Macquarie Futures USA LLC Statement of Segregation Requirements and Funds in Segregation for Customers Trading on US Commodity Exchanges

Size: px
Start display at page:

Download "Macquarie Futures USA LLC Statement of Segregation Requirements and Funds in Segregation for Customers Trading on US Commodity Exchanges"

Transcription

1 Statement of Segregation Requirements and Funds in Segregation for Customers Trading on US Commodity Exchanges Schedule IIIa Segregation Requirements (Section 4d(2) of the CEAct) 1. Net ledger balance A. Cash $ 1,796,515,813 B. Securities (at market) 29,445, Net unrealized profit (loss) in open futures contracts traded on a contract market 326,554, Exchange traded options A. Market value of open option contracts purchased on a contract market 380,149,846 B. Market value of open option contracts granted (sold) on a contract market (370,749,340) 4. Net equity (deficit) (add lines 1, 2 and 3) 2,161,915, Accounts liquidating to a deficit and accounts with debit balancesgross amount $ 1,776,632 Less: amount offset by customer owned securities (1,776,620) Amount required to be segregated (add lines 4 and 5) $ 2,161,915,997 13

2 Statement of Segregation Requirements and Funds in Segregation for Customers Trading on US Commodity Exchanges Schedule IIIb Segregation Requirements (Section 4d(2) of the CEAct) Funds in segregated accounts 7. Deposited in segregated funds bank accounts A. Cash $ 595,999,189 B. Securities representing investments of customers funds (at market) 40,003,500 margins (at market) 29,445, Margins on deposit with clearing organizations of contract markets A. Cash 600,332,440 B. Securities representing investments of customers funds (at market) 1,048,127,989 margins (at market) - 9. Net settlement from (to) clearing organizations of contract markets 11,019, Exchange traded options A. Value of open long option contracts 380,149,846 B. Value of open short option contracts (370,749,340) 11. Net equities with other FCMs A. Net liquidating equity 1,556,097 C. Securities held for particular customers or option customers in lieu of cash (at market) Segregated funds on hand (describe on separate page) Total amount in segregation (add lines 7 through 12) 2,335,884, Excess (deficiency) funds in segregation (subtract line 6 from line 13) $ 173,968,418 14

3 Statement of Secured Amounts and Funds Held in Separate Accounts for Foreign Futures and Foreign Options Customers Pursuant to Commission Regulation 30.7 Schedule IVa Foreign Futures and Foreign Options Secured Amounts Amount required to be set aside pursuant to law, rule or regulation of a foreign government or a rule of a self-regulatory organization authorized thereunder - 1. Net ledger balance - Foreign Futures and Foreign Options Trading - All Customers A. Cash $ (3,020,967) B. Securities (at market) 40, Net unrealized profit (loss) in open futures contracts traded on a foreign board of trade (4,850,532) 3. Exchange traded options A. Market value of open option contracts purchased on a foreign board of trade 10,350 B. Market value of open contracts granted (sold) on a foreign board of trade (11,350) 4. Net equity (deficit) (add lines 1, 2 and 3) (7,832,499) 5. Accounts liquidating to a deficit and accounts with debit balances - gross amount 25,000,031 Less: Amount offset by customer owned securities - 6. Amount required to be set aside as the secured amount - Net Liquidating Equity Method (add lines 4 and 5) $ 17,167,532 15

4 Statement of Secured Amounts and Funds Held in Separate Accounts for Foreign Futures and Foreign Options Customers Pursuant to Commission Regulation 30.7 Schedule IVb Funds Deposited in Separate Regulation 30.7 Accounts 1. Cash in Banks A. Banks located in the United States $ 29,957,394 B. Other banks designated by the Commission Name(s) - $ 29,957, Securities A. In safekeeping with banks located in the United States 40,000 B. In safekeeping with other banks designated by the Commission Name(s) - 40, Equities with registered futures commission merchants A. Cash - B. Securities - C. Unrealized gain (loss) on open futures contracts - D. Value of long option contracts - E. Value of short option contracts Amounts held by clearing organizations of foreign boards of trade Name(s) A. Cash - B. Securities - C. Amount due to (from) clearing organization - daily variation - D. Value of long option contracts - E. Value of short option contracts Amounts held by members of foreign boards of trade Name(s) A. Cash 8,475,897 B. Securities - C. Unrealized gain (loss) on open futures contracts (4,850,533) D. Value of long option contracts 10,350 E. Value of short option contracts (11,350) 3,624, Amounts with other depositories designated by a foreign board of trade Name(s) - 7. Segregated funds on hand (describe) - 8. Total funds in separate section 30.7 accounts (to page 13, line 2) 33,621, Excess (deficiency) set Aside Funds for Secured Amount (subtract Line 7 Secured Statement page 16 from Line 8) $ 16,454,226 16

5 Statement of Cleared Swaps Customer Segregation Requirements and Funds in Cleared Swaps Customer Accounts under 4D(F) Of CEA Schedule Va Cleared Swaps Customer Requirements 1. Net ledger balance A. Cash $ 7,944,797 B. Securities (at market) - 2. Net unrealized profit (loss) in open cleared OTC derivatives (2,041,500) 3. Cleared OTC derivatives options A. Market value of open cleared OTC derivatives option contracts purchased - B. Market value of open cleared OTC derivatives option contracts granted (sold) - 4. Net equity (deficit) (Add lines 1, 2 and 3) 5,903, Accounts liquidating to a deficit and accounts with debit balances-gross amount Less: amount offset by customer owned securities - 6. Amount required to be sequestered for cleared OTC derivatives customers (add lines 4 and 5) $ 5,903,297 17

