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Market Notices 2019
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JSE Market Notices 2019
Market Notices 2019
Notice Number: 393
27/12/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 392
23/12/2019
Interest Rate Derivatives
IRM - JSE ERIS Interest Rate Swap Future Reset – 5Y Stnd 8.5 Percent Sep 2016-2021
Notice Number: 391
23/12/2019
Interest Rate Derivatives
IRM - JSE ERIS Interest Rate Swap Future Reset - 5Y Stnd 8 Percent Dec 2016-2021
Notice Number: 390
23/12/2019
Equity Derivatives
EDM - Exotic Option SPY US Equity – Out of Currency Put Option XC95
Notice Number: 389
20/12/2019
All Markets
Maryna Vorster - Enforcement Action by the JSE
Notice Number: 388
20/12/2019
Equity Derivatives
Exotic Option JSHR40 Index - Strike Resetting Collar Option – XS61
Notice Number: 387
19/12/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 386
19/12/2019
Equity Derivatives
Can-Do Call Option – Out of Currency - XC94
Notice Number: 385
19/12/2019
Equity Derivatives
Can-Do Put Option – Out of Currency - XC93
Notice Number: 384
19/12/2019
Interest Rate Derivatives
IRM - New Member – Goldman Sachs International Bank Johannesburg BranchDerivatives (Pty) Ltd
Notice Number: 383
18/12/2019
Equity Market
Inward Listed Securities ZA176
Notice Number: 382
18/12/2019
Equity Market
Inward Listed Securities SXEIIV
Notice Number: 381
18/12/2019
Equity Market
Inward Listed Securities SBRN01
Notice Number: 380
18/12/2019
Equity Derivatives
Exotic Option JSHR40 Index - Strike Resetting Put Spread – XS60
Notice Number: 379
18/12/2019
Equity Derivatives
EDM - Exotic Option - SPY US Equity – Out of Currency Call Option – XC92
Notice Number: 378
18/12/2019
Equity Derivatives
EDM - Exotic Option - SPY US Equity - Out of Currency Put Spread Option – XC91
Notice Number: 377
13/12/2019
Equity Derivatives
New Member – Cratos Derivatives (Pty) Ltd
Notice Number: 376A
13/12/2019
Equity Market
Strate Fees Review for 2020
Notice Number: 376B
13/12/2019
Equity Market
Strate Fees Review for 2020
Notice Number: 375
11/12/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 374
09/12/2019
Equity Derivatives
IDX Future (13DEC19 MCD CSH) and IDX Dividend Neutral Future (13DEC19 MCD CSH DN)
Notice Number: 373
09/12/2019
Equity Derivatives
Treatment of Trencor Ltd (TRE) Corporate Action - Unbundling 11 December 2019 (Ex-Date)
Notice Number: 372
06/12/2019
Equity Market
Inward Listed Securities SPXIII
Notice Number: 371A
06/12/2019
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Physical Delivery
Notice Number: 371B
06/12/2019
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Physical Delivery
Notice Number: 371C
06/12/2019
Commodity Derivatives
Approved Amendments to the JSE Derivatives Rules - Physical Delivery
Notice Number: 370
06/12/2019
All Markets
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 369
05/12/2019
Equity Derivatives, Commodity Derivatives
Voluntary Termination of Membership - Navigare Securities (Pty) Ltd
Notice Number: 368
05/12/2019
Equity Market, Equity Derivatives
Voluntary Termination of Membership - Cratos Institutional Pty) Ltd
Notice Number: 367
04/12/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 366A
04/12/2019
Equity Market
Approved Amendments to the JSE Equities Rules and Directives
Notice Number: 366B
04/12/2019
Equity Market
Approved Amendments to the JSE Equities Rules and Directives
Notice Number: 366C
04/12/2019
Equity Market
Approved Amendments to the JSE Equities Rules and Directives
Notice Number: 365
02/12/2019
Equity Derivatives
Index Options Implied ATM Volatility Mark to Market
Notice Number: 364
29/11/2019
Equity Derivatives
Treatment of NetEase Inc (NTESI) Corporate Action – Special Dividend and Cash Dividend – 5 December 2019 (Ex-Date)
Notice Number: 363
28/11/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 362
28/11/2019
All Markets
Price Changes for 2020
Notice Number: 361
28/11/2019
Interest Rate Derivatives
Interest Rate Derivatives Market Price Changes for 2020
Notice Number: 360
28/11/2019
Interest Rate Derivatives
Debt Trading Fees Price Changes for 2020
Notice Number: 359
28/11/2019
Currency Derivatives
Currency Derivatives Market Price Changes for 2020
Notice Number: 358
28/11/2019
Equity Derivatives
Price Changes for 2020
Notice Number: 357
28/11/2019
Commodity Derivatives
Price Changes for 2020
Notice Number: 356
28/11/2019
Equity Market
Price Changes for 2020
Notice Number: 355
27/11/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 354A
27/11/2019
Equity Market
Block Trades Size Changes Implementation
Notice Number: 354B
27/11/2019
Equity Market
Block Trades Size Changes Implementation Instruments
Notice Number: 353
26/11/2019
Equity Market
Inward Listed Securities ZA172
Notice Number: 352
26/11/2019
Equity Derivatives
Exotic Option MXWD - Out of Currency Collar Option - XC90
Notice Number: 351
25/11/2019
Equity Derivatives
IDX Future (13DEC19 BGNE CSH) and IDX Dividend Neutral Future (13DEC19 BGNE CSH DN)
Notice Number: 350A
22/11/2019
Equity Derivatives
Updated Total Return Basket Future Contract Specification
Notice Number: 350B
22/11/2019
Equity Derivatives
Updated Total Return Basket Future Contract Specification
Notice Number: 349
21/11/2019
Equity Derivatives
Treatment of Vodacom Group Ltd (VOD) Corporate Action – Special Dividend and Cash Dividend – 27 November 2019 (Ex-Date)
Notice Number: 348
21/11/2019
Equity Derivatives
Treatment of Lighthouse Capital Ltd (LTE) Corporate Action – Capital Reduction 27 November 2019 (Ex-Date)
Notice Number: 347
21/11/2019
Equity Derivatives
