CBOT Rulebook Chapters
 
Chapter 8 Clearing House and Performance Bonds
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800. CLEARING HOUSE

801. MANAGEMENT

802. PROTECTION OF CLEARING HOUSE

802A. Default by Clearing Member or Other Participating Exchanges

802B. Satisfaction of Clearing House Obligations

802C. Application of Funds to Avoid Clearing House Insolvency

802D. Restoration of Funds Following Final Determination of Losses

802E. Rights of Exchange for Recovery of Loss

802F. Guaranty Fund Contributions to be Restored

802G. Default Management Across Account Classes

803. LIMITATION OF LIABILITY

804. SUBSTITUTION

805. OPEN POSITIONS

806. OFFSET PROCESS

807. OPEN LONG POSITIONS DURING DELIVERY MONTH

808. CME CLEARPORT: PROCEDURES FOR TRADE SUBMISSION

809. TRADE DATA PROCESSING SYSTEM

809A. Trade Data

809B. Matched and Unmatched Trades

809C. Trade Register and Clearing Reports

809D. Reconciliation of Outtrades

810. FALSE ENTRIES ON CLEARING MEMORANDA

811. POSITION CHANGE DATA

812. [RESERVED]

813. SETTLEMENT PRICE

814. SETTLEMENT VARIATION

815. [RESERVED]

816. GUARANTY FUND DEPOSIT

817. LIQUIDITY FACILITY

818. CLOSE-OUT NETTING

819. LIEN ON COLLATERAL

820. PERFORMANCE BONDS

821-823. [RESERVED]

824. ADDITIONAL PERFORMANCE BOND

825-826. [RESERVED]

827. SECURITIES LENDING PROGRAM

828-829. [RESERVED]

830. CROSS-MARGINING

830A. Definitions

830B. Cross-Margining Programs

830C. [Reserved]

830D. Performance Bonds for Cross-Margining Program

830E. Close-Out of Cross-Margin Positions

831-849. [RESERVED]

850. EXCHANGE SERVICE FEES

851. TRANSACTION FEE STATUS OF CBOE EXERCISERS

852. FINES FOR ERRORS, DELAYS AND OMISSIONS

853. TRANSFERS OF TRADES AND CUSTOMER ACCOUNTS

853A. Transfers of Trades

853B. Transfers of Customer Accounts

854. CONCURRENT LONG AND SHORT POSITIONS

855. OFFSETTING MINI-SIZED AND FULL-SIZED FUTURES POSITIONS