Clearing Member Notices Archive

Notices to clearing members published by CME Clearing Europe between 2010 and 2015 can be viewed below.

 

2016   |   2010 - 2015

Notice Number Notice Title Date
15-94 CMECE Delivery Dates for January, 2016 30 December 2015
15-93 Margin Requirements 24 December 2015
15-92 Withdrawal of Freight Swap 21 December 2015
15-91 Margin Requirements 18 December 2015
15-90 CMECE ETD Holiday Advisory – Christmas and New Year’s Day Clearing Schedules 14 December 2015
15-89 OTC Holiday Advisory – Christmas and New Year’s Day Clearing Schedules 11 December 2015
15-88 Margin Requirements 11 December 2015
15-87 Margin Requirements 9 December 2015
15-86 Confirmation of changes to the Clearing Rules
Appendix 1 | Appendix 2
7 December 2015
15-85 CMECE Delivery Dates for December, 2015 25 November 2015
15-84 Margin Requirements 12 November 2015
15-83 Margin Requirements 6 November 2015
15-82 Margin Requirements 30 October 2015
15-81 Confirmed launch of European Union Allowance Futures on CME Europe 30 October 2015
15-80 Classification of Financial Instruments (CFI) Code Change 30 October 2015
15-79 CMECE Delivery Dates for November, 2015 27 October 2015
15-78 Margin Requirements 22 October 2015
15-77 Collateral Fee Changes 19 October 2015
15-76 Amendment to two Chinese Offshore Renminbi -denominated contracts 19 October 2015
15-75 CME Europe Emissions Futures 9 October 2015
15-74 Margin Requirements 8 October 2015
15-73 Emissions Delivery Procedures Appendix 8 October 2015
15-72 Margin Requirements 30 September 2015
15-71 Margin Requirements 25 September 2015
15-70 CMECE Delivery Dates for October, 2015 23 September 2015
15-69 Margin Requirements 23 September 2015
15-68 Suspension of Introduction of Ethanol Futures Contract on CME Europe Limited 23 September 2015
15-67 Margin Requirements 22 September 2015
15-66 Margin Requirements 21 September 2015
15-65 CME Europe Energy Futures 11 September 2015
15-64 Amendment to Italian Natural Gas Contracts 11 September 2015
15-63 EREP New Release SMART Click Activation 8 September 2015
15-62 Holiday Clearing Schedule - Summer Day Bank Holiday 28 August 2015
15-61 Consultation on the Clearing Rules Appendix 1 to 15-61 28 August 2015
15-60 CMECE September 2015 Delivery Dates 27 August 2015
15-59 Margin Requirements 27 August 2015
15-58 EREP SMART Click Claim Process Deadline 20 August 2015
15-57 CMECE FEC & FECPlus Applications - SMART Click Migration 11 August 2015
15-56 UK Gas Day change Appendix 1 to 15-56 | Appendix 2 to 15-56 7 August 2015
15-55 Confirmation of changes to the Clearing Rules
Appendix 1 to 15-55 | Appendix 2 to 15-55
7 August 2015
15-54 Margin Requirements 29 July 2015
15-53 August 2015 Delivery Dates CMECE 28 July 2015
15-52 Contract Name Amendments 24 July 2015
15-51 CME Group EREP - SMART Click Migration 24 July 2015
15-50 Margin Requirements 23 July 2015
15-49 Margin Requirements 17 July 2015
15-48 Margin Requirements 9 July 2015
15-47 EREP Report Id and File Package Updates 1 July 2015
15-46 CMECE July 2015 Delivery Dates 25 June 2015
15-45 Collateral Haircut 24 June 2015
15-44 Margin Requirements 23 June 2015
15-43 Margin Requirements 18 June 2015
15-42 CME Group Positions - SMART Click Migration 15 June 2015
15-41 CME Group Deliveries Plus – SMART Click Migration Reminder 15 June 2015
15-40 Margin Requirements 12 June 2015
15-39 Margin Requirements 10 June 2015
15-38 Margin Requirements 6 June 2015
15-37 OTC USD IRS Valuation Curves - Production 4 June 2015
15-36 OTC IRS USD Valuation Curves 29 May 2015
