Circulars

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Year Date Number Title
2024 October 11, 2024 117-24 Updated List of Fines for Minor Violations
2024 October 8, 2024 116-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 October 8, 2024 115-24 New Equity Options Classes
2024 October 4, 2024 114-24 Anticipated Contract Adjustment - SilverCrest Metals Inc. (SIL) - Plan of Arrangement
2024 October 3, 2024 113-24 Final Contract Adjustment - Granite Real Estate Investment Trust Inc. (GRT) - Unit Reclassification and CUSIP Change
2024 October 2, 2024 112-24 Re-Introduction of an Option Class and Share Future Contracts - TC Energy Corporation (TRP & FRP)
2024 September 30, 2024 111-24 Issuance of 1256 ruling
2024 September 27, 2024 110-24 Penny Program – Addition of classes
2024 September 27, 2024 109-24 Additions and Deletions of Weekly Equity and ETF Options Classes
2024 September 23, 2024 108-24 Self-certification – Proposed amendments to the Rules of the Bourse de Montréal to waive the application of Blocking Statutes
2024 September 23, 2024 107-24 Final Contract Adjustment - TC Energy Corporation (TRP & FRP) - Plan of Arrangement
2024 September 16, 2024 106-24 New ETF Option Class
2024 September 16, 2024 105-24 Position Limits—Government of Canada Bond Listed Products (All Months)
2024 September 12, 2024 104-24 FCQU24 Open Interest Dissemination
2024 August 29, 2024 103-24 Position Limits — Government of Canada Bond Listed Products (Spot Month)
2024 August 28, 2024 102-24 New ETF Options Classes - ERRATUM
2024 August 27, 2024 101-24 New ETF Options Classes
2024 August 26, 2024 100-24 Victoria Gold Corp. (VGCX) - Delisting
2024 August 26, 2024 099-24 Amendments to the List of Fees of Bourse de Montréal Inc. (effective September 16, 2024)
2024 August 23, 2024 098-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 August 19, 2024 097-24 Position Limits — Cash Settled Interest Rate Listed Products
2024 August 19, 2024 096-24 Frequently Asked Questions (FAQs) - Position Limits
2024 August 15, 2024 095-24 Victoria Gold Corp. (VGCX) - Suspension
2024 August 12, 2024 094-24 Anticipated Contract Adjustment - Osisko Mining Inc. (OSK) - Plan of Arrangement
2024 August 12, 2024 093-24 New Equity Option Class
2024 August 8, 2024 092-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 August 6, 2024 091-24 Final Contract Adjustment - Karora Resources Inc. (KRR - KRR1)- Plan of Arrangement (Follow-Up)
2024 August 2, 2024 090-24 Final Contract Adjustment - Karora Resources Inc. (KRR) - Plan of Arrangement
2024 August 2, 2024 089-24 Resignation of a Foreign Approved Participant - Credit Suisse Securities (USA) LLC
2024 August 1, 2024 088-24 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2024 July 30, 2024 087-24 Anticipated Contract Adjustment - Filo Corp. (FIL) Plan of Arrangement
2024 July 26, 2024 086-24 Retail Commercial Program
2024 July 26, 2024 085-24 Regulatory Division - Policy Priorities 2024/2025
2024 July 24, 2024 084-24 Self-Certification: Amendments to the Rules of the Bourse regarding Position Limits on Cash Settled Interest Rate Listed Products
2024 July 22, 2024 083-24 The Regulatory Division Participant Scorecard
2024 July 18, 2024 082-24 Disciplinary Decision - Settlement Agreement - Citigroup Global Markets Inc.
2024 July 18, 2024 081-24 Position Limits — Equity Listed Products
2024 July 16, 2024 080-24 Anticipated Contract Adjustment - Stelco Holdings Inc. (STLC) - Plan of Arrangement
2024 July 12, 2024 079-24 No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
2024 July 5, 2024 078-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 July 2, 2024 077-24 New ETF Options Classes
2024 June 26, 2024 076-24 Final Contract Adjustment - Fortuna Silver Mines Inc. (FVI) - Name and CUSIP Change
2024 June 26, 2024 075-24 Client and Order Identifiers - Frequently Asked Questions (FAQs)
2024 June 21, 2024 074-24 Client and Order Identifiers - Extension of Compliance Deadline
2024 June 19, 2024 073-24 Delisting of the Bitcoin Price Index Futures (BT)
2024 June 18, 2024 072-24 Anticipated Contract Adjustment - Primo Water Corporation (PRMW) - Plan of Arrangement
2024 June 17, 2024 071-24 Position Limits — Government of Canada Bond Listed Products (All Months)
2024 June 12, 2024 070-24 Anticipated Contract Adjustment - Canadian Western Bank (CWB) - Plan of Arrangement
2024 June 11, 2024 069-24 Variation to position and exercise limits - Canadian Natural Resources Limited (CNQ & FCQ)
2024 June 10, 2024 068-24 Amendments to the list of fees
2024 June 5, 2024 067-24 Committed order threshold
2024 June 4, 2024 066-24 Final Contract Adjustment - Enerplus Corporation (ERF1 - ERF2)- Plan of Arrangement (Follow-Up)
2024 June 3, 2024 065-24 Final Contract Adjustment - Enerplus Corporation (ERF1)- Plan of Arrangement
2024 May 31, 2024 064-24 Final Contract Adjustment - Canadian Natural Resources Limited (CNQ & FCQ) - Stock Split
2024 May 29, 2024 063-24 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2024 May 27, 2024 062-24 Self-Certification: Amendments to the Rules of Bourse de Montreal Inc. in order to introduce the Guaranteed Cross Auction functionality and automate contingent option trades
2024 May 27, 2024 061-24 Name Change of an Approved Participant - PI Financial Corp.
2024 May 24, 2024 060-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 May 24, 2024 059-24 Final Contract Adjustment - First Majestic Silver Corp. (FR) - Symbol Change
2024 May 23, 2024 058-24 Final Contract Adjustment - Enerplus Corporation (ERF) - Special Cash Dividend
2024 May 22, 2024 057-24 Final Contract Adjustment - SNC-Lavalin Group Inc. (ATRL & FCL) Name and CUSIP Change
2024 May 17, 2024 056-24 Position Limits — Cash Settled Interest Rate Listed Products
2024 May 14, 2024 055-24 Final Contract Adjustment - Crescent Point Energy Corp. (CPG & FCG) - Name, CUSIP and Symbol Change
2024 May 13, 2024 054-24 Final Contract Adjustment - MDA Ltd. (MDA) - Name and CUSIP Change
2024 May 8, 2024 053-24 Amendment to the List of Fees of Bourse de Montréal Inc. (effective June 3, 2024)
2024 May 7, 2024 052-24 Self-Certification: Proposed amendments to the Rules of the Bourse to move to T+1
2024 May 6, 2024 051-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 May 2, 2024 050-24 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2024 May 2, 2024 049-24 Admission of an Approved Participant - StoneX Financial (Canada) Inc.
2024 May 2, 2024 048-24 Resignation of an Approved Participant - Haywood Securities Inc.
2024 May 2, 2024 047-24 Final Contract Adjustment - Tricon Residential Inc. (TCN) - Plan of Arrangement
2024 May 2, 2024 046-24 Request for Proposal: Liquidity Program for One-Month CORRA Futures (COA)
2024 May 1, 2024 045-24 No Contract Adjustment - Cenovus Energy Inc. (CVE) - Variable Dividend
2024 May 1, 2024 044-24 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Citigroup Global Markets Inc.
2024 April 29, 2024 043-24 Request for comments: Amendments to the Rules of the Bourse De Montréal to define Riskless Transactions on Options
2024 April 29, 2024 042-24 Final Contract Adjustment - Horizons ETFs - Horizons ActivePreferred Share ETF (HPR) Horizons Marijuana Life Sciences Index ETF (HMMJ) Horizons NASDAQ-100 Index ETF (HXQ) Horizons S&P / TSX 60 Index ETF (HXT & FXT) - Name & CUSIP Change
2024 April 29, 2024 041-24 Final Contract Adjustment - Celestica Inc. (CLS) - Share Reclassification and CUSIP Change
2024 April 19, 2024 040-24 Trader Developement Incentive Program for Eligible Proprietary Trading Firms (TDIP)
2024 April 17, 2024 039-24 Position Limits — Equity Listed Products
2024 April 12, 2024 038-24 Final Contract Adjustment - Evolve ETFs Bitcoin ETF (EBIT & FET) Ether ETF (ETHR & FER) - Name Change
2024 April 8, 2024 037-24 New Equity Option Class
2024 April 5, 2024 036-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 April 4, 2024 035-24 Regulatory Division Annual Report - Autorité des Marchés Financiers’ Inspection Report
2024 April 4, 2024 034-24 Name Change of an Approved Participant - Credential Qtrade Securities Inc.
2024 April 2, 2024 033-24 Amendments to the Proprietary Trader Program of Bourse de Montréal Inc.
2024 April 2, 2024 032-24 Anticipated Contract Adjustment - Nuvei Corporation (NVEI) - Plan of Arrangement
2024 April 2, 2024 031-24 Resignation of an Approved Participant - HSBC Securities (Canada) Inc.
2024 March 28, 2024 030-24 Client and Order Identifiers - Publication of Guidelines
2024 March 28, 2024 029-24 Disciplinary Decision — Settlement Agreement - Desjardins Securities Inc. and Antoine Morrissette-Boileau
2024 March 20, 2024 028-24 Delisting of the Sector Index Futures on the S&P/TSX Composite Media GICS Industry Group Total Return Index (SXS) and the Basis Trade on Close on the Sector Index Futures on the S&P/TSX Composite Media GICS Industry Group Total Return Index (BXX)
2024 March 15, 2024 027-24 Position Limits — Government of Canada Bond Listed Products (All Months)
2024 March 12, 2024 026-24 Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE) - Special Cash Dividend
2024 March 11, 2024 025-24 New Equity Option Class
2024 March 8, 2024 024-24 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2024 February 28, 2024 023-24 Re-Introduction of an Option Class - D.UN
2024 February 27, 2024 022-24 Position Limits — Government of Canada Bond Listed Products (Spot Month)
2024 February 26, 2024 021-24 Final Contract Adjustment - Dream Office Real Estate Investment Trust (D) - Reverse Split
2024 February 22, 2024 020-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 February 22, 2024 019-24 Anticipated Contract Adjustment - Enerplus Corporation (ERF) - Plan of Arrangement
2024 February 21, 2024 018-24 Re-Introduction of an Option Class - Aurora Cannabis Inc. (ACB)
2024 February 16, 2024 017-24 Final Contract Adjustment - Aurora Cannabis Inc. (ACB) - Reverse Split
2024 February 15, 2024 016-24 Position Limits — Cash Settled Interest Rate Listed Products
2024 February 13, 2024 015-24 Client and Order Identifiers - Short Code Scenarios and File Specifications for Reporting
2024 February 12, 2024 014-24 The Regulatory Division Participant Scorecard
2024 February 2, 2024 013-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 February 1, 2024 012-24 Resignation of a Foreign Approved Participant - TRADELINK WORLDWIDE LTD.
2024 February 1, 2024 011-24 Resignation of a Foreign Approved Participant - R.J. O’BRIEN LIMITED
2024 January 30, 2024 010-24 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Desjardins Securities Inc. and Antoine Morrissette-Boileau
2024 January 19, 2024 009-24 Anticipated Contract Adjustment - Tricon Residential Inc. (TCN) - Plan of Arrangement
2024 January 18, 2024 008-24 Self-certification - Proposed amendments to the rules of the Bourse to introduce options on three-month corra futures (OCR)
2024 January 18, 2024 007-24 Position Limits — Equity Listed Products
2024 January 16, 2024 006-24 Request for Proposal: Market Making of Options on Three-Month CORRA Futures (OCR)
2024 January 10, 2024 005-24 Market Order Type
2024 January 8, 2024 004-24 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2024 January 5, 2024 003-24 Self-Certification – Housekeeping amendments to the Rules of Bourse de Montréal Inc.
2024 January 5, 2024 002-24 2024 Compliance Priorities and Regulatory Division Initiatives
2024 January 5, 2024 001-24 Final Contract Adjustment - Shawcorp Ltd. (MATR) - Name and CUSIP Change
2023 December 22, 2023 154-23 Re-Introduction of an Option Class and Share Future Contracts - Canopy Growth Corporation – WEED - ERRATUM
2023 December 21, 2023 153-23 Re-Introduction of an Option Class and Share Future Contracts - Canopy Growth Corporation – WEED
2023 December 19, 2023 152-23 Final Contract Adjustment - Canopy Growth Corporation (WEED) - Reverse Split
2023 December 15, 2023 151-23 Final Contract Adjustment - Allied Properties REIT (AP) - Special Cash Dividend
2023 December 14, 2023 150-23 Position Limits — Government of Canada Bond Listed Products (All Months)
2023 December 14, 2023 149-23 Self-Certification – Amendments to the rules of Bourse de Montréal Inc. to introduce reference rate fallback procedures
2023 December 14, 2023 148-23 Request for Comments - Amendments to the Rules of the Bourse Regarding Position Limits On Government of Canada Bond Listed Products
2023 December 14, 2023 147-23 Request for Comments - Amendments to the Rules of the Bourse Regarding Position Limits On Cash Settled Interest Rate Listed Products
2023 December 11, 2023 146-23 Reports of Accumulated Positions on Derivative Instruments (LOPR)
2023 December 8, 2023 145-23 Amendments to the List of Fees of Bourse de Montréal Inc. - (effective January 1st, 2024)
2023 December 7, 2023 144-23 Self-Certification - Amendments to the Rules of the Bourse regarding Client and Order Identifiers
2023 December 4, 2023 143-23 Re-Introduction of an Option Class- Hut 8 Corp. (HUT)
2023 December 1, 2023 142-23 Final Contract Adjustment - Hut 8 Mining Corp. (HUT) - Plan of Arrangement
2023 November 28, 2023 141-23 Position Limits — Government of Canada Bond Listed Products (Spot Month)
2023 November 22, 2023 140-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 November 17, 2023 139-23 Position Limits — Cash Settled Interest Rate Listed Products
2023 November 16, 2023 138-23 Additions and Deletions of Weekly Equity Options Classes - Amendment
2023 November 13, 2023 137-23 Holidays and Early Closings 2023-2024
2023 November 10, 2023 136-23 Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
2023 November 9, 2023 135-23 Additions and Deletions of Weekly Equity Options Classes
2023 November 9, 2023 134-23 Penny Program – Addition of Class
2023 November 9, 2023 133-23 Amendments to the Rules of Bourse de Montreal Inc. in order to introduce the guaranteed cross auction functionality and automate contingent option trades
2023 November 7, 2023 132-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 November 6, 2023 131-23 New ETF Option Class - BMO S&P/TSX 60 Index ETF - (ZIU)
2023 October 25, 2023 130-23 Resignation of an Approved Participant - Macquarie Capital Markets Canada Ltd.
2023 October 25, 2023 129-23 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. to introduce reference rate fallback procedures
2023 October 25, 2023 128-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts - ERRATUM
2023 October 20, 2023 127-23 Re-Introduction of an Option Class - Lithium Americas Corp. (LAC)
2023 October 20, 2023 126-23 Final Contract Adjustment - 3iQ Ether Staking ETF (ETHQ & FEQ) Name & CUSIP Change (Follow-Up)
2023 October 19, 2023 125-23 Final Contract Adjustment - 3iQ Ether ETF (ETHQ) - Name and CUSIP Change
2023 October 18, 2023 124-23 Position Limits - Equity Listed Products
2023 October 16, 2023 123-23 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2023 October 11, 2023 122-23 Final Contract Adjustment - TransAlta Renewables Inc. (RNW-TA1) Plan of Arrangement (Follow-Up)
2023 October 10, 2023 121-23 Regulatory User Group Members List—Update
2023 October 10, 2023 120-23 Final Contract Adjustment - TransAlta Renewables Inc. (RNW) - Plan of Arrangement
2023 October 6, 2023 119-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 October 6, 2023 118-23 Request for proposal: Market Making of the Bitcoin Price Index Future (BT)
2023 October 3, 2023 117-23 Final Contract Adjustment - Lithium Americas Corp. (LAC) - Plan of Arrangement
2023 October 3, 2023 116-23 Self-Certification - Amendments to the Rules of Bourse de Montreal Inc. to List Cash Settled Bitcoin Price Index Futures
2023 September 19, 2023 115-23 Resignation of a Foreign Approved Participant - Marex North America, LLC
2023 September 18, 2023 114-23 Position Limits—Government of Canada Bond Listed Products (all months)
2023 September 15, 2023 113-23 Final Contract Adjustment - SNC Lavalin Group Inc. (SNC) - Symbol Change
2023 September 7, 2023 112-23 Disciplinary Decision - Settlement Agreement - Wedbush Securities Inc.
2023 September 1, 2023 111-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts - ERRATUM
2023 September 1, 2023 110-23 Final Contract Adjustment - Home Capital Group Inc. (HCG) - Plan of Arrangement
2023 August 29, 2023 109-23 Position Limits — Government of Canada Bond Listed Products (Spot Month)
2023 August 25, 2023 108-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 August 18, 2023 107-23 Position Limits — Cash Settled Interest Rate Listed Products
2023 August 8, 2023 106-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 August 3, 2023 105-23 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2023 August 2, 2023 104-23 Resignation of an Approved Participant - PGM Global Inc.
