ICDX RULES AND REGULATIONS

ICDX RULES AND REGULATIONS

Based on the Commodity Futures Trading Act, one of the duty of The Exchange is to established a set of rules and regulations. This set of rules and regulations functions as the guidelines in organizing an Exchange, upholded by the Exchange and its members.


Disclaimer : The English version is an unofficial translation of the original in Indonesian version for information purposes only. No liability is assumed by ICDX Group for any errors, omissions, or ambiguities in the translations provided on this website. Any person or entity that relies on translated content does so at their own risk. ICDX Group shall not be liable for any losses caused by reliance on the accuracy or reliability of translated information. If you would like to report a translation error or inaccuracy, we encourage you to please contact us. In case of a discrepancy, the original Indonesian version will prevail.



This Rules and Regulations of Indonesia Commodities and Derivatives Exchange (ICDX) has obtained approval from the Commodity Futures Trading Regulatory Agency (CoFTRA)on 31st May 2018 by virtue of Letter of Approval of Rules and Regulationsof Bursa KomoditidanDerivatif Indonesia (BKDI) number 138/BAPPEBTI/SD/05/2018.

RULES AND REGULATIONS OF
INDONESIA COMMODITIES AND DERIVATIVES EXCHANGE
(“PTT ICDX”)
2018

PART I COMMODITY FUTURES TRADING
CHAPTER I DEFINITION AND GENERAL TERMS
CHAPTER II MEMBERSHIP
CHAPTER III MANAGEMENT
CHAPTER IV COMPENSATION FUNDS
CHAPTER V TRADING MECHANISM
CHAPTER VI RIGHTS AND OBLIGATIONS
CHAPTER VII EVENT OF DEFAULT AND RULES ENFORCEMENT
CHAPTER VIII COMPLAINT HANDLING MANAGEMENT
CHAPTER IX VIOLATION AND SANCTION
CHAPTER X DISPUTE SETTLEMENT
CHAPTER XI EMERGENCY CONDITION AND FORCE MAJEURE
PART II CUSTOMER ORDER ROUTING TO OVERSEAS EXCHANGE (PALN)
CHAPTER I DEFINITION AND GENERAL PROVISIONS
CHAPTER II MEMBERSHIP
CHAPTER III MANAGEMENT
CHAPTER IV CONTRACT AND EXCHANGE LIST
CHAPTER V TRADING SYSTEM AND MECHANISM
CHAPTER VI RIGHTS AND OBLIGATIONS
CHAPTER VII RULES ENFORCEMENT
CHAPTER VIII COMPLAINT HANDLING
CHAPTER IX SANCTIONS AND VIOLATIONS
CHAPTER X DISPUTE SETTLEMENT
CHAPTER XI EMERGENCY SITUATIONS AND FORCE MAJEUR
PART III ALTERNATIVE TRADING SYSTEM (SPA)
CHAPTER I DEFINITION AND GENERAL PROVISIONS
CHAPTER II MEMBERSHIP
CHAPTER III MANAGEMENT
CHAPTER IV TRADING SYSTEM AND TRADING MECHANISM
CHAPTER V RIGHTS AND OBLIGATIONS
CHAPTER VI RULES ENFORCEMENT
CHAPTER VII COMPLAINT HANDLING MANAGEMENT
CHAPTER VIII VIOLATIONS AND SANCTIONS
CHAPTER IX DISPUTE SETTLEMENT
CHAPTER X EMERGENCY SITUATIONS AND FORCE MAJEURE
PART IV PHYSICAL MARKET
CHAPTER I DEFINITION AND GENERAL PROVISIONS
CHAPTER II MEMBERSHIP AND PARTICIPATION
CHAPTER III MANAGEMENT
CHAPTER IV TYPES AND PROVISIONS OF COMMODITY
CHAPTER V TRADING SYSTEM AND MECHANISM
CHAPTER VI RIGHTS AND OBLIGATIONS
CHAPTER VII RULES ENFORCEMENT
CHAPTER VIII COMPLAINT HANDLING MANAGEMENT
CHAPTER IX VIOLATIONS AND SANCTIONS
CHAPTER X DISPUTE SETTLEMENT
CHAPTER XI EMERGENCY SITUATIONS AND FORCE MAJEURE
TIN PHYSICAL CONTRACT
PAMP GOLD TIME CONTRACT
GOLDKR TIME CONTRACT (GOLDKR)
GOLD TYPICAL CONTRACT (GOLDKU)
GOLD TYPICAL CONTRACT (GOLDTU)
GOLD TYPICAL CONTRACT (GOLDGR)
GOLD TYPICAL CONTRACT (GOLDID)
MEMBERSHIP AND PARTNERSHIP
