• Change in Interest Rate on Customer Segregated and House (Base) Performance Bond and Guaranty Fund USD Cash Balances - Effective December 14, 2017

      • To
      • Clearing Member Firms; Chief Financial Officers; Back Office Managers; Margin Managers
      • From
      • CME Clearing
      • #
      • 17-485
      • Notice Date
      • 13 December 2017
      • Effective Date
      • 14 December 2017
    • Change in interest rate paid on USD balances for guaranty fund, client seg and house (base) balances.

      For the full text of this advisory, please click here