IDX Future (13DEC19 GLD CSH) and IDX Dividend Neutral Future (13DEC19 GLD CSH DN)
Notice Number: 346
20/11/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 345A
20/11/2019
Commodity Derivatives
Commitment of Traders (COT) Report
Notice Number: 345B
20/11/2019
Commodity Derivatives
Commitment of Traders (COT) Report - Annexure B
Notice Number: 344
18/11/2019
Equity Derivatives
Exotic Option SPY US Equity - Out of Currency Put Spread Option - XC89
Notice Number: 343
18/11/2019
Equity Market
Inward Listed Securities SXEIIT
Notice Number: 342
18/11/2019
Equity Market
Inward Listed Securities SXEIIS
Notice Number: 341
18/11/2019
Equity Market
Inward Listed Securities SPXIIH
Notice Number: 340
15/11/2019
Equity Derivatives
Treatment of Lighthouse Capital Ltd (LTE) Corporate Action – Rights Offer 20 November 2019 (Ex-Date)
Notice Number: 339
15/11/2019
Equity Derivatives
Exotic Option SPY U.S Equity - Out of Currency Put Option - XC88
Notice Number: 338
15/11/2019
Commodity Derivatives
Publishing of Stock Levels of Grain on JSE Silo Certificates
Notice Number: 337
14/11/2019
Equity Derivatives
Treatment of TripAdvisor Inc (TRIPI) Corporate Action – Special Dividend – 19 November 2019 (Ex-Date)
Notice Number: 336
14/11/2019
Equity Market
Inward Listed Securities SXEIIU
Notice Number: 335
14/11/2019
Equity Market
Inward Listed Securities FTSIIE
Notice Number: 334
14/11/2019
All Derivative Markets
Voluntary Termination of Membership - Anglorand Futop (Pty) Ltd
Notice Number: 333
13/11/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 332
13/11/2019
Equity Market
Inward Listed Securities ZA170
Notice Number: 331
06/11/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 330
05/11/2019
Equity Market
Inward Listed Securities ZA173
Notice Number: 329
04/11/2019
Equity Market
Iceberg Order Functionality Pricing
Notice Number: 328
04/11/2019
Equity Market
New Block Trade Sizes Changes
Notice Number: 327
04/11/2019
Equity Derivatives
Treatment of Trencor Ltd (TRE) Corporate Action – Odd-Lot Offer 6 November 2019 (Ex-Date)
Notice Number: 326
31/10/2019
Equity Derivatives
Exotic Option SPDR S and P 500 ETF - Out of Currency Call Option – XC87
Notice Number: 325
31/10/2019
Equity Derivatives
Exotic Option SPDR S and P 500 ETF - Out of Currency Put Spread Option – XC86
Notice Number: 324
30/10/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 323
30/10/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 322
29/10/2019
Equity Derivatives
Exotic Option MXWO IIndex - Out of Currency Call Option - XC85
Notice Number: 321
25/10/2019
Equity Derivatives
Treatment of Stanlib Top 40 Fund ETF (STAN40) and Stanlib SWIX 40 Fund ETF (STANSX) - Name Change 30 Oct 2019 (Ex-Date)
Notice Number: 320
25/10/2019
Equity Derivatives
DX Future (13Dec19 1038 CSH) and IDX Dividend Neutral Future (13Dec19 1038 CSH DN)
Notice Number: 319
25/10/2019
Equity Derivatives
IDX Future (13Dec19 1113 CSH) and IDX Dividend Neutral Future (13Dec19 1113 CSH DN)
Notice Number: 318
23/10/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 317
23/10/2019
Equity Derivatives
Exotic Option JSHR40 Index - Strike Resetting Put Spread – XS59
Notice Number: 316
23/10/2019
Equity Derivatives
Exotic Option iShares S&P 100 ETF - Out of Currency Put Option – XC84
Notice Number: 315
16/10/2019
Equity Derivatives
IDX Future (13DEC19 TRU CSH) & IDX Dividend Neutral Future (13DEC19 TRU CSH DN)
Notice Number: 314
16/10/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 313
15/10/2019
Equity Derivatives
DTOP and DCAP ATM Volatility Spread to Alsi
Notice Number: 312
15/10/2019
Equity Market
Inward Listed Securities TPBIIA
Notice Number: 311
11/10/2019
Equity Market
Inward Listed Securities ASN376
Notice Number: 310
11/10/2019
Equity Market
Inward Listed Securities ASN375
Notice Number: 309
09/10/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 308
03/10/2019
Equity Derivatives
Single Stock Future (19DEC19 RBP) – Royal Bafokeng Platinum (SSF)
Notice Number: 307
03/10/2019
Commodity Derivatives
Clarifying Old vs New Grading Specifications and Associated Origin Discounts
Notice Number: 306
03/10/2019
Commodity Derivatives
Implementation of new grading regulations for bread wheat
Notice Number: 305
02/10/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 304
02/10/2019
Equity Derivatives
Single Stock Option Skews
Notice Number: 303
02/10/2019
All Markets
JSE Markets Calendar 2020
Notice Number: 302
02/10/2019
Equity Derivatives
Treatment of Exxaro Resources Ltd (EXX) Corporate Action Special Div and Cash Dividemd 9 October 2019 (Ex-Date)
Notice Number: 301
02/10/2019
Commodity Derivatives
Changes to Calendar Spread Margin Requirements for Agricultural Derivative Markets on WMAZ
Notice Number: 300A
01/10/2019
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules - Physical Delivery
Notice Number: 300B
01/10/2019
Commodity Derivatives
Proposed amendments to the JSE Derivatives Rules - Physical Delivery - Annexure A
Notice Number: 299
30/09/2019
Equity Market
Inward Listed Securities ZA169
Notice Number: 298
27/09/2019
Equity Derivatives
SSF IAP (19DEC2019)
Notice Number: 297A
27/09/2019
Commodity Derivatives
Final Wheat Location Differentials for 2019-20 Season
Notice Number: 297B
27/09/2019
Commodity Derivatives
Final Wheat Location Differentials for 2019-20 Season
Notice Number: 296
26/09/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 295
26/09/2019
Equity Derivatives
Out Of Currency Put Option - XC83
Notice Number: 294
25/09/2019
Equity Derivatives
Strike Resetting Put Option (XS58)
Notice Number: 293
25/09/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 292