2023 August 2, 2023 103-23 Resignation of a Foreign Approved Participant - Freshwater Securities LLC
2023 August 2, 2023 102-23 Final Contract Adjustment - Uni-Select Inc. (UNS) - Plan of Arrangement
2023 August 1, 2023 101-23 New Equity Options Classes
2023 July 28, 2023 100-23 Anticipated Contract Adjustment - TC Energy Corporation (TRP) - Plan of Arrangement
2023 July 27, 2023 099-23 Publication of the Newsletter from the Regulatory Division
2023 July 20, 2023 098-23 The Regulatory Division Participant Scorecard
2023 July 18, 2023 097-23 Position Limits – Equity Listed Products
2023 July 17, 2023 096-23 Resignation of an Approved Participant - Jitneytrade Inc.
2023 July 12, 2023 095-23 Anticipated Contract Adjustment - TransAlta Renewable Inc. (RNW) - Plan of Arrangement
2023 July 11, 2023 094-23 Disciplinary Decision - Settlement Agreement - JitneyTrade Inc.
2023 July 11, 2023 093-23 Amendments to the list of fees of Bourse de Montreal
2023 July 7, 2023 092-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 July 6, 2023 091-23 Final Contract Adjustment - Organigram Holdings Inc. (OGI) - Reverse Split
2023 June 27, 2023 090-23 Final Contract Adjustment - HEXO Corp. (HEXO2-HEXO3) - Plan of Arrangement (Follow-Up)
2023 June 27, 2023 089-23 Re-Introduction of an Option Class and Share Future Contracts
2023 June 27, 2023 088-23 Hearing before the Disciplinary Committee - Wedbush Securities Inc.
2023 June 27, 2023 087-23 Final Contract Adjustment - Filo Mining Corp. (FIL) - Name and CUSIP Change
2023 June 26, 2023 086-23 Final Contract Adjustment - HEXO Corp. (HEXO2) - Plan of Arrangement
2023 June 23, 2023 085-23 Final Contract Adjustment - Thomson Reuters Corporation (TRI-TRI1) - Plan of Arrangement (Follow-Up)
2023 June 22, 2023 084-23 Final Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement
2023 June 20, 2023 083-23 Final Contract Adjustment - AcuityAds Holdings Inc. (ILLM) - Name and CUSIP Change
2023 June 19, 2023 082-23 Position Limits – Government of Canada Bond Listed Products (All Months)
2023 June 16, 2023 081-23 Delisting of the mid-curve options on BAX
2023 June 12, 2023 080-23 Amendments to the list of fees of Bourse de Montreal Inc. (Effective July 1st, 2023)
2023 June 6, 2023 079-23 Final Contract Adjustment - Shawcor Ltd. (SCL) - Symbol Change
2023 June 5, 2023 078-23 Final Contract Adjustment - Westport Fuel Systems Inc. (WPRT) - Reverse Split
2023 June 1, 2023 077-23 Final Contract Adjustment - TMX Group Limited (X) - Stock Split
2023 May 29, 2023 076-23 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2023 May 26, 2023 075-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 May 25, 2023 074-23 Amendments to the list of fees of Bourse de Montréal Inc.
2023 May 19, 2023 073-23 Final Contract Adjustment - Ritchie Bros. Auctioneers Incorporated (RBA & RBA1) - Name and CUSIP Change
2023 May 17, 2023 072-23 Position Limits – Cash Settled Interest Rate Listed Products
2023 May 15, 2023 071-23 AMENDMENT New Equity Option Class - Spartan Delta Corp. (SDE)
2023 May 12, 2023 070-23 New Equity Option Class - Spartan Delta Corp. (SDE)
2023 May 12, 2023 069-23 Hearing before the Disciplinary Committee - JitneyTrade Inc.
2023 May 11, 2023 068-23 Disciplinary Decision — Offer of Settlement Laurentian Bank Securities Inc.
2023 May 9, 2023 067-23 Notice of Appointment of Advisory Committee on Self-Regulation
2023 May 8, 2023 066-23 Final Contract Adjustment - Maxar Technologies (MAXR) - Merger
2023 May 4, 2023 065-23 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2023 May 2, 2023 064-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 May 1, 2023 063-23 Self-certification - Amendments to the Rules of the Bourse to Modify the Governance of the Regulatory Division
2023 April 27, 2023 062-23 Anticipated Contract Adjustment - Thomson Reuters Corporation (TRI & FRT) - Plan of Arrangement
2023 April 22, 2023 061-23 Market Order Type
2023 April 20, 2023 060-23 Resignation of an Approved Participant - RF Securities Clearing LP
2023 April 20, 2023 059-23 Amendments to the list of fees of Bourse de Montréal Inc. (effective May 1st, 2023)
2023 April 17, 2023 058-23 Final Contract Adjustment - Canadian Pacific Railway Limited (CP) - Name and CUSIP Change
2023 April 17, 2023 057-23 Position Limits – Equity Listed Products
2023 April 14, 2023 056-23 Final Contract Adjustment - AcuityAds Holdings Inc. (AT) - Symbol Change
2023 April 11, 2023 055-23 Anticipated Contract Adjustment - HEXO Corp. (HEXO2) Plan of Arrangement
2023 April 10, 2023 054-23 Final Contract Adjustment - 3iQ CoinShares Ether ETF (ETHQ) Name and CUSIP Change
2023 April 10, 2023 053-23 Final Contract Adjustment - 3iQ CoinShares Bitcoin ETF (BTCQ) Name and CUSIP Change
2023 April 4, 2023 052-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 April 4, 2023 051-23 Final Contract Adjustment - Shaw Communications Inc. Cl B (SJR) Plan of Arrangement
2023 April 4, 2023 050-23 Final Contract Adjustment - Yamana Gold Inc. (YRI- YRI1) Plan of Arrangement (Follow-Up)
2023 April 3, 2023 049-23 Selfcertification - Amendments to the rules of Bourse de Montréal Inc. in order to introduce a new market order type
2023 March 31, 2023 048-23 Final Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
2023 March 29, 2023 047-23 The Implementation of the Gross Client Margin Model Initiative, by the Canadian Derivatives Clearing Corporation, and Open Interest
2023 March 29, 2023 046-23 Self-Certification – Amendments to Article 9.4 of the rules of Bourse de Montreal Inc. SPAN Methodology
2023 March 27, 2023 045-23 Self-Certification: Amendments to the Daily Settlement Price Procedures Applicable to the Three-Month Canadian Bankers’ Acceptance Futures Contract (BAX), Three-Month Corra Futures Contract (CRA) and One-Month Corra Futures Contract (COA)
2023 March 27, 2023 044-23 Request for comments: Proposed Amendments to the rules of the Bourse regarding client and order identifiers
2023 March 23, 2023 043-23 Margin Rates – Speculator Margin Premiums
2023 March 22, 2023 042-23 Re-Introduction of an Option Class - Ritchie Bros. Auctioneers Incorporated (RBA)
2023 March 20, 2023 041-23 Final Contract Adjustment - Ritchie Bros. Auctioneers Incorporated (RBA) - Special Cash Dividend
2023 March 20, 2023 040-23 Position Limits – Government of Canada Bond Listed Products (All Months)
2023 March 15, 2023 039-23 Amendments to the list of fees of Bourse de Montréal Inc. (effective April 1st, 2023)
2023 March 14, 2023 038-23 Anticipated Contract Adjustment - Ritchie Bros. Auctioneers Incorporated (RBA) - Special Cash Dividend
2023 March 2, 2023 037-23 Final Contract Adjustment - Resolute Forest Products Inc. (RFP) - Merger
2023 March 1, 2023 036-23 Erratum - Changes to The Market Regulation Assessment Fees
2023 February 28, 2023 035-23 Anticipated Contract Adjustment - Uni-Select Inc. (UNS) - Plan of Arrangement
2023 February 28, 2023 034-23 Penny Program – Addition and Replacement of Classes
2023 February 27, 2023 033-23 No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
2023 February 24, 2023 032-23 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2023 February 24, 2023 031-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 February 22, 2023 030-23 Re-Introduction of an Option Class - BetaPro Natural Gas Leveraged Daily Bull ETF (HNU)
2023 February 22, 2023 029-23 Anticipated Contract Adjustment - Teck Resources Limited (TECK) - Plan of Arrangement
2023 February 21, 2023 028-23 Final Contract Adjustment - BetaPro Natural Gas Leveraged Daily Bull ETF (HNU - HNU1) Reverse Split (Follow-Up)
2023 February 17, 2023 027-23 Final Contract Adjustment - BetaPro Natural Gas Leveraged Daily Bull ETF (HNU) - Reverse Split
2023 February 15, 2023 026-23 Advisory Committee On Self-Regulation of the Regulatory Division Call for Nominations
2023 February 14, 2023 025-23 Exclusion of the new 30-year bond from the 30-year government of Canada bond futures june 2023 delivery basket
2023 February 14, 2023 024-23 Position Limits – Cash Settled Interest Rate Listed Products
2023 February 10, 2023 023-23 Anticipated Contract Adjustment - Hut 8 Mining Corp. (HUT) - Plan of Arrangement
2023 February 8, 2023 022-23 Disciplinary Decision - Offer of settlement citigroup Global Markets Inc.
2023 February 6, 2023 021-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 February 3, 2023 020-23 Participant Portal - Change In URL
2023 February 1, 2023 019-23 Changes to the Market Regulation Assessment Fees
2023 January 31, 2023 018-23 New Equity Options Classes - Global Atomic Corporation (GLO) - StorageVault Canada Inc. (SVI)
2023 January 25, 2023 017-23 Regulatory User Group - Members List
2023 January 23, 2023 016-23 Publication of the Newsletter from The Regulatory Division
2023 January 20, 2023 015-23 Amendments to the list of fees of Bourse de Montréal Inc. (effective February 1st, 2023)
2023 January 19, 2023 014-23 Final Contract Adjustment - The Valens Company Inc. (VLNS- VLNS1) - Plan of Arrangement (Follow-Up)
2023 January 18, 2023 013-23 Final Contract Adjustment - The Valens Company Inc. (VLNS) - Plan of Arrangement
2023 January 18, 2023 012-23 Position Limits – Equity Listed Products
2023 January 18, 2023 011-23 Self-certification: Amendments to the rules of Bourse de Montréal Inc. to modify the final settlement price of the one-month CORRA Futures (COA)
2023 January 16, 2023 010-23 Final Contract Adjustment - Sierra Wireless Inc. (SW) - Merger
2023 January 16, 2023 009-23 Request for proposal: Market making of one-month Corra Futures (COA)
2023 January 13, 2023 008-23 Final Contract Adjustment Tourmaline Oil Corp. (TOU & FOU) Special Cash Dividend
2023 January 12, 2023 007-23 Final Contract Adjustment - Paramount Resources Ltd. (POU) - Special Cash Dividend
2023 January 10, 2023 006-23 Regulatory Division Participant Scorecard
2023 January 10, 2023 005-23 Disciplinary decision - Offer of settlement Morgan Stanley & Co. LLC
2023 January 10, 2023 004-23 2023 Compliance Priorities and Regulatory Division Initiatives
2023 January 9, 2023 003-23 Name Change of an Approved Participant - ABN AMRO Clearing Chicago LLC
2023 January 9, 2023 002-23 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2023 January 6, 2023 001-23 New Equity Option Class - Brookfield Asset Management Ltd. (BAM)
2022 December 23, 2022 166-22 New Equity Option Class and Share Future Contracts - Brookfield Corporation (BN & FBN)
2022 December 22, 2022 165-22 Amendments to the List of Fees of Bourse de Montréal Inc.
2022 December 21, 2022 164-22 Disciplinary Decision — Offer of Settlement Credit Suisse Securities (USA) LLC
2022 December 21, 2022 163-22 Self-certification: Proposed Amendments to the rules of the Bourse regarding the three-month Canadian banker's acceptance futures (BAX) and inter-group strategy block thresholds
2022 December 19, 2022 162-22 Final Contract Adjustment - HEXO Corp. (HEXO - HEXO2) - Reverse Split (Follow-Up)
2022 December 19, 2022 161-22 Final Contract Adjustment - Turquoise Hill Resources Ltd. (TRQ) Plan of Arrangement
2022 December 19, 2022 160-22 Anticipated Contract Adjustment - Maxar Technologies (MAXR) - Merger
2022 December 16, 2022 159-22 Name Change of an Approved Participant - E D & F Man Capital Markets Inc.
2022 December 16, 2022 158-22 Final Contract Adjustment - HEXO Corp. (HEXO) - Reverse Split
2022 December 15, 2022 157-22 Position Limits – Government of Canada Bond Listed Products (All Months)
2022 December 14, 2022 156-22 Reports of Accumulated Positions – Updated Guidance
2022 December 6, 2022 155-22 Reports of Accumulated Positions on Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2022 December 1, 2022 154-22 Self-certification: Amendments to article 12.11 of Bourse de Montreal Inc. to modify the Last Trading Day of the three-month Canadian banker's acceptance futures
2022 November 30, 2022 153-22 Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM) - Distribution, Name, Symbol and CUSIP Change
2022 November 30, 2022 152-22 Prearranged Transaction Marker – Reminder & FAQ
2022 November 29, 2022 151-22 Disciplinary decision - Offer of settlement HSBC Securities (USA) Inc.
2022 November 28, 2022 150-22 Amendments to the volume rebate program of Bourse de Montréal Inc. (effective January 1, 2023)
2022 November 28, 2022 149-22 Amendments to the list of fees of Bourse de Montréal Inc. (effective January 1, 2023)
2022 November 28, 2022 148-22 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2022 November 25, 2022 147-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 November 24, 2022 146-22 Final Contract Adjustment - Dream Unlimited Corp (DRM) - Special Cash Dividend
2022 November 23, 2022 145-22 Final Contract Adjustment - ATS Automation Tooling Systems Inc. (ATA) - Name, CUSIP and Symbol Change
2022 November 21, 2022 144-22 Anticipated Contract Adjustment - Home Capital Group Inc. (HCG) - Plan of Arrangement
2022 November 18, 2022 143-22 Hearing before the Disciplinary Committee - Morgan Stanley & Co LLC
2022 November 17, 2022 142-22 Position Limits – Cash Settled Interest Rate Listed Products
2022 November 16, 2022 141-22 Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
2022 November 15, 2022 140-22 Call for Members – Regulatory User Group
2022 November 14, 2022 139-22 Request for comments: Amendments to the Rules of Bourse de Montreal Inc. in order to introduce a New Market Order Type
2022 November 10, 2022 138-22 Request for comments: Proposed Amendments to the rules of the Bourse regarding the three-month Canadian Banker's acceptance futures (BAX) and inter-group strategy block thresholds
2022 November 10, 2022 137-22 Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
2022 November 10, 2022 136-22 Self-certification: Amendments to the rules of Bourse de Montréal Inc. relating to the introduction of a Marker at order entry for prearranged transaction
2022 November 9, 2022 135-22 Re-Introduction of an Option Class- Horizons Marijuana Life Sciences Index ETF (HMMJ)
2022 November 9, 2022 134-22 Holidays and Early Closings 2022-2023
2022 November 8, 2022 133-22 Anticipated Contract Adjustment - Summit Industrial Income REIT (SMU) Plan of Arrangement
2022 November 7, 2022 132-22 Hearing before the Disciplinary Committee - Citigroup Global Markets Inc.
2022 November 7, 2022 131-22 Regulatory Division’s Participant Portal Update
2022 November 4, 2022 130-22 Anticipated Contract Adjustment - Lithium Americas (LAC) Plan of Arrangement
2022 November 4, 2022 129-22 Final Contract Adjustment - Horizons Marijuana Life Sciences Index ETF (HMMJ & HMMJ1) Reverse Split
2022 November 4, 2022 128-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 November 3, 2022 127-22 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2022 November 1, 2022 126-22 Hearing before the Disciplinary Committee - Credit Suisse Securities (USA) LLC
2022 October 26, 2022 125-22 Request for comments - Amendments to the rules of the Bourse de Montréal Inc. to modify the final settlement price of the one-month Corra Futures (COA)
2022 October 25, 2022 124-22 Self-certification - Amendments to the rules of the Bourse de Montréal Inc. to modify the delivery period of the 30-year government of Canada Bond Futures ("LGB")
2022 October 24, 2022 123-22 New Equity Options Classes
2022 October 18, 2022 122-22 Position Limits – Equity Listed Products
2022 October 14, 2022 121-22 Final Contract Adjustment - Birchcliff Energy Ltd. (BIR) - Special Cash Dividend
2022 October 5, 2022 120-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 September 29, 2022 119-22 Xebec Adsorption Inc. (XBC) - Suspension
2022 September 26, 2022 118-22 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. for Position limits of narrow based index futures contracts.