15-35 Margin Requirements 29 May 2015
15-34 Margin Requirements 28 May 2015
15-33 CME Clearing Europe “Leap Second Event” Procedures 22 May 2015
15-32 Holiday Clearing Schedule – Spring Bank Holiday 22 May 2015
15-31 Position Adjustment deadlines 29 May 2015
15-30 New Product on CME Clearing Europe – Power Futures 20 May 2015
15-29 Margin Requirements 20 May 2015
15-28 New Product on CME Clearing Europe – Fertilizer Futures 15 May 2015
15-27 New Product on CME Clearing Europe – Cocoa Options  15 May 2015
15-26 CME Group Deliveries Plus – SMART Click Migration 7 May 2015
15-25 Holiday Clearing Schedule – Early May bank holiday 27 April 2015
15-24 Freight Route contract delisting 24 April 2015
15-23 Modification to the LNG Japan/Korea Marker (Platts) Swap Contract Rule Language 16 April 2015
15-22 CMECE Collateral Haircut Update 31 March 2015
15-21 Changes to the Delivery Procedures for Cocoa Appendix 1 to 15-21 | Appendix 2 to 15-21 27 March 2015
15-20 Deal Management System (DMS) migration deadline extended 24 March 2015
15-19 Holiday Clearing Schedule – Good Friday and Easter Monday 23 March 2015
15-18 Scheduled EREP Maintenance 21 March 2015
15-17 Margin Requirements  20 March 2015
15-16 SMART Click Migration: Deal Management System (DMS) 16 March 2015
15-15 Margin Requirements 9 March 2015
15-14 IRS Margin Methodology Changes to Test Environment 3 March 2015
15-13 New Product on CME Clearing Europe 6 February 2015
15-12 Margin Requirements 5 February 2015
15-11 CME Web Browser Compatibility 5 February 2015
15-10 Margin Requirements 30 January 2015
15-09 CNSEG to CSEG Migration 29 January 2015
15-08 FIXML Delivery Transfer Message Enhancements on 26th February 2015 28 January 2015
15-07 New Products on CME Clearing Europe 27 January 2015
15-06 New Products on CME Clearing Europe 27 January 2015
15-05 Confirmation of additional changes to the Delivery Procedures for UK Natural Gas 16 January 2015
15-04 Margin Requirements 15 January 2015
15-03 SFTP Intermittent Availiability Advisory  13 January 2015
15-02 SFTP DC3 Migration Test Advisory  13 January 2015
15-01 Margin Requirements  9 January 2015
Notice Number Notice Title Date
14-78 Amendments to Products on CME Clearing Europe
23 December 2014
14-77 Delisting of Products on CME Clearing Europe
23 December 2014
14-76 Confirmation of changes to the Delivery Procedures for UK Natural Gas
Appendix 1 to 14-76 | Appendix 2 to 14-76
23 December 2014
14-75 CME CE Nat Gas Advisory Physical
18 December 2014
14-74 CME CE Nat Gas Advisory Financial
18 December 2014
14-73 CME Clearing Europe Holiday Advisory Christmas 2014 and New Years Day
17 December 2014
14-72 Delisting of Product on CME Clearing Europe for contract months beyond January 2015
4 December 2014
14-71 Holiday Clearing Schedule – Thursday 27th October 2014
27 November 2014
14-70 Confirmation of changes to the Clearing Rules – Canadian Trade Repository
Appendix 1 to 14-70 | Appendix 2 to 14-70
31 October 2014
14-69 OTC Holiday Advisory – Veterans/Remembrance Day
23 October 2014
14-68 Amendments to the Contract Module for FX Contracts
Appendix 1 to 14-68 | Appendix 2 to 14-68
23 October 2014
14-67 Canadian Trade Reporting Mandate Information
21 October 2014
14-66 IRS Release 14 Deployment Delayed
17 October 2014
14-65 Consultation on the Clearing Rules and Procedures: Precious Metals
Appendix 1 to 14-65 | Appendix 2 to 14-65
Appendix 3 to 14-65 | Appendix 4 to 14-65
16 October 2014
14-64 Suspension of US Dollar/Ukrainian Hryvnia FX Future
