice Number: 068A
26/02/2021
Commodity Derivatives
Final Location Differentials for Soya for 2021-22 Marketing Season
Notice Number: 068B
26/02/2021
Commodity Derivatives
Final SOYA Differentials 2021-22
Notice Number: 067A
26/02/2021
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for the 2021-22 Marketing Season
Notice Number: 067B
26/02/2021
Commodity Derivatives
Final Location SUNS Differentials 2021-22
Notice Number: 066
25/02/2021
Equity Market
Clarification Note on the Budget Statement on ‘Dual-Listed’ Companies
Notice Number: 065
25/02/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 064
25/02/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 25 February 2021
Notice Number: 063
25/02/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 062
25/02/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Spread Option – XD86
Notice Number: 061
25/02/2021
Equity Derivatives
Single Stock Future (18MAR21 BYI CSH) and (18MAR21 BYI CSH DN) - Bytes Technology Group Plc
Notice Number: 060
24/02/2021
Equity Derivatives
IDX Future (15MAR21 MSTRI CSH) and IDX Dividend Neutral Future (15MAR21 MSTRI CSH DN)
Notice Number: 059
24/02/2021
Equity Derivatives
IDX Future (15MAR21 BKNGI CSH) and IDX Dividend Neutral Future (15MAR21 BKNGI CSH DN)
Notice Number: 058
24/02/2021
All Markets
Call for Comments Draft Guidance on Money Laundering, Terrorist Financing and Proliferation Financing Risk Considerations Relating to Geographic Areas
Notice Number: 057
24/02/2021
Equity Derivatives
Exotic Option - FTSE-JSE SWIX All Share Total Return Index (JSHRALTR Index) Synthetic Future - XRF2
Notice Number: 056
23/02/2021
Equity Derivatives
Exotic Option FTSEJSE SWIX All Share Total Return Index (JSHRALTR Index) Outright Put - XR02
Notice Number: 055
23/02/2021
Commodity Derivatives
Thebe Stockbroking (Pty) Ltd - Voluntary Termination of Membership
Notice Number: 054
23/02/2021
Commodity Derivatives
Senwes Graanmakelaars (Pty) Ltd - Final and Voluntary Termination of Membership
Notice Number: 053
22/02/2021
Commodity Derivatives
Application by SWK for an Additional Sunflower Seeds Delivery Point
Notice Number: 052
19/02/2021
Equity Derivatives
Capital Index Basket Future - YR01
Notice Number: 051
18/02/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 February 2021
Notice Number: 050
18/02/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 18 February 2021
Notice Number: 049A
18/02/2021
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for the 2021-22 Marketing Season
Notice Number: 049B
18/02/2021
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for the 2021-22 Marketing Season
Notice Number: 048A
18/02/2021
Commodity Derivatives
Proposed Location Differentials for Soya for 2021-22 Marketing Season
Notice Number: 048B
18/02/2021
Commodity Derivatives
Proposed Location Differentials for Soya for 2021-22 Marketing Season
Notice Number: 047
18/02/2021
Equity Derivatives
Suspension of Futures That No Longer Meet Clearability Requirements
Notice Number: 046
17/02/2021
Equity Derivatives
Exotic Option SPY US Equity - Out of Currency Call Option - XD85
Notice Number: 045
17/02/2021
Equity Derivatives
Exotic Option SPY US Equity - Out of Currency Put Option - XD84
Notice Number: 044
16/02/2021
Commodity Derivatives
Changes to Rule A2 as Communicated in Market Notice 629/2020 Revisited
Notice Number: 043
09/02/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Put Option - XD83
Notice Number: 042
04/02/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 4 February 2021
Notice Number: 041
04/02/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 4 February 2021
Notice Number: 040
04/02/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 4 February 2021
Notice Number: 039
03/02/2021
Interest Rate Derivatives
Bond Volatility Surface Update - 3 February 2021
Notice Number: 038
02/02/2021
Equity Derivatives
Exotic Option - SPY US Equity - Out of Currency Fence Option - XD82
Notice Number: 037
02/02/2021
Equity Derivatives
Exotic Option - MXWD Index - Out of Currency Collar Option - XD81
Notice Number: 036A
02/02/2021
Commodity Derivatives
Proposed Changes to Inputs for Calculation of Location Differentials
