
Chicago Mercantile Exchange
Clearing House Advisory Notices
This page contains links to advisory notices published in 1999
by the Clearing House
- 99-118 December 30: PB rate
changes for all contracts effective at the close of business Thursday,
January 6, 2000
- 99-117 December 28: Allocation of Currency
Order to Pay for December 1999
- 99-116 December 29: Cash Settled Future
Expirations for January 2000
- 99-115 December 27: Live Cattle -December
31
- 99-114 December 28: PB rate
changes for the NASDAQ 100 effective at the close of business Tuesday,
December 28,1999
- 99-113 December 22: Performance
Bond rate changes for the NASDAQ 100 effective at the close Wednesday
December 22,1999
- 99-112 December 22: for Banking and Asset
Management Contingencies
- 99-111 December 22: for the Clearing House
New Year holiday Schedule
- 99-110 December 17: for the Clearing House
Christmas Holiday Schedule
- 99-109 December 9: for the Mandatory Out-
Trade Session for Expiring Canadian Dollar Futures Contract
- 99-108 December 9: the Mandatory Out-Trade
Session for Expiring Currency Futures Contracts
- 99-107 December 6: for the New Pass-Through
Letter of Credit Format
- 99-106 December 3: for the December 1999
Cash Settled future expirations
- 99-105 November 29: for CME Clearing Member
firm contact listing
- 99-104 December 02: Performance
Bond requirement changes for all contracts effective at the close of
business Thursday,
December 9, 1999
- 99-103 November 29: for Live Cattle Changes
- 99-102 December 1: for the Inventory of
Deliverable Positions
- 99-101 November 29: for the Citibank Order
to-Pay
- 99-100 November 23: for the Clearing House
Thanksgiving holiday schedule
- 99-99 November 10: for the November 1999
Lumber & Oriented Strand Board Futures Contract
- 99-98 November 08: for the Clearing House
Veterans Day holiday schedule
- 99-97 November 01: for November 1999 Cash
Settled future expirations
- 99-96 November 03: for the CME approved
warehouses and Plants
- 99-95 October 27: Performance
Bond requirement changes for all contracts effective a the close of business
Thursday,
November 4,1999
- 99-94 October 26:
Performance Bond requirement changes for the Lumber contract effective at
the close of business Thursday, October 28,1999
- 99-93 October 11: List of Stocks as
Performance Bond Collateral for the 3rd Quarter, 1999
- 99-92 October 8: Lean Hogs Last Day of
Trading For October 1999
- 99-91 October 6: Clearing House Holiday
Schedule
- 99-90 September 30: Live Cattle Changes
- 99-89 October 1: October 1999 cash Settled
Future Expirations
- 99-88 September 29: Performance
Bond requirements for the E-Mini Japanese Yen and E-Mini EuroFX contracts
effective Thursday, October 7,1999
- 99-87 September 28: Reminder of Live Cattle
Deadlines/Columbus Day
- 99-86 September 28: Performance
Bond rate changes for all commodities effective at the close Wednesday,
October 6,1999
- 99-85 September 24: Allocation of September
1999 Currency Order to Pay Charges
- 99-83 September 17: Performance
Bond requirements for Weather contract effective at the close of business
September 22,1999
- 99-82 September 14: Performance
Bond rate changes for the Japanese Yen at the close of business Thursday
September 16,1999
- 99-81 September 13: Mandatory Out-Trades
session for Expiring Canadian Dollar Futures Contracts September 14,1999
- 99-80 September 13: Mandatory
Out-Trades session for Expiring Currency Futures Contracts September 13,1999
- 99-79 September 8: Japanese Yen-September
currency delivery September 16,1999
- 99-78 September 1: Cash settled futures
contracts expiring September 1999
- 99-77 August 31: Clearing House holiday
schedule for Labor Day September 6,1999
- 99-76 August 26: Performance Bond changes
effective at the close of business Thursday September 2,1999
- 99-74 August 23: Automatic net
margining of positions in the House origin effective Friday August 27,1999
- 99-73 August 25: First National Bank name
change
- 99-72 August 25: Currency Delivery
reminders for South African Rand, New Zealand Dollar, Mexican Peso &
Cross Rates
- 99-71A August 20: Performance Bond
changes for BFP Milk effective at the close of business August 24,1999
- 99-71 August 12: New Money Changer
application will be launched August 27,1999
- 99-70 August 5: Cash Settled Futures
Contracts Expiring in August 1999
- 99-69 August 5: Performance Bond advisory
correction
- 99-68 July 28: Performance Bond changes
effective at the close of business August 5,1999.
- 99-67 - July 23: Performance Bond rate
changes for Lean Hog and BFP Milk effective July 27,1999
- 99-66 - July 22,1999: New warehouse for
butter futures deliveries through October 29,1999
- #99-65 - July 21,1999: Short Option Minimum
Performance Bond Calculations
- #99-64 - July 2,1999: Cash Settled Futures
Contracts Expiring in July, 1999
- #99-63 - July 6,1999: List of Stocks as
Performance Bond Collateral for the Second Quarter of 1999
- #99-62 - July 1,1999: Futures &
Options Calendar Changes
- #99-61 - June 30: Allocation of June 1999
Currency Order-to-Pay Charges
- #99-60 - June 22, 1999: Clearing House Holiday Schedule for the
Fourth of July Weekend
- #99-59,
Performance Bond Rate Changes Effective July 8, 1999
-
#99-58 for the
E-Mini NASDAQ 100 and the NASDAQ 100 rates effective at the close of business
Monday 6/21/1999
-
#99-48 for a
complete PB rate changes effective at the close of business Thursday 6/03/1999
-
#99-41 for
the NASDAQ 100 PB rates Change effective 5/11/1999
-
#99-34 for
a complete PB rate changes effective 5/6/1999
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