23/09/2019
Currency Derivatives, Interest Rate Derivatives
Reset 5Y Stnd 8.5% Sep 2016-2021
Notice Number: 291
20/09/2019
Equity Derivatives
Out Of Currency Strike Resetting Collar Option - XS57
Notice Number: 290
20/09/2019
Equity Derivatives
BT Group IDX
Notice Number: 289
20/09/2019
Equity Derivatives
Treatment of Hargreaves Lansdown PLC (HLII) Corporate Action Special Dividend and Cash Dividend – 26 September 2019 (Ex-Date)
Notice Number: 288
18/09/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 287
17/09/2019
Equity Derivatives
Out of Currency Put Spread Option (XC82)
Notice Number: 286
17/09/2019
Equity Derivatives
Out of Currency Put Spread Option (XC81)
Notice Number: 285
17/09/2019
Equity Derivatives
Out of Currency Call Option (XC80)
Notice Number: 284A
17/09/2019
Commodity Derivatives
Proposed Location Differentials for 2019-20 Wheat Marketing Season
Notice Number: 284B
17/09/2019
Commodity Derivatives
Proposed Location Differentials for 2019-20 Wheat Marketing Season
Notice Number: 283
16/09/2019
Equity Market
Inward Listed Securities SPIB32
Notice Number: 282
13/09/2019
Commodity Derivatives
Amendments to Grading Regulations for Bread Wheat
Notice Number: 281
13/09/2019
Commodity Derivatives
Deregistration of BKB Eenboom Depot
Notice Number: 280
13/09/2019
Commodity Derivatives
Approval of Afgri Additional Wheat Delivery Point
Notice Number: 279
13/09/2019
Equity Derivatives
Treatment of Arrowhead Properties Ltd (AWA) and Gemgrow Properties Ltd B (GPB) Corporate Action Conversion 18 September 2019 (Ex-Date)
Notice Number: 278A
12/09/2019
Equity Market
Proposed amendments to the JSE Equities rules and directives - September 2019
Notice Number: 278B
12/09/2019
Equity Market
Proposed amendments to the JSE Equities rules and directives - September 2019 - Annexure A
Notice Number: 277
12/09/2019
Equity Market
Inward Listed Securities ASN368
Notice Number: 276
12/09/2019
Commodity Derivatives
Publishing of Stock Levels of Grain on JSE Silo Certificates
Notice Number: 275
11/09/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 274
11/09/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - PRX and BSK081
Notice Number: 273
10/09/2019
Equity Derivatives
New Can-Do SSF (STXWDM)
Notice Number: 272
05/09/2019
Currency Derivatives, Interest Rate Derivatives
Voluntary Termination of Membership - Acumen Capital (Pty) Ltd
Notice Number: 271
05/09/2019
Equity Market
Inward Listed Securities ASN364
Notice Number: 270
05/09/2019
Equity Market
Inward Listed Securities ASN363
Notice Number: 269
05/09/2019
Equity Market
Inward Listed Securities ASN362
Notice Number: 268
05/09/2019
Equity Market
Inward Listed Securities ASN361
Notice Number: 267
05/09/2019
Equity Market
Inward Listed Securities ASN360
Notice Number: 266
05/09/2019
Equity Market
Inward Listed Securities ASN359
Notice Number: 265
05/09/2019
Equity Derivatives
Inward Listed Securities ASN352
Notice Number: 264
04/09/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 263
03/09/2019
Equity Derivatives
Treatment of Omnia Holdings Ltd (OMN) Corporate Action Rights Offer 04th September 2019 (Ex-Date)
Notice Number: 262
30/08/2019
Equity Derivatives
Booking Fee Waiver on the Unwinding of Naspers Corporate Action Baskets Positions
Notice Number: 261
29/08/2019
Equity Derivatives
Treatment of Glencore PLC (GLN) Corporate Action – Capital Reduction 4 September 2019 (Ex-Date)
Notice Number: 260
29/08/2019
All Markets
Update JSE Markets Calendar 2019
Notice Number: 259
29/08/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 258
28/08/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future SHOP CSH
Notice Number: 257
28/08/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 256
28/08/2019
Equity Derivatives
Exotic Option MXWDI - Out of Currency Collar (XC79)
Notice Number: 255
23/08/2019
Equity Derivatives
IDX Future (16SEP19 JE CSH) & IDX Dividend Neutral Future (16SEP19 JE CSH DN)
Notice Number: 254
21/08/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 253
21/08/2019
Equity Derivatives
Collar XC78 - Out of Currency
Notice Number: 252
20/08/2019
Equity Derivatives
IDX Future (16SEP19 PNCI CSH) and IDX Dividend Neutral Future - (16SEP19 PNCI CSH DN)
Notice Number: 251
16/08/2019
Equity Derivatives
IDX Future (16SEP19 PYPL CSH) and IDX Dividend Neutral Future - (16SEP19 PYPL CSH DN)
Notice Number: 250
16/08/2019
Equity Derivatives
IDX Future (16SEP19PG CSH) and IDX Dividend Neutral Future - (16SEP19 PG CSH DN)
Notice Number: 249
16/08/2019
Equity Derivatives
Single Stock Option Implied Volatility Alignment
Notice Number: 248
15/08/2019
Currency Derivatives, Interest Rate Derivatives
Inward Listed Securities NNF01
Notice Number: 247
15/08/2019
Currency Derivatives, Interest Rate Derivatives
Inward Listed Securities FRS189
Notice Number: 246
15/08/2019
Equity Market
Inward Listed Securities SPIB31
Notice Number: 245
15/08/2019
Equity Market
Inward Listed Securities SPIB30
Notice Number: 244
14/08/2019
Equity Derivatives
Put Option (XC77) – Out of Currency
Notice Number: 243
14/08/2019
Equity Derivatives
Put Option (XC76) – Out of Currency
Notice Number: 242
14/08/2019
Equity Derivatives
Put Option (XC75) – Out of Currency
Notice Number: 241
14/08/2019
Equity Derivatives
Put Option (XC74) – Out of Currency
Notice Number: 240
14/08/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 239
14/08/2019
Equity Derivatives
IDX Future (16SEP19 BMW CSH) and IDX Dividend Neutral Future - (16SEP19 BMW CSH DN)
Notice Number: 238
14/08/2019
Equity Derivatives
IDX Future (16SEP19 1997 CSH) and IDX Dividend Neutral Future - (16 SEP19 1997 CSH DN)
