TFX New Year's Trading Schedule (except for Exchange Forex Margin Transactions)
SPAN® Parameter Values and Trigger on Emergency Margin Call change on 18 December 2007.
SPAN® Parameter Values and Trigger on Emergency Margin Call change on 3 December 2007.
SPAN® Parameter Values and Trigger on Emergency Margin Call change on 3 December 2007.
Rollover of Leading Contract Month for Three-month Euroyen Futures
Listings of Over-Night Interest Rate Futures
Application of Intraday Additional Margin Call
Rollover of Leading Contract Month for Three-month Euroyen Futures
SPAN® Parameter Values and Trigger on Emergency Margin Call change on 19 June 2007.
Rollover of Leading Contract Month for Three-month Euroyen Futures
SPAN® Parameter Values and Trigger on Emergency Margin Call change on 20 March 2007.
Rollover of Leading Contract Month for Three-month Euroyen Futures
Rollover of Leading Contract Month for Three-month Euroyen Futures
Measures to Improve Convenience of Interest Rate Futures Trading
Trading of Interest Rate Financial Futures Contracts Starts 15 Minutes Earlier on 30 January 2007
Trading of Interest Rate Financial Futures Contracts Starts 15 Minutes Earlier on 26 January 2007
Trading of Interest Rate Financial Futures Contracts Starts 15 Minutes Earlier on 15 January 2007