9 October 2014
14-63 PC-SPAN Version 4.5 Build 575B Upgrade
7 October 2014
14-62 13th October Holiday Advisory
7 October 2014
14-61 Custody Fee Change
7 October 2014
14-60 Consultation on the Clearing Rules – Amendments to the Fully Segregated Account Rules
Appendix 1 to 14-60 | Appendix 2 to 14-60
26 September 2014
14-59 Non-material Changes to Two CMECE Contracts
25 September 2014
14-58 Consultation on the Clearing Procedures – Cocoa Delivery Procedures
Appendix 1 to 14-58
5 September 2014
14-57 USD Bank holiday clearing schedule 1st September 2014 28 August 2014
14-56 25th August Holiday Advisory 14 August 2014
14-55 Consultation on the Clearing Rules and Procedures
Appendix 1 to 14-55 | Appendix 2 to 14-55
Appendix 3 to 14-55 | Appendix 4 to 14-55
13 August 2014
14-54 Reminder about Russian and Ukraine Sanctions
8 August 2014
14-53 Margin Requirements
1 August 2014
14-52 CLEARING RULES AND PROCEDURES – UPDATE TO NOTICE 14-41
Appendix 1 to 14-52 | Appendix 2 to 14-52
1 August 2014
14-51 Brent Crude Futures and Options Listing cycle Amendments
24 July 2014
14-50 Margin Requirements
18 July 2014
14-49 EMIR Collateral and Valuation Reporting Mandate Information
18 July 2014
14-48 CLEARING RULES AND PROCEDURES – UPDATE TO NOTICE 14-41
11 July 2014
14-47 CME Europe Exchange 4th July processing
27 June 2014
14-46 OTC IRS 4th July processing
27 June 2014
14-45 OTC Commodities 4th July processing
27 June 2014
14-44 CMECE Eligible Collateral Update
27 June 2014
14-43 Consultation on the Clearing Rules and Procedures: OTC FX
Appendix 1 to 14-43 | Appendix 2 to 14-43
Appendix 3 to 14-43 | Appendix 4 to 14-43
26 June 2014
14-42 CGM Submissions for CME Clearing Europe
26 June 2014
14-41 Changes to the Clearing Rules and Procedures
Appendix 1 to 14-41 | Appendix 2 to 14-41
Appendix 3 to 14-41 | Appendix 4 to 14-41
25 June 2014
14-40 FECPlus Migration Phase 2: Electronic Trade Management (ETM)
6 June 2014
14-39 CME Europe Exchange Clearing Schedule
26 May 2014
14-38 OTC Commodities Holiday Clearing Schedule
26 May 2014
14-37 OTC IRS Holiday Advisory
26 May 2014
14-36 Confirmation of changes to the Clearing Rules and Clearing procedures to come into effect 9 June 2014
Appendix 1 to 14-36 | Appendix 2 to 14-36
Appendix 3 to 14-36 | Appendix 4 to 14-36
22 May 2014
14-35 OTC IRS Production release
19 May 2014
14-34 Delisting of Products on CME Clearing Europe
16 May 2014
14-33 CME Europe Exchange Holiday processing for Monday 5th May 2014
2 May 2014
14-32 OTC Commodities Holiday processing for Monday 5th May 2014
2 May 2014
14-31 OTC IRS Holiday processing for Monday 5th May 2014
2 May 2014
14-30 Margin Requirements
2 May 2014
14-29 COMMENCEMENT OF TRADING ON CME EUROPE LIMITED (CMEEL)
26 April 2014
14-28 Margin Requirements
25 April 2014
14-27 Margin Requirements
25 April 2014
14-26 Confirmation of changes to the Clearing Rules and Procedures
Appendix 1 | Appendix 2
25 April 2014
14-25 Consultation on changes to the Clearing Rules: Non-Default Loss Allocation
17 April 2014
14-24 Confirmation of changes to the Clearing Rules and Clearing procedures to come into effect 27 April 2014
Appendix 1 | Appendix 2 | Appendix 3 | Appendix 4
14 April 2014
14-23 OTC Commodities Holiday processing for Good Friday and Easter Monday 2014
14 April 2014
14-22 OTC IRS Holiday processing for Good Friday and Easter Monday 2014
8 April 2014
14-21 Margin Requirements
1 April 2014
14-20 CME Europe FX and Commodities Futures Launch
27 March 2014
14-19 A reminder about targeted Russian and Ukraine Sanctions