Notice Number: 237A
13/08/2019
Commodity Derivatives
Request for Information to assist with Determination of Location Differentials for 2019/2020 Wheat Marketing Season
Notice Number: 237B
13/08/2019
Commodity Derivatives
Request for Information to assist with Determination of Location Differentials for 2019/2020 Wheat Marketing Season
Notice Number: 236
12/08/2019
Equity Derivatives
DX Future and IDX Dividend Neutral Future - AT&T Inc
Notice Number: 235
08/08/2019
Commodity Derivatives
Afgri Operations Limited for an Additional Wheat Delivery Point - Beestekraal Silo
Notice Number: 234
07/08/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 233
07/08/2019
Currency Derivatives, Interest Rate Derivatives
Incorrect Country Code Captured for Client Accounts in the Cash Bond Market
Notice Number: 232
06/08/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - DTOP CanDo
Notice Number: 231
01/08/2019
Equity Market, Equity Derivatives
Voluntary Termination of Membership - Syfrets Securities (Pty) Ltd
Notice Number: 230
01/08/2019
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Name Change - Consilium Securities (Pty) Ltd to 28 Degrees South Captial (Pty) Ltd
Notice Number: 229
01/08/2019
Equity Market
Voluntary Termination of Membership - Legae Securities (Pty) Ltd
Notice Number: 228
31/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 227
31/07/2019
Commodity Derivatives
Introduction of Grade Two Maize Contracts (WOPT and YOPT)
Notice Number: 226
30/07/2019
Equity Derivatives
Strike Resetting Put Spread DTOP Option - XS56
Notice Number: 225
30/07/2019
Equity Market
Inward Listed Securities SPIB28
Notice Number: 224
30/07/2019
Equity Market
Inward Listed Securities ZA162
Notice Number: 223
29/07/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future - BOSS GR
Notice Number: 222
29/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Reminder Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 221
26/07/2019
All Markets
New Member - Investec Markets (Pty) Ltd
Notice Number: 220
25/07/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 219
24/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 218
24/07/2019
Equity Derivatives
Strike Resetting Put Spread Option (XS55)
Notice Number: 217
22/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Reminder Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 216
19/07/2019
Equity Derivatives
Put Spread Can Do Option (XC73) – Out of Currency
Notice Number: 215
19/07/2019
Equity Derivatives
Put Spread Option (XC72) – Out of Currency
Notice Number: 214
18/07/2019
Equity Derivatives
Out of currency (XC71)
Notice Number: 213
18/07/2019
Equity Derivatives
Treatment of Mondi Ltd (MND) and Mondi Plc (MNP) CA Conversion 24 July 2019 (Ex-Date)
Notice Number: 212
18/07/2019
Equity Derivatives
Equity Derivatives Valuations Inputs
Notice Number: 211
17/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 210
17/07/2019
Equity Derivatives
Can-Do Collar Option (XC70) - Out of Currency
Notice Number: 209
15/07/2019
Equity Derivatives
Treatment of Alexander Forbes Group Holdings (AFH) Corporate Action Special Dividend and Cash Dividend 17 July 2019 (Ex-Date)
Notice Number: 208
15/07/2019
Equity Derivatives
Treatment of MMI Holdings Limited (MMI) - Name Change 17 July 2019 (Ex-Date)
Notice Number: 207
15/07/2019
Currency Derivatives, Interest Rate Derivatives
AG Institutional Brokers (Pty) Ltd
Notice Number: 206
10/07/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future - LEG GY
Notice Number: 205
10/07/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future - VNA GY
Notice Number: 204
10/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 203
10/07/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future - SYF US
Notice Number: 202
10/07/2019
Equity Derivatives
CanDo contract (XC69) - 10 July 2019
Notice Number: 201
10/07/2019
Equity Derivatives
Anyday IDX Future XI03
Notice Number: 200
09/07/2019
Equity Derivatives
Put Option (XC68) – Out of Currency
Notice Number: 199
09/07/2019
All Markets
South African Institute of Stockbrokers (SAIS) Membership Board Examinations
Notice Number: 198
09/07/2019
Equity Derivatives
Treatment oF Tsogo Sun Holdings Ltd (TSH) Name Change 10 July 2019
Notice Number: 197
04/07/2019
Equity Derivatives
Can-Do Collar Option (XC67) - Out of Currency
Notice Number: 196
04/07/2019
Equity Derivatives
Fence (XC66) - Out of Currency
Notice Number: 195
04/07/2019
Equity Derivatives
Fence (XC65) - Out of Currency
Notice Number: 194
03/07/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 193
03/07/2019
Equity Derivatives
Reminder Implementation of Market Orders
Notice Number: 192
02/07/2019
Equity Derivatives
IDX Future (23JUL19 NDDUWI CSH) Standard
Notice Number: 191
02/07/2019
Equity Derivatives
IDX Future (23JUL19 NDDUWI CSH) Anyday
Notice Number: 190
01/07/2019
Equity Derivatives
SAPI Index Future
Notice Number: 189
28/06/2019
Commodity Derivatives
JSE Feedback Session on Prof Roberts Recommendations
Notice Number: 188
27/06/2019
Equity Market
Inward Listed Securities SXEIIP
Notice Number: 187
27/06/2019
Equity Market
Inward Listed Securities ASN340
Notice Number: 186
27/06/2019
Equity Market
Inward Listed Securities ASN339
Notice Number: 185
27/06/2019
Equity Market
Inward Listed Securities ASN338
Notice Number: 184
27/06/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 183
26/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 182A
25/06/2019
Currency Derivatives, Interest Rate Derivatives
Corporate Bonds Companion Bond Switch to R2023
Notice Number: 182B
25/06/2019