6 Statement of Cleared Swaps Customer Segregation Requirements and Funds in Cleared Swaps Customer Accounts under 4D(F) Of CEA Schedule Vb Funds in Cleared OTC Derivatives Customer Sequestered Accounts 7. Deposited in cleared OTC derivatives customer sequestered accounts at banks A. Cash $ 21,300,656 margins (at market) - 8. Margins on deposit with derivatives clearing organizations in cleared OTC derivatives customer sequestered accounts A. Cash 3,073,530 margins (at market) - 9. Net settlement from (to) derivatives clearing organizations (13,000) 10. Cleared OTC derivatives options A. Value of open cleared OTC derivatives long option contracts - B. Value of open cleared OTC derivatives short option contracts Net equities with other FCMs A. Net liquidating equity - C. Securities held for particular customers or option customers in lieu of cash (at market) Cleared OTC derivatives customer funds on hand Total amount in sequestration (add lines 7 through 12) 24,361,186 18

W I N J A M M E R F I L I N G. INITIAL End Date:1/6/2016 Firm Name:Credit Suisse Securities (USA) LLC Form:Daily Seg - FOCUS II Submit Date:1/7/2016

W I N J A M M E R F I L I N G. INITIAL End Date:1/6/2016 Firm Name:Credit Suisse Securities (USA) LLC Form:Daily Seg - FOCUS II Submit Date:1/7/2016 W I N J A M M E R F I L I N G INITIAL 1 Daily Segregation - Cover Page Name of Company Credit Suisse Securities (USA) LLC Contact Name Alexander Baptiste Contact Phone Number 919-994-6223 Contact Email

More information

W I N J A M M E R F I L I N G. INITIAL End Date:9/18/2015 Firm Name:INTERACTIVE BROKERS LLC Form:Daily Seg - FOCUS II Submit Date:9/21/2015

W I N J A M M E R F I L I N G. INITIAL End Date:9/18/2015 Firm Name:INTERACTIVE BROKERS LLC Form:Daily Seg - FOCUS II Submit Date:9/21/2015 W I N J A M M E R F I L I N G INITIAL 1 Daily Segregation - Cover Page Name of Company INTERACTIVE BROKERS LLC Contact Name Michael Ellman Contact Phone Number 203-422-8926 Contact Email Address mellman@interactivebrokers.co

More information

Macquarie Futures USA LLC Statement of Financial Condition and Supplemental Schedules March 31, 2016

Macquarie Futures USA LLC Statement of Financial Condition and Supplemental Schedules March 31, 2016 Statement of Financial Condition and Supplemental Schedules Index Page(s) Report of Independent Registered Public Accounting Firm... 1 Financial Statements Statement of Financial Condition... 2 Notes to

More information

AUDIT INFORMATION BULLETIN. TO: Chief Executive Officers #10-07 Chief Financial Officers Chief Compliance Officers

AUDIT INFORMATION BULLETIN. TO: Chief Executive Officers #10-07 Chief Financial Officers Chief Compliance Officers AUDIT INFORMATION BULLETIN TO: Chief Executive Officers #10-07 Chief Financial Officers Chief Compliance Officers FROM: Audit Department, Clearing House Division DATE: July 16, 2010 SUBJECT: Cleared OTC

More information

York Business Associates, L.L.C. (d/b/a TransAct Futures) and Subsidiary FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT.

York Business Associates, L.L.C. (d/b/a TransAct Futures) and Subsidiary FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT. York Business Associates, L.L.C. (d/b/a TransAct Futures) and Subsidiary FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT December 31, 2014 CONSOLIDATED STATEMENT OF FINANCIAL CONDITION December

More information

DEFINITIONS. An FCM through which another FCM, foreign broker, or customer/noncustomer elects to clear trades.

DEFINITIONS. An FCM through which another FCM, foreign broker, or customer/noncustomer elects to clear trades. Aging of Margin Calls In aging margin calls, days are defined as: 1 = business day position is put on/account becomes undermargined 2 = business day margin call is issued 3 = first business day margin

More information

Protection Of Customer Funds Frequently Asked Questions

Protection Of Customer Funds Frequently Asked Questions Version 2.0 revised June 2012 Futures Industry Association, June 2012 1 The Protection of Customer Funds: Frequently Asked Questions 1 was prepared by members of the FIA Law and Compliance Division. The

More information

ABN AMRO CLEARING CHICAGO LLC. Statement of Financial Condition. June 30, 2015

ABN AMRO CLEARING CHICAGO LLC. Statement of Financial Condition. June 30, 2015 Assets Cash $ 47,929,384 Cash segregated under federal and other regulations 1,453,436,144 Securities purchased under agreements to resell 503,068,395 Securities owned, marketable, at fair value (including

More information

November 1, 2015 Regulatory Considerations for Entities Registered With the Commodity Futures Trading Commission

November 1, 2015 Regulatory Considerations for Entities Registered With the Commodity Futures Trading Commission November 1, 2015 Regulatory Considerations for Entities Registered With the Commodity Futures Trading Commission The following contains information regarding regulatory considerations for entities that

More information

PROTECTION OF CUSTOMER FUNDS FREQUENTLY ASKED QUESTIONS

PROTECTION OF CUSTOMER FUNDS FREQUENTLY ASKED QUESTIONS PROTECTION OF CUSTOMER FUNDS Version 4.0 REVISED NOVEMBER 2014 2 This document, first issued in February 2012, has been prepared by members of the FIA Law and Compliance Division and contains questions

More information

DORMAN TRADING, LLC FINANCIAL STATEMENTS AND SUPPLEMENTARY SCHEDULES PURSUANT TO REGULATION 1.10 UNDER THE COMMODITY EXCHANGE ACT

DORMAN TRADING, LLC FINANCIAL STATEMENTS AND SUPPLEMENTARY SCHEDULES PURSUANT TO REGULATION 1.10 UNDER THE COMMODITY EXCHANGE ACT DORMAN TRADING, LLC FINANCIAL STATEMENTS AND SUPPLEMENTARY SCHEDULES PURSUANT TO REGULATION 1.10 UNDER THE COMMODITY EXCHANGE ACT AVAILABLE FOR PUBLIC INSPECTION CFTC FORM 1-FR-FCM [0005] NAME OF COMPANY

