• Daily Submission of Large Trader, Ownership/Control Reports, and Open Interest Data

      • To
      • Members, Member Firms and Market Users
      • From
      • Market Regulation Department
      • #
      • CME Group RA1606-5
      • Notice Date
      • 25 April 2016
      • Effective Date
      • 29 September 2016
    • This Advisory Notice supersedes Market Regulation Advisory Notice RA1502-5RRR from September 29, 2015, and is being reissued to amend the effective and compliance dates for revisions to Rule 561. (“Submission of Large Trader Positions and Volume Threshold Accounts”) as a result of the Commodity Futures Trading Commission’s (“CFTC”) Division of Market Oversight No-Action Letter No. 16-32 issued on April 8, 2016.  

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