25 March 2014
14-18 Margin Requirements
18 March 2014
14-17 Margin Requirements
11 March 2014
14-16 Margin Requirements
7 March 2014
14-15 New Product on CME Clearing Europe
7 March 2014
14-14 Margin Requirements
28 February 2014
14-13 New IRS Products launching for CME Clearing Europe
27 February 2014
14-12 New Product on CME Clearing Europe
25 February 2014
14-11 TC IRS Holiday processing for Monday 17th February 2014
12 February 2014
14-10 Margin Requirements
11 February 2014
14-09 OTC Commodities Holiday processing for Monday 17th February 2014
10 February 2014
14-08 Margin Requirements
31 January 2014
14-06/07 Confirmation of the Trade Reporting Rules
Appendix 1 | Appendix 2
29 January 2014
14-05 Margin Requirements
28 January 2014
14-04 Amendment to Reporting UTI FIXML Messaging
15 January 2014
14-03 CME Clearing Europe Delegated Reporting Service
15 January 2014
14-02 OTC Commodities Holiday processing for Monday 20th January 2014
13 January 2014
14-01 OTC IRS Holiday processing for Monday 20th January 2014
13 January 2014
Notice Number Notice Title Date
13-92 Amendments for a series of Financial Gas Swaps on CME Clearing Europe
30 December 2013
13-91 OTC IRS Holiday processing for Christmas and New Year
20 December 2013
13-90 Amendments for a series of Gasoil related swaps on CMECE
18 December 2013
13-89 Cessation of trading for listed contract months for 25-day Brent Swaps and Options
9 December 2013
13-88 OTC Commodities Holiday processing for Christmas and New Years Day
4 December 2013
13-87 Margin Requirements
25 November 2013
13-86 OTC Commodities Holiday processing for Thursday 28th November 2013
18 November 2013
13-85 OTC IRS Holiday processing for Thursday 28th November 2013
18 November 2013
13-84 Margin Requirements
12 November 2013
13-83 Consultation on changes to the Rulebook
Appendix 1 to 13-83 | Appendix 2 to 13-83
11 November 2013
13-82 OTC Commodities Holiday processing for Monday 11th November 2013 8 November 2013
13-81 OTC IRS Holiday processing for Monday 11th November 2013 6 November 2013
13-80 Brent related contract amendments on CME Clearing Europe 4 November 2013
13-79 New Products on CME Clearing Europe 4 November 2013
13-78 Margin Requirements 16 October 2013
13-77 CME Clearing Europe Contract Name Change and Rule Amendments 14 October 2013
13-76 OTC IRS Holiday processing for Monday 14th October 2013 4 October 2013
13-75 Product Amendment on CME Clearing Europe 1 October 2013
13-74 CME Clearing Europe clearing FX contracts for CME Europe 27 September 2013
13-73 CME Europe FX Futures Launch
Appendix 1 to 13-73
18 September 2013
13-72 Confirmation of FX Rules
Appendix 1 to 13-72 | Appendix 2 to 13-72
Appendix 3 to 13-72 | Appendix 4 to 13-72
16 September 2013
13-71 Margin Requirements 13 September 2013
13-70 Delisting of products on CME Clearing Europe 5 September 2013
13-69 Rule Changes to CMECE Ethanol Contracts 5 September 2013
13-68 OTC IRS Holiday for September 2nd 28 August 2013
13-67 Holiday Clearing Schedule for September 2nd 21 August 2013
13-66 August 26th Holiday Advisory Schedule 15 August 2013
13-65 Margin Requirements 9 August 2013
13-64 Margin Requirements 9 August 2013
13-63 New contracts on CME Clearing Europe 8 August 2013
13-62 Margin Requirements 3 August 2013
13-61 Margin Requirements 30 July 2013
13-60 Margin Requirements 23 July 2013
13-59 Margin Requirements 16 July 2013
13-58 Consultation on changes to the Rulebook and Procedure
Appendix 1 to 13-58 | Appendix 2 to 13-58
Appendix 3 to 13-58 | Appendix 4 to 13-58