More information

ATTACHMENT #1 BLACK-LINE COPY

ATTACHMENT #1 BLACK-LINE COPY SCHEDULE 4 NOTES AND INSTRUCTIONS 1. EACH FIRM SHALL OBTAIN FROM CLIENTS, PARTNERS, SHAREHOLDERS, AND CLIENTS CARRIED FOR AN INTRODUCING BROKER, SUCH MINIMUM MARGIN IN SUCH AMOUNT AND IN ACCORDANCE WITH

More information

ARCHIVE. Table of Contents. 18.01.33 - Domestic Insurer Purchasing and Selling of Exchange-Traded Call and Put Options

ARCHIVE. Table of Contents. 18.01.33 - Domestic Insurer Purchasing and Selling of Exchange-Traded Call and Put Options Table of Contents 18.01.33 - Domestic Insurer Purchasing and Selling of Exchange-Traded Call and Put Options 000. Legal Authority.... 2 001. Title And Scope.... 2 002. -- 003. (Reserved)... 2 004. Definitions....

More information

COMMODITY FUTURES TRADING COMMISSION

COMMODITY FUTURES TRADING COMMISSION March 2010 COMMODITY FUTURES TRADING COMMISSION COMMODITY FUTURES TRADING COMMISSION FORM 1-FR-FCM FORM 1-FR-FCM TABLE OF CONTENTS Page Introduction 1-1 Public Reporting Burden 1-1 Filing by FCMs which

More information

How To Write A Statement In European Currency

How To Write A Statement In European Currency How to Read Your Daily Futures Account Statement Format: Your statement has eight potential sections listed below. Which sections appear on your statement depends on the positions and type of activity

More information

Summary. Portfolio Margin Rules

Summary. Portfolio Margin Rules September 27, 2005 Summary Portfolio Margin Rules Exchange Contacts: James Adams Department of Member Firm Regulation Division of Regulatory Services (312) 786-7718 KEY POINTS On July 14, 2005, the Securities

More information

U.S. COMMODITY FUTURES TRADING COMMISSION

U.S. COMMODITY FUTURES TRADING COMMISSION U.S. COMMODITY FUTURES TRADING COMMISSION Three Lafayette Centre 1155 21st Street, NW, Washington, DC 20581 Telephone: (202) 418-5000 Facsimile: (202) 418-5521 www.cftc.gov Division of Swap Dealer and

More information

UNITED STATES OF AMERICA. Before the COMMODITY FUTURES TRADING COMMISSION ORDER

UNITED STATES OF AMERICA. Before the COMMODITY FUTURES TRADING COMMISSION ORDER UNITED STATES OF AMERICA Before the COMMODITY FUTURES TRADING COMMISSION Treatment of Funds Held in Connection with the Clearing by the New York Mercantile Exchange, Inc. of Contracts Traded on the Dubai

More information

Appendix A to 1.20 Futures Commission Merchant Acknowledgment Letter for CFTC

Appendix A to 1.20 Futures Commission Merchant Acknowledgment Letter for CFTC Appendix A to 1.20 Futures Commission Merchant Acknowledgment Letter for CFTC Regulation 1.20 Customer Segregated Account [Date] [Name and Address of Bank, Trust Company, We refer to the Segregated Account(s)

More information

ICE Futures U.S. and Russell Stock Index Contracts

ICE Futures U.S. and Russell Stock Index Contracts ICE Futures U.S. and Russell Stock Index Contracts Cross Margining Reference Guide This material may not be reproduced or redistributed in whole or in part without the express, prior written consent of

More information

The Division of Swap Dealer and Intermediary Oversight (the Division ) of the

The Division of Swap Dealer and Intermediary Oversight (the Division ) of the U.S. COMMODITY FUTURES TRADING COMMISSION Three Lafayette Centre 1155 21st Street, NW, Washington, DC 20581 Telephone: (202) 418-5000 Facsimile: (202) 418-5521 www.cftc.gov Division of Swap Dealer and

More information

Clearing and settlement of exchange traded derivatives

Clearing and settlement of exchange traded derivatives Clearing and settlement of exchange traded derivatives by John W. McPartland, consultant, Financial Markets Group Derivatives are a class of financial instruments that derive their value from some underlying

More information

SUBCHAPTER A BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM

SUBCHAPTER A BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM SUBCHAPTER A BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM PART 220 CREDIT BY BROKERS AND DEALERS (REGULATION T) Sec. 220.1 Authority, purpose, and scope. 220.2 Definitions. 220.3 General provisions.

More information

FORM G-405, PART IIA REPORT ON FINANCES AND OPERATIONS OF GOVERNMENT SECURITIES BROKERS AND DEALERS

FORM G-405, PART IIA REPORT ON FINANCES AND OPERATIONS OF GOVERNMENT SECURITIES BROKERS AND DEALERS FORM G-405, PART IIA REPORT ON FINANCES AND OPERATIONS OF GOVERNMENT SECURITIES BROKERS AND DEALERS GENERAL INSTRUCTIONS This report on the finances and operations of government securities brokers and

More information

Glossary of Futures Terms

Glossary of Futures Terms NATIONAL FUTURES ASSOCIATION Glossary of Futures Terms An Introduction to the Language of the Futures Industry 1 Glossary of Futures Terms: An Introduction to the Language of the Futures Industry National

More information

Accounting for Derivatives. Rajan Chari Senior Manager rchari@deloitte.com

Accounting for Derivatives. Rajan Chari Senior Manager rchari@deloitte.com Accounting for Derivatives Rajan Chari Senior Manager rchari@deloitte.com October 3, 2005 Derivative Instruments to be Discussed Futures Forwards Options Swaps Copyright 2004 Deloitte Development LLC.