2022 September 16, 2022 117-22 Position Limits – Government of Canada Bond Listed Products (All Months)
2022 September 14, 2022 116-22 Federal Holiday, September 19, 2022
2022 September 14, 2022 115-22 Self-certification - Amendments to Article 12.5 of Bourse de Montréal Inc. to modify the minimum price fluctuation of the three-month Canadian Banker's acceptance futures
2022 September 13, 2022 114-22 Change in Last Trading Day for the September 2022 Three-Month Bankers’ Acceptance Future Contracts and Options on Three Month Bankers’ Acceptance Futures Contract
2022 September 9, 2022 113-22 Re-Introduction of an Option Class - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND)
2022 September 2, 2022 112-22 Final Contract Adjustment - LifeWorks Inc. (LWRK) Plan of Arrangement
2022 September 2, 2022 111-22 Final Contract Adjustment - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) Reverse Split
2022 September 2, 2022 110-22 Final Contract Adjustment - Alimentation Couche-Tard Inc. (ATD) Share reclassification and CUSIP Change
2022 September 2, 2022 109-22 Anticipated Contract Adjustment - Plan Turquoise Hill Resources Ltd - (TRQ) Plan of Arrangement
2022 September 1, 2022 108-22 Delisting of Canadian Share Futures with Basis Trade on Close on Two Classes
2022 August 31, 2022 107-22 Regulatory Division’s Participant Portal - Release of the Cybersecurity Module
2022 August 30, 2022 106-22 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2022 August 25, 2022 105-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 August 23, 2022 104-22 Anticipated Contract Adjustment - The Valens Company Inc. (VLNS) - Plan of Arrangement
2022 August 18, 2022 103-22 Position Limits – Cash Settled Interest Rate Listed Products
2022 August 17, 2022 102-22 Resignation of a Foreign Approved Participant - XTX Markets Limited
2022 August 11, 2022 101-22 Request for proposal: Market making of the extend trading hours period (BAX, CGZ, CGF, CGB, SXF)
2022 August 9, 2022 100-22 Final Contract Adjustment - Canadian Natural Resources Ltd. (CNQ & FCQ) - Special Cash Dividend
2022 August 5, 2022 099-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 August 5, 2022 098-22 Penny Program – Addition and Replacement of Classes - ERRATUM
2022 August 4, 2022 097-22 Hearing before the Disciplinary Committee - HSBC Securities (USA) Inc.
2022 August 4, 2022 096-22 Hearing before the Disciplinary Committee - Laurentian Bank Securities Inc.
2022 August 4, 2022 095-22 Addition of Weekly Equity Options Classes
2022 August 4, 2022 094-22 Penny Program – Addition and Replacement of Classes
2022 August 3, 2022 093-22 Re-Introduction of ETF Option Classes
2022 August 3, 2022 092-22 Anticipated Contract Adjustment - Sierra Wireless Inc. (SW) - Merger
2022 August 2, 2022 091-22 Request for comments - Amendments to Article 12.5 of Bourse de Montréal Inc. to modify the minimum price fluctuation and the last trading day of the three-month Canadian Banker's acceptance futures (BAX)
2022 July 29, 2022 090-22 Final Contract Adjustment - Verde Agritech Plc. (NPK) - Name and CUSIP Change
2022 July 29, 2022 089-22 Final Contract Adjustment - Erratum Horizons Marijuana Life Sciences Index ETF (HMMJ) Reverse Split
2022 July 29, 2022 088-22 Final Contract Adjustment - BetaPro Crude Oil Inversed Leveraged Daily Bear ETF (HOD) - Reverse Split
2022 July 29, 2022 087-22 Final Contract Adjustment - Horizons Marijuana Life Sciences Index ETF (HMMJ) - Reverse Split
2022 July 28, 2022 086-22 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2022 July 25, 2022 085-22 New Equity Options Classes
2022 July 19, 2022 084-22 Amendments to the Rules of Bourse de Montréal Inc. to modify the delivery period of the 30-year government of Canada Bound Futures (LGB)
2022 July 18, 2022 083-22 Self-Certification - Housekeeping changes to the Rules of Bourse de Montréal Inc.
2022 July 18, 2022 082-22 Position Limits - Equity Listed Products
2022 July 15, 2022 081-22 The Regulatory Division Participant Scorecard
2022 July 13, 2022 080-22 Publication of the Newsletter from the Regulatory Division
2022 July 8, 2022 079-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 July 7, 2022 078-22 Anticipated Contract Adjustment - Resolute Forest Products Inc. (RFP) - Merger
2022 July 6, 2022 077-22 Voyager Digital Ltd. (VOYG) - Suspension
2022 June 30, 2022 076-22 Final Contract Adjustment - Intertape Polymer Group (ITP) - Plan of Arrangement
2022 June 21, 2022 075-22 Self-Certification: Amendments to the Rules of Bourse de Montreal Inc. to introduce cybersecurity incident reporting requirements
2022 June 20, 2022 074-22 Final Contract Adjustment - Shopify Inc. (SHOP & FSH) - Stock Split
2022 June 17, 2022 073-22 Position Limits – Government Of Canada Bond Listed Products (All Months)
2022 June 17, 2022 072-22 Anticipated Contract Adjustment - LifeWorks Inc. (LWRK) - Plan of Arrangement
2022 June 15, 2022 071-22 Re-Introduction of option classes and share future contracts
2022 June 13, 2022 070-22 Final Contract Adjustment Inter Pipeline Ltd. (IPL1- IPL2 Brookfield Infrastructure Corporation BIPC) Stock Split
2022 June 13, 2022 069-22 Final Contract Adjustment Neptune Wellness Solutions Inc. (NEPT - NEPT1) Reverse Split (Follow-Up)
2022 June 10, 2022 068-22 Final Contract Adjustment - Inter Pipeline Ltd. (IPL1 - Brookfield Infrastructure Corporation BIPC) Stock Split
2022 June 10, 2022 067-22 Final Contract Adjustment - Bombardier Inc. Cl B (BBD) - Reverse Split
2022 June 10, 2022 066-22 Final Contract Adjustment - Neptune Wellness Solutions Inc. (NEPT) - Reverse Split
2022 June 10, 2022 065-22 Amendment to the List of Fees of Bourse de Montréal Inc. (effective July 1st, 2022)
2022 June 9, 2022 064-22 Cessation of Alternative Measures and Reporting Delays - COVID-19
2022 June 2, 2022 063-22 Final Contract Adjustment - Brookfield Infrastructure Partners L.P. (BIP & FRQ) - Stock Split
2022 June 1, 2022 062-22 Anticipated Contract Adjustment - Yamana Gold Inc. (YRI) - Plan of Arrangement
2022 May 27, 2022 061-22 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2022 May 25, 2022 060-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 May 18, 2022 059-22 Final Contract Adjustment - Tilray Inc. (TLRY & TLRY1) - Name Change
2022 May 17, 2022 058-22 Call for Applications - Disciplinary Committee of the Montréal Exchange
2022 May 17, 2022 057-22 Position Limits – Cash Settled Interest Rate Listed Products
2022 May 11, 2022 056-22 Disciplinary Decision — Offer of Settlement UBS Securities LLC
2022 May 6, 2022 055-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 May 6, 2022 054-22 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2022 May 6, 2022 053-22 Amendments to the Rules of the Bourse for position limits of narrow based index futures contracts
2022 May 6, 2022 052-22 Amendments to the Rules of the Bourse relating to the introduction of a marker at order entry for prearranged transactions
2022 May 6, 2022 051-22 Amendments to the Rules of the Bourse to introduce cybersecurity incident reporting requirements
2022 May 5, 2022 050-22 New Equity Options Classes
2022 May 4, 2022 049-22 Final Contract Adjustment - Canadian Imperial Bank of Commerce (CM & FCB) - Stock Split
2022 April 27, 2022 048-22 Frequently Asked Questions – Position Limits
2022 April 26, 2022 047-22 New Total Return Sector Index Futures
2022 April 18, 2022 046-22 Position Limits – Equity Listed Products
2022 April 13, 2022 045-22 Memorandum of Understanding between the Investment Industry Regulatory Organization of Canada and Bourse de Montréal Inc.
2022 April 11, 2022 044-22 Amendment to the List of Fees of Bourse de Montréal Inc. (effective May 1st, 2022)
2022 April 6, 2022 043-22 Self-certification - New products - Amendments to the Rules of the Bourse to introduce futures contracts on new sector indices
2022 April 4, 2022 042-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 April 1, 2022 041-22 Special Committee of the Regulatory Division - Call for Nominations
2022 March 24, 2022 040-22 New Equity Option Classes
2022 March 24, 2022 039-22 Final Contract Adjustment - Capstone Mining Corp. (CS) - Name and CUSIP Change
2022 March 24, 2022 038-22 Request for Comments- Amendment to the Rules of Bourse de Montréal Inc. to modify the no-review range of the 30-Year Government of Canada Bond Futures (LGB)
2022 March 18, 2022 037-22 Position Limits – Government of Canada Bond Listed Products (All Months)
2022 March 18, 2022 036-22 Final Contract Adjustment- Erratum Westshore Terminals Investment Corporation (WTE) Special Cash Dividend
2022 March 16, 2022 035-22 Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE & FTE) - Special Cash Dividend
2022 March 14, 2022 034-22 Extension Until June 30, 2022 - Alternative Measures and Reporting Delays - COVID-19
2022 March 14, 2022 033-22 Final Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG- PVG1) - Plan of Arrangement (Follow-Up)
2022 March 11, 2022 032-22 Final Contract Adjustment - Brookfield Business Partners L.P. (BBU) - Stock Dividend (Special Distribution)
2022 March 11, 2022 031-22 Final Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG) - Plan of Arrangement
2022 March 9, 2022 030-22 Amendment to the List of Fees of Bourse de Montréal Inc. (effective April 1st, 2022)
2022 March 8, 2022 029-22 Anticipated Contract Adjustment - Intertape Polymer Group (ITP) - Plan of Arrangement
2022 March 2, 2022 028-22 Anticipated Contract Adjustment - Brookfield Business Partners L.P. (BBU) - Stock Dividend (Special Distribution)
2022 March 2, 2022 027-22 Final Contract Adjustment - Cominar Real Estate Investment Trust (CUF) - Plan of Arrangement
2022 March 1, 2022 026-22 No Contract Adjustment - Teck Resources Limited Cl B (TECK & FTK) - Supplemental Cash Dividend
2022 February 25, 2022 025-22 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2022 February 24, 2022 024-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 February 21, 2022 023-22 Guidelines Update – Approved Persons
2022 February 17, 2022 022-22 Penny Program – Addition of Classes
2022 February 17, 2022 021-22 Additions and Deletions of Weekly Equity Options Classes
2022 February 16, 2022 020-22 Request for proposal - Market making of three-month CORRA futures (CRA)
2022 February 16, 2022 019-22 Position Limits – Cash Settled Interest Rate Listed Products
2022 February 14, 2022 018-22 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - UBS Securities LLC
2022 February 10, 2022 017-22 Final Contract Adjustment - Kirkland Lake Gold Ltd. (KL) - Merger (Follow-Up)
2022 February 9, 2022 016-22 Final Contract Adjustment - Kirkland Lake Gold Ltd. (KL) - Merger
2022 February 7, 2022 015-22 Amendment to the List of Fees of Bourse de Montréal Inc. (effective March 1st, 2022
2022 February 3, 2022 014-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2022 February 3, 2022 013-22 New Equity Option Class
2022 February 1, 2022 012-22 Delisting of Canadian Share Futures with Basis Trade on Close on Twenty-Three Classes
2022 January 26, 2022 011-22 2022 Compliance Priorities and Regulatory Division Initiatives
2022 January 26, 2022 010-22 Publication of the Newsletter from the Regulatory Division
2022 January 21, 2022 009-22 Regulatory Division’s Participant Portal - Release of the Participant Approval Module
2022 January 21, 2022 008-22 Self-Certification - Amendments to Part 4 of the Rules of Bourse de Montréal Inc. - Conduct of the regulatory functions of the Bourse
2022 January 20, 2022 007-22 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend (Follow-Up)
2022 January 18, 2022 006-22 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2022 January 17, 2022 005-22 Position Limits – Equity Listed Products
2022 January 17, 2022 004-22 The Regulatory Division Participant Scorecard
2022 January 11, 2022 003-22 Regulatory User Group - Members List - Addendum
2022 January 10, 2022 002-22 Amendment to the List of Fees of Bourse de Montréal Inc. (effective February 1st, 2022)
2022 January 5, 2022 001-22 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 December 31, 2021 220-21 Final Contract Adjustment - Village Farms International, Inc. (VFF) - Delisting
2021 December 29, 2021 219-21 Final Contract Adjustment - H&R Real Estate Investment Trust (HR) - Spin-Off
2021 December 23, 2021 218-21 Extension Until March 31, 2022 - Alternative Measures and Reporting Delays - COVID-19
2021 December 23, 2021 217-21 Re-Introduction of an Option Class - ECN Capital Corp. (ECN)
2021 December 22, 2021 216-21 Final Contract Adjustment - Voyager Digital Ltd. (VOYG) - CUSIP Change
2021 December 22, 2021 215-21 Final Contract Adjustment - Artis Real Estate Investment Trust (AX) - Special Cash Dividend
2021 December 21, 2021 214-21 Self-Certification - Amendments to the Rules of Bourse de Montréal Inc. Regarding Prearranged Transactions and Minimum Price Increments for the Options Market
2021 December 21, 2021 213-21 Anticipated Contract Adjustment - Capstone Mining Corp. (CS) - Plan of Arrangement
2021 December 20, 2021 212-21 Frequently Asked Questions – Reports of Accumulated Positions
2021 December 16, 2021 211-21 Position Limits – Government of Canada Bond Listed Products (All Months)
2021 December 15, 2021 210-21 Admission of a Foreign Approved Participant - XTX Markets Trading Limited
2021 December 10, 2021 209-21 Final Contract Adjustment - ECN Capital Corp. (ECN) - Special Distribution - Erratum
2021 December 9, 2021 208-21 Final Contract Adjustment - ECN Capital Corp. (ECN) - Special Distribution
2021 December 7, 2021 207-21 Final Contract Adjustment - Alimentation Couche-Tard Inc. (ATD & FTA) - CUSIP and Underling Common Share Symbol Change