16 July 2013
13-57 Consultation on changes to the Rulebook and Procedures
Appendix 1 to 13-57 | Appendix 2 to 13-57
Appendix 3 to 13-57 | Appendix 4 to 13-57
10 July 2013
13-56 Margin Requirements 4 July 2013
13-55 Exchange Position Reporting requirement for CME Europe
Appendix 1 to 13-55
4 July 2013
13-53 CME Clearing Europe IRS processing on USD holiday
28 June 2013
13-52 Clearing for 4th July
28 June 2013
13-49 New contracts on CME Clearing Europe
24 June 2013
13-48 Margin Requirements
14 June 2013
13-47 Amendments to Final Settlement Payment Dates
13 June 2013
13-46 Margin Requirements
12 June 2013
13-45 New contracts on CME Clearing Europe
10 June 2013
13-44 Margin Requirements
5 June 2013
13-43 Consultation on changes to the Rulebook and Procedures
Appendix 1 to 13-43 | Appendix 2 to 13-43
Appendix 3 to 13-43 | Appendix 4 to 13-43
28 May 2013
13-42 May 27th Holiday Advisory Schedule 21 May 2013
13-41 Margin Requirements 17 May 2013
13-40 Margin Requirements 14 May 2013
13-39 IRS processing for Monday 27th May 2013 - UK and US Holiday 10 May 2013
13-38 Margin Requirements 9 May 2013
13-37 CMECE Holiday Clearing Schedule for May 6th 2013 2 May 2013
13-36 Margin Requirements 1 May 2013
13-35 CME Europe clearing through CMECE – CME Europe launch products
Appendix 1 to 13-35
30 April 2013
13-34 Confirmation of changes to the Clearing Procedures
Appendix 1 to 13-34 | Appendix 2 to 13-34
Appendix 3 to 13-34 | Appendix 4 to 13-34
29 April 2013
13-33 Margin Requirements 25 April 2013
13-32 Consultation on changes to the Rulebook and Procedures
Appendix 1 to 13-32 | Appendix 2 to 13-32
Appendix 3 to 13-32 | Appendix 4 to 13-32
15 April 2013
13-31 Margin Requirements 10 April 2013
13-30 IRS processing over Easter 27 March 2013
13-29 Margin Requirements 25 March 2013
13-28 Confirmation of changes to the Clearing Rules
Appendix 1 to 13-28 | Appendix 2 to 13-28
20 March 2013
13-27 New contracts on CME Clearing Europe 20 March 2013
13-26 Margin Requirements 18 March 2013
13-25 Margin Requirements 14 March 2013
13-24 Margin Requirements 8 March 2013
13-23 CMECE Holiday Clearing Schedule for Good Friday and Easter Monday 8 March 2013
13-22 New Contract on CME Clearing Europe 5 March 2013
13-21 Confirmation of changes to the Clearing Procedures
Appendix 1 to 13-21 | Appendix 2 to 13-21
5 March 2013
13-20 New Dutch Natural Gas contract on CME Clearing Europe 5 March 2013
13-19 New UK Natural Gas contract on CME Clearing Europe 5 March 2013
13-18 UPDATED: FECPlus FIXML 5.0 Deployment Schedule on CME Clearing Europe 21 February 2013
13-17 Margin Requirements 19 February 2013
13-16 Margin Requirements 12 February 2013
13-15 European Gasoil (ICE) Mini Penultimate Swap: Additional Contract Month 8 February 2013
13-14 Confirmation of CMECE Rules to Include IRS
Appendix 1 to 13-14 | Appendix 2 to 13-14
Appendix 3 to 13-14 | Appendix 4 to 13-14
8 February 2013
13-13 Launch of Gas Forwards 5 February 2013
13-12 Margin Requirements 17 January 2013
13-11 UPDATED: FECPlus FIXML 5.0 Deployment Schedule on CME Clearing Europe 21 January 2013
13-10 Consultation on the Clearing Rules and Clearing Procedures
Appendix 1 to 13-10 | Appendix 2 to 13-10
Appendix 3 to 13-10 | Appendix 4 to 13-10
17 January 2013
13-09 Eligible Collateral 11 January 2013
13-08 Margin Requirements 11 January 2013
13-07 Consultation on the Clearing Rules
Appendix 1 to 13-07 | Appendix 2 to 13-07
11 January 2013
13-06 New Contracts on CME Clearing Europe 10 January 2013
13-05 Crude Oil Contracts Tick Size Changes 10 January 2013
