• 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 RA1606-5R
      • Notice Date
      • 10 January 2017
      • Effective Date
      • 01 May 2017
    • This Revised Advisory Notice supersedes Market Regulation Advisory Notice RA1605-5 from April 25, 2016, and is being issued to amend the compliance date with respect to requiring an account with reportable positions in a particular contract to report all positions, regardless of size, in any contract month and in any contract that aggregates with that contract.  While the language in Rule 561 became effective on September 29, 2016, the compliance date is being extended from January 17, 2017, to May 1, 2017.

      Click HERE for full advisory.