Number Year Description Download Information
117/SEB/BKDI-ICH/IV/2018 2018 List Of Initial Margin for Alternative Trading System (SPA) Contract
117/SE-DIR/ICDX/XII/2017 2018 Compensation Fund
31/SE-DIR/BKDI/VII/2018 2018 Stipulation Of Revision Of Indonesia Commodity and Derivatives Echange (ICDX) Rules and Regulations (Rules) -
030/SE-DIR/BKDI/II/2018 2018 Examiner and Mediator Code of Ethics -
029/SE-DIR/ICDX/II/2018 2018 Exchange Committee -
027/SE-DIR/BKDI/VII/2015 2015 Enactment of ICDX Rules and Regulations Chapter 4 on Membership and Participant (2015) -
026/SE-DIR/BKDI/VII/2015 2015 Local Tin Ingot Transaction Form -
025/SE-DIR/BKDI/VII/2015 2015 Local Tin Ingot Transaction Fees -
024/SE-DIR/BKDI/VII/2015 2015 Transaction Registration of Local Tin Ingot Contract -
023/SE-DIR/BKDI/VII/2015 2015 Enactment of Local Tin Ingot Contract -
022/SE-DIR/BKDI/VII/2015 2015 Enactment of ICDX Rules and Regulations Chapter 24 on Physical Contracts of Tin Ingot -
021/SE-DIR/BKDI/II/2015 2015 Suggested Opening Bid (SOB) and the Limit of Change in Tin Ingot Trade Prices -
020/SE/BKDI/II/2015 2015 Enactment of ICDX Rules and Regulations Chapter 36 on UBS Gold Periodic Contract -
019/SE-DIR/BKDI/II/2015 2015 Provisions of Bulletin Transaction -
18/SE/BKDI/I/2015 2015 Enactment of ICDX Rules and Regulations Chapter 24 on Physical Contracts of Tin Ingot -
17/SE-DIR/BKDI/IX/2014 2014 Determination of SOB (Suggested Opening Bid) of Tin Ingot Trade Replaced with Joint Circular BKDI 021/SE-DIR/BKDI/II/2015
16/SE-DIR/BKDI/III/2014 2014 Determination of SOB (Suggested Opening Bid) of Tin Ingot Trade Replaced with Joint Circular BKDI17/SE-DIR/BKDI/IX/2014
15/SE-DIR/BKDI/XI/2013 2013 Changes of Gold Contract Trading Hours of GOLDUD, GOLDID and GOLDGR -
14/SE-DIR/BKDI/VI/2013 2013 Mediation Mechanism of Futures Trading in the Exchange -
13/SE-DIR/BKDI/VI/2013 2013 Customer Complaint Settlement Regulations -
12/SE-DIR/BKDI/03/2013 2013 Reporting and Registration of SPA Transaction with Minimum Volume of 0.1 Lot for ICDX Futures Brokers Members -
11/SE-DIR/BKDI/X/2012 2012 Changes of Gold Contract Trading Hours of GOLDUD, GOLDID and GOLDGR -
10/SE-DIR/BKDI/10/2012 2012 Imposition of Membership Fees for ICDX Members Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
09/SE-DIR/BKDI/09/2012 2012 Imposition of Monthly Multilateral Fees for ICDX Members -
08/SE-DIR/BKDI/03/2012 2012 Stipulation of Membership Transfer Fee for ICDX Members Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
07/SE-DIR/BKDI/03/2012 2012 Determination of Non Transfer Period for Exchange Members -
06/SE-DIR/BKDI/01/2012 2012 Determination of Suggested Opening Bid (SOB) for Tin Ingot Physical Contract Trade Replaced with Joint Circular BKDI 021/SE-DIR/BKDI/II/2015
05/SE/BKDI/02/2011 2011 Change of Trading Hours of GOLDGR Futures Contract -
04/SE/BKDI/09/2010 2010 Client's Encoding -
03/SE/BKDI/09/2010 2010 Increase in Initial Margin -
02/SE/BKDI/08/2010 2010 CPOTR Contract Adjustment -
01/SE/BKDI/07/2010 2010 Daily Settlement Price Determination Procedure for CPOTR Futures Contracts -
03/SE/BKDI/10/2009 2009 Stipulation of Financial Liabilities for Prospective Future Exchange Members Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