More information

Understanding Margin and Its Risks

Understanding Margin and Its Risks Understanding Margin and Its Risks www.siebertnet.com Before opening a margin account, you should have a clear understanding of the basic facts about margin and the risks of trading securities on margin.

More information

Transactions in Financial Derivatives

Transactions in Financial Derivatives 127 Transactions in Financial Derivatives In This Section: Coverage and definitions Estimation methods overview Financial derivatives Coverage and definitions This account measures transactions arising

More information

LEGAL REQUIREMENTS PROHIBITION ON THE ISSUANCE OF SENIOR SECURITIES FILINGS AND SHAREHOLDER APPROVALS

LEGAL REQUIREMENTS PROHIBITION ON THE ISSUANCE OF SENIOR SECURITIES FILINGS AND SHAREHOLDER APPROVALS An increasing number of active mutual fund managers are employing futures and options strategies to hedge against downside risk, to quickly gain or reduce equity exposure, and to enhance returns. Mutual

More information

Commodity Futures Trading Commission 1.55

Commodity Futures Trading Commission 1.55 Commodity Futures Trading Commission 1.55 rules of such contract market or relates to other trading requirements, unless such bylaw, rule, regulation, or resolution has been disapproved by the Commission

More information

INTERACTIVE BROKERS (U.K.) LTD. AGREEMENTS AND DISCLOSURE DOCUMENTS

INTERACTIVE BROKERS (U.K.) LTD. AGREEMENTS AND DISCLOSURE DOCUMENTS INTERACTIVE BROKERS (U.K.) LTD. AGREEMENTS AND DISCLOSURE DOCUMENTS The documents in this package contain the terms and conditions of your customer account with Interactive Brokers (U.K.) Ltd. and also

More information

FORM X-17A-5 PART IIA (FOCUS Report)

FORM X-17A-5 PART IIA (FOCUS Report) UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 OMB APPROVAL OMB Number: 3235-0123 Expires: March 31, 2016 Estimated average burden hours per response......12.00 FORM X-17A-5 PART

More information

Statement of Financial Condition

Statement of Financial Condition Financial Report for the 14th Business Year 5-1, Marunouchi 1-Chome, Chiyoda-ku, Tokyo Citigroup Global Markets Japan Inc. Rodrigo Zorrilla, Representative Director, President and CEO Statement of Financial

More information

Industry Informational Report. Exchange for Physicals (EFP)

Industry Informational Report. Exchange for Physicals (EFP) Industry Informational Report Exchange for Physicals (EFP) Background information on transaction structure, industry practice and applications prepared by RISK LIMITED CORPORATION All information contained

More information

Summary of Requirements for CME, CBOT, NYMEX and COMEX Clearing Membership And OTC Derivatives Clearing Membership. January 2016

Summary of Requirements for CME, CBOT, NYMEX and COMEX Clearing Membership And OTC Derivatives Clearing Membership. January 2016 Summary of Requirements for CME, CBOT, NYMEX and COMEX Clearing Membership And OTC Derivatives Clearing Membership CME Clearing ( Clearing House ) is the clearing house division of Chicago Mercantile Exchange

More information

Interactive Brokers Group Strength and Security

Interactive Brokers Group Strength and Security Interactive Brokers Group Strength and Security When placing your money with a broker, you need to make sure your broker is secure and can endure through good and bad times. The financial statements of

More information

The Office of the Comptroller of the Currency (OCC) and the Federal

The Office of the Comptroller of the Currency (OCC) and the Federal OCC and FDIC Adopt Rules Regarding Retail Forex Transactions August 8, 2011 If you have any questions regarding the matters discussed in this memorandum, please contact the following attorneys or call

More information

For purposes of this Rule, the following terms shall have the meanings specified below:

For purposes of this Rule, the following terms shall have the meanings specified below: 10/10 (RN No. 10-45) 1 4210. Margin Requirements (a) Definitions For purposes of this Rule, the following terms shall have the meanings specified below: (1) The term basket shall mean a group of stocks

More information

CME Clearing Financial Safeguards

CME Clearing Financial Safeguards CME Clearing Financial Safeguards CME Group Inc. is the parent company of Chicago Mercantile Exchange Inc. (CME). CME Clearing, a division of CME, is one of the world s leading central counterparty clearing

More information

SECURITIES AND FUTURES ACT (CAP. 289)

SECURITIES AND FUTURES ACT (CAP. 289) Monetary Authority of Singapore SECURITIES AND FUTURES ACT (CAP. 289) NOTICE ON RISK BASED CAPITAL ADEQUACY REQUIREMENTS FOR HOLDERS OF CAPITAL MARKETS SERVICES LICENCES Monetary Authority of Singapore

More information

NEW YORK MERCANTILE EXCHANGE, INC. OVERVIEW OF FINANCIAL SAFEGUARD SYSTEM

NEW YORK MERCANTILE EXCHANGE, INC. OVERVIEW OF FINANCIAL SAFEGUARD SYSTEM NEW YORK MERCANTILE EXCHANGE, INC. OVERVIEW OF FINANCIAL SAFEGUARD SYSTEM MAY 2002 NYMEX SAFEGUARD SYSTEM HIGHLIGHTS CLEARING MEMBER FINANCIAL REQUIREMENTS CLEARING MEMBER GUARANTY FUND APPROVED BANKS

More information

Outline of Margin & Settlement Regulations

Outline of Margin & Settlement Regulations Outline of Margin & Settlement Regulations (Futures & Options Transactions) Effective 30 December 2009 Tokyo Stock Exchange, Inc. Japan Securities Clearing Corporation I. MARGIN BROKERAGE MARGIN Customers

More information

DEFINITIONS. ACT OR CEA The term "Act" or CEA shall mean the Commodity Exchange Act, as amended from time to time.