Currency Derivatives, Equity Derivatives
Corporate Bonds Companion Bond Switch to R2023
Notice Number: 181
25/06/2019
Equity Derivatives
Put Option (XC64) – Out of Currency
Notice Number: 180
24/06/2019
Equity Derivatives
Strike Resetting (Collar) Option (XS54)
Notice Number: 179
21/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
JSE Fee Guidelines on Deal Management and Trade Corrections
Notice Number: 178
20/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 177
20/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Zero Fees Guidelines
Notice Number: 176
19/06/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future for Jumia
Notice Number: 175
19/06/2019
Equity Market, Equity Derivatives
Tongaat Fulfilment of Pre-existing Obligations on a Suspended Stock
Notice Number: 174
19/06/2019
Equity Derivatives
Treatment of Tiger Brands Corporate Action Special Dividend and Cash Dividend 26 June 2019 (Ex-Date)
Notice Number: 173
18/06/2019
Equity Market, Equity Derivatives
Introduction of JSE Monthly Expiries Single Stock Futures and Options
Notice Number: 172
13/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 171
13/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Roll trade and Calender spread fuctionality
Notice Number: 170
12/06/2019
Equity Derivatives
IDX Future and IDX Dividend Neutral Future - BYND US Equity
Notice Number: 169
12/06/2019
Equity Derivatives
DX Future and IDX Dividend Neutral Future - UNH US Equity
Notice Number: 168
10/06/2019
Equity Market
Removal of Opening and Closing Auction in ZA06 (Exchange Traded Products)
Notice Number: 167
07/06/2019
Equity Derivatives
Treatment of Lonmin Plc (LON) and Sibanye Gold Limited (SGL) CA Conv 10 June 2019 (Ex-Date)
Notice Number: 166
07/06/2019
Equity Derivatives
Treatment of Tsogo Sun Holdings Ltd (TSH) Corporate Action - Unbundling 12 June 2019 (Ex-Date)
Notice Number: 165
06/06/2019
Currency Derivatives, Interest Rate Derivatives
Corporate Bonds Companion Bond Switch to R2023
Notice Number: 164
06/06/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 163
04/06/2019
Currency Derivatives, Equity Derivatives
Zero Fee Policy and Process post ITaC
Notice Number: 162
30/05/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 161
29/05/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 160
29/05/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Voluntary Termination Momentum Asset Management (Pty) Ltd
Notice Number: 159A
24/05/2019
Commodity Derivatives
Recommendations for Commodity Futures Delivery on the JSE - Prof Matt Roberts 2019
Notice Number: 159B
24/05/2019
Commodity Derivatives
Recommendations for Commodity Futures Delivery on the JSE
Notice Number: 158
24/05/2019
Equity Derivatives
Treatment of Lighthouse Capital Ltd (LTE) Corporate Action Capital Reduction 29 May 2019 (Ex-Date)
Notice Number: 157
23/05/2019
Equity Derivatives
Changes to Initial Margin Requirements for Illiquid Equity Derivatives - 20190523
Notice Number: 156
23/05/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 155
21/05/2019
Equity Derivatives
Collar Option (XC63) - Out of Currency
Notice Number: 154
21/05/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 153
21/05/2019
Commodity Derivatives
Update on Prof Matt Roberts Report
Notice Number: 152
20/05/2019
Commodity Derivatives
Approval of GWK additional maize delivery points
Notice Number: 151
16/05/2019
Equity Derivatives
Can-Do Put Option (XC62) - Out of Currency
Notice Number: 150
16/05/2019
Equity Derivatives
Can-Do Call Option (XC61) - Out of Currency
Notice Number: 149
16/05/2019
Equity Market
Inward Listed Securities SPXIIG
Notice Number: 148
16/05/2019
Equity Market
Inward Listed Securities ASN332
Notice Number: 147
16/05/2019
Equity Market
Inward Listed Securities ASN331
Notice Number: 146
16/05/2019
Equity Market
Inward Listed Securities ASN330
Notice Number: 145
16/05/2019
Equity Market
Inward Listed Securities ASN321
Notice Number: 144
16/05/2019
Equity Market
Inward Listed Securities ASN320
Notice Number: 143
16/05/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 142
07/05/2019
Equity Market
Notification CSEW40 - ZAE000217139
Notice Number: 141
06/05/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Voluntary Termination Membership - Vorlon (Pty) Ltd
Notice Number: 140
03/05/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 139
03/05/2019
Equity Derivatives
IDX Future (14Jun19 RMV CSH) and - IDX Dividend Neutral Future (14Jun19 RMV CSH DN )
Notice Number: 138
02/05/2019
Equity Derivatives
Can-Do Fence Option (XC55) - Out of Currency
Notice Number: 137
30/04/2019
Equity Derivatives
Can-Do Put Option (XC59) -Out of Currency
Notice Number: 136
30/04/2019
Equity Derivatives
Apollo LLC (APOG) - IDX (004)
Notice Number: 135
26/04/2019
All Markets
ITaC Go Live Announcement 26 April 2019
Notice Number: 134
26/04/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - XC47 Contract
Notice Number: 133A
25/04/2019
Commodity Derivatives
Final Maize Location Differentials for 2019-20 Marketing Season
Notice Number: 133B
25/04/2019
Commodity Derivatives
Final Maize Location Differentials for 2019-20 Marketing Season
Notice Number: 132
25/04/2019
Commodity Derivatives
Application by GWK for additional maize delivery points
Notice Number: 131A
24/04/2019
Currency Derivatives, Interest Rate Derivatives
Approved Amendments to the IRC Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 131B
24/04/2019
Currency Derivatives, Interest Rate Derivatives
Board Notice 70 of 2019 JSE IRC and Derivatives Rules Amendments 23 April 2019
Notice Number: 131C
24/04/2019