2021 December 6, 2021 206-21 Amendment to the List of Fees of Bourse de Montréal Inc. (effective January 1st, 2022)
2021 December 6, 2021 205-21 Name Change of an Approved Participant - Pavilion Global Markets Ltd.
2021 December 2, 2021 204-21 Reports of Accumulated Positions on Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2021 December 1, 2021 203-21 Final Contract Adjustment - Domtar Corporation (UFS) - Merger
2021 November 26, 2021 202-21 Position Limits – Government of Canada Bond Listed Products (Spot Month)
2021 November 26, 2021 201-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 November 19, 2021 200-21 Re-Introduction of an Option Class - The Valens Company Inc. (VLNS)
2021 November 19, 2021 199-21 Final Contract Adjustment - Trillium Therapeutics Inc. (TRIL) - Plan of Arrangement
2021 November 18, 2021 198-21 Final Contract Adjustment - The Valens Company Inc (VLNS - VLNS1) - Reverse Split (Follow-Up)
2021 November 17, 2021 197-21 Final Contract Adjustment - The Valens Company Inc (VLNS) - Reverse Split
2021 November 16, 2021 196-21 Position Limits – Cash Settled Interest Rate Listed Products
2021 November 15, 2021 195-21 Additional Futures Contracts on Canadian Share ‘’ Share Futures ‘’
2021 November 15, 2021 194-21 New Equity Option Classes
2021 November 10, 2021 193-21 Holidays and Early Closings 2021-2022
2021 November 9, 2021 192-21 Anticipated Contract Adjustment - Pretium (Pretivm) Resources Inc. (PVG) - Plan of Arrangement
2021 November 8, 2021 191-21 Re-Introduction of an ETF Opion Class - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND)
2021 November 8, 2021 190-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 November 5, 2021 189-21 Final Contract Adjustment - Parex Resources Inc. (PXT) - Special Cash Dividend
2021 November 4, 2021 188-21 Final Contract Adjustment - BetaPro Natural Gas Inverse Leveraged Daily Bear ETF (HND) - Reverse Split
2021 November 3, 2021 187-21 Regulatory User Group - Members List - Addendum
2021 November 2, 2021 186-21 Anticipated Contract Adjustment - H&R Real Estate Investment Trust (HR) - Spin-Off
2021 November 2, 2021 185-21 Final Contract Adjustment Inter Pipeline Ltd. (IPL - IPL1) Plan of Arrangement (Follow-Up)
2021 November 2, 2021 184-21 Self-certification - Amendments to the Rules of the Bourse to modify the minimum price fluctuation of the 30-year government of Canada bond futures (LGB)
2021 November 2, 2021 183-21 Self-certification - Amendments to the Rules of the Bourse to modify the delivery standards and the minimum volume threshold for block transactions on the 30-year government of Canada bond futures (LGB)
2021 November 1, 2021 182-21 Self-certification - Amendments to the Rules of the Bourse to modify the minimum price fluctuation of the front month three-month CORRA Futures (CRA) contract
2021 November 1, 2021 181-21 Final Contract Adjustment - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
2021 October 26, 2021 180-21 Anticipated Contract Adjustment - Cominar Real Estate Investment Trust (CUF) - Plan of Arrangement
2021 October 21, 2021 179-21 Final Contract Adjustment - Score Media and Gaming Inc. (SCR - SCR1)-Plan of Arrangement (Follow-Up)
2021 October 20, 2021 178-21 Delisting of S&P/MX International Cannabis Index Futures (SMJ)
2021 October 20, 2021 177-21 Final Contract Adjustment - Score Media and Gaming Inc. (SCR) - Plan of Arrangement
2021 October 19, 2021 176-21 Regulatory Division’s Participant Portal - Enhancements
2021 October 18, 2021 175-21 Prearranged Transactions - Order Priorities - Reminder
2021 October 15, 2021 174-21 Position Limits – Equity Listed Products
2021 October 13, 2021 173-21 Regulatory User Group - Members List - Addendum
2021 October 8, 2021 172-21 Circular 172-21: Amendment to the List of Fees of Bourse de Montréal Inc. (effective November 1st, 2021)
2021 October 7, 2021 171-21 Admission of a Foreign Approved Participant - Squarepoint OPS LLC
2021 October 7, 2021 170-21 Large Open Position Reporting System
2021 October 6, 2021 169-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 October 5, 2021 168-21 Frequently Asked Questions – Position Limits
2021 October 5, 2021 167-21 Request for Comments - Amendments to the Rules of Bourse de Montréal Inc. Regarding Prearranged Transactions and Minimum Price Increments for the Options Market
2021 September 28, 2021 166-21 Anticipated Contract Adjustment - Kirkland Lake Gold Ltd. (KL) - Merger
2021 September 23, 2021 165-21 Final Contract Adjustment - Tourmaline Oil Corp. (TOU & FOU) - Special Cash Dividend
2021 September 21, 2021 164-21 Request for comments - Amendments to Article 12.1905 of the Rules of the Bourse - Minimum price fluctuation of the front month Three-Month CORRA Futures (CRA)
2021 September 21, 2021 163-21 Request for comments - Amendments to Article 12.405 of the Rules of the Bourse - minimum price fluctuation of the 30-Year Government of Canada bond futures (LGB)
2021 September 17, 2021 162-21 Frequently Asked Questions – Trading OTC Options
2021 September 17, 2021 161-21 Reports of Accumulated Positions on Derivative Instruments (LOPR) - Amendment to Holiday Schedule - LOPR Reportable Dates
2021 September 15, 2021 160-21 New ETF Option Class
2021 September 15, 2021 159-21 Position Limits – Government of Canada Bond Listed Products (All Months Combined)
2021 September 14, 2021 158-21 Large Open Position Reporting – System Availability and Reporting Requirements Reminder
2021 September 7, 2021 157-21 Reminder – Bourse de Montréal and CDCC to Launch Asian Trading Hours on September 19, 2021
2021 August 31, 2021 156-21 Disciplinary Decision — Offer of Settlement - BNP Paribas Securities Corp.
2021 August 31, 2021 155-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 August 27, 2021 154-21 New Equity Options Classes
2021 August 27, 2021 153-21 Position Limits – Government of Canada Bond Listed Products (First Settlement Month)
2021 August 26, 2021 152-21 Extension until January 31, 2022 - Alternative Measures and Reporting Delays - COVID-19
2021 August 25, 2021 151-21 Anticipated Contract Adjustment - Trillium Therapeutics Inc. (TRIL) - Plan of Arrangement
2021 August 19, 2021 150-21 Position Limits – Cash Settled Interest Rate Listed Products
2021 August 18, 2021 149-21 Final Addition of Classes to New Options Expiry Cycle
2021 August 9, 2021 148-21 Final Contract Adjustment - Lightspeed POS Inc. (LSPD) - Name and CUSIP Change
2021 August 5, 2021 147-21 Anticipated Contract Adjustment - Score Media and Gaming Inc. (SCR)- Plan of Arrangement
2021 August 5, 2021 146-21 Anticipated Contract Adjustment - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
2021 August 3, 2021 145-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 August 3, 2021 144-21 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. to modify the delivery standards and the minimum volume threshold for block transactions on the 30-Year Government of Canada bond futures (LGB)
2021 July 30, 2021 143-21 The Regulatory Division Participant Scorecard
2021 July 29, 2021 142-21 Final Contract Adjustment - Brookfield Property Partners L.P. (BPY- BAM2) - Plan of Arrangement (Follow-Up)
2021 July 27, 2021 141-21 Penny Program – Replacement of Classes
2021 July 27, 2021 140-21 Additions and Deletions of Weekly Equity Options Classes
2021 July 26, 2021 139-21 Final Contract Adjustment - Brookfield Property Partners L.P. (BPY & FYP) - Plan of Arrangement
2021 July 26, 2021 138-21 Anticipated Contract Adjustment (Follow-Up)- Inter Pipeline Ltd. (IPL) - Plan of Arrangement – Terminated
2021 July 26, 2021 137-21 Aurinia Pharmaceuticals Inc. (AUP) - Delisting
2021 July 20, 2021 136-21 Request for proposal: Market making of 30-year government of Canada bond futures (LGB)
2021 July 19, 2021 135-21 Publication of the Newsletter from the Regulatory Division
2021 July 16, 2021 134-21 Final Contract Adjustment - Uranium Participation Corporation (U) - Plan of Arrangement
2021 July 16, 2021 133-21 Position Limits – Equity Derivatives
2021 July 15, 2021 132-21 Modifications to the Last Trading Day, Last Notice Day and Last Delivery Day of Government of Canada Bond Futures
2021 July 13, 2021 131-21 Modifications to the Last Trading Day, Expiration Date, Last Notice Day and Last Delivery Day of Government of Canada Bond Futures
2021 July 13, 2021 130-21 Addition of 100 Classes to New Options Expiry Cycle
2021 July 12, 2021 129-21 Self-certification - Amendments to Appendix 6E4.1 of the Rules of Bourse de Montréal Inc. to modify the minimum thresholds applicable to the Three-Month Canadian Bankers’ Acceptance futures contract daily settlement price procedure
2021 July 7, 2021 128-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 July 6, 2021 127-21 Re-Introduction of an ETF Option Class - BetaPro Crude Oil Inverse Leveraged Daily Bear ETF (HOD)
2021 July 6, 2021 126-21 Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM1) - Special Distribution (Follow-Up)
2021 July 5, 2021 125-21 New Equity and ETF Options Classes
2021 July 5, 2021 124-21 Request for comments - Amendments to Article 9.4 of the Rules of Bourse de Montréal Inc. - SPAN methodology for client account
2021 June 30, 2021 123-21 Bourse de Montréal operating schedule for National Day of Truth and Reconciliation
2021 June 29, 2021 122-21 Call for Members Client Identifier Working Group
2021 June 29, 2021 121-21 Consultation Paper: Introduction of a New Client Identifier and Other Markers at Order Entry
2021 June 29, 2021 120-21 Re-Introduction of an Option Class - Brookfield Asset Management Inc. Class A (BAM)
2021 June 29, 2021 119-21 Regulatory User Group - Members List
2021 June 28, 2021 118-21 Re-Introduction of an Option Class - Resolute Forest Products Inc. (RFP)
2021 June 28, 2021 117-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. concerning equity index and share futures Exchange for Risk transactions
2021 June 24, 2021 116-21 Final Contract Adjustment - Winpak Ltd. (WPK) - Special Cash Dividend
2021 June 22, 2021 115-21 Final Contract Adjustment - BetaPro Crude Oil -1x Daily Bear ETF (HOD) - Reverse Split
2021 June 22, 2021 114-21 Position Limits – Listed Products
2021 June 17, 2021 113-21 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2021 June 17, 2021 112-21 Position Limits for Share Futures Contracts
2021 June 15, 2021 111-21 Final Contract Adjustment - Endeavour Mining Corporation (EDV & EDV2) - Name and CUSIP Change
2021 June 15, 2021 110-21 Addition of 50 Classes to the New Expiry Cycle
2021 June 15, 2021 109-21 Final Contract Adjustment - Resolute Forest Products Inc. (RFP) - Special Cash Dividend
2021 June 14, 2021 108-21 Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM & FBM) - Special Distribution
2021 June 14, 2021 107-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. regarding trade cancellation and price adjustment
2021 June 14, 2021 106-21 Market Making Call for Interest - 30-Year Government of Canada Bond Futures (LGB) Market Making Program
2021 June 14, 2021 105-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 June 11, 2021 104-21 Extension Until September 30, 2021 - Alternative Measures and Reporting Delays - COVID-19
2021 June 10, 2021 103-21 Anticipated Contract Adjustment - Uranium Participation Corporation (U) - Plan of Arrangement
2021 June 10, 2021 102-21 Call for applications - Disciplinary Committee of Bourse de Montréal Inc.
2021 June 7, 2021 101-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. regarding Daily Settlement procedures for Equity Index Futures and share futures, and Month-end Settlement for Index Futures
2021 June 3, 2021 100-21 Just Energy Group Inc. (JE) - Delisting
2021 June 1, 2021 099-21 Anticipated Contract Adjustment - Inter Pipeline Ltd. (IPL) - Plan of Arrangement
2021 May 31, 2021 098-21 New Equity and ETF Options Classes
2021 May 28, 2021 097-21 Final Amendments to the Bourse De Montréal Inc. Position Limit File Publications
2021 May 27, 2021 096-21 Position Limits - Government of Canada Bond Future First Contract Month
2021 May 26, 2021 095-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 May 25, 2021 094-21 Request for comments - Amendments to Part 4 of the Rules of Bourse de Montréal Inc. - Conduct of the regulatory functions of the Bourse
2021 May 20, 2021 093-21 Initial Listing of Options on Two-Year and Five-Year GOC Bond Futures and Reduction of the Strike Price Range for Options on CGB (OGB)
2021 May 19, 2021 092-21 Call for Members - Regulatory User Group
2021 May 19, 2021 091-21 Addition of 25 Classes to new Options Expiry Cycle
2021 May 19, 2021 090-21 Final Contract Adjustment - Morneau Sheppell Inc. (MSI) - Name, CUSIP and Symbol Change
2021 May 18, 2021 089-21 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. concerning equity index and share futures Exchange for Risk transactions
2021 May 18, 2021 088-21 Request for comments - Amendments to Appendix 6E4.1 of the Rules of Bourse de Montréal Inc. to modify the minimum thresholds applicable to the Three-Month Canadian Bankers’ Acceptance futures contract daily settlement price procedure
2021 May 14, 2021 087-21 Final Contract Adjustment - Interfor Corporation (IFP) - Special Cash Dividend
2021 May 12, 2021 086-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. concerning trading halts for index futures
2021 May 12, 2021 085-21 Anticipated Contract Adjustment - Domtar Corporation (UFS) - Merger
2021 May 11, 2021 084-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 May 11, 2021 083-21 Amendments to the List of Fees of Bourse de Montréal Inc. (effective June 1st, 2021)
2021 May 10, 2021 082-21 Self-certification - Amendments to Article 6.206 of the Rules of Bourse de Montréal Inc. to modify the minimum volume thresholds for block transactions on the Two-Year and Five-Year Government of Canada bond futures
2021 May 10, 2021 081-21 Final Contract Adjustment - Badger Daylighting Ltd. (BAD) - Name, CUSIP and Symbol Change
2021 May 10, 2021 080-21 New Equity and ETF Options Classes
2021 May 5, 2021 079-21 Final Contract Adjustment - Aphria Inc. (APHA) - Plan of Arrangement (Follow-Up)
2021 May 5, 2021 078-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 May 4, 2021 077-21 Final Contract Adjustment - Aphria Inc. (APHA & FPA) - Plan of Arrangement
2021 May 3, 2021 076-21 Final Contract Adjustment - Canadian Pacific Railway Limited (CP) - Stock Split
2021 April 30, 2021 075-21 Amendments to the Rules of Bourse de Montréal Inc. Regarding Position Limits – Reminder - Amendments to the Position Limit File Publications
2021 April 28, 2021 074-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. to introduce Options on Two-Year (OGZ) and Five-Year (OGF) Government of Canada Bond Futures