DEFINITIONS. ACT OR CEA The term Act or CEA shall mean the Commodity Exchange Act, as amended from time to time. DEFINITIONS ACT OR CEA The term "Act" or CEA shall mean the Commodity Exchange Act, as amended from time to time. BLOCK TRADE A privately negotiated futures, option on futures or swaps transaction that

More information

128 SU 3: Financial Accounting I

128 SU 3: Financial Accounting I 128 SU 3: Financial Accounting I 3.5 FINANCIAL ASSETS AND LIABILITIES Definitions 1. Financial assets include cash, equity instruments of other entities (e.g., preference shares), contract rights to receive

More information

Opportunity AND. Risk. Glossary of Terms

Opportunity AND. Risk. Glossary of Terms of Terms Opportunity AND Risk National Futures Association is a congressionally authorized self-regulatory organization of the United States futures industry. Its mission is to provide innovative regulatory

More information

Apex Clearing Corporation

Apex Clearing Corporation Statement of Financial Condition (Unaudited) Apex Clearing Corporation is a member of FINRA, Securities Investor Protection Corporation (SIPC), NYSE MKT LLC, NYSE Arca, Inc., BATS Y Exchange, Inc., BATS

More information

PENSON FINANCIAL FUTURES, INC.

PENSON FINANCIAL FUTURES, INC. PENSON FINANCIAL FUTURES, INC. TRACK DATA SECURITIES CORP. COMMODITY FUTURES RISK DISCLOSURE STATEMENT THE RISK OF LOSS IN TRADING COMMODITY FUTURES CONTRACTS CAN BE SUBSTANTIAL. YOU SHOULD THEREFORE,

More information

CHAPTER 8 CLEARING HOUSE AND PERFORMANCE BONDS GENERAL

CHAPTER 8 CLEARING HOUSE AND PERFORMANCE BONDS GENERAL 800. CLEARING HOUSE 801. MANAGEMENT CHAPTER 8 CLEARING HOUSE AND PERFORMANCE BONDS GENERAL 802. PROTECTION OF CLEARING HOUSE 802.A. Default by Clearing Member or Other Participating Exchanges 802.B. Satisfaction

More information

N A T I O N A L F U T U R E S A S S O C I A T I O N. Margins Handbook. Prepared by the Joint Audit Committee

N A T I O N A L F U T U R E S A S S O C I A T I O N. Margins Handbook. Prepared by the Joint Audit Committee N A T I O N A L F U T U R E S A S S O C I A T I O N Margins Handbook Prepared by the Joint Audit Committee June 1999 Preface The Joint Audit Committee (JAC) is a representative committee of U.S. futures

More information

Investment Company Act File No. 811-23125. Elevation ETF Trust. Fund Ticker Principal Listing Exchange Dhandho Junoon ETF JUNE NYSE Arca, Inc.

Investment Company Act File No. 811-23125. Elevation ETF Trust. Fund Ticker Principal Listing Exchange Dhandho Junoon ETF JUNE NYSE Arca, Inc. Investment Company Act File No. 811-23125 Elevation ETF Trust Fund Ticker Principal Listing Exchange Dhandho Junoon ETF JUNE NYSE Arca, Inc. Statement of Additional Information Dated March 31, 2016 This

More information

Forex Transactions. A Regulatory Guide

Forex Transactions. A Regulatory Guide Forex Transactions A Regulatory Guide March 2015 Revisions: Updated to incorporate amendments to Bylaw 301, NFA Financial Requirements Section 1, 13 and 14; NFA Compliance Rule 2-38 and 2-48; Interpretive

More information

Chapter 8 Clearing House and Performance Bonds

Chapter 8 Clearing House and Performance Bonds 800. CLEARING HOUSE Chapter 8 Clearing House and Performance Bonds The Exchange shall utilize the services of the CME Clearing House in order to protect market participants and to maintain the integrity

More information

Financial Services Alert

Financial Services Alert April 2008 Authors: Robert T. Honeywell 212.536.4863 robert.honeywell@klgates.com Anthony R. G. Nolan 212.536.4843 anthony.nolan@klgates.com Donald W. Smith 202.778.9079 donald.smith@klgates.com Robert

More information

Risk Disclosure Statement

Risk Disclosure Statement Risk Disclosure Statement The risk of loss in trading commodity futures contracts can be substantial. You should, therefore, carefully consider whether such trading is suitable for you in light of your

More information

ICE Clear US, Inc. Disclosure Framework

ICE Clear US, Inc. Disclosure Framework ICE Clear US, Inc. Disclosure Framework 02/05/2016 Responding institution: ICE Clear US, Inc. Jurisdiction in which the FMI operates: United States Authority regulating, supervising or overseeing the FMI:

More information

MF GLOBAL INC. In Liquidation. December 2, 2011 TO ALL PERSONS ASSERTING CLAIMS AS COMMODITY FUTURES CUSTOMERS OF MF GLOBAL INC.:

MF GLOBAL INC. In Liquidation. December 2, 2011 TO ALL PERSONS ASSERTING CLAIMS AS COMMODITY FUTURES CUSTOMERS OF MF GLOBAL INC.: MF GLOBAL INC. In Liquidation December 2, 2011 TO ALL PERSONS ASSERTING CLAIMS AS COMMODITY FUTURES CUSTOMERS OF MF GLOBAL INC.: Enclosed are a commodity futures customer claim form, and commodity futures

More information

DTCC: An Overview. Larry Thompson, DTCC Managing Director and General Counsel. August 2013 DTCC

DTCC: An Overview. Larry Thompson, DTCC Managing Director and General Counsel. August 2013 DTCC DTCC: An Overview Larry Thompson, DTCC Managing Director and General Counsel August 2013 1 DTCC: Introduction User-owned cooperative that through its subsidiaries provides secure, reliable, costeffective

More information

A guide to margin borrowing

A guide to margin borrowing A guide to margin borrowing Before you borrow on margin, it is important to review your financial situation, investment objectives, risk tolerance, time horizon, diversification needs, and liquidity objectives