Currency Derivatives, Interest Rate Derivatives
Approved amendments to the IRC Rules and Directives ITaC 1(b) and (c) 24 April 2019
Notice Number: 130A
24/04/2019
Equity Derivatives, Commodity Derivatives
Approved Amendments to the Derivatives Rules and Directives - ITaC 1(b) and 1(c)
Notice Number: 130B
24/04/2019
Equity Derivatives, Commodity Derivatives
Board Notice 70 of 2019 JSE IRC and Derivatives Rules Amendments 23 April 2019
Notice Number: 130C
24/04/2019
Equity Derivatives, Commodity Derivatives
Approved amendments to the Derivatives rules and directives - ITaC 1(b) and (c) 24 April 2019
Notice Number: 129
24/04/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 128
23/04/2019
Equity Derivatives
New Listings due to Tiger Brands (TBS) Unbundling Corporate Action 24 April 2019 (Ex-Date)
Notice Number: 127
23/04/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - EOH Contract
Notice Number: 126
23/04/2019
Equity Derivatives
Can Do Put Up and Out Call (XS52)
Notice Number: 125
23/04/2019
Equity Derivatives
Treatment of Lonza Group AG (LNNG) Corporate Action – Capital Reduction 24 April 2019 (Ex-Date)
Notice Number: 124
18/04/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 123
18/04/2019
Equity Derivatives
Put Spread Option (XS53)
Notice Number: 122
17/04/2019
Currency Derivatives, Interest Rate Derivatives
ITaC Go-Live Nutron Contingency Plan to Facilitate Bond Market Settlements
Notice Number: 121
16/04/2019
Equity Derivatives
Treatment of Glencore PLC (GLN) Corporate Action - Capital Reduction 24 April 2019 (Ex-Date)
Notice Number: 120
15/04/2019
Equity Derivatives
Treatment of Tiger Brands Ltd (TBS) Corporate Action - Unbundling 24 April 2019 (Ex-Date)
Notice Number: 119
12/04/2019
Commodity Derivatives
Sorghum Standard Storage Rate for 2019-20 Marketing Season Including Registered Delivery Points
Notice Number: 118
12/04/2019
Commodity Derivatives
Update to Beef Contract May 2019 Last Trading Date due to Election Day
Notice Number: 117A
12/04/2019
Commodity Derivatives
Proposed Maize Location Differentials for 2019-20 Season
Notice Number: 116
11/04/2019
Equity Derivatives
Can-Do Put Option (XC58) – Out of Currency
Notice Number: 115
11/04/2019
Equity Derivatives
Can-Do Call Option (XC57) - Out of Currency
Notice Number: 114
11/04/2019
Equity Derivatives
Can-Do Put Spread Option (XC56) - Out of Currency
Notice Number: 113
11/04/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 112
10/04/2019
Equity Derivatives
Treatment of Newmont Mining Corp (NEMG) Corporate Action – Special Dividend - 16 April 2019 (Ex-Date)
Notice Number: 111
09/04/2019
Equity Derivatives
Voluntary Termination Membership - Pan African Asset Mangement (Pty) Ltd
Notice Number: 110
04/04/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 109A
04/04/2019
Currency Derivatives, Interest Rate Derivatives
Trading Periods and Times - Effective Date for Amendments to the JSE Interest Rate and Currency Derivative Market Directive CA
Notice Number: 109B
04/04/2019
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Directives (Annexure A)
Notice Number: 108
03/04/2019
Equity Derivatives
New IDX Future (SGRG) and IDX Dividend Future SGRD
Notice Number: 107
03/04/2019
Equity Derivatives
Put Spread Option (XS51)
Notice Number: 106
02/04/2019
Equity Derivatives
Can-Do Put Option (XC54) - Out Of Currency
Notice Number: 105
02/04/2019
Commodity Derivatives
Correction to Initial Margin Requirements
Notice Number: 104A
29/03/2019
All Markets
ITaC Go-Live Update 29 March 2019
Notice Number: 104B
29/03/2019
All Markets
JSE Markets Closing Early 26 April 2019
Notice Number: 103
29/03/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Voluntary Termination Membership - Investec Asset Management (Pty) Ltd
Notice Number: 102
29/03/2019
Currency Derivatives, Interest Rate Derivatives
Voluntary Termination of Membership - DWT Securities (Pty) Ltd
Notice Number: 101
29/03/2019
Equity Derivatives
Changes to Initial Margin Requirements for Derivative Markets - IWDG Contract
Notice Number: 100
28/03/2019
Equity Market, Currency Derivatives, Equity Derivatives, Interest Rate Derivatives
Name Change - FNB Securities (Pty) Ltd to FNB Stockbroking and Portfolio Management (Pty) Ltd
Notice Number: 99
28/03/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 98
27/03/2019
Equity Derivatives
Quanto Future YOEQ
Notice Number: 97
27/03/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 96
25/03/2019
Commodity Derivatives
Approval of Kaap Agri Additional Maize Delivery Point
Notice Number: 95
25/03/2019
Commodity Derivatives
Approval of Afgri Additional Maize Delivery Point
Notice Number: 94
25/03/2019
Equity Derivatives
Strike Resetting Collar Option (XS36)
Notice Number: 93
22/03/2019
Currency Derivatives, Interest Rate Derivatives
JSE Eris Interest Rate Swap Future Reset – 5Y Stnd 8% Dec 2016-2021
Notice Number: 92
14/03/2019
Commodity Derivatives
Commitment of Traders (COT) Report - Impact Assessment by FSCA
Notice Number: 91
14/03/2019
Interest Rate Derivatives, All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 90
14/03/2019
Equity Derivatives
Treatment of JSE Corporate Action Special Dividend and Cash Dividend 19 March 2019 (Ex-Date)
Notice Number: 89
13/03/2019
Equity Derivatives
Can-Do Put Spread Option (XC52) – Out of Currency
Notice Number: 88
13/03/2019
Equity Derivatives
Strike Resetting Put Option (XS50)
Notice Number: 87
13/03/2019
Equity Derivatives
Strike Resetting Put Spread Option (XS49)
Notice Number: 86
13/03/2019
Equity Derivatives
Strike Resetting Put Spread Option (XS48)
Notice Number: 85
12/03/2019
Equity Derivatives
