7.2.4 Restriction of Activities of Members, Approved Traders or Registered Representatives (1 April 2014) Futures Trading Rules >> Chapter 7 Adverse Events, Rule Violations and Disciplinary Action >> 7. Overview of Adverse Events, Rule Violations and Disciplinary Action >> 7.2 Exchange's Disciplinary Powers
2.6.4 Audit Trails and Records (1 April 2014) Futures Trading Rules >> Chapter 2 Access and Membership >> 2.6 Technical Matters and Risk Management Controls >> 2. Overview of Access and Membership
2.5.4 Additional Financial, Capital and Other Requirements Imposed by the Exchange or the Clearing House (1 April 2014) Futures Trading Rules >> Chapter 2 Access and Membership >> 2.5 Financial Requirements for Members >> 2. Overview of Access and Membership
2.1.4 Trading Capacity — House and Agency (1 April 2014) Futures Trading Rules >> Chapter 2 Access and Membership >> 2.1 Access and Trading >> 2. Overview of Access and Membership
3.3.31 Prohibition Against General Trading Member Acting as Guarantor (1 April 2014) Futures Trading Rules >> Chapter 3 Conduct of Members, Approved Traders and Representatives >> 3. Conduct of Members, Approved Traders and Registered Representatives >> 3.3 Duties of Members Undertaking Agency Trades