Rulebooks: Contents

Mainboard Rules
Catalist Rules
SGX-ST Rules
CDP Clearing Rules
CDP Settlement Rules
DVP Rules [Entire Rulebook has been deleted]
CDP Depository Rules
Futures Trading Rules
SGX-DC Clearing Rules
Chapter 1 Application of Rules
Chapter 2 Clearing Membership
Chapter 3 Committees
Chapter 4 Enforcement of Rules
Chapter 5 Arbitration
Chapter 6 Delivery and Related Matters
Chapter 7 Clearing and Margins
Chapter 7A Suspension and Default
Chapter 7B Payments
Chapter 8 Mutual Offset System
Chapter 9 Definitions and Interpretation
Chapter 10 Transitional Provisions
Practice Notes
SIAC DT Arbitration Rules
SIAC DC Arbitration Rules
Rule Amendments


Each Clearing Member shall submit to the Clearing House, in the manner as prescribed from time to time:—

2.14.3A.1 a report on all its credit facilities with its financial institutions, on a monthly basis.
2.14.3A.2 any change to its credit facilities, including variation of credit limits and addition or termination of credit facilities, immediately upon such change.
2.14.3A.3 the identities of the owners or controlling parties for any House Account or Customer Account which:
a. is used for trading of Contracts or carrying of Contracts; or
b. contains positions required to be reported pursuant to Rules 7.09.1 and 7.16.1;
within such time as prescribed by the Clearing House.

Added on 22 September 2006.