02/SE/BKDI/07/09 2009 Basic Capital and Paid-up Capital Requirements -
001/SE/BKDI/07/09 2009 Application for Exchange Membership
Number Year Description Download Information
116/SEB/BKDI-ICH/II/2018 2017 Collateral for Tin Ingot Transaction -
115/SEB/BKDI-ICH/XII/2017 2017 Collateral for Tin Ingot Transaction -
114/SEB/BKDI-ICH/VII/2017 2017 Collateral for Tin Ingot Transaction -
113/SEB/BKDI-ICH/VII/2017 2017 Collateral for Tin Ingot Transaction -
112/SEB/BKDI-ICH/V/2017 2017 Collateral for Tin Ingot Transaction -
111/SEB/BKDI-ICH/V/2017 2017 - -
110/SEB/BKDI-ICH/III/2017 2017 Membership Fee and Financial Obligation -
109/SEB/BKDI-ICH/III/2017 2017 Collateral for Tin Ingot Transaction -
108/SEB/ICH/II/2017 2017 Standing Instruction For Tin Ingot Physical Contract -
107/SEB/BKDI-ICH/XI/2016 2016 Collateral for Tin Ingot Transaction -
106/SEB/BKDI-ICH/XI/2016 2016 -
105/SEB/BKDI-ICH/XI/2016 2016 Product List and Paln Transactions Fees -
104/SEB/BKDI-ICH/XI/2016 2016 Bulletin Transactions -
103/SEB/BKDI-ICH/XI/2016 2016 Transaction Settlement of Tin Ingot Physical Contract -
102/SEB/BKDI-ICH/IX/2016 2016 Exchange Fee Transaction and Clearing Fee for Rubber Physical Contract -
101/SEB/BKDI-ICH/IX/2016 2016 Collateral of Rubber Physical Contract -
100/SEB/BKDI-ICH/IX/2016 2016 Collateral for Tin Ingot Transaction -
099/SEB/BKDI-ICH/VI/2016 2016 Margin Adjustment For Contract For Difference (CFD) -
098/SEB/BKDI-ICH/IV/2016 2016 Collateral for Tin Ingot Transaction -
097/SEB/BKDI-ICH/III/2016 2016 Collateral for Tin Ingot Transaction Replaced with Joint Circular 098/BKDI-ICH/IV/2016
096/SEB/BKDI-ICH/III/2016 2016 Collateral for Tin Ingot Transaction -
095/SEB/BKDI-ICH/III/2016 2016 Collateral for Tin Ingot Transaction Replaced with Joint Circular 097/BKDI-ICH/IV/2016
094/SEB/BKDI-ICH/II/2016 2016 Collateral for Tin Ingot Transaction Replaced with Joint Circular 095/BKDI-ICH/III/2016
093/SEB/BKDI-ICH/XII/2015 2015 Collateral for Tin Ingot Transaction Replaced with Joint Circular 094/BKDI-ICH/II/2016
092/SEB/BKDI-ICH/XI/2015 2015 Collateral for Tin Ingot Transaction Replaced with Joint Circular 093/SEB/BKDI-ICH/XII/2015
091/SEB/BKDI-ICH/X/2015 2015 Provision on Exceptional Bonafide Transaction -
090/SEB/BKDI-ICH/X/2016 2015 Enforcement of Article 26A Ministry of Trade Republic of Indonesia Regulation Number 33/M-DAG/PER/5/2015 on Conformation to Registered Exporters (ET) of Tin Ingot at the latest on November 1st 2015 -
089/SEB/BKDI-ICH/IX/2015 2015 Completion of Degresif Cost of Reporting and Registration of SPA Transaction -
088/SEB/BKDI-ICH/VIII/2015 2015 Impact of Changing the name of Clearing House from ISI into ICH -
087/SEB/BKDI-ICH/VII/2015 2015 Revocation of Joint Circular Number 077/SEB/BKDI-ISI/II/2015 on the Period of Extension for Financial Settlement -
086/SEB/BKDI-ICH/VII/2015 2015 Bonafide Trade Terms -
085/SEB/BKDI-ICH/VII/2015 2015 The Obligations of Seller and Buyer Related to the Regulation of The Minister of Trade Republic Indonesia Number 33/MDAG/PER/5/2015 -
084/SEB/BKDI-ISI/VI/2015 2015 Collateral for Tin Ingot Transaction -
083/SEB/BKDI-ISI/VI/2015 2015 Tin Ingot Transaction Fee -
082/SEB/BKDI-ISI/III/2015 2015 The List Changes of Replace UBS GOLD -