Can-Do Fence Option (XC53) - Out of Currency
Notice Number: 84
12/03/2019
Equity Derivatives
Listing Can-Do Future (ABGX - ABSA Group Ltd (ABGX)
Notice Number: 83
11/03/2019
Equity Derivatives
Can-Do Put Spread Option (XC51) - Out of Currency
Notice Number: 82
11/03/2019
Commodity Derivatives
Suggested Amendments to Wheat Grading Regulation
Notice Number: 81
08/03/2019
Equity Derivatives
New IDX Future (CCIG) and IDX Dividend Future (CCID)
Notice Number: 80A
08/03/2019
Equity Market
Sasol BEE Ordinary (SOLBE1), Change from BEE Contract Verification Process to BEE Verification Agent Process
Notice Number: 80B
08/03/2019
Equity Market
Sasol BEE Ordinary (SOLBE1), Change from BEE Contract Verification Process to BEE Verification Agent Process
Notice Number: 79
08/03/2019
Equity Derivatives
Listing Can-Do Future (BHPX) - BHP Group Plc (BHPX
Notice Number: 78
07/03/2019
All Derivative Markets
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 77
07/03/2019
Equity Derivatives
Update on Booking Fees for 2019
Notice Number: 76
07/03/2019
Equity Derivatives
New IDX Future (PPBG) and IDX Dividend Future (PPBD)
Notice Number: 75
07/03/2019
Commodity Derivatives
Revision of Bamboesspruit Location Differential Rate for 2019-20 Sunflower Marketing Season
Notice Number: 74A
07/03/2019
Currency Derivatives, Equity Derivatives
ITaC Go Live Confirmation
Notice Number: 74b
07/03/2019
All Markets
JSE Markets closing early 5 April 2019
Notice Number: 73
06/03/2019
All Markets
Update JSE Markets Calendar 2019
Notice Number: 72
06/03/2019
All Markets
Public Holiday on 8 May 2019 All Markets will be Closed
Notice Number: 71A
05/03/2019
Commodity Derivatives
Request for Info to assist with Determination of Location Differentials for Maize 2019-2020 Mark Season
Notice Number: 71B
05/03/2019
Commodity Derivatives
Request for Information to assist with Determination of Location Differentials for Maize for 2019-2020 Marketing Season
Notice Number: 70A
05/03/2019
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Directives - March 2019
Notice Number: 70B
05/03/2019
Currency Derivatives, Interest Rate Derivatives
Proposed Amendments to the JSE Interest Rate and Currency Derivatives Directives - March 2019
Notice Number: 69
04/03/2019
Equity Derivatives
Treatment of South32 Limited (S32) CA – Special Div and Cash Div – 6 March 2019 (Ex. Date)
Notice Number: 68
04/03/2019
Equity Derivatives
Can -Do Fence Otion (XC47) - Out Of Currency
Notice Number: 67
04/03/2019
Equity Market
Revised Price Monitoring Extensions During a Closing Auction Call Session And Revised Circuit Breakers On Segments: ZA03 And ZA04
Notice Number: 66
04/03/2019
Equity Derivatives
Incorrect Day's Move on EDM Traded On-Screen on Nutron Front-End
Notice Number: 65
01/03/2019
Equity Derivatives
Can-Do Put Option (XC46) – Out of Currency
Notice Number: 64
01/03/2019
Commodity Derivatives
Application by KAAP AGRI for an additional Maize Delivery Point
Notice Number: 63
01/03/2019
Commodity Derivatives
Application by AFGRI for an additional Maize Delivery Point
Notice Number: 62
28/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 61
27/02/2019
Equity Derivatives
New Listings due to Naspers Ltd -N (NPN) Unbundling Corporate Action - 27 February 2019 (Ex-Date)
Notice Number: 60
27/02/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 59A
27/02/2019
Commodity Derivatives
New Storage Rates for Soybeans for 2019-20 Marketing Season
Notice Number: 59B
27/02/2019
Commodity Derivatives
New Storage Rates for Soybeans for 2019-20 Marketing Season
Notice Number: 58A
27/02/2019
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for 2019-20 Marketing Season
Notice Number: 58B
27/02/2019
Commodity Derivatives
Final Location Differentials for Sunflower Seeds for 2019-20 Marketing Season
Notice Number: 57
27/02/2019
Equity Market, Equity Derivatives
Naspers Ltd-N (NPN Corporate Action - Ex-Date today, 27 February 2019
Notice Number: 56
26/02/2019
Equity Derivatives
Moving of Aveng Ltd (AEG) from market segment ZA02 to segment ZA03
Notice Number: 55
26/02/2019
Equity Derivatives
New IDX Future (WEIG) and IDX Dividend Future (WEID)
Notice Number: 54
25/02/2019
All Markets
JSE Consultation - All Markets Early Close on 5 April 2019
Notice Number: 53
25/02/2019
Equity Market, Currency Derivatives, Interest Rate Derivatives
EQM and IRM- Voluntary Termination of Membership - Regiments Securities (Pty) Ltd
Notice Number: 52
25/02/2019
Commodity Derivatives
Voluntary Termination of Membership - B and P Financial Services (Pty) Ltd
Notice Number: 51
22/02/2019
Equity Derivatives
Treatment of Naspers Ltd -N- (NPN) Corporate Action - Unbundling 27 February 2019 (Ex-Date)
Notice Number: 50A
21/02/2019
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for 2019-2020 Marketing Season
Notice Number: 50B
21/02/2019
Commodity Derivatives
Proposed Location Differentials for Sunflower Seeds for 2019-2020 Marketing Season
Notice Number: 49
20/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 48
20/02/2019
Equity Derivatives
Booking Fee Waiver on the Unwinding of Naspers Corporate Action Baskets Positions
Notice Number: 47A
18/02/2019
Commodity Derivatives
Proposed Amendments to the Derivatives Directives - Speculative Position Limits
Notice Number: 47B
18/02/2019
Commodity Derivatives
Proposed Amendments to the Derivatives Directives - Speculative Position Limits
Notice Number: 46
14/02/2019
Commodity Derivatives
Approval of AFGRI Additional Soya Delivery Point
Notice Number: 45
12/02/2019
Equity Derivatives
Can-Do New Gold Platinum ETF Future
Notice Number: 44