More information

TYPE A MUTUAL FUND ASSUMPTIONS FOR EXAMPLES #1 TO #4: EXAMPLE #1 DIVIDENDS OR DIVIDEND REINVESTMENT

TYPE A MUTUAL FUND ASSUMPTIONS FOR EXAMPLES #1 TO #4: EXAMPLE #1 DIVIDENDS OR DIVIDEND REINVESTMENT ASSUMPTIONS FOR EXAMPLES #1 TO #4: Price on trade date is $10.00 per unit for Equity Fund and $11.00 per unit for Growth Fund Price movement to $11.00 per unit for Equity Fund and $10.00 per unit for Growth

More information

TITLE 5 BANKING DELAWARE ADMINISTRATIVE CODE

TITLE 5 BANKING DELAWARE ADMINISTRATIVE CODE TITLE 5 BANKING 900 Regulations Governing Business of Banks and Trust Companies 1 905 Loan Limitations: Credit Exposure to Derivative Transactions 1.0 Purpose This regulation sets forth the rules for calculating

More information

DFA INVESTMENT DIMENSIONS GROUP INC. DIMENSIONAL INVESTMENT GROUP INC. SUPPLEMENT TO THE STATEMENTS OF ADDITIONAL INFORMATION DATED FEBRUARY 28, 2015

DFA INVESTMENT DIMENSIONS GROUP INC. DIMENSIONAL INVESTMENT GROUP INC. SUPPLEMENT TO THE STATEMENTS OF ADDITIONAL INFORMATION DATED FEBRUARY 28, 2015 DFA INVESTMENT DIMENSIONS GROUP INC. DIMENSIONAL INVESTMENT GROUP INC. SUPPLEMENT TO THE STATEMENTS OF ADDITIONAL INFORMATION DATED FEBRUARY 28, 2015 The purpose of this Supplement to the Statement of

More information

Futures Contract Introduction

Futures Contract Introduction Futures Contract Introduction 1 The first futures exchange market was the Dojima Rice exchange in Japan in the 1730s, to meet the needs of samurai who being paid in rice and after a series of bad harvests

More information

CHAPTER II GENERAL LEDGER ACCOUNTS

CHAPTER II GENERAL LEDGER ACCOUNTS CHAPTER II GENERAL LEDGER ACCOUNTS A general ledger is basic to an accounting system. The General Ledger of a fund is a summary record containing the balance of assets, liabilities, deferred revenues,

More information

CHAPTER 8-H Credit Default Swaps Clearing

CHAPTER 8-H Credit Default Swaps Clearing CHAPTER 8-H Credit Default Swaps Clearing 8H01. SCOPE OF CHAPTER This chapter sets forth the rules governing clearing and settlement of all CDS Products. In the event there is a conflict between a Rule

More information

Name of the holder of a capital markets services licence: Statement of assets and liabilities as at: (dd/mm/yy)

Name of the holder of a capital markets services licence: Statement of assets and liabilities as at: (dd/mm/yy) SECURITIES AND FUTURES ACT (CHAPTER 289) SECURITIES AND FUTURES (FINANCIAL AND MARGIN REQUIREMENTS FOR HOLDERS OF CAPITAL MARKETS SERVICES LICENCES) REGULATIONS (Rg 13) REGULATION 27(1)(a), (3)(a), AND

More information

STATEMENT OF ASSETS AND LIABILITIES, ADJUSTED NET CAPITAL, AND SEGREGATION REQUIREMENT AND LOCATION OF SEGREGATED FUNDS

STATEMENT OF ASSETS AND LIABILITIES, ADJUSTED NET CAPITAL, AND SEGREGATION REQUIREMENT AND LOCATION OF SEGREGATED FUNDS SECURITIES AND FUTURES ACT (CHAPTER 289) SECURITIES AND FUTURES (FINANCIAL AND MARGIN REQUIREMENTS FOR HOLDERS OF CAPITAL MARKETS SERVICES LICENCES) REGULATIONS (Rg 13) FORM 4 REGULATION 27(2)(b) AND (9)(d)

More information

RIVERFRONT STRATEGIC INCOME FUND

RIVERFRONT STRATEGIC INCOME FUND RIVERFRONT STRATEGIC INCOME FUND NYSE ARCA: RIGS ALPS ETF TRUST SUPPLEMENT DATED JUNE 17, 2016 TO THE SUMMARY PROSPECTUS, PROSPECTUS AND STATEMENT OF ADDITIONAL INFORMATION DATED MARCH 31, 2016 Effective

More information

RISK DISCLOSURE STATEMENT FOR SECURITY FUTURES CONTRACTS

RISK DISCLOSURE STATEMENT FOR SECURITY FUTURES CONTRACTS RISK DISCLOSURE STATEMENT FOR SECURITY FUTURES CONTRACTS This disclosure statement discusses the characteristics and risks of standardized security futures contracts traded on regulated U.S. exchanges.

More information

COLLATERAL MANAGEMENT SERVICE. Change Document March 2015 Release

COLLATERAL MANAGEMENT SERVICE. Change Document March 2015 Release COLLATERAL MANAGEMENT SERVICE Change Document March 2015 Release LEGAL DISCLAIMER The content of this document is subject to change without notice. Although this document has been prepared on the basis

More information

AkerAlert. The American Home Mortgage Case and Repurchase Agreements. Finance Law ADVERTISEMENT. march 20, 2008

AkerAlert. The American Home Mortgage Case and Repurchase Agreements. Finance Law ADVERTISEMENT. march 20, 2008 AkerAlert Finance Law march 20, 2008 The American Home Mortgage Case and Repurchase Agreements By Jules Cohen, Esq. and Milton Vescovacci, Esq. In the field of mortgage warehouse lending, repurchase agreements