081/SEB/BKDI-ISI/III/2015 2015 Membership Financial Obligations With Joint Circular No.110/SEB/BKSI-ICH/III/2017
080/SEB/BKDI-ISI/III/2015 2015 The List of Replace UBS Gold Replaced with Joint Circular BKDI 082/SEB/BKDI-ISI/III/2015
079/SEB/BKDI-ISI/III/2015 2015 Initial Margin and Transaction Fee for UBS Gold Periodic Contract -
078/SEB/BKDI-ISI/II/2015 2015 Terms and Conditions of Quality Category of Contract Code of Tin Ingot -
077/SEB/BKDI-ISI/I/2015 2015 The Period of Extension Financial Settlement Replaced with Joint Circular BKDI 087/SEB/BKDI-ICH/VII/2015
076/SEB/BKDI-ISI/II/2015 2015 Shipping Obligations on Tin Ingot Transaction -
075/SEB/BKDI-ISI/I/2015 2015 The Addition of A Port List for Loading Tin Ingot -
074/SEB/BKDI-ISI/I/2015 2015 Amendment of List of Futures Contract Products in Customer’s Order Routing to Foreign Exchanges (PALN) and PALN Transaction Fee -
073/SEB/BKDI-ISI/I/2015 2015 Implementation of Collateral for Tin Ingot Transaction -
072/SEB/BKDI-ISI/X/2014 2014 Terms and Conditions for the Delivery and Storage of Pure Tin Ingot -
071/SEB/BKDI-ISI/X/2014 2014 Extension of Special Limited Bonafide Trade Implementation Expired until October 29, 2014
070/SEB/BKDI-ISI/X/2014 2014 Terms of the Special Limited Bonafide Trade Expired until October 31, 2014
069/SEB/BKDI-ISI/X/2014 2014 Daily Settlement Price Calculation For Futures Contract CPOTR -
068/SEB/BKDI-ISI/X/2014 2014 Daily Settlement Price Calculation for OLEINTR Futures Contract -
067/SEB/BKDI-ISI/IX/2014 2014 The Provision of Tin Ingot Vessel -
066/SEB/BKDI-ISI/IX/2014 2014 The Settlement of Tin Ingot Transaction through Alternative Delivery Procedure (ADP) -
065/SEB/BKDI-ISI/IX/2014 2014 Terms and Conditions of Quality Category Contract Code of Tin Ingot Replaced with Joint Circular BKDI 078/SEB/BKDI-ISI/II/2015
064/SEB/BKDI-ISI/VIII/2014 2014 Bonafide Trade Provisions Replaced with Joint Circular BKDI 086/SEB/BKDI-ICH/VII/2015
063/SEB/BKDI-ISI/III/2014 2014 Stock Split Google Inc -
062/SEB/BKDI-ISI/III/2014 2014 Determination of Bonafide Transaction Fee for Tin Ingot Replaced with Joint Circular BKDI 083/SEB/BKDI-ISI/VI/2015
061/SEB/BKDI-ISI/III/2014 2014 Completion of Terms and Conditions of Bonafide Transaction Mechanisms on The Tin Ingot Transaction Replaced with Joint Circular BKDI 064/SEB/BKDI-ISI/VIII/2014
060/SEB/BKDI-ISI/III/2014 2014 The Addition of Tin Ingot Loading Ports Replaced with Joint Circular BKDI 075/SEB/BKDI-ISI/I/2015
059/SEB/BKDI-ISI/III/2014 2014 Changes of Turnover Spot Month Day on Index FTSE Futures and DAX Futures -
058/SEB/BKDI-ISI/II/2014 2014 Futures Contract Products in Customer’s Order Routing to Foreign Exchanges (PALN) and PALN Transaction Fee Replaced with Joint Circular 074/SEB/BKDI-ISI/I/2015
057/SEB/BKDI-ISI/I/2014 2014 Terms and Conditions of Tin Ingot Delivery Replaced with Joint Circular BKDI 072/SEB/BKDI-ISI/X/2014
056/SEB/BKDI-ISI/I/2014 2014 -
055/SEB/BKDI-ISI/I/2014 2014 Initial Margin, Transaction Fee and SEP Conversion The PAMP Gold Contract -
054/SEB/BKDI-ISI/I/2014 2014 Provisions in the Trading of Gold Contracts PAMPGRID and PAMPKGUD -
053/SEB/BKDI-ISI/I/2014 2014 The Mecanishm of Replacing Gold PAMP Certificate to Gold Phisically in PAMPGRID Contract Gold -
052/SEB/BKDI-ISI/XII/2013 2013 The Minimum Price Change of SPA Spot Silver Products -