13-04 European Refined Oil Contracts Tick Size Changes 10 January 2013
13-03 Changes to European Gasoil Contracts 4 January 2013
13-02 Margin Requirements 4 January 2013
13-01 Iron Ore Calendar Amendment 2 January 2013
Notice Number Notice Title Date
12-92 Margin Requirements 21 December 2012
12-91 Freight Route TD3 Contract Changes 21 December 2012
12-90 New York Heating Oil Contracts 21 December 2012
12-89 Consultation on the Clearing Procedures
Appedix 1 to 12-89
19 December 2012
12-88 Margin Requirements 12 December 2012
12-87 Clarification of CME Clearing Europe Trade and Clearing schedule for Christmas and New Year 12 December 2012
12-86 Margin Requirements 7 December 2012
12-85 Delisting of Products on CME Clearing Europe 6 December 2012
12-84 New Products on CME Clearing Europe 6 December 2012
12-83 Amendments to Final Settlement Payment Dates 30 November 2012
12-82 Margin Requirements 21 November 2012
12-81 Consultation on the Clearing Procedures
Appedix 1 to 12-81
20 November 2012
12-80 Margin Requirements 13 November 2012
12-79 Margin Requirements 01 November 2012
12-78 Change to Listing cycles for Brent CFD Products 29 October 2012
12-77 Change to Fuel Oil Spread Contract 29 October 2012
12-76 Margin Requirements 23 October 2012
12-75 Margin Requirements 18 October 2012
12-74 Margin Requirements 12 October 2012
12-73 Margin Requirements 12 October 2012
12-72 New Products on CME Clearing Europe 10 October 2012
12-71 New York Heating Oil Contracts 10 October 2012
12-70 Margin Requirements 25 September 2012
12-69 UPDATED: FECPlus FIXML 5.0 Deployment Schedule on CME Clearing Europe 24 September 2012
12-68 Margin Requirements 24 September 2012
12-67 Margin Requirements 3 September 2012
12-66 New Product on CME Clearing Europe 3 September 2012
12-65 Margin Requirements 24 August 2012
12-64 Margin Requirements 24 August 2012
12-63 New Product on CME Clearing Europe 21 August 2012
12-62 Confirmation of changes to CME Clearing Europe Rules
Appendix 1 to N12-62 | Appendix 2 to N12-62
Appendix 3 to N12-62 | Appendix 4 to N12-62
17 August 2012
12-61 Initial Margin Collateral Update - Physical Gold 17 August 2012
12-60 Margin Requirements 10 August 2012
12-59 Margin Requirements 7 August 2012
12-58 Consultation on the Clearing Rules and Clearing Procedures
Appendix 1 to N12-58 | Appendix 2 to N12-58
6 August 2012
12-57 Consultation on the Clearing Rules and Clearing Procedures
Appendix 1 to N12-57 | Appendix 2 to N12-57
1 August 2012
12-56 Delisting of Products on CME Clearing Europe 19 July 2012
12-55 New Products on CME Clearing Europe 13 July 2012
12-54 Margin Requirements 6 July 2012
12-53 Margin Requirements 29 June 2012
12-52 New Products on CME Clearing Europe 25 June 2012
12-51 Margin Requirements 27 June 2012
12-50 Margin Requirements 19 June 2012
12-49 Margin Requirements 8 June 2012
12-48 FEC Plus Rollout Schedule Update 7 June 2012
12/47 Consultation on the Clearing Rules and Clearing Procedures
Appendix 1 to N12/47 | Appendix 2 to N12/47
7 June 2012
12-46 Margin Changes 28 May 2012
12-45 Margin Changes 21 May 2012
12-44 Gold margin change Advisory 18 May 2012
12-43 New contract on CME Clearing Europe – London Gold Forward (cash margin) 18 May 2012
12-42 Contract Tick Size Changes 11 May 2012
12-41 FECPlus Rollout Schedule 11 May 2012
12-40 Margin Requirements 10 May 2012
12-39 Margin Requirements 4 May 2012
12-38 Petroleum Swaps and Options Tick Size Changes 2 May 2012
12-37 Margin Requirements 30 April 2012
12-36 Margin Requirements 23 April 2012