More information

1 CONSOLIDATED FINANCIAL STATEMENTS (1) Consolidated Balance Sheets

1 CONSOLIDATED FINANCIAL STATEMENTS (1) Consolidated Balance Sheets 1 CONSOLIDATED FINANCIAL STATEMENTS (1) Consolidated Balance Sheets As of March 31,2014 As of March 31,2015 Assets Cash and due from banks 478,425 339,266 Call loans and bills bought 23,088 58,740 Monetary

More information

SEC Proposes Recordkeeping, Reporting and Notification Requirements for Security-Based Swap Dealers and Major Security- Based Swap Participants

SEC Proposes Recordkeeping, Reporting and Notification Requirements for Security-Based Swap Dealers and Major Security- Based Swap Participants CLIENT MEMORANDUM SEC Proposes Recordkeeping, Reporting and Notification Requirements for Security-Based Swap Dealers and Major Security- Based Swap Participants May 16, 2014 Contents Introduction... 1

More information

Form SR-4 Foreign Exchange and OTC Derivatives Notes to assist Completion

Form SR-4 Foreign Exchange and OTC Derivatives Notes to assist Completion Form SR-4 Foreign Exchange and OTC Derivatives Notes to assist Completion Section 1 of this return is aimed at establishing the exposure to the risk of loss arising from adverse movements in foreign exchange

More information

COLLATERAL MANAGEMENT SERVICE. Service Description

COLLATERAL MANAGEMENT SERVICE. Service Description COLLATERAL MANAGEMENT SERVICE Service Description LEGAL DISCLAIMER The content of this document is subject to change without notice. Although this document has been prepared on the basis of the best information

More information

How To Set Up An Account At Lch.Clearnet

How To Set Up An Account At Lch.Clearnet LCH.Clearnet Account Structures under EMIR for LCH.Clearnet Limited & SA SUBJECT TO REGULATORY APPROVAL Version 2 Last updated 28/01/2014 Introduction The way in which CCPs manage members and clients assets

More information

J.P. Morgan Securities LLC CFTC Supplemental Disclosures

J.P. Morgan Securities LLC CFTC Supplemental Disclosures CFTC Supplemental Disclosures February 2015 Assets and Capital Allocation as of February 28, 2015 Asset Allocation Capital Employed Financing (Resales, Borrows) 50.9% 2.0% Inventory by Business Line Public

More information

Important matters for Securities CFD

Important matters for Securities CFD Provisional Translation for Reference Purpose Only Risk Disclosure for Securities CFD Transaction (This document is given by Interactive Brokers Securities Japan, Inc. in accordance with the regulation

More information

Understanding your CFD/FX account statements:

Understanding your CFD/FX account statements: Understanding your CFD/FX account statements: WHS ProStation WHS FutureStation Version: 16.06 2011 1 Available reports Account History Report Provides an overview over a particular period of time for:

More information

Future Commission Merchant Disclosure Document. TransAct Futures

Future Commission Merchant Disclosure Document. TransAct Futures Future Commission Merchant Disclosure Document of 141 W. Jackson Blvd. 24 th Floor Chicago, IL 60604 Phone: 312-341-9090 Fax: 312-341-9560 Email: Compliance@TransActFutures.com Registered with the Commodity

More information

Manual of Accounting and Financial Reporting for Pennsylvania Public Schools CHAPTER 9 TABLE OF CONTENTS. Chapter 9 9.1

Manual of Accounting and Financial Reporting for Pennsylvania Public Schools CHAPTER 9 TABLE OF CONTENTS. Chapter 9 9.1 Manual of Accounting and Financial Reporting for Pennsylvania Public Schools CHAPTER 9 TABLE OF CONTENTS 9.1 9.1 ENTERPRISE FUNDS 9.2 Nature And Purpose 9.2 Food Service Fund 9.2 Basis Of Accounting And

More information

BNP Paribas Prime Brokerage, Inc. (SEC I.D. No. 8-40490)

BNP Paribas Prime Brokerage, Inc. (SEC I.D. No. 8-40490) BNP Paribas Prime Brokerage, Inc. (SEC I.D. No. 8-40490) STATEMENT OF FINANCIAL CONDITION AS OF JUNE 30, 2015 UNAUDITED ******* BNP Paribas Prime Brokerage, Inc. 2 Statement of Financial Condition (Unaudited)

More information

ACI Operations Certificate (010) Sample Questions

ACI Operations Certificate (010) Sample Questions ACI Operations Certificate (010) Sample Questions Setting the benchmark in certifying the financial industry globally 8 Rue du Mail, 75002 Paris - France T: +33 1 42975115 - F: +33 1 42975116 - www.aciforex.org

More information

III. CUSTOMER TRADING AGREEMENT

III. CUSTOMER TRADING AGREEMENT III. CUSTOMER TRADING AGREEMENT 1. PURPOSE OF AGREEMENT This agreement provides for the establishment of an access(s) for Customer (hereinafter referred to as "Customer Trading Access") with CFD Capital

More information

Our authorisation and permission details can be found on the FCA website at www.fca.gov.uk.

Our authorisation and permission details can be found on the FCA website at www.fca.gov.uk. is authorised and regulated by the Financial Conduct Authority (FCA), FRN: 595450. We are also regulated under the Market in Financial Instruments Directive (MiFID) in regards to other offices within the

More information

Chicago Board Options Exchange. Margin Manual

Chicago Board Options Exchange. Margin Manual Chicago Board Options Exchange Margin Manual April 2000 TABLE OF CONTENTS INTRODUCTION... 3 INITIAL AND MAINTENANCE MARGIN REQUIREMENTS Long Put or Long Call (9 months or less until expiration)... 4 Long

More information

Investment Company Act File No. 811-22175. ALPS ETF Trust

Investment Company Act File No. 811-22175. ALPS ETF Trust Investment Company Act File No. 811-22175 ALPS ETF Trust Fund Ticker Principal Listing Exchange Cohen & Steers Global Realty Majors ETF GRI NYSE Arca, Inc. ALPS Equal Sector Weight ETF EQL NYSE Arca, Inc.