051/SEB/BKDI-ISI/XII/2013 2013 The Alteration in Trading Hours & Spot Month Trading Day Product of SPA Index Dow Jones Products, Nasdaq Index and S & P 500 Index -
050/SEB/BKDI-ISI/XII/2013 2013 The Exchange for Physical (EFP) Mechanism in the Gold Contract of PAMPGRID and PAMPKGUD -
049/SEB/BKDI-ISI/XII/2013 2013 The Completion of Reporting Fees & SPA Transaction Registration Replaced with Joint Circular 089/SEB/BKDI-ICH/IX/2015
048/SEB/BKDI-ISI/XII/2013 2013 Determination of Tin Ingot Loading Ports Replaced with Joint Circular 060/SEB/BKDI-ISI/III/2014
047/SEB/BKDI-ISI/XI/2013 2013 Implementation of Terms and Provisions of Tin Ingot Transaction -
046/SEB/BKDI-ISI/X/2013 2013 Provisions of Bonafide Transaction on Tin Ingot Trading. Replaced with Joint Circular 061/SEB/BKDI-ISI/III/2014
045/SEB/BKDI-ISI/IX/2013 2013 The Alteration Related to Change of Nikkei CFD Contract on Spot Month Day -
044/SEB/BKDI-ISI/IX/2013 2013 The Stipulation of Special Policies Related to The Tin Exchange Membership Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
043/SEB/BKDI-ISI/VIII/2013 2013 The Stipulation of Tin Ingot Membership Fees. Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
042/SEB/BKDI-ISI/VIII/2013 2013 Margin for Buyer and Transaction Fee for Physical Contract Trading of Tin Ingot Replaced with Joint Circular 073/SEB/BKDI-ISI/I/2015
041/SEB/BKDI-ISI/VIII/2013 2013 Implementation of Tin Ingot Physical Contract -
040/SEB/BKDI-ISI/VII/2013 2013 Reporting Fee And Transaction Registration In the Alternative Trading System For Single Stock CFD Derivative Contracts Replaced with Joint Circular 049/SEB/BKDI-ISI/XII/2013
039/SEB/BKDI-ISI/VI/2013 2013 Revocation of Joint Circular 023/SEB/BKDI-ISI/V/2012 on Imposition of Monthly Fees on BKDI-ISI Replaced with Joint Circular 081/SEB/BKDI-ISI/III/2015
038/SEB/BKDI-ISI/IV/2013 2013 Initial Margin of Contract Product GOLDUD & GOLDID -
037/SEB/BKDI-ISI/IV/2013 2013 Initial Margin of Foreign Exchange Contract -
036/SEB/BKDI-ISI/III/2013 2013 Additional Session of Trading for SPA Contract CFD Hang Seng -
035/SEB/BKDI-ISI/III/2013 2013 The Additions In the SPA List of CFD US Stocks and HK Stocks -
034/SEB/BKDI-ISI/II/2013 2013 Futures Contract Products Traded through Customer’s Order Routing to Foreign Exchanges (PALN) and Provisions of PALN Transaction Fee Replaced with Joint Circular 058/SEB/BKDI-ISI/II/2014
033/SEB/BKDI-ISI/II/2013 2013 Additions In The List of SPA CFD US Stocks -
032/SEB/BKDI-ISI/XI/2012 2012 Reporting Costs And Transaction Registration In Alternative Trading System For Contract Specifications Based on Letter No. 180 / BAPPEBTI / SD / 11/2012 Replaced with Joint Circular 049/SEB/BKDI-ISI/XII/2013
031/SEB/BKDI-ISI/X/2012 2012 Changes of List SPA CFD US Stocks -
030/SEB/BKDI-ISI/X/2012 2012 Changes of Daily Settlement Price of CFD DAX & FTSE SPA Products -
029/SEB/BKDI-ISI/X/2012 2012 Changes Of Corporate Register On SPA Specifications of CFD US Stocks -
028/SEB/BKDI-ISI/X/2012 2012 Changes of Trading Hours SPA Product of CFD HONGKONG STOCKS -
027/SEB/BKDI-ISI/VII/2012 2012 Enactment of Revised Contract of INATIN Replaced with Joint Circular 041/SEB/BKDI-ISI/VIII/2013