Notice Number: 036B
02/02/2021
Commodity Derivatives
Proposed Changes to Inputs for Calculation of Location Differentials
Notice Number: 035
01/02/2021
Equity Derivatives
IDX Future (15MAR21 AMEI CSH) and IDX Dividend Neutral Future (15MAR21 AMEI CSH DN)
Notice Number: 034
29/01/2021
Equity Derivatives
IDX Future (15MAR21 HSBAI CSH) and IDX Dividend Neutral Future (15MAR21 HSBAI CSH DN)
Notice Number: 033
29/01/2021
Equity Derivatives
IDX Future (15MAR21 NVAXI CSH) and IDX Dividend Neutral Future (15MAR21 NVAXI CSH DN)
Notice Number: 032
29/01/2021
Equity Derivatives
IDX Future (15MAR21 ARKGI CSH) and IDX Dividend Neutral Future (15MAR21 ARKGI CSH DN)
Notice Number: 031
29/01/2021
Equity Derivatives
Capital Index Basket Future - YSR9
Notice Number: 030
28/01/2021
Equity Derivatives
IDX Future (15MAR21 IWDI CSH) and IDX Dividend Neutral Future (15MAR21 IWDI CSH DN)
Notice Number: 029
28/01/2021
Equity Market
JSE Trustees (Pty) Ltd - Interest Rate
Notice Number: 028
27/01/2021
Equity Market
Inward Listed Securities - MXWIIA
Notice Number: 027
26/01/2021
Commodity Derivatives
Margin Methodology Update for Commodity Derivatives Market
Notice Number: 026
26/01/2021
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - New Stress Scenarios
Notice Number: 025
26/01/2021
Bond Market
Contributing Brokers for Bonds Mark-to-Market Process
Notice Number: 024
25/01/2021
Equity Derivatives
New Member - Seraphim Financial Services (Pty) Ltd
Notice Number: 023
25/01/2021
Equity Market
New Member - Liberty Securities (Pty) Ltd
Notice Number: 022
25/01/2021
Bond Market
Contributing Brokers for Bonds Mark-to-Market Process
Notice Number: 021
21/01/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 21 January 2021
Notice Number: 020
21/01/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 21 January 2021
Notice Number: 019
21/01/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 21 January 2021
Notice Number: 018
20/01/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 21 January 2021
Notice Number: 017
19/01/2021
Equity Derivatives
IDX Future (15MAR21 AZNI CSH) and IDX Dividend Neutral Future (15MAR21 AZNI CSH DN)
Notice Number: 016
18/01/2021
Equity Derivatives
IDX Future (15MAR21 ARKKI CSH) and IDX Dividend Neutral Future (15MAR21 ARKKI CSH DN)
Notice Number: 015
18/01/2021
Bond Market
Contributing Brokers for Bonds Mark-to-Market Process
Notice Number: 014
14/01/2021
Equity Derivatives
IDX Future (15MAR21 MPCI CSH) and IDX Dividend Neutral Future (15MAR21 MPCI CSH DN)
Notice Number: 013
14/01/2021
Bond Market
JSE Inflation Linked Bond Mark-to-Market Process
Notice Number: 012
14/01/2021
Equity Derivatives
Treatment of Montauk Holdings Ltd (MNK) Corporate Action - Distribution of Shares - 19 January 2021 (Ex-Date)
Notice Number: 011
14/01/2021
Commodity Derivatives
Introducing April 2021 Quanto Maxi Soybean Meal Commodity Can-Do Contract
Notice Number: 010
14/01/2021
Commodity Derivatives
Introducing April 2021 Quanto Maxi Soybean Oil Commodity Can-Do Contract
Notice Number: 009
14/01/2021
Equity Derivatives
Single Stock Future (MNKQ) and Single Stock Dividend Neutral (MNKF) – Montauk Holdings Ltd (MNK)
Notice Number: 008
14/01/2021
Equity Derivatives
Single Stock Future (MNKS) and Single Stock Dividend Neutral (MNKT) – Montauk Holdings Ltd (MNK)
Notice Number: 007
13/01/2021
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 13 January 2021
Notice Number: 006
11/01/2021
Commodity Derivatives
Application by BKB Grainco for Additional Oilseeds Delivery Points
Notice Number: 005
11/01/2021
Equity Derivatives
Treatment of Tiger Brands Ltd (TBS) Corporate Action - Special Dividend and Cash Dividend 13 January 2021 (Ex-Date)
Notice Number: 004
07/01/2021
Currency Derivatives, Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 7 January 2021
Notice Number: 003
07/01/2021
Interest Rate Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 7 January 2021
Notice Number: 002
07/01/2021
Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - 7 January 2021
Notice Number: 001
05/01/2021
Equity Market
COVID-19 Relief Measures for Market Participants
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