12-35 Rule Change: Fuel Oil Contracts Tick Size Changes 20 April 2012
12-34 Margin Requirements 16 April 2012
12-33 Margin Requirements 13 April 2012
12-32 Margin Requirements 13 April 2012
12-31 Introduction of Clearing Member Fees and Modification of Broker Incentive Scheme 13 April 2012
12-30 New Products on CME Clearing Europe 5 April 2012
12-29 New Products on CME Clearing Europe 5 April 2012
12-28 CME Clearing Europe Calendar 3 April 2012
12-27 Margin Requirements 2 April 2012
12-26 Enterprise Reporting Portal (EREP) Enhancement 23 March 2012
12-25 Margin Requirements 23 March 2012
12-24 Margin Requirements 19 March 2012
12-23 Information for certain CMECE Clearing Members who may be subject to the CFTC Large Swaps Trader Reporting requirements for physical commodities 15 March 2012
12-22 Margin Requirements 9 March 2012
12-21 Margin Requirements 5 March 2012
12-20 Margin Requirements 1 March 2012
12-20 Margin Requirements 1 March 2012
12-19 Margin Requirements 27 February 2012
12-18 New Products on CME Clearing Europe 27 February 2012
12-17 New Products on CME Clearing Europe 27 February 2012
12-16 Margin Requirements 24 February 2012
12-15 New Products on CME Clearing Europe 20 February 2012
12-14 Margin Requirements 17 February 2012
12-13 New Products on CME Clearing Europe 17 February 2012
12-12 Margin Requirements 10 February 2012
12-11 Changes to CMECE Platts Dubai Contracts 9 February 2012
12-10 Changes to Listing Cycle for E1C Contract 9 February 2012
12-09 Margin Requirements 7 February 2012
12-08 Margin Requirements 27 January 2012
12-07 Margin Requirements 27 January 2012
12-06 New Products on CME Clearing Europe 27 January 2012
12-05 Margin Requirements 20 January 2012
12-04 New Contracts on CME Clearing Europe 18 January 2012
12-03 Margin Requirements 13 January 2012
12-02 Changes to CMECE New York Heating Oil Contracts 12 January 2012
12-01 Changes to CMECE Singapore Gasoil Contracts 12 January 2012

2011

Notice Number Notice Title Date
11-64 Tanker Freight Products: 2012 Flat Rate Adjustments 23 December 2011
11-63 Margin Requirements 16 December 2011
11-62 Change to Listing Cycle for EER Contract 9 December 2011
11-60 Margin Requirements 9 December 2011
11-59 Clarification of CME Clearing Europe Trade and Clearing schedule for Christmas and New Year 9 December 2011
CFTC#11-467 CFTC#11-467 Submission to CFTC: Notification Regarding Changes to Product Listing Rules 5 December 2011
11-58 Margin Requirements 2 December 2011
11-57 Margin Requirements 18 November 2011
11-56 Margin Requirements 18 November 2011
11/55 Consultation on the Clearing Rules
Appendix 1 to N11/55
14 November 2011
11-54 Update re London Gold Forwards 11 November 2011
11-53 Margin Requirements 10 November 2011
11-52 New Products on CME Clearing Europe 7 November 2011
CFTC#11-406 CFTC#11-406 Submission to CFTC: notification of the addition of three (3) financially settled swap contracts based on the European refined oil products market 4 November 2011
11-51 Margin Requirements 3 November 2011
11/50 N11-50, Renewal of Broker Incentive Scheme, 2 November 2011 2 November 2011
11/49 N11-49, Additional information regarding the default of MF Global UK Limited, 1 November 2011 1 November 2011
11/48 N11-48, Declaration of Default: MF Global UK Limited, 31 October 2011 31 October 2011
CFTC#11-399R CFTC#11-399R, Revision: Submission to CFTC: notification of a change to the CMECE clearing rules and the CMECE clearing procedures (Financial Statements) 28 October 2011
