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TMX | CDCC | Member Notices Home About CDCC About CDCC About CDCC CDCC CDCC CDCC Biographies Senior Management Legal Entity Identifier (LEI) Membership List FAQ Useful Links Operations Operations Operations Member Support Effective Member Communications IT Operations Services Applying for Membership CDCC Holiday Schedule Foreign Currency Holiday Schedule Exchange-Traded Exchange-Traded Exchange-Traded Equity Fixed Income Foreign Exchange Converge Converge Converge What is Converge Specifications of Customized Transactions Acceptable for Clearing Fees SGC Notes Repo Risk Management Risk Management Risk Management Risk Management Risk Management Risk Management Membership Standards Margining Clearing Fund Collateral Default Management Client Protection Regime Files & Publications Files & Publications Files & Publications Publications Publications Publications Member Notices Delivery Reports CDCC Rules CDCC By-Laws CDCC Governance Quantitative Disclosure Qualitative Disclosure Other Files Files Files Risk Parameters Files Margin Intervals Files Eligible Collateral for Pledging Files Close-out Periods Files Concentration Thresholds Files Volatility Scan Range Files Other Other Other Expiry Schedule Clearing Fees Powered by SOLA® Clearing Member Login Careers Français CDCC Search... Search Search Site HOME About CDCC About CDCC Canadian Derivatives Clearing Corporation (CDCC), a wholly-owned subsidiary of the Montréal Exchange (MX), acts as the central clearing counterparty for exchange-traded derivative products in Canada and for a growing range of customized financial instruments. CDCC's role is to ensure the integrity and stability of the markets that it supports. CDCC Biographies Senior Management Legal Entity Identifier (LEI) Membership List FAQ Useful Links Operations Member Support Effective Member Communications IT Operations Services Applying for Membership CDCC Holiday Schedule Foreign Currency Holiday Schedule Exchange-Traded Exchange-Traded CDCC issues and clears all derivative products traded on MX. Equity MX offers individual and institutional investors, both in Canada and abroad, a wide range of equity, exchange-traded fund (ETF) and index derivative products that are cleared by CDCC. Fixed Income MX offers individual and institutional investors, both in Canada and abroad, a complete range of interest rate derivative products that are cleared by CDCC. Foreign Exchange MX offers individual and institutional investors, both in Canada and abroad, currency derivative products that are cleared by CDCC. Converge Converge Converge offers customized central counterparty clearing services. What is Converge Specifications of Customized Transactions Acceptable for Clearing Fees SGC Notes Repo Risk Management Risk Management Risk Management Membership Standards Margining Clearing Fund Collateral Default Management Client Protection Regime Files & Publications Files & Publications Publications Member Notices Delivery Reports CDCC Rules CDCC By-Laws CDCC Governance Quantitative Disclosure Qualitative Disclosure Other Files Risk Parameters Files Margin Intervals Files Eligible Collateral for Pledging Files Close-out Periods Files Concentration Thresholds Files Volatility Scan Range Files Other Expiry Schedule Clearing Fees Home Files & Publications Publications Member Notices Member Notices Year: –––– 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 Search: Year Date Number Title 2026 August 11, 2026 115-26 Fixed Income Securities Eligible for Trading 2026 August 11, 2026 114-26 Anticipated Contract Adjustment - H&R Real Estate Investment Trust (HR.UN) - Plan of Arrangement 2026 August 10, 2026 113-26 Anticipated Contract Adjustment - NGEx Minerals Limited (NGEX) - Plan of Arrangement 2026 August 6, 2026 112-26 NEW PRODUCT - Listing of Options on the S&P/TSX60 Mini Index 2026 July 31, 2026 111-26 Final Contract Adjustment - Orla Mining Ltd. (OLA-EQX1) - Plan of Arrangement 2026 July 30, 2026 110-26 Criteria for Eligibility of Securities Underlying Options 2026 July 29, 2026 109-26 Termination of Deal - Allied Gold Corporation (AAUC) - Plan of Arrangement 2026 July 22, 2026 108-26 Fixed Income Securities Eligible for Trading 2026 July 22, 2026 107-26 Anticipated Contract Adjustment - Brookfield Renewable Partners (BEP) & Brookfield Renewable Corporation (BEPC) - Plan Of Arrangement 2026 July 21, 2026 106-26 Fixed Income Securities Eligible for Trading 2026 July 20, 2026 105-26 Request for comments: Amendments to the Rules and Manuals of the Canadian Derivatives Clearing Corporation to modify Key Specifications of the 30-Year Government of Canada Bond Futures (LGB) 2026 July 16, 2026 104-26 Fixed Income Securities Eligible for Trading 2026 July 15, 2026 103-26 New Equity Options Classes 2026 July 14, 2026 102-26 Fixed Income Securities Eligible for Trading 2026 July 10, 2026 101-26 New Equity and CDR Options Classes 2026 July 10, 2026 100-26 Re-Introduction of an Option Class 2026 July 9, 2026 099-26 Final Contract Adjustment - Paramount Resources (POU1) - Plan of Arrangement (Follow-Up) 2026 July 8, 2026 098-26 No Contract Adjustment - Amerigo Resources Ltd. (ARG) - Performance Dividend 2026 July 7, 2026 2026-26 Erratum – Deliverable - Paramount Resources Limited. (POU) - Special Dividend & Distribution 2026 July 7, 2026 097-26 Erratum – Deliverable - Paramount Resources Limited. (POU) - Special Dividend & Distribution 2026 July 3, 2026 096-26 Anticipated Contract Adjustment - Brookfield Corporation (BN) - Plan Of Arrangement 2026 July 2, 2026 095-26 Final Contract Adjustment - Discovery Silver Corp (DSV) - Cusip And Name Change 2026 July 2, 2026 094-26 Final Plan Of Arrangement - Paramount Resources Limited. (POU) - Special Dividend & Distribution 2026 June 29, 2026 093-26 Fixed Income Securities Eligible for Trading 2026 June 29, 2026 092-26 Request for Comments: Amendments to the Rules of the Canadian Derivatives Clearing Corporation to introduce S&P/TSX 60 Mini Index Options and Daily Expiries 2026 June 25, 2026 091-26 Re-Introduction of an Option Class 2026 June 25, 2026 090-26 Updated Foreign Currency Haircut Deposited as Collateral 2026 June 23, 2026 089-26 Updated Haircuts on Government Securities Deposited as Collateral 2026 June 16, 2026 088-26 Fixed Income Securities Eligible for Trading 2026 June 15, 2026 087-26 Fixed Income Securities Eligible for Trading 2026 June 11, 2026 086-26 Final Contract Adjustment - Lundin Gold Inc. (LUG- LUG2) - Special Share Dividend Distribution Follow-Up) 2026 June 8, 2026 085-26 Re-Introduction of an Equity Option Classes 2026 June 5, 2026 084-26 ERRATUM – Deliverable Lundin Gold Inc. (LUG & LUG2) - Special Share Dividend Distribution 2026 June 5, 2026 083-26 Final Contract Adjustment - Seagate Gold Inc. (SEA1) - Plan of Arrangement (Follow-Up) 2026 June 4, 2026 082-26 Final Plan of Arrangement - Seabridge Gold Inc. (SEA) - Spin-off 2026 June 3, 2026 081-26 Trading by U.S. Residents 2026 June 3, 2026 080-26 Fixed Income Clearing – Eligible Clearing Members and the associated CUIDs 2026 June 3, 2026 079-26 Approved Depositories 2026 June 3, 2026 078-26 Final Contract Adjustment - Frontera Energy Corp. (FEC) - Special Cash Dividend 2026 June 3, 2026 077-26 Final Contract Adjustment - Lundin Gold Inc. (LUG) - Special Share Dividend Distribution 2026 June 1, 2026 076-26 Fixed Income Securities Eligible for Trading 2026 May 28, 2026 075-26 Amendments to the List of Fees (effective on July 2nd, 2026) 2026 May 25, 2026 074-26 Re-Introduction of ETF Option Classes - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) -BetaPro Crude Oil Inverse Leveraged Daily Bear ETF (HOD) 2026 May 22, 2026 073-26 Final Contract Adjustment - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) - Reverse Split 2026 May 22, 2026 072-26 Final Contract Adjustment - BetaPro Crude Oil Inversed Leveraged Daily Bear ETF (HOD) - Reverse Split 2026 May 21, 2026 071-26 Fixed Income Securities Eligible for Trading 2026 May 20, 2026 070-26 Fixed Income Securities Eligible for Trading 2026 May 20, 2026 069-26 Final Contract Adjustment - Beta Pro Canadian Gold Miners 2x Daily Bull ETF (GDXU) - Stock Split 2026 May 13, 2026 068-26 Anticipated Contract Adjustment - Orla Mining Ltd. (OLA) - Plan of Arrangement 2026 May 8, 2026 067-26 New Equity Options Classes 2026 May 6, 2026 066-26 Fixed Income Securities Eligible For Trading 2026 May 6, 2026 065-26 ERRATUM - Re-Introduction of an Option Class 2026 May 5, 2026 064-26 Final Contract Adjustment - SunOpta Inc. (SOY) - Plan of Arrangement 2026 May 5, 2026 063-26 Re-Introduction of an Option Class 2026 May 4, 2026 062-26 Final Contract Adjustment - Thomson Reuters Corporation (Tri-Tri1) - Plan of Arrangement (Follow-Up) 2026 May 1, 2026 061-26 Final Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement 2026 April 30, 2026 060-26 Criteria for Eligibility of Securities Underlying Options 2026 April 28, 2026 059-26 Final Contract Adjustment - ECN Capital Corporation (ECN) - Plan of Arrangement 2026 April 27, 2026 058-26 Anticipated Contract Adjustment - ARC Resources Limited (ARX & FAX) - Plan of Arrangement 2026 April 22, 2026 057-26 Fixed Income Securities Eligible for Trading 2026 April 21, 2026 056-26 Fixed Income Securities Eligible for Trading 2026 April 20, 2026 055-26 NEW EQUITY OPTIONS CLASSES 2026 April 17, 2026 054-26 ANTICIPATED CONTRACT ADJUSTMENT - First Capital REIT (FCR.UN) - Plan of Arrangement 2026 April 16, 2026 053-26 Final Contract Adjustment - Foran Mining Corp. (FOM - ELD1) - Plan of Arrangement (Follow-Up) 2026 April 15, 2026 052-26 Final Contract Adjustment - Foran Mining Corporation (FOM) - Plan of Arrangement 2026 April 13, 2026 051-26 ANTICIPATED CONTRACT ADJUSTMENT - GFL Environmental Inc (GFL) & SECURE Waste Infrastructure (SES) - Acquisition 2026 April 9, 2026 050-26 Fixed Income Securities Eligible for Trading 2026 April 8, 2026 049-26 Fixed Income Securities Eligible for Trading 2026 April 7, 2026 048-26 Anticipated Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement 2026 April 7, 2026 047-26 Threshold and Surcharge Values for the Additional Margin for Market Liquidity Risk of FTSE Canada Bank Credit Index Futures (BCS) 2026 April 6, 2026 046-26 NEW EQUITY OPTIONS CLASSES 2026 April 2, 2026 045-26 FINAL CONTRACT ADJUSTMENT Bitfarms Ltd (BITF) Plan of arrangement 2026 March 30, 2026 044-26 Fixed Income Securities Eligible for Trading 2026 March 26, 2026 043-26 Anticipated Contract Adjustment - Boralex Inc. (BLX) - Plan of Arrangement 2026 March 26, 2026 042-26 Correction to the OCR in the SPAN File 2026 March 24, 2026 041-26 Fixed Income Securities Eligible for Trading 2026 March 24, 2026 040-26 Re-Introduction of an Option Class 2026 March 23, 2026 039-26 Fixed Income Securities Eligible for Trading 2026 March 20, 2026 038-26 New Equity and ETF Options Classes 2026 March 19, 2026 037-26 Fixed Income Securities Eligible for Trading 2026 March 19, 2026 036-26 Self-Certification: Amendments to the Rules and Risk Manual of the Canadian Derivatives Clearing Corporation to introduce FTSE Canada Bank Credit Index Futures 2026 March 16, 2026 035-26 Final Contract Adjustment - Transcontinental Inc. (TCL) - Special Cash Dividend 2026 March 16, 2026 034-26 Galaxy Digital Inc (GLXY) - Delisting 2026 March 10, 2026 033-26 Final Contract Adjustment - Northwest Healthcare Properties Real Estate Investment Trust (NWH) - Name, CUSIP and Symbol Change 2026 March 10, 2026 032-26 Updated Foreign Currency Haircut Deposited as Collateral 2026 March 10, 2026 031-26 Updated Haircuts on Government Securities Deposited as Collateral 2026 March 4, 2026 030-26 Final Contract Adjustment - Micron CDR (MU) - Stock Split 2026 March 2, 2026 029-26 Fixed Income Securities Eligible for Trading 2026 February 25, 2026 028-26 Listing of FTSE Canada Ban…