12/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 43
11/02/2019
Equity Derivatives
Can-Do Future (CPIX) – Capitec Bank Holdings Limited (CPI)
Notice Number: 42
11/02/2019
Commodity Derivatives
Revised Sorghum Contracts Specifications and Margin Requirements
Notice Number: 41
06/02/2019
Equity Derivatives
Can-Do Strike Resetting Put Spread Option (XS37)
Notice Number: 40
06/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 39
05/02/2019
Equity Derivatives
New IDX Future (IWDG) and IDX Dividend Future (IWDD)
Notice Number: 38
04/02/2019
All Markets
Atisa Securities (Pty) Ltd and Mr. Hamilton Mbele - Enforcement Action by the JSE
Notice Number: 37A
04/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
JSE Clear Initial Margin Methodology Review
Notice Number: 37B
04/02/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
JSE Clear Initial Margin Methodology Review
Notice Number: 36
01/02/2019
Commodity Derivatives
Revised Contract Size for Sorghum
Notice Number: 35
01/02/2019
Equity Derivatives
Treatment of RDI REIT PLC (RPL) Corporate Action Consolidation 6 February 2019 (Ex-Date)
Notice Number: 34
31/01/2019
Equity Derivatives
New IDX Future (ANSG) and IDX Dividend Future (ANSD)
Notice Number: 33
30/01/2019
Equity Market
JSE Trustees (Pty) Ltd
Notice Number: 32
30/01/2019
Currency Derivatives, Interest Rate Derivatives
Bond ETP MTS Failover Test Sessions and the CMF Cash Release 12.0
Notice Number: 31
29/01/2019
Equity Derivatives
Can-Do Collar Option XC45 - Out of Currency Settlement
Notice Number: 30
29/01/2019
Equity Derivatives
Can-Do XC44 - Put Option - Out of Currency
Notice Number: 29
29/01/2019
Equity Derivatives
Can-Do XC43 - Put Option - Out of Currency
Notice Number: 28
29/01/2019
Equity Derivatives
Can-Do XC42 - Call Option - Out of Currency
Notice Number: 27
28/01/2019
Equity Market
Clarification on Closing Auction Call and Closing Prices Publication
Notice Number: 26
28/01/2019
Currency Derivatives, Interest Rate Derivatives
Proposed Mark-to-Market Methodology for Liquid Government Bonds
Notice Number: 25
28/01/2019
Equity Derivatives
New IDX Future (VLOG) and IDX Dividend Future (VLOD)
Notice Number: 24
28/01/2019
Equity Derivatives
New IDX Future (MSIG) and IDX Dividend Future (MSID)
Notice Number: 23
28/01/2019
Commodity Derivatives
Revision of Speculative Position Limits for Grains
Notice Number: 22
24/01/2019
Equity Derivatives
New IDX Future (GDNG) and IDX Dividend Future (GDND)
Notice Number: 21
24/01/2019
Equity Derivatives
New IDX Future (CNCG) and IDX Dividend Future (CNCD)
Notice Number: 20
24/01/2019
Equity Derivatives
New IDX Future (ALBG) and IDX Dividend Future (ALBD)
Notice Number: 19
24/01/2019
Currency Derivatives, Interest Rate Derivatives
Alignment of the JSE Nominal Bond Curve with the Constituents of the Govi Index
Notice Number: 18
23/01/2019
Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 17
22/01/2019
Currency Derivatives, Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Ad-Hoc Market Extension Requests on JSE Derivatives Markets
Notice Number: 16
18/01/2019
Equity Derivatives
Treatment of Netcare Limited (NTC) Corporate Action - Special Dividend and Cash Dividend - 23 January 2019 (Ex-Date)
Notice Number: 15
18/01/2019
Equity Derivatives
International Derivative Future (SPEG)
Notice Number: 14
18/01/2019
Equity Derivatives
International Derivative Future (PVHG)
Notice Number: 13
17/01/2019
Equity Derivatives
Quanto Future YODQ
Notice Number: 12
16/01/2019
Commodity Derivatives
Introduction of the March 2020 White and Yellow Maize Expiries
Notice Number: 11
14/01/2019
Equity Derivatives
New Can-Do Future (XC41) - Out of Currency Settlement Option 14 January 2019
Notice Number: 10
10/01/2019
Equity Derivatives
New Can-Do Future (XC39) - Out of Currency Settlement Option 10 January 2019
Notice Number: 09
10/01/2019
Equity Derivatives
UPDATE -Treatment of BHP Group Plc (BHP) Corporate Action – Special Dividend - (Ex.Date) - 9 January 2019
Notice Number: 08
09/01/2019
Commodity Derivatives
White Maize Price Volatility
Notice Number: 07
08/01/2019
Equity Derivatives, Interest Rate Derivatives, Commodity Derivatives
Changes to Initial Margin Requirements for Derivative Markets
Notice Number: 06
08/01/2019
Equity Derivatives
New IDX Future (VIPG) and IDX Dividend Future (VIPD)
Notice Number: 05B
07/01/2019
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2019-2020 Marketing Season
Notice Number: 05B
07/01/2019
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2019-2020 Marketing Season
Notice Number: 05B
07/01/2019
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2019-2020 Marketing Season
Notice Number: 05B
07/01/2019
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2019-2020 Marketing Season
Notice Number: 05B
07/01/2019
Commodity Derivatives
Request for Information to Assist With Determination of Location Differentials (LD) for Sunflower Seeds 2019-2020 Marketing Season
Notice Number: 05A
07/01/2019
Commodity Derivatives
Request for information to assist with determination of Location Differentials (LD) for SUNS 2019-2020 marketing season
Notice Number: 04
07/01/2019
Equity Derivatives
Treatment of BHP Group Plc (BHP) CA - Special Dividend - 9 January 2019 (Ex. Date) replaced
Notice Number: 03
07/01/2019
Commodity Derivatives
Application by AFGRI for an additional soya delivery point
Notice Number: 02
03/01/2019
Equity Derivatives
New IDX Future (HRSG) and IDX Dividend Future (HRSD)
Notice Number: 01
03/01/2019
Equity Derivatives
New IDX Future (ALGG) and IDX Dividend Future (ALGD)
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