026/SEB/BKDI-ISI/VII/2012 2012 Initial Margin, Transaction Fees and Fee for Submission of Gold Futures Contract Products Replaced with Joint Circular 038/SEB/BKDI-ISI/IV/2013
025/SEB/BKDI-ISI/VII/2012 2012 Transaction Fees of Foreign Exchange Contract -
024/SEB/BKDI-ISI/06/2012 2012 Additions of Companies in Single Stock CFD List -
023/SEB/BKDI-ISI/05/2012 2012 Imposition of Monthly Fees BKDI-ISI Replaced with Joint Circular 039/SEB/BKDI-ISI/VI/2013
022/SEB/BKDI-ISI/05/2012 2012 Customer’s Order Routing to Foreign Exchanges (PALN) and Terms of Transaction Fees PALN Replaced with Joint Circular 034/SEB/BKDI-ISI/II/2013
021/SEB/BKDI-ISI/04/2012 2012 Reporting Fees And Transaction Registration In Alternative Trading System Replaced with Joint Circular 049/SEB/BKDI-ISI/XII/2013
020/SEB/BKDI-ISI/03/2012 2012 Daily Settlement Price Calculation For OLEINTR Futures Contract Replaced with Joint Circular 068/SEB/BKDI-ISI/X/2014
019/SEB/BKDI-ISI/03/2012 2012 Changes of Reporting Fees and Transaction Registration in Alternative Trading Systems Replaced with Joint Circular 021/SEB/BKDI-ISI/04/2012
018/SEB/BKDI-ISI/02/2012 2012 Daily Settlement Price Calculation For CPOTR Futures Contract Replaced with Joint Circular 069/SEB/BKDI-ISI/X/2014
017/SEB/BKDI-ISI/I/2012 2012 Determination of Costs of Membership on Tin Ingot Trade Replaced with Joint Circular 043/SEB/BKDI-ISI/VIII/2013
016/SEB/BKDI-ISI/I/2012 2012 Margin for Buyer and Transaction Fees of Tin Ingot Physical Contract Trade Replaced with Joint Circular 042/SEB/BKDI-ISI/VIII/2013
015/SEB/BKDI-ISI/XII/2011 2011 Determination of Initial Margin and Transaction Fees of OLEINTR Futures Contract -
014/SEB-DIR/BKDI-ISI/11/2011 2011 Contract Specifications, Margin And Reporting Fee & SPA Product Registration -
013/SEB-DIR/BKDI-ISI/10/2011 2011 Reporting And Transaction Registration Of CFD and Crude Oil. -
012/SEB-DIR/BKDI-ISI/09/2011 2011 Initial Margin Adjustment of GOLDGR Gold Contract Replaced with Joint Circular 026/SEB/BKDI-ISI/VII/2012
011/SEB/BKDI-ISI/08/2011 2011 PALN Products and Provisions of PALN Fees Replaced with Joint Circular 022/SEB/BKDI-ISI/V/2012
010/SEB/BKDI-ISI/VI/2011 2011 INITIAL MARGIN PALN -
09/SEB/BKDI-ISI/IV/2011 2011 Determination of Initial Margin, Transaction Fees and PALN. Replaced with Joint Circular 026/SEB/BKDI-ISI/VII/2012
08/SEB/BKDI-ISI/IV/2011 2011 Daily Settlement Price Calculation For GOLDUD AND GOLDID Futures Contract -
07/SEB/BKDI-ISI/III/2011 2011 Daily Settlement Price Calculation For GOLDGR Futures Contract -
06/SEB/BKDI-ISI/II/2011 2011 Determination OF Transaction Fees AND Clearing Services Of GOLD Futures Contract GOLDUD, GOLDID, GOLDKR AND GOLDKU -
05/SEB/BKDI-ISI/I/2011 2011 Determination Of Exchange Transaction Fees And Clearing Services OF Foreign Futures Contract On PALN Transaction. -
04/SEB/BKDI-ISI/X/2010 2010 Determination Of Transaction Fees And Clearing Services Of GOLD Futures Contract, GOLDUD, GOLDID, GOLDKR AND GOLDKU -
03/SEB/BKDI-ISI/V/2010 2010 Determination Of Transaction Fees And Clearing Of CPOTR Contract. -
02/SEB/BKDI-ISI/XII/2009 2009 Exemption Of Exchange Transactioan Fees And Contract Clearing Services. -
01/SEB/BKDI-ISI/XI/2009 2009 Deteremination Of Exchange Transaction Fees And Clearing Services Of GOLDGR Contract -

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