11-47 Margin Requirements 28 October 2011
11/46 Confirmation of the Clearing Rules and Clearing Procedures
Appendix 1 to N11/46 | Appendix 2 to N11/46
28 October 2011
11-45 New Products on CME Clearing Europe 28 October 2011
CFTC#11-399 CFTC#11-399, Submission to CFTC: notification of a change to the CMECE clearing rules and the CMECE clearing procedures (Financial Statements) 27 October 2011
CFTC#11-398 CFTC#11-398, Submission to CFTC: notification of minor changes to the CMECE clearing rules and CMECE clearing procedures 27 October 2011
CFTC#11-397 CFTC#11-397, Submission to CFTC: notification of the addition of new rules to the CMECE clearing rulebook (Disciplinary Panel) 27 October 2011
CFTC#11-395 CFTC#11-395, Submission to CFTC: notification of the addition of a London Gold Forward contract for clearing through CME ClearPort and the addition of associated new rules to the CMECE clearing rulebook and CMECE clearing procedures 27 October 2011
CFTC#11-394 CFTC#11-394, Submission to CFTC: notification of the addition of a new rule to the CMECE Clearing Rulebook (Sovereign Immunity) 27 October 2011
11-44 Margin Requirements 26 October 2011
11-43 Margin Requirements 21 October 2011
11-42 Margin Requirements 21 October 2011
11-41 New Products on CME Clearing Europe 19 October 2011
CFTC#11-384 Submission to CFTC: Addition of Four (4) Propane and (4) Light‐End Cleared Only Swap Contracts 18 October 2011
11/40 Consultation on the Clearing Rules and Clearing Procedures
Appendix 1 to N11/40 | Appendix 2 to N11/40
11 October 2011
11-39 Margin Requirements 7 October 2011
11-38 Waiver of Initial Fees 29 September 2011
11-36 Margin Requirements 23 September 2011
11-35 Margin Requirements 16 September 2011
11-34 Margin Requirements 9 September 2011
11-33 Document Direct Decommission 12th September 2011 6 September 2011
11-32 New Products on CME Clearing Europe 26 August 2011
11-31 Margin Requirements 26 August 2011
11-30 Margin Requirements 19 August 2011
11-29 Margin Requirements 12 August 2011
11-28 Change to the Clearing Procedures 8 August 2011
11-27 New address and telephone numbers for CME Clearing Europe 8 August 2011
11-26 Margin Requirements 4 August 2011
11-25 Margin Requirements 28 July 2011
11-24 Collateral Haircut 26 July 2011
11-23 Margin Requirements 17 July 2011
11-22 Margin Requirements 15 July 2011
11-21 New Products on CME Clearing Europe 13 July 2011
11-20 Margin Requirements 8 July 2011
11-19 Margin Requirements 1 July 2011
11-18 Margin Requirements 24 June 2011
11-17 Enterprise Reporting Portal Cutover extension 23 June 2011
11-16 Margin Requirements 17 June 2011
11-15 Margin Requirements 10 June 2011
11-14 Margin Requirements 9 June 2011
11-13 New Products on CME Clearing Europe 8 June 2011
11-12 Margin Requirements 7 June 2011
11-11 Margin Requirements 3 June 2011
11-10 Enterprise Reporting Portal Advisory 2 June 2011
11-09 Margin Requirements 27 May 2011
11-08 Margin Requirements 19 May 2011
11-07 Margin Requirements 12 May 2011
11-06 Margin Requirements 11 May 2011
11-03 Rule Change: WTI (NYMEX) Daily Option (Contract ECD) 3 May 2011
11-04 Rule Change: Singapore Gasoil (Platts) vs. European Gasoil (ICE) Spread Calendar Swap (Contract EGA) 3 May 2011
11-05 Broker Incentive Scheme 3 May 2011
11/02 Broker Incentive Scheme 28 March 2011
11/01 Waiver of Initial Fees 28 March 2011
01/11 Confirmation of the Clearing Rules and Clearing Procedures 16 March 2011

2010

Notice Number Notice Title Date
01/10 Consultation on the Clearing Rules and Clearing Procedures 16 December 2010