More information

DEPARTMENT OF INSURANCE OFFICE OF THE COMMISSIONER

DEPARTMENT OF INSURANCE OFFICE OF THE COMMISSIONER DEPARTMENT OF INSURANCE OFFICE OF THE COMMISSIONER Statutory Authority: 18 Delaware Code, Sections 311, 1333 and 29 Delaware Code, Chapter 101 (18 Del.C. 311 and 1333 and 29 Del.C. Ch. 101) PROPOSED Regulation

More information

Content Outline for Security Futures Training

Content Outline for Security Futures Training 10/27/08 Content Outline for Security Futures Training Instructions for NFA Members Current futures registrants may not offer or sell, or supervise persons who offer or sell, security futures until they

More information

OTC Derivatives Clearing in Practice. Reto Ziltener, Head Sales Prime Services 23 rd September 2014

OTC Derivatives Clearing in Practice. Reto Ziltener, Head Sales Prime Services 23 rd September 2014 OTC Derivatives in Practice Reto Ziltener, Head Sales Prime Services 23 rd September 2014 Agenda Terms OTC Derivatives - Transformation of the OTC derivatives market Mandatory clearing and collateralisation

More information

COMMODITY FUTURES TRADING COMMISSION RULE 1.55 (k) DISCLOSURE DOCUMENT

COMMODITY FUTURES TRADING COMMISSION RULE 1.55 (k) DISCLOSURE DOCUMENT BOCI Commodities & Futures (USA) LLC. COMMODITY FUTURES TRADING COMMISSION RULE 1.55 (k) DISCLOSURE DOCUMENT October 1, 2015 TABLE OF CONTENTS Introduction... 3 1. Rule 1.55 (k)(1)- FCM Name and Address...

More information

Key. SEC Financial Responsibility Rules

Key. SEC Financial Responsibility Rules Appendix 11 Key. SEC Financial Responsibility Rules The Securities and Exchange Commission's (SEC) 1 uniform net capital rule (15c3-1) and customer protection rule (15c3-3) form the foundation of the securities

More information

Article I - Definitions

Article I - Definitions By Laws Article I - Definitions Definitions SECTION 1. Unless the context requires otherwise (or except as otherwise specified in the By-Laws or Rules), the terms defined herein shall, for all purposes

More information

Maybank Kim Eng Securities Pte Ltd Terms and Conditions

Maybank Kim Eng Securities Pte Ltd Terms and Conditions Maybank Kim Eng Securities Pte Ltd Terms and Conditions Risk Disclosure Statement Telephone Email Website : (65) 6432 1888 (Singapore and Overseas) : helpdesk@maybank-ke.com.sg : www.maybank-ke.com.sg

More information

SHAY FINANCIAL SERVICES, INC. Miami, Florida (S.E.C. I.D. No. 8-043981)

SHAY FINANCIAL SERVICES, INC. Miami, Florida (S.E.C. I.D. No. 8-043981) Miami, Florida (S.E.C. I.D. No. 8-043981) STATEMENT OF FINANCIAL CONDITION and INDEPENDENT AUDITOR S REPORT Miami, Florida STATEMENT OF FINANCIAL CONDITION CONTENTS INDEPENDENT AUDITORS REPORT... 1 STATEMENT

More information

The rule changes will allow only SCM House Accounts to make this conversion. Once a contract has been converted it cannot be changed back.

The rule changes will allow only SCM House Accounts to make this conversion. Once a contract has been converted it cannot be changed back. VIA CFTC PORTAL 18 November 2015 Mr Christopher Kirkpatrick Commodity Futures Trading Commission 1155 21 st Street NW Three Lafayette Centre Washington DC 20581 Dear Mr Kirkpatrick: Pursuant to CFTC regulation

More information

Attachment A to Rules Notice 14-0214 INVESTMENT INDUSTRY REGULATORY ORGANIZATION OF CANADA

Attachment A to Rules Notice 14-0214 INVESTMENT INDUSTRY REGULATORY ORGANIZATION OF CANADA INVESTMENT INDUSTRY REGULATORY ORGANIZATION OF CANADA PERFORMANCE REPORTING AND FEE / CHARGE DISCLOSURE AMENDMENTS TO DEALER MEMBER RULE 200 AND FORM 1 (THE IIROC 2015 AND 2016 CRM2 AMENDMENTS ) TEXT OF

More information

Dear Valued Investor,

Dear Valued Investor, Dear Valued Investor, As part of our ongoing commitment to offering unique and alternative solutions to investors, Invesco PowerShares has assumed portfolio management responsibilities for the 11 exchange-traded

More information

Wells Fargo Advantage Funds

Wells Fargo Advantage Funds Statement of Additional Information November 1, 2015 Wells Fargo Advantage Funds MUNICIPAL INCOME FUNDS California Limited-Term Tax-Free Fund Class A - SFCIX; Class C - SFCCX; Administrator Class - SCTIX;

More information

INTERACTIVE BROKERS LLC (SEC I.D. No. 8-47257)

INTERACTIVE BROKERS LLC (SEC I.D. No. 8-47257) INTERACTIVE BROKERS LLC (SEC I.D. No. 8-47257) STATEMENT OF FINANCIAL CONDITION AS OF DECEMBER 31, 2003 AND INDEPENDENT AUDITORS REPORT AND SUPPLEMENTAL REPORT ON INTERNAL CONTROL ******* Filed pursuant

More information

May 28, 2015. Via Federal Express

May 28, 2015. Via Federal Express May 28, 2015 Via Federal Express Mr. Christopher J. Kirkpatrick Secretary Office of the Secretariat Commodity Futures Trading Commission Three Lafayette Centre 1155 21st Street, N.W. Washington, DC 20581

More information