2021 April 28, 2021 073-21 New Equity and ETF Options Classes
2021 April 26, 2021 072-21 Anticipated Contract Adjustment - Canadian Pacific Railway Limited (CP) - Stock Split
2021 April 26, 2021 071-21 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - BNP Paribas Securities Corp.
2021 April 22, 2021 070-21 Admission of an Approved Participant - Sig North Trading, ULC
2021 April 22, 2021 069-21 Off-Exchange Transfers - Publication of Guidelines
2021 April 20, 2021 068-21 Name Change of an Approved Participant - Mackie Research Capital Corporation
2021 April 20, 2021 067-21 Modification of timeline - Request for Proposal - Market Making of the Asian trading hours period (BAX, CGZ, CGF, CGB, SXF)
2021 April 16, 2021 066-21 ERRATUM - New Equity and ETF Options Classes
2021 April 16, 2021 065-21 New Equity and ETF Options Classes
2021 April 14, 2021 064-21 Addition of 10 classes to new Options Expiry Cycle
2021 April 14, 2021 063-21 Bourse de Montréal and the Canadian Derivatives Clearing Corporation reschedule the launch of Asian trading hours initiative
2021 April 12, 2021 062-21 New S&P/TSX Composite ESG Index Futures
2021 April 9, 2021 061-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 April 8, 2021 060-21 Final Contract Adjustment - Seven Generations Energy Ltd. (VII - ARX1) - Plan of Arrangement (Follow-Up)
2021 April 7, 2021 059-21 Final Contract Adjustment - Seven Generations Energy Ltd. (VII & FSG) - Plan of Arrangement
2021 April 5, 2021 058-21 Final Contract Adjustment - Sagen MI Canada Inc. (MIC & FCM) - Plan of Arrangement
2021 April 5, 2021 057-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 April 1, 2021 056-21 Anticipated Contract Adjustment - Brookfield Property Partners L.P. (BPY) - Plan of Arrangement - Follow-Up
2021 March 29, 2021 055-21 Request for Proposal: Market making of the Asian trading hours period (BAX, CGZ, CGF, CGB, SXF)
2021 March 25, 2021 054-21 Self-certification - Amendments to Article 6.206 of the Rules of Bourse de Montréal Inc. in order to modify the minimum volume threshold for block transactions on Three-Month Canadian Bankers’ Acceptance Futures
2021 March 22, 2021 053-21 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. concerning trading halts on equity index futures
2021 March 22, 2021 052-21 Request for comments - Amendments to Article 6.206 of the Rules of Bourse de Montréal Inc. to modify the minimum volume thresholds for block transactions on the Two-Year and Five-Year Government of Canada bond futures
2021 March 22, 2021 051-21 Frequently Asked Questions - Exchange of Futures for Related Products - Article 6.208
2021 March 18, 2021 050-21 Addition of Classes to New Options Expiry Cycle
2021 March 17, 2021 049-21 Final Contract Adjustment - Westshore Terminals Investment Corporation (WTE & FTE) Special Cash Dividend
2021 March 17, 2021 048-21 Access to the Margin Rate and Tracking Error Files - Access to the Position Limit Files
2021 March 15, 2021 047-21 Anticipated Contract Adjustment- Shaw Communications Inc. Cl B (SJR)-Plan of Arrangement
2021 March 12, 2021 046-21 Position Limits - Stock and Trust Unit Options; Exchange Traded Fund Unit Options; Sector Index Options; Index Options and Currency Options
2021 March 12, 2021 045-21 Position Limits for Share Futures Contracts
2021 March 9, 2021 044-21 Just Energy Group Inc. (JE) Suspension
2021 March 8, 2021 043-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 March 3, 2021 042-21 Frequently Asked Questions - Sponsored Access (Article 3.5)
2021 March 2, 2021 041-21 The Regulatory Division Participant Scorecard
2021 March 1, 2021 040-21 Self-certification - Validity period for the training requirements for Approved Persons
2021 February 26, 2021 039-21 New ETF Option Class
2021 February 26, 2021 038-21 Self-certification - Amendments of the Rules of Bourse de Montréal Inc. to accommodate the extension of the Bourse's trading hours
2021 February 26, 2021 037-21 Final Contract Adjustment - TORC Oil & Gas Ltd. (TOG) - Plan of Arrangement
2021 February 25, 2021 036-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 February 24, 2021 035-21 Position Limits - Government of Canada Bond Future First Contract Month
2021 February 23, 2021 034-21 Self-certification - Special Committee of the Regulatory Division - Tenure Limit - Amendments to Article 2.202 of the Rules of Bourse de Montréal Inc.
2021 February 22, 2021 033-21 Representation at disciplinary proceedings
2021 February 22, 2021 032-21 Options Expiry Cycles Rollout Plan
2021 February 22, 2021 031-21 New Equity and ETF Options Classes
2021 February 18, 2021 030-21 Self-certification - Amendment to the Rules of Bourse de Montréal Inc. to modify the expiry cycles for Equity Index, Equity, ETF and Currency Options
2021 February 16, 2021 029-21 Final Contract Adjustment - Teranga Gold Corporation (TGZ) - Plan of Arrangement
2021 February 11, 2021 028-21 Anticipated Contract Adjustment - Seven Generations Energy Ltd. (VII) - Plan of Arrangement
2021 February 9, 2021 027-21 Amendment to the List of Fees of Bourse de Montréal Inc. (effective March 1st, 2021)
2021 February 9, 2021 026-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 February 8, 2021 025-21 Final Contract Adjustment - Genworth MI Canada Inc. (MIC & FCM) Name and CUSIP Change
2021 February 4, 2021 024-21 Asian trading hours launch date announcement
2021 February 3, 2021 023-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 February 3, 2021 022-21 Final Contract Adjustment - Norbord Inc. (OSB - WFG1) Plan of Arrangement (Follow-Up)
2021 February 2, 2021 021-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. regarding Position Limits
2021 February 2, 2021 020-21 Publication of the Newsletter From the Regulatory Division
2021 February 2, 2021 019-21 Final Contract Adjustment - Norbord Inc. (OSB) - Plan of Arrangement
2021 February 1, 2021 018-21 Call for Interest: Asian Trading Hours Market Making program
2021 January 29, 2021 017-21 Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT) Symbol Change (Follow-Up) - Erratum
2021 January 29, 2021 016-21 Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT & FWT)-Symbol Change
2021 January 29, 2021 015-21 2021 Compliance Priorities and Regulatory Division Initiatives
2021 January 28, 2021 014-21 Introduction of Long Term Futures Contracts on the S&P TSX 60 Index (“SXF”)
2021 January 28, 2021 013-21 New S&P/TSX 60 Dividend Index Futures
2021 January 28, 2021 012-21 Correction - Self-certification - Amendments to the Rules of Bourse de Montréal Inc. to introduce Dividend Futures contracts
2021 January 27, 2021 011-21 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. to introduce Dividend Futures contracts
2021 January 27, 2021 010-21 Resignation of an Approved Participant - INTL FCStone Financial (Canada) Inc.
2021 January 25, 2021 009-21 RESTATEMENT OF FIVE-YEAR GOVERNMENT OF CANADA BOND FUTURES (CGF) AND TEN-YEAR GOVERNMENT OF CANADA BOND FUTURES (CGB) OPEN INTEREST
2021 January 22, 2021 008-21 Second Request for comments - Amendments to Article 6.206 of the Rules of Bourse de Montréal Inc. to modify the minimum volume threshold for block transactions on BAX contracts
2021 January 8, 2021 007-21 Extension - Alternative Measures and Reporting Delays - COVID-19
2021 January 8, 2021 006-21 Position Limits – Futures Contracts and Options on Futures Contracts
2021 January 7, 2021 005-21 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2021 January 6, 2021 004-21 Final Contract Adjustment - Husky Energy Inc. (HSE - CVE1) - Plan of Arrangement (Follow-Up)
2021 January 6, 2021 003-21 Reports of Accumulated Positions on Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2021 January 5, 2021 002-21 Anticipated Contract Adjustment - Brookfield Property Partners L.P. (BPY) - Plan of Arrangement
2021 January 5, 2021 001-21 Final Contract Adjustment - Husky Energy Inc. (HSE & FHS) - Plan of Arrangement
2020 December 24, 2020 216-20 Re-Introduction of an Option Class and Share Futures Contracts - HEXO Corp. – HEXO
2020 December 22, 2020 215-20 Final Contract Adjustment - HEXO Corp (HEXO & FHX) - Reverse Split
2020 December 21, 2020 214-20 Position Limits for Share Futures Contracts
2020 December 21, 2020 213-20 Position Limits - Stock and Trust Unit Options; Exchange Traded Fund Unit Options; Sector Index Options; Index Options and Currency Options
2020 December 17, 2020 212-20 Disciplinary Decision - Offer of Settlement - TradeLink L.L.C.
2020 December 17, 2020 211-20 Self-certification - Housekeeping changes to the Rules of Bourse de Montréal Inc.
2020 December 16, 2020 210-20 Anticipated Contract Adjustment - Aphria Inc. (APHA) - Plan of Arrangement
2020 December 15, 2020 209-20 Re-Introduction of an Option Class- Brookfield Renewable Energy Partners L.P. (BEP)
2020 December 14, 2020 208-20 Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP3) - Stock Split (Follow-Up)
2020 December 9, 2020 207-20 Anticipated Contract Adjustment - TORC Oil & Gas Ltd. (TOG) - Plan of Arrangement
2020 December 9, 2020 206-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. in order to introduce ESG Equity Index Futures
2020 December 8, 2020 205-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 December 3, 2020 204-20 Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP & BEP1)- Stock Split
2020 November 26, 2020 203-20 Position Limits - Government of Canada Bond Future First Contract Month
2020 November 26, 2020 202-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 November 20, 2020 201-20 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. regarding the equity index and share futures daily settlement procedures
2020 November 20, 2020 200-20 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. regarding the trade cancellation and/or price adjustment
2020 November 20, 2020 199-20 Date of Inclusion of the Margin Relief for S&P/TSX Index Standard Futures (“SXF”) and S&P/TSX Index Mini Futures (“SXM”) Combinations in the Futures Contracts Margin Rates File
2020 November 19, 2020 198-20 Holiday and Early Closings 2020-2021
2020 November 19, 2020 197-20 Anticipated Contract Adjustment - Norbord Inc. (OSB) - Plan of Arrangement
2020 November 18, 2020 196-20 Delisting of Canadian Share Futures and Basis Trade on Close Functionality
2020 November 16, 2020 195-20 Anticipated Contract Adjustment - Teranga Gold Corporation (TGZ) - Plan of Arrangement
2020 November 13, 2020 194-20 Re-Introduction of an Option Class - Precision Drilling Corporation (PD)
2020 November 12, 2020 193-20 Name Change of a Foreign Approved Participant - HRT Financial LLC
2020 November 11, 2020 192-20 Anticipated Contract Adjustment - Great Canadian Gaming Corporation (GC) - Plan of Arrangement
2020 November 11, 2020 191-20 Anticipated Contract Adjustment - Brookfield Renewable Partners L.P. (BEP) - Stock Split
2020 November 11, 2020 190-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 November 11, 2020 189-20 Final Contract Adjustment - Precision Drilling Corporation (PD) - Reverse Split
2020 November 10, 2020 188-20 Amendments to the List of Fees of Bourse de Montréal Inc. (effective December 1st, 2020)
2020 November 10, 2020 187-20 Self-certification - Amendments to Article 6.208 of the Rules of Bourse de Montréal Inc. : Exchange of Futures for Related Products
2020 November 10, 2020 186-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. to modify the nominal value of the Two-Year Government of Canada bond futures (CGZ)
2020 November 6, 2020 185-20 New Equity Option Classes
2020 November 3, 2020 184-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 October 29, 2020 183-20 Name Change of an Approved Participant - BBS Securities Inc.
2020 October 28, 2020 182-20 Anticipated Contract Adjustment - Genworth MI Canada Inc. (MIC) - Plan of Arrangement
2020 October 27, 2020 181-20 Anticipated Contract Adjustment - Husky Energy Inc. (HSE) - Plan of Arrangement
2020 October 23, 2020 180-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. regarding the introduction of an approved defined hedge exemption for share futures contracts
2020 October 22, 2020 179-20 New Equity Option Class
2020 October 20, 2020 178-20 Request for Proposal: Market Making of S&P TSX 60 Dividend Index Futures (SDV)
2020 October 15, 2020 177-20 Regulatory Division’s Participant Portal - Release of the Designated Representative & Signatory Module
2020 October 14, 2020 176-20 Amendments to the List of Fees of Bourse de Montréal Inc. (effective November 1st, 2020)
2020 October 13, 2020 175-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc.: Designated Representative
2020 October 13, 2020 174-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 October 9, 2020 173-20 Inclusion of Margin Relief for S&P/TSX Index Standard Futures (“SXF”) and S&P/TSX Index Mini Futures (“SXM”) Combinations in the Futures Contracts Margin Rates File
2020 October 2, 2020 172-20 The Regulatory Division Announces New Structure
2020 September 30, 2020 171-20 Amendments to the Volume Rebate Program of Bourse de Montréal Inc. (effective November 1st, 2020)
2020 September 30, 2020 170-20 Re-Introduction of an Option Class
2020 September 29, 2020 169-20 Final Contract Adjustment - Just Energy Group Inc. (JE) - Reverse Split (Follow-Up)
2020 September 28, 2020 168-20 Request for Proposal: Market making of S&P/TSX 60 ESG Index Futures (SEG)
2020 September 28, 2020 167-20 Final Contract Adjustment - Just Energy Group Inc. (JE) - Reverse Split
2020 September 25, 2020 166-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 September 22, 2020 165-20 Penny Program – Replacement of Classes
2020 September 21, 2020 164-20 New Equity Option Classes
2020 September 21, 2020 163-20 New Weekly Equity Options Classes
2020 September 21, 2020 162-20 Final Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement (Follow-Up)
2020 September 21, 2020 161-20 Self-certification - Amendments to Article 6.201 of the Rules of Bourse de Montréal Inc. to update the Average Price transactions section
2020 September 18, 2020 160-20 Second Request for comments - Amendments to the Rules of Bourse de Montréal Inc. to accommodate the extension of its trading hours
2020 September 18, 2020 159-20 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. regarding the introduction of an approved defined hedge for share futures contracts
2020 September 18, 2020 158-20 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. to modify the expiry cycles of equity index, equity, ETF and currency options
2020 September 18, 2020 157-20 Final Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement
2020 September 17, 2020 156-20 Extension - Alternative Measures and Reporting Delays - COVID-19
2020 September 16, 2020 155-20 Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
2020 September 16, 2020 154-20 Position Limits for Share Futures Contracts
2020 September 16, 2020 153-20 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2020 September 14, 2020 152-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 September 10, 2020 151-20 Amendments to the List of Fees of Bourse de Montréal Inc. (effective October 1st, 2020)
2020 September 8, 2020 150-20 Frequently Asked Questions (FAQ) - Regulation Respecting Electronic Trading and Direct Electronic Access (DEA) to Marketplaces
2020 September 8, 2020 149-20 Regulatory Division’s Participant Portal - Release of the DEA Client Module
2020 September 8, 2020 148-20 Anticipated Contract Adjustment - Artis Real Estate Investment Trust (AX) - Spin-Off
2020 September 8, 2020 147-20 Request for Proposal: Market making of the Two-Year Government of Canada Bond Futures (CGZ)
2020 September 3, 2020 146-20 Final Contract Adjustment - BetaPro Natural Gas -2x Daily Bear ETF (HND) - Name Change & CUSIP Change
2020 September 3, 2020 145-20 Final Contract Adjustment - BetaPro Natural Gas -2x Daily Bull ETF (HNU) - Name Change & CUSIP Change
2020 September 3, 2020 144-20 Final Contract Adjustment - Alaris Royalty Corp. (AD) - Plan of Arrangement
2020 August 31, 2020 143-20 Self-certification - Amendments to Article 12.5 of the Rules of the Bourse to amend the minimum price fluctuation of the Three-Month Canadian Bankers’ Acceptance Futures
2020 August 27, 2020 142-20 Call for applications: Renewal of the Futures Quebec Proprietary Trading Firms Incentive
2020 August 27, 2020 141-20 Position Limits - Government of Canada Bond Future First Contract Month
2020 August 25, 2020 140-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 August 13, 2020 139-20 Options Market Structure
2020 August 12, 2020 138-20 Anticipated Contract Adjustment - Bausch Health Companies Inc. (BHC)- Spin-Off
2020 August 12, 2020 137-20 Request for Comments - Amendments to the Rules of Bourse de Montreal Inc. to Modify the Nominal Value of the Two-Year Government of Canada Bond Futures (CGZ)
2020 August 11, 2020 136-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 August 5, 2020 135-20 Request for comments - Amendments of the Rules of the Bourse to accommodate the extension of the Bourse's trading hours
2020 July 31, 2020 134-20 Request for Proposal : Market making of Options on Three-Month Canadian Bankers’ Acceptance Futures (OBX)
2020 July 27, 2020 133-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 July 24, 2020 132-20 Publication of the Newsletter From the Regulatory Division
2020 July 24, 2020 131-20 Anticipated Contract Adjustment - Alaris Royalty Corp. (AD) - Plan of Arrangement
2020 July 23, 2020 130-20 Final Contract Adjustment - Brookfield Renewable Partners L.P. (BEP) - Special Distribution
2020 July 21, 2020 129-20 The Regulatory Division Participant Scorecard
2020 July 15, 2020 128-20 Market Making Call for Interest - Two-Year Government of Canada Bond Futures (CGZ) Market Making Program
2020 July 15, 2020 127-20 Disciplinary decision - Offer of settlement - RBC Dominion Securities Inc.
2020 July 14, 2020 126-20 Final Contract Adjustment - BetaPro Crude Oil -1x Daily Bear ETF (HOD) - Name Change & CUSIP Change
2020 July 14, 2020 125-20 Final Contract Adjustment - BetaPro Crude Oil - Daily Bull ETF (HOU2 & HOU3) - Name & CUSIP Change
2020 July 14, 2020 124-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 July 14, 2020 123-20 Amendments to the List of Fees of Bourse de Montréal Inc. (effective August 1st, 2020)
2020 July 9, 2020 122-20 Final Contract Adjustment - Tricon Capital Group Inc (TCN) - Name Change
2020 July 7, 2020 121-20 Re-Introduction of an Option Class - Dream Unlimited Corp. (DRM)
2020 July 7, 2020 120-20 Request for comments - Amendments to Article 6.206 of the Rules of Bourse de Montréal Inc. to modify the minimum volume threshold for block transactions on Three-Month Canadian Bankers’ Acceptance Futures (BAX)
2020 July 7, 2020 119-20 Final Contract Adjustment - SEMAFO INC (SMF) - Plan of Arrangement (Follow-Up)
2020 July 6, 2020 118-20 Final Contract Adjustment - SEMAFO Inc. (SMF) - Plan of Arrangement
2020 July 3, 2020 117-20 Final Contract Adjustment - Dream Unlimited Corp. (DRM) - Reverse Split and CUSIP Change
2020 June 30, 2020 116-20 Position Limits for Share Futures Contracts
2020 June 30, 2020 115-20 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2020 June 26, 2020 114-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 June 25, 2020 113-20 Request for Comments – Amendments to Article 12.5 of the Rules of Bourse de Montreal Inc. to Modify the Minimum Price Fluctuation of the Three-Month Canadian Bankers’ Acceptance Futures
2020 June 23, 2020 112-20 Request for Comments – Amendments to the Rules of Bourse de Montreal Inc. to Update the Settlement Price Procedures for Index Futures
2020 June 18, 2020 111-20 Extension - Alternative Measures and Reporting Delays - Covid-19
2020 June 17, 2020 110-20 Disciplinary Decision – Offer of Settlement – Barak Capital G.T. Ltd
2020 June 17, 2020 109-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 June 15, 2020 108-20 Anticipated Contract Adjustment (Follow-Up)- Cineplex Inc (CGX) - Plan of Arrangement - Terminated
2020 June 15, 2020 107-20 Anticipated Contract Adjustment (Follow-Up) -Guyana Goldfields Inc (GUY) - Plan of Arrangement - Terminated
2020 June 12, 2020 106-20 Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
2020 June 12, 2020 105-20 Self-certification - Amendments to Article 6.310 of the Rules of Bourse de Montréal Inc. regarding Position Limits
2020 June 12, 2020 104-20 Regulatory Division’s LOPR Portal - Important Reminder
2020 June 8, 2020 103-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 June 8, 2020 102-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. in order to introduce CORRA Futures contracts
2020 June 1, 2020 101-20 Notice - Postponement of Self-Certification - Amendments to the Rules of Bourse de Montréal Inc. Regarding Position Limits
2020 June 1, 2020 100-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. to modify certain contract specifications of the Three-Month Canadian Bankers’ Acceptance futures contracts (BAX) and related options contracts (OBX)
2020 May 28, 2020 099-20 Request for comments - Validity period for the training requirements for Approved Persons - Amendments to Articles 3.400 and 3.405 of the Rules of Bourse de Montréal Inc.
2020 May 28, 2020 098-20 Request for comments - Special Committee - Tenure Limit - Amendments to Article 2.202 of the Rules of Bourse de Montréal Inc.
2020 May 28, 2020 097-20 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - TradeLink L.L.C.
2020 May 27, 2020 096-20 New Equity Option Classes
2020 May 27, 2020 095-20 Position Limits - Government of Canada Bond Futures First Contract Month
2020 May 26, 2020 094-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 May 26, 2020 093-20 Re-Introduction of ETF Option Classes - BetaPro Natural Gas 2x Daily Bull ETF (HNU) and BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD)
2020 May 25, 2020 092-20 Final Contract Adjustment - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD3)- Reverse Split (Follow-Up)
2020 May 21, 2020 091-20 Final Contract Adjustment - BetaPro Natural Gas 2x Daily Bull ETF (HNU) - Reverse Split and CUSIP Change
2020 May 21, 2020 090-20 Final Contract Adjustment- BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD & HGD1) - Reverse Split and CUSIP Change
2020 May 21, 2020 089-20 Regulatory User Group Members List - Addendum
2020 May 21, 2020 088-20 New Features to Facilitate Accessibility to Bourse de Montreal Inc. Rules
2020 May 20, 2020 087-20 Anticipated Contract Adjustment - Guyana Goldfields Inc (GUY) - Plan of Arrangement (Follow Up)
2020 May 19, 2020 086-20 Final Contract Adjustment - Parkland Fuel Corporation (PKI) - Name and CUSIP Change
2020 May 12, 2020 085-20 Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA) Reverse Split - Revocation of Erratum
2020 May 12, 2020 084-20 Re-Introduction of an Option Class and Share Future Contracts - Aurora Cannabis Inc. (ACB)
2020 May 11, 2020 083-20 Anticipated Contract Adjustment - Alacer Gold Corp. (ASR) - Plan of Arrangement
2020 May 11, 2020 082-20 Amendments to the List of Fees of Bourse de Montréal Inc. (effective June 1st, 2020)
2020 May 8, 2020 081-20 Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA)- Reverse Split - Erratum
2020 May 7, 2020 080-20 Final Contract Adjustment - Aurora Cannabis Inc. (ACB & FOA) - Reverse Split
2020 May 6, 2020 079-20 Listing of Three-Month CORRA Futures (CRA)
2020 May 6, 2020 078-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 May 4, 2020 077-20 Resignation of a Foreign Approved Participant - Virtu Financial Capital Markets LLC
2020 May 4, 2020 076-20 Resignation of a Foreign Approved Participant - Virtu Financial BD, LLC
2020 April 30, 2020 075-20 Request for Proposal - Market making of the Three-Month Canadian Overnight Repo Rate Average CORRA Futures (CRA)
2020 April 30, 2020 074-20 Request for comments - Amendments to Part 4 of the Rules of the Bourse: Investigation Process
2020 April 30, 2020 073-20 Temporary Amendments to the Daily Settlement Price Procedures Applicable to the Three-Month Canadian Bankers’ Acceptance Futures Contract ( BAX )
2020 April 29, 2020 072-20 Final Contract Adjustment - BetaPro Crude Oil Daily Bull ETF (HOU3) - Reverse Split, Name and CUSIP Change (Follow-Up)
2020 April 28, 2020 071-20 Final Contract Adjustment - BetaPro Crude Oil 2x Daily Bull ETF (HOU & HOU1) - Reverse Split, Name and CUSIP Change
2020 April 28, 2020 070-20 Final Contract Adjustment - BetaPro Crude Oil -2x Daily Bear ETF (HOD)- Name Change
2020 April 27, 2020 069-20 Request for comment - Amendments to Article 6.208 of the Rules of the Bourse: Exchange of Futures for Related Products
2020 April 27, 2020 068-20 Request for Proposal - Market making of the Three-Month Canadian Bankers’ Acceptance Futures (BAX) - Spreads
2020 April 27, 2020 067-20 Request‌ ‌for‌ ‌Proposal‌ ‌- ‌Market‌ ‌ making‌ ‌of‌ ‌the‌ ‌Three-Month‌ ‌Canadian‌ ‌Bankers’‌ ‌Acceptance‌ ‌Futures‌ ‌(BAX) -‌ ‌Outright‌s
2020 April 27, 2020 066-20 Anticipated Contract Adjustment- Guyana Goldfields Inc. (GUY) - Plan of Arrangement
2020 April 27, 2020 065-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 April 20, 2020 064-20 Basis Trade on Close “BTC” Functionality Enabled on Additional Share Futures
2020 April 20, 2020 063-20 Request for comments - Amendments to Article 6.201 of the Rules of the Bourse to update the Average Price Transactions section
2020 April 15, 2020 062-20 CannTrust Holdings Inc. (TRST) - Delisting
2020 April 14, 2020 061-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 April 13, 2020 060-20 Final Contract Adjustment - Brookfield Infrastructure Partners LP (BIP.un) -Special Distribution (Follow-Up)
2020 April 7, 2020 059-20 Changing Maximum Order Size on Share Futures and their Associated Basis Trade at Close (BTC)
2020 April 3, 2020 058-20 Re-Introduction of an Option Class and Share Future Contracts
2020 April 2, 2020 057-20 Re-Introduction of an Option Class and Share Future Contracts
2020 March 31, 2020 056-20 CannTrust Holdings Inc. (TRST) Suspension
2020 March 31, 2020 055-20 Resignation of a Foreign Approved Participant - Life Trading UK Limited
2020 March 26, 2020 054-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 March 25, 2020 053-20 Re-Introduction of ETF Option Classes
2020 March 25, 2020 052-20 Special Committee of the Regulatory Division - Call for Nominations
2020 March 25, 2020 051-20 Final Contract Adjustment - Brookfield Asset Management Inc. Cl A (BAM.A & FBM) - Stock Dividend (Stock Split)
2020 March 23, 2020 050-20 Anticipated Contract Adjustment - SEMAFO Inc. (SMF)- Plan of Arrangement
2020 March 20, 2020 049-20 Late Filing Fees - Additional Reporting Delay Granted
2020 March 20, 2020 048-20 Position Limits For Share Futures Contracts
2020 March 20, 2020 047-20 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2020 March 20, 2020 046-20 Final Contract Adjustment - BetaPro Canadian Gold Miners -2x Daily Bear ETF (HGD) -Reverse Split
2020 March 20, 2020 045-20 Final Contract Adjustment- BetaPro Crude Oil 2x Daily Bull ETF (HOU)- Reverse Split
2020 March 19, 2020 044-20 Potential impacts of unexpected market closings on expiry and prices
2020 March 18, 2020 043-20 Additional Guidance to Approved Participants - COVID-19
2020 March 18, 2020 042-20 Final Contract Adjustment- Brookfield Infrastructure Partners L.P. (BIP & FRQ)- Special Distribution
2020 March 11, 2020 041-20 Approved Participants Business Continuity Plan - COVID-19
2020 March 10, 2020 040-20 Final Contract Adjustment - TELUS Corporation (T & FTC) - Stock Split
2020 March 6, 2020 039-20 Final Contract Adjustment - Continental Gold Inc. (CNL) - Plan of Arrangement
2020 March 6, 2020 038-20 The Regulatory Division Participant Scorecard
2020 March 6, 2020 037-20 Additional Canadian Share Futures Contracts With Basis Trade on Close (“BTC”)
2020 March 5, 2020 036-20 LOPR Regulatory Requirements Guide and LOPR Portal Notification User Guide
2020 March 5, 2020 035-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 March 4, 2020 034-20 Final Contract Adjustment - Hudson’s Bay Company (HBC) - Plan of Arrangement
2020 March 2, 2020 033-20 Final Contract Adjustment - Cott Corp (BCB) - Name and symbol change
2020 February 28, 2020 032-20 Anticipated Contract Adjustment- Northview Apartment Real Estate Investment Trust (NVU-UN)- Plan of Arrangement
2020 February 28, 2020 031-20 Equity Derivatives Trading Halt on February 27, 2020
2020 February 27, 2020 030-20 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - RBC Dominion Securities Inc.
2020 February 26, 2020 029-20 Basis Trade on Close “BTC” Functionality Enabled on Additional Share Futures
2020 February 26, 2020 028-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 February 26, 2020 027-20 Position Limits - Government of Canada Bond Future First Contract Month
2020 February 24, 2020 026-20 Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
2020 February 19, 2020 025-20 Anticipated Contract Adjustment - TELUS Corporation (T) - Stock Split
2020 February 18, 2020 024-20 Anticipated Contract Adjustment- Brookfield Asset Management Inc. Cl A (BAM.A)- Stock Dividend (Stock Split)
2020 February 18, 2020 023-20 IIROC Continuing Education Credits - Bourse de Montréal Inc. Training
2020 February 18, 2020 022-20 Final Contract Adjustment- Power Financial Corporation (PWF & FPF)- Plan of Arrangement
2020 February 17, 2020 021-20 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective March 1st, 2020)
2020 February 14, 2020 020-20 Introduction of two Additional Serials for Share Futures Contracts on: Canadian Shares, Exchange-Traded Funds, and Trust Units
2020 February 14, 2020 019-20 Margin Relief for S&P/TSX Index Standard Futures (“SXF”) and S&P/TSX Index Mini Futures (“SXM”) Combinations
2020 February 5, 2020 018-20 Compliance Priorities and 2020 Regulatory Division Initiatives
2020 February 4, 2020 017-20 Final Contract Adjustment- Detour Gold Corporation (DGC)- Plan of Arrangement (Follow Up)
2020 February 3, 2020 016-20 Publication of the Newsletter From the Regulatory Division
2020 February 3, 2020 015-20 Final Contract Adjustment - Detour Gold Corporation (DGC) - Plan of Arrangement
2020 February 3, 2020 014-20 Self-certification - Housekeeping changes to the Rules of Bourse de Montréal Inc.
2020 January 30, 2020 013-20 Position Limits – Futures Contracts and Options on Futures Contracts
2020 January 29, 2020 012-20 Resignation of an Approved Participant - Timber Hill Canada Company
2020 January 28, 2020 011-20 New Index Futures Class
2020 January 28, 2020 010-20 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2020 January 27, 2020 009-20 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. in order to introduce the S&P/MX International Cannabis Index Futures
2020 January 27, 2020 008-20 Re-Introduction of an Option Class and Future Contracts – Ovintiv Inc. ( OVV )
2020 January 24, 2020 007-20 Final Contract Adjustment- Encana Corporation (ECA & FEA)- NAME, SYMBOL, REVERSE SPLIT AND CUSIP CHANGE
2020 January 17, 2020 006-20 Final Contract Adjustment- Genworth MI Canada Inc. (MIC)- Special Cash Dividend
2020 January 14, 2020 005-20 Disciplinary decision - Offer of settlement - Deutsche Bank Securities Inc.
2020 January 10, 2020 004-20 Self-certification - Amendments to the Rules of Bourse de Montreal Inc. to introduce Top-of-the-Book Price Limits to existing Price Limits
2020 January 9, 2020 003-20 Name Change of an Approved Participant - GMP Securities L.P.
2020 January 8, 2020 002-20 Final Contract Adjustment- Newmont Goldcorp Corporation (NGT) Name Change
2020 January 6, 2020 001-20 Position Limits – Futures Contracts and Options on Futures Contracts
2019 December 29, 2019 176-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 December 24, 2019 175-19 Final Contract Adjustment - First Capital Realty Inc. (FCR & FFR) - Plan of Arrangement
2019 December 23, 2019 174-19 Position limits - stock and trust unit options; exchange traded funds unit options, index options and currency options
2019 December 23, 2019 173-19 Position Limits for Share Futures Contracts
2019 December 20, 2019 172-19 Final Contract Adjustment - DHX Media Ltd. (DHX) - Name, Symbol and CUSIP Change
2019 December 19, 2019 171-19 Final Contract Adjustment - Kinder Morgan Canada Limited (KML) Plan of Arrangement (Follow-Up)
2019 December 18, 2019 170-19 Admission of an Approved Participant - INTL FCStone Financial (Canada) Inc.
2019 December 18, 2019 169-19 Final Contract Adjustment - Kinder Morgan Canada Ltd. (KML) - Plan of Arrangement
2019 December 17, 2019 168-19 Anticipated Contract Adjustment (Follow-Up)- Canfor Corporation (CFP)- Plan of Arrangement - Terminated
2019 December 17, 2019 167-19 Participant Portal - New Features
2019 December 16, 2019 166-19 Anticipated Contract Adjustment- Cineplex Inc. (CGX)- Plan of Arrangement
2019 December 13, 2019 165-19 Anticipated Contract Adjustment - Power Financial Corporation (PWF & FPF)-Plan of Arrangement
2019 December 13, 2019 164-19 Final Contract Adjustment - WestJet Airlines Ltd. (WJA) - Plan of Arrangement
2019 December 12, 2019 163-19 Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
2019 December 11, 2019 162-19 Final Contract Adjustment - Dream Global Real Estate -Investment (DRG) Acquisition
2019 December 11, 2019 161-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 December 10, 2019 160-19 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective January 1st, 2020)
2019 December 5, 2019 159-19 Final Contract Adjustment- Genworth MI Canada Inc. (MIC) - Special Cash Dividend
2019 December 2, 2019 158-19 Anticipated Contract Adjustment - Continental Gold Inc. (CNL) - Plan of Arrangement
2019 December 2, 2019 157-19 Reports Pertaining to the Accumulation of Positions for Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2019 November 29, 2019 156-19 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of settlement - Deutsche Bank Securities Inc.
2019 November 27, 2019 155-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 November 27, 2019 154-19 Final Contract Adjustment - Horizons S&P/TSX 60 Index ETF (HXT & FXT) Name and CUSIP Change
2019 November 27, 2019 153-19 Position Limits - Government of Canada Bond Future First Contract Month
2019 November 25, 2019 152-19 Anticipated Contract Adjustment - Detour Gold Corporation (DGC) - Plan of Arrangement
2019 November 25, 2019 151-19 Final Contract Adjustment - Horizons ETFs (HOU, HOD, HNU, HND, HGU, HGD) - Name and CUSIP Change
2019 November 25, 2019 150-19 New Equity Option Classes
2019 November 21, 2019 149-19 Request for comments - Amendments to the Rules of Bourse de Montréal Inc. regarding Position Limits
2019 November 20, 2019 148-19 Request for Proposal - Market making of S&P/MX International Cannabis Index Futures (SMJ)
2019 November 19, 2019 147-19 Request for comments - Amendments to the Rules of Bourse de Montréal Inc.: Designated Representative
2019 November 18, 2019 146-19 Basis Trade on Close “BTC” Functionality Enabled on Additional Share and Index Futures
2019 November 14, 2019 145-19 Holidays and Early Closings 2019-2020
2019 November 13, 2019 144-19 Anticipated Contract Adjustment- First Capital Realty Inc. (FCR & FFR)- Plan of Arrangement
2019 November 12, 2019 143-19 Final Contract Adjustment – Follow Up - DHX Media Ltd. (DHX) - Rights Offering
2019 November 12, 2019 142-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 November 6, 2019 141-19 Resignation of a Foreign Approved Participant - Barak Capital G. T. Ltd.
2019 November 6, 2019 140-19 Resignation of a Foreign Approved Participant - SMBC Capital Markets, Inc.
2019 October 31, 2019 139-19 Anticipated Contract Adjustment- Encana Corporation (ECA & FEA)- Name and CUSIP Change
2019 October 29, 2019 138-19 Notice of withdrawal - Request for Comments - Trading Practices and Oversight
2019 October 29, 2019 137-19 Anticipated Contract Adjustment- Canfor Corporation (CFP)- Plan of Arrangement
2019 October 29, 2019 136-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 October 21, 2019 135-19 Anticipated Contract Adjustment- Hudson’s Bay Company (HBC)- Plan of Arrangement
2019 October 17, 2019 134-19 New Mandatory Training for Anyone Interested in Becoming an Approved Person at Bourse de Montréal Inc.
2019 October 16, 2019 133-19 Final Contract Adjustment- DHX Media Ltd. (DHX)- Rights Offering
2019 October 8, 2019 132-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 October 2, 2019 131-19 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2019 September 27, 2019 130-19 Frequently Asked Questions - Self-Matching of Orders and Wash Trading (Article 7.5)
2019 September 26, 2019 129-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 September 23, 2019 128-19 INCLUSION OF BLOCK TRADES PRICED AT A BASIS TO INDEX CLOSE (BIC) ON S&P/TSX60 INDEX AND SECTOR INDEX FUTURES IN THE SPECIAL TERMS TRANSACTION REPORTING FORMS PORTAL AND UPDATE OF THE USER GUIDE
2019 September 19, 2019 127-19 Admission of a Foreign Approved Participant - Virtu Americas LLC
2019 September 19, 2019 126-19 Admission of an Approved Participant - Casgrain & Company Limited
2019 September 19, 2019 125-19 Admission of an Approved Participant - Interactive Brokers Canada Inc.
2019 September 17, 2019 124-19 Anticipated Contract Adjustment- Dream Global Real Estate Investment (DRG)- Acquisition
2019 September 16, 2019 123-19 Pre-Trade Risk Control - new offering
2019 September 16, 2019 122-19 Final Contract Adjustment- Genworth MI Canada Inc. (MIC)- Special Cash Dividend
2019 September 16, 2019 121-19 Final Contract Adjustment - Labrador Iron Ore Royalty Corporation (LIF) - Special Cash Dividend
2019 September 13, 2019 120-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 September 6, 2019 119-19 Final Contract Adjustment - Alimentation Couche-Tard Inc., Cl. B (ATD & FTA)- Stock Split
2019 September 5, 2019 118-19 New Equity Option Classes
2019 August 28, 2019 117-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 August 28, 2019 116-19 Position Limits - Government of Canada Bond Future First Contract Month
2019 August 23, 2019 115-19 Self-certification - Amendments to article 6.208 of the Rules of Bourse de Montréal Inc.
2019 August 23, 2019 114-19 Self-certification - Amendment to article 6.200 of the Rules of Bourse de Montréal Inc. relating to Off-Exchange Transfers
2019 August 23, 2019 113-19 Anticipated Contract Adjustment- Kinder Morgan Canada Ltd. (KML)- Plan of Arrangement
2019 August 16, 2019 112-19 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options (Erratum)
2019 August 15, 2019 111-19 Hearing Before the Disciplinary Committee of Bourse de Montréal Inc. – Offer of Settlement – RBC Dominion Securities Inc.
2019 August 15, 2019 110-19 Amendments to the List of Fees of Bourse De Montréal Inc. (Effective October 1st, 2019)
2019 August 14, 2019 109-19 Resignation of a Foreign Approved Participant - Fluxion Capital Limited
2019 August 14, 2019 108-19 Resignation of an Approved Participant - Friedberg Mercantile Group Ltd.
2019 August 14, 2019 107-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 August 6, 2019 106-19 Request for proposal - Extended hours: Market Making of Five-Year Government of Canada Bond Futures (CGF) and of Ten-Year Government of Canada Bond Futures (CGB)
2019 August 6, 2019 105-19 Request for proposal- Extended hours: Market making of Three-Month Canadian Bankers’ Acceptance Futures (BAX)
2019 August 5, 2019 104-19 Publication of the Newsletter From the Regulatory Division
2019 July 31, 2019 103-19 Launch of the Regulatory Division Participant Scorecard
2019 July 30, 2019 102-19 Self-certification - Amendments to article 6.206 of the Rules of the Bourse in order to allow additional reporting time for large block transactions on Ten-Year Government of Canada Bond Futures (CGB)
2019 July 23, 2019 101-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 July 23, 2019 100-19 Self-certification - Amendments to article 12.212 of the Rules of the Bourse in order to modify the delivery standards of the Five-Year Government of Canada Bond Futures (CGF)
2019 July 23, 2019 099-19 List of Fees of the Bourse (effective August 1st, 2019)
2019 July 8, 2019 098-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 July 8, 2019 097-19 Request for comments - Amendments to the Rules of the Bourse to introduce Top-of-the-Book Price Limits to the Bourse’s existing suite of marketplace thresholds
2019 July 2, 2019 096-19 Self-certification - Housekeeping amendments to articles 12.207, 6.4, 6.206 and 6.208 of the Rules of the Bourse
2019 June 27, 2019 095-19 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 June 27, 2019 094-19 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2019 June 27, 2019 093-19 Position Limits for Share Futures Contracts
2019 June 21, 2019 092-19 Regulatory Division’s Participant Portal - Important Reminder
2019 June 19, 2019 091-19 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF)- Special Cash Dividend
2019 June 12, 2019 090-19 Regulatory Division’s Participant Portal - Release of the Approved Person and MX-ID modules
2019 June 10, 2019 089-19 No Contract Adjustment - Canaccord Genuity Group Inc. (CF)-Cash Dividend
2019 June 10, 2019 088-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 June 10, 2019 087-19 Renewal of the New Traders Training Program on Futures - Call for Applications
2019 June 7, 2019 086-19 Final Contract Adjustment - Genworth MI Canada Inc. (MIC) - Special Cash Dividend
2019 June 4, 2019 085-19 Final Contract Adjustment- Gluskin Sheff & Associates Inc. (GS)-Plan of Arrangement
2019 May 31, 2019 084-19 Discontinuation of the Overnight Index Swap Futures (OIS)
2019 May 31, 2019 083-19 Discontinuation of the 30-day Overnight Repo Rate Futures (ONX)
2019 May 30, 2019 082-19 Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
2019 May 28, 2019 081-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 May 27, 2019 080-19 S&P/TSX 60 Index Options (“SXO”) Contract Size Amendment and New Listing
2019 May 22, 2019 079-19 Request for Comments - Amendments to article 6.208 of the Rules of the Bourse in order to clarify the requirements pertaining to the pricing of EFRP transactions
2019 May 22, 2019 078-19 Additional Canadian Share Futures Contracts with Basis Trade on Close (“BTC”)
2019 May 22, 2019 077-19 Request for Comments - Amendments to article 6.206 of the Rules of the Bourse in order to allow additional reporting time for large block transactions on the CGB contract
2019 May 22, 2019 076-19 Request for Comments - Amendments to article 12.212 of the Rules of the Bourse to modify the delivery standards of the CGF contract
2019 May 21, 2019 075-19 Request for Comments - Amendments to article 6.200 of the Rules of the Bourse relating to Off-Exchange Transfers
2019 May 16, 2019 074-19 List of fees of the Bourse (Effective June 1st, 2019 and July 1st, 2019)
2019 May 16, 2019 073-19 Self-certification - Amendments to the Rules of the Bourse to increase the S&P/TSX 60 Index Option (SXO) contract size
2019 May 13, 2019 072-19 Anticipated Contract Adjustment- WestJet Airlines Ltd. (WJA)- Plan of Arrangement
2019 May 9, 2019 071-19 Penny Program – Replacement of Classes
2019 May 8, 2019 070-19 Final Contract Adjustment- TransCanada Corporation (TRP & FRP)-Name and CUSIP Change
2019 May 8, 2019 069-19 Position Limits - Futures Contracts and Options on Futures Contracts
2019 May 1, 2019 068-19 Resignation of an Approved Participant - Cormark Securities Inc.
2019 April 30, 2019 067-19 New Equity Option Class
2019 April 29, 2019 066-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 April 23, 2019 065-19 Final Contract Adjustment- Goldcorp Inc. (G and FGG)- Merger (Follow-Up)
2019 April 22, 2019 064-19 Final Contract Adjustment- Goldcorp Inc. (G and FGG)-Merger
2019 April 12, 2019 063-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 April 11, 2019 062-19 List of fees of the Bourse (Effective on May 1st, 2019)
2019 April 11, 2019 061-19 Self-certification - Amendments to article 4.308 of the Rules of the Bourse
2019 April 4, 2019 060-19 Final Contract Adjustment Pan American Silver Corp. [(PAAS1 - formerly Tahoe Resources Inc. (THO)]-Plan of Arrangement
2019 April 3, 2019 059-19 Resignation of an Approved Participant - Laurentian Bank Securities Inc.
2019 April 2, 2019 058-19 New Equity Option Classes
2019 April 1, 2019 057-19 Call for Interest: Market making of S&P/TSX 60 Index Option (SXO)
2019 March 29, 2019 056-19 Launch of the Regulatory Division’s Participant Portal - Extension of the Integration Period
2019 March 29, 2019 055-19 Comparative Analysis by the Regulatory Division of Market Data in the Context of the Extension of Trading Hours
2019 March 26, 2019 054-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 March 26, 2019 053-19 Anticipated Contract Adjustment Gluskin Sheff & Associates Inc. (GS)- Plan of Arrangement
2019 March 20, 2019 052-19 Position Limits for Share Futures Contracts
2019 March 20, 2019 051-19 Position limits - stock and trust unit options; exchange traded funds unit options, index options and currency options
2019 March 20, 2019 050-19 New Weekly Equity Options Classes
2019 March 18, 2019 049-19 2nd publication - Call for Applications - Disciplinary Committee of Bourse de Montréal Inc.
2019 March 15, 2019 048-19 Position Limits – Futures Contracts and Options on Futures Contracts
2019 March 8, 2019 047-19 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF) Special Cash Dividend
2019 March 6, 2019 046-19 Final Contract Adjustment- Tahoe Resources Inc (THO) Plan of Arrangement (Erratum)
2019 March 5, 2019 045-19 Re-Introduction of an Option Class- BetaPro Natural Gas 2x Daily Bull ETF (HNU)
2019 March 5, 2019 044-19 Addendum to Request for Comments - Amendments to Article 4.308 of the Rules of the Bourse
2019 March 4, 2019 043-19 Self-certification - Housekeeping changes to the Rules of the Bourse
2019 March 1, 2019 042-19 Final Contract Adjustment- Nevsun Resources Ltd. (NSU) Acquisition
2019 March 1, 2019 041-19 Final Contract Adjustment- BetaPro Natural Gas 2x Daily Bull ETF (HNU)-Reverse Split
2019 February 28, 2019 040-19 Regulatory User Group - Members List - Addendum
2019 February 27, 2019 039-19 Request for proposal - Market Making of Options on the US dollar (USX)
2019 February 27, 2019 038-19 Final Contract Adjustment- Tahoe Resources Inc (THO)- Plan of Arrangement (Erratum)
2019 February 27, 2019 037-19 Reports Pertaining to the Accumulation of Positions for Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2019 February 27, 2019 036-19 Final Contract Adjustment- Tahoe Resources Inc (THO)- Plan of Arrangement (Follow-Up)
2019 February 26, 2019 035-19 Final Contract Adjustment- Tahoe Resources Inc. (THO) Plan of Arrangement
2019 February 26, 2019 034-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 February 25, 2019 033-19 Final Contract Adjustment Stelco Holdings Inc. (STLC) Special Cash Dividend
2019 February 21, 2019 032-19 Publication of the Newsletter from the Regulatory Division
2019 February 21, 2019 031-19 Discontinuation of FTSE Emerging Markets Index Futures (EMF)
2019 February 20, 2019 030-19 New Weekly Equity Options Classes
2019 February 20, 2019 029-19 Request for comments - Amendments to article 4.308 of the Rules of the Bourse
2019 February 19, 2019 028-19 Compliance Priorities and 2019 Regulatory Division Initiatives
2019 February 18, 2019 027-19 Request for comments - Amendments to the Rules of the Bourse to increase the S&P/TSX 60 Index Option (SXO) contract size
2019 February 15, 2019 026-19 Regulatory User Group - Members List
2019 February 13, 2019 025-19 Resignation of a Foreign Approved Participant - Tower Research Capital Europe Limited
2019 February 12, 2019 024-19 New Equity Option Class
2019 February 11, 2019 023-19 Amendment to the list of fees of Bourse de Montréal Inc. (effective March 1st, 2019)
2019 February 11, 2019 022-19 Position limits - futures contracts and options on futures contracts
2019 February 11, 2019 021-19 Launch of the Regulatory Division’s Participant Portal
2019 February 5, 2019 020-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 February 1, 2019 019-19 Final Contract Adjustment- CGI Group Inc. (GIB & FGI)- Name and CUSIP Change
2019 January 29, 2019 018-19 Call for Nominations - Special Committee of the Regulatory Division
2019 January 29, 2019 017-19 Call for Applications - Disciplinary Committee of Bourse de Montréal Inc.
2019 January 24, 2019 016-19 Admission of a Foreign Approved Participant - Headlands Technologies LLC
2019 January 24, 2019 015-19 Final Contract Adjustment- BMO Equal Weight Oil & Gas (ZEO)- Reverse Split
2019 January 17, 2019 014-19 Anticipated Contract Adjustment- Goldcorp Inc. (G & FGG)- Merger
2019 January 17, 2019 013-19 Anticipated Contract Adjustment- Nevsun Resources Ltd. (NSU)- Acquisition
2019 January 16, 2019 012-19 Off Exchange Transfer - Publication of Guidelines
2019 January 11, 2019 011-19 Call for Members - Regulatory User Group
2019 January 9, 2019 010-19 Re-Introduction of an Option Class- Kinder Morgan Canada Ltd.- (KML)
2019 January 9, 2019 009-19 Position limits - futures contracts and options on futures contracts
2019 January 8, 2019 008-19 Re-Introduction of an Option Class and Future Contracts
2019 January 8, 2019 007-19 Request for Proposal - Market Making of the Three-Month Canadian Bankers’ Acceptance Futures (BAX)
2019 January 8, 2019 006-19 Final Contract Adjustment- Kinder Morgan Canada Limited(KML) Reverse Split (Follow-Up)
2019 January 7, 2019 005-19 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2019 January 7, 2019 004-19 Final Contract Adjustment- Kinder Morgan Canada Limited(KML)-Reverse Split
2019 January 4, 2019 003-19 Restatement of S&P/TSX 60 Index Standard Futures (SXF) open interest
2019 January 4, 2019 002-19 Final Contract Adjustment- Maxar Technologies Ltd. (MAXR)- Plan of Arrangement
2019 January 3, 2019 001-19 Final Contract Adjustment- Industrial Alliance. (IAG/FIA)- Plan of Arrangement
2018 December 31, 2018 207-18 Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
2018 December 28, 2018 206-18 Restatement of Five-Year Government of Canada Bond Futures (CGF) Open Interest
2018 December 28, 2018 205-18 Final Contract Adjustment- Eldorado Gold Corporation (ELD)- Reverse Split
2018 December 20, 2018 204-18 Final Contract Adjustment- Granite Real Estate Investment Trust (GRT)- Special Cash Dividend
2018 December 20, 2018 203-18 Resignation of a Foreign Approved Participant - Advantage Futures LLC
2018 December 19, 2018 202-18 Amendments to the list of fees of Bourse de Montréal Inc. (Effective January 1, 2019)
2018 December 18, 2018 201-18 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF)- Special Cash Dividend
2018 December 17, 2018 200-18 Self-certification - Reorganized Rulebook
2018 December 13, 2018 199-18 Final Contract Adjustment Kinder Morgan Canada Limited. (KML)-Special Cash Dividend
2018 December 11, 2018 198-18 Self-certification - Amendments to Rule 6 of the Bourse
2018 December 10, 2018 197-18 Basis Trade on Close («BTC») Functionality Enabled on Additional Share Futures
2018 December 10, 2018 196-18 Opening of Trading at 2:00 am ET for Index Futures
2018 December 10, 2018 195-18 Lauch of the Five-Year Government of Canada Bond Futures(CGF) Market Making Program
2018 December 7, 2018 194-18 Position Limits for Share Futures Contracts
2018 December 7, 2018 193-18 Position limits -Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2018 December 7, 2018 192-18 Position Limits - Futures Contracts and Options on Futures Contracts
2018 December 6, 2018 191-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 December 5, 2018 190-18 Re-Introduction of an option class - Resolute Forest Products Inc. (RFP)
2018 November 30, 2018 189-18 Modification of the Volume Rebate Program (Effective January 1st, 2019)
2018 November 29, 2018 188-18 Final Contract Adjustment- Mitel Networks Corporation (MNW) Plan of Arrangement
2018 November 29, 2018 187-18 Re-Introduction of an option class and future contracts- Thomson Reuters Corporation (TRI)
2018 November 28, 2018 186-18 Final Contract Adjustment- Resolute Forest Products Inc. (RFP)-Special Cash Dividend
2018 November 27, 2018 185-18 Final Contract Adjustment- Thomson Reuters Corporation (TRI & FRT)-Plan of Arrangement (Follow-Up)
2018 November 26, 2018 184-18 Final Contract Adjustment- Thomson Reuters Corporation (TRI and FRT)-Plan of Arrangement
2018 November 26, 2018 183-18 New Equity Option Classes
2018 November 15, 2018 182-18 Anticipated Contract Adjustment- Tahoe Resources Inc. (THO)- Plan of Arrangement
2018 November 15, 2018 181-18 Holidays and Early Closings 2018-2019
2018 November 15, 2018 180-18 Opening of trading at 2:00 am ET for Index Futures
2018 November 12, 2018 179-18 Process for the Approval of Approved Persons - Publication of Guidelines
2018 November 12, 2018 178-18 Final Contract Adjustment- Enbridge Income Fund Holdings Inc. (ENF)- Plan of Arrangement (Follow-Up)
2018 November 9, 2018 177-18 Position Limits - Futures Contracts and Options on Futures Contracts
2018 November 9, 2018 176-18 Frequently Asked Questions - Self-Matching of Orders and Wash Trading (Article 6306)
2018 November 8, 2018 175-18 Final Contract Adjustment Enbridge Income Fund Holdings Inc. (ENF)-Plan of Arrangement
2018 November 8, 2018 174-18 Resignation of a Foreign Approved Participant - Tucana Bay Ltd.
2018 November 7, 2018 173-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 November 5, 2018 172-18 Re-Introduction of an Option Class and Future Contracts - Loblaw Companies Ltd. (L)
2018 November 2, 2018 171-18 Introduction of Daily Price Limits on all Equity and ETF Options
2018 November 2, 2018 170-18 Final Contract Adjustment- Loblaw Companies Limited (L & FLL) -Spin-Off (Follow-Up)
2018 November 1, 2018 169-18 Final Contract Adjustment- Aphria Inc. (APH & FPH)- Symbol Change
2018 October 29, 2018 168-18 Final Contract Adjustment- Loblaw Companies Ltd. (L and FLL)- Spin-Off
2018 October 29, 2018 167-18 Request for Proposal - Extended Hours: Market Making of S&P/TSX 60 Index Standard Futures (SXF)
2018 October 23, 2018 166-18 Second Request for comments - Amendments to the Bourse’s Rules in order to clarify the governance structure of its Regulatory Division
2018 October 18, 2018 165-18 Anticipated Contract Adjustment- Thomson Reuters Corporation (TRI & FRT)- Plan of Arrangement
2018 October 17, 2018 164-18 Final Contract Adjustment- Enercare Inc. (ECI)- Plan of Arrangement
2018 October 11, 2018 163-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 October 11, 2018 162-18 Anticipated Contract Adjustment- Maxar Technologies Ltd. (MAXR)-Plan of Arrangement
2018 October 9, 2018 161-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 October 1, 2018 160-18 Clarification - Process for the Approval of Approved Persons Mandatory Training for Foreign Applicants
2018 September 28, 2018 159-18 Introduction of Daily Price Limit functionality on certain Equity and ETF Options
2018 September 27, 2018 158-18 Position Limits for Share Futures Contracts
2018 September 27, 2018 157-18 Position limits - stock and trust unit options; exchange traded funds unit options, index options and currency options
2018 September 20, 2018 156-18 Final Contract Adjustment- Neptune Technologies & Bioressources Inc. (NEPT)- Name and CUSIP Change
2018 September 20, 2018 155-18 Anticipated Contract Adjustment Enbridge Income Fund Holdings Inc. (ENF)-Acquisition (Follow-up)
2018 September 19, 2018 154-18 Process for the Approval of Approved Persons - Mandatory Training for Foreign Applicants
2018 September 18, 2018 153-18 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF)- Special Cash Dividend
2018 September 13, 2018 152-18 Self-certification - Amendments to Rules One, Six, Eight, Nine, Fourteen and Fifteen, and to the Daily Settlement Price Procedures for Futures Contracts and Options on Futures Contracts
2018 September 11, 2018 151-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 September 10, 2018 150-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 September 7, 2018 149-18 Modification to the request for comments - Reorganization of the rules structure, certain conforming substantive amendments and various non-substantive editorial amendments
2018 September 7, 2018 148-18 Anticipated Contract Adjustment- Loblaw Companies (L, FLL)- Spin-Off
2018 September 7, 2018 147-18 Final Contract Adjustment- H&R Real Estate Investment Trust (HR.UN)-CUSIP Change
2018 September 6, 2018 146-18 Opening of Trading Day at 2:00 am ET: Updated Product Specifications
2018 September 4, 2018 145-18 Final Contract Adjustment- The Hydropothecary Corporation (HEXO)- Name and CUSIP Change
2018 August 29, 2018 144-18 Integration of the block trade reporting form into the special terms transaction reporting forms and issuance of new user guide
2018 August 27, 2018 143-18 Final Contract Adjustment- Raging River Exploration Inc. (RRX)-Plan of Arrangement
2018 August 23, 2018 142-18 Final Contract Adjustment- Aurora Cannabis Inc. (ACB and FOA) Spin-Off (Follow-up)
2018 August 22, 2018 141-18 Publication of the Newsletter from the Regulatory Division
2018 August 22, 2018 140-18 Anticipated Contract Adjustment- Aurora Cannabis Inc. (ACB and FOA) Spin-Off (Follow-up
2018 August 21, 2018 139-18 Introduction of Daily Price Limit functionality on certain Equity and ETF options
2018 August 21, 2018 138-18 Self-certification - Amendments to article 6380 of Rule Six of the Bourse to clarify the minimum volume thresholds applicable to block strategy transactions
2018 August 13, 2018 137-18 Position Limits - Futures Contracts and Options on Futures Contracts
2018 August 10, 2018 136-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 August 10, 2018 135-18 Comparative Analysis by the Regulatory Division of Market Data in the Context of the Extension of Trading Hours
2018 August 7, 2018 134-18 No Contract Adjustment - Norbord Inc. (OSB) - Cash Dividend
2018 August 6, 2018 133-18 Self-certification - Amendments to article 6380 of rule six of Bourse de Montréal Inc. to modify the minimum volume thresholds applicable to block transactions on two-year and 30-year government of Canada bond futures contracts (CGZ and LGB)
2018 August 6, 2018 132-18 Final Contract Adjustment - Stelco Holdings Inc. (STLC) - Special Cash Dividend
2018 August 1, 2018 131-18 Anticipated Contract Adjustment- Enercare Inc. (ECI)- Plan of Arrangement
2018 July 27, 2018 130-18 Final Contract Adjustment- MedReleaf Corp. (LEAF)- Plan of Arrangement (Follow-Up)
2018 July 26, 2018 129-18 Final Contract Adjustment- MedReleaf Corp. (LEAF)- Plan of Arrangement
2018 July 25, 2018 128-18 Final Contract Adjustment- Klondex Mines Limited (KDX)- Plan of Arrangement -(Follow-Up)
2018 July 25, 2018 127-18 New Equity Option Classes
2018 July 24, 2018 126-18 Erratum - Amendments to the list of fees of Bourse de Montréal Inc. (Effective August 1, 2018)
2018 July 24, 2018 125-18 Anticipated Contract Adjustment- Klondex Mines Limited (KDX)- Acquisition
2018 July 24, 2018 124-18 Change in closing time of SXF, SXM, SCF, SXA, SXB, SXH, SXK, SXU, SXY Index Futures
2018 July 24, 2018 123-18 Self-certification - Amendments to the Daily settlement price procedures for futures contracts and options on futures contracts of the Bourse
2018 July 18, 2018 122-18 Amendments to the list of fees of Bourse de Montréal Inc. (Effective August 1, 2018)
2018 July 13, 2018 121-18 Final Contract Adjustment - Valeant Pharmaceuticals International Inc. (VRX) - Cusip, Symbol and Name Change
2018 July 12, 2018 120-18 Self-certification - Amendments to article 4002 of the Rules of the Bourse
2018 July 11, 2018 119-18 Process for Approval as an Approved Person
2018 July 11, 2018 118-18 New Mandatory Forms to Access the Bourse’s Trading System
2018 July 10, 2018 117-18 Large Open Position Reporting (LOPR) Enhancement
2018 July 9, 2018 116-18 Self-certification - Amendments to the Rules and Procedures of the Bourse in order to accommodate the extension of the Bourse’s trading hours
2018 July 9, 2018 115-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 July 6, 2018 114-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 July 5, 2018 113-18 Name Change of an Approved Participant - Credential Securities Inc.
2018 July 4, 2018 112-18 Anticipated Contract Adjustment- Klondex Mines Limited (KDX)- Acquisition
2018 June 27, 2018 111-18 Self-certification - Amendments to the Rules and Procedures of the Bourse in order to expand the definition of Approved Person
2018 June 26, 2018 110-18 New Weekly Equity Options Classes
2018 June 21, 2018 109-18 Changing Maximum Order Size Ten-Year Government of Canada Bond (CGB) Calendar Spread
2018 June 21, 2018 108-18 Anticipated Contract Adjustment- Aurora Cannabis Inc. (ACB)- Spin-Off
2018 June 20, 2018 107-18 Admission of a Foreign Approved Participant - HRT Financial LLC
2018 June 20, 2018 106-18 Resignation of a Foreign Approved Participant - Sibyl Trading Limited
2018 June 19, 2018 105-18 Anticipated Contract Adjustment- Raging River Exploration Inc.(RRX)-Plan of Arrangement
2018 June 15, 2018 104-18 Request for comments - Reorganization of the rules structure, certain conforming substantive amendments and various non-substantive editorial amendments
2018 June 15, 2018 103-18 Anticipated Contract Adjustment Enbridge Income Fund Holdings Inc. (ENF)- Acquisition
2018 June 15, 2018 102-18 Position Limits for Share Futures Contracts
2018 June 15, 2018 101-18 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2018 June 14, 2018 100-18 Erratum - Self-certification - General updates - Introduction of article 6663 and amendments to articles 6121, 6369, 6369a, 6370, 6373, 6378 and 6654 of the Rules of the Bourse
2018 June 13, 2018 099-18 Disciplinary Decision — Offer of Settlement Scotia Capital Inc.
2018 June 12, 2018 098-18 Anticipated Contract Adjustment- Mitel Networks Corporation (MNW)- Plan of Arrangement
2018 June 12, 2018 097-18 Self-certification – General updates - Introduction of article 6663 and amendments to articles 6121, 6369, 6369a, 6370, 6373, 6378 and 6654 of the Rules of the Bourse
2018 June 12, 2018 096-18 Final Contract Adjustment- Dollarama Inc. (DOL)- Stock Split – ERRATUM
2018 June 11, 2018 095-18 Update to the Password Policy for the Large Open Position Reporting (LOPR) Portal and the Gatekeeper Portal
2018 June 11, 2018 094-18 Revision of the list of share futures on Canadian exchange-traded funds and trust units
2018 June 11, 2018 093-18 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU)- Delisting (Follow-Up)
2018 June 11, 2018 092-18 Final Contract Adjustment- Dollarama Inc. (DOL)- Stock Split
2018 June 8, 2018 091-18 Position Limits - Futures Contracts and Options on Futures Contracts
2