Notice

Published Date

Notice Title

O 018-12

May 18, 2012

Memorial Day OM & VM Processing Schedule

O 017-12

May 18, 2012

Memorial Day Processing

O 016-12

May 16, 2012

Position Change Submission "PCS" Implementation

O 015-12

May 5, 2012

Commodity Futures Trading Commission Regulation 39.13(g)(8)(ii)

O 014-12

May 3, 2012

Customer Margin Requirements For Non-Hedge Positions

C 002-12

May 1, 2012

Submission of CFTC Forms 102

C 001-12

May 1, 2012

Clearing Member Risk Management Policies and Procedures

O 013-12

Apr 30, 2012

Clearing Member Customer Initial Margin Requirements and Withdrawal of Funds

O 012-12

Apr 27, 2012

Guaranty Fund Re-Size

O 011-12

Mar 27, 2012

Good Friday Trading Calendar Amendment

O 010-12

Mar 23, 2012

Cross-Margining of Market Professional Activity

O 009-12

Mar 21, 2012

Good Friday Processing

O 008-12

Mar 21, 2012

Good Friday OM & VM Processing Schedule

O 007-12

Mar 9, 2012

NYPC PRIME

O 006-12

Mar 07, 2012

Clearing Fees Update 3-22-12

O 005-12

Feb 23, 2012

Guaranty Fund Re-Size

O 004-12

Feb 07, 2012

Presidents Day Holiday Processing 2012

O 003-12

Feb 07, 2012

Presidents Day Holiday OM & VM Processing 2012

O 002-12

Jan 11, 2012

MLK Day Holiday Processing 2012

O 001-12

Jan 09, 2012

MLK Day OM & VM Processing Schedule

O 031-11

Dec 12, 2011

Christmas New Year's Day Holiday Processing 2011-2012

O 030-11

Nov 16, 2011

Thanksgiving Day Holiday Processing

O 029-11

Nov 16, 2011

Thanksgiving Day OM & VM Processing Schedule

O 028-11

Nov 8, 2011

Veterans Day OM & VM Processing Schedule

O 027-11

Oct 31, 2011

MF Global Inc.

O 026-11

Oct 06, 2011

Columbus Day OM & VM Processing Schedule

O 025-11

Sep 22, 2011

FIA Disaster Recovery Test - Ping Test

O 024-11

Sep 15, 2011

Average Price Trades Reporting Requirement

O 023-11

Aug 28, 2011

Hurricane Irene Update

O 022-11

Aug 17, 2011

Labor Day OM & VM Processing Schedule

O 021-11

Aug 17, 2011

Labor Day Processing 2011

O 020-11

Aug 07, 2011

Status of NYPC Activities in Light of S&P Rating Change

O 019-11

Jul 26, 2011

Guaranty Fund Re-Size

O 018-11

Jun 23, 2011

Guaranty Fund Re-Size

O 017-11

Jun 23, 2011

Independence Day OM & VM Processing Schedule

O 016-11

Jun 23, 2011

Independence Day Processing 2011

O 015-11

Jun 20, 2011

Clearing Fee Reminder

O 014-11

Jun 03, 2011

NYPC Notice - Production- Test Environment

O 013-11

May 27, 2011

Memorial Day Original & Variation Margin Processing Schedule

O 012-11

May 25, 2011

Memorial Day Processing 2011

O 011-11

May 11, 2011

Guaranty Fund Re-Size

O 010-11

May 11, 2011

Original Margin [Revised]

O 009-11

May 11, 2011

Guaranty Fund [Revised]

O 008-11

May 6, 2011

NYPC Original Margin & Guaranty Fund Collateral Haircuts

O 007-11

April 8, 2011

RTTM Change

C 001-11

April 1, 2011

Financial Reporting Requirements

O 006-11

March 17, 2011

Variation Margin Requirements

O 005-11

March 3, 2011

Position Transfers

O 004-11

March 3, 2011

Original Margin

O 003-11

March 3, 2011

Guaranty Fund

O 002-11

March 3, 2011

NYSE Deliveries

O 001-11

March 3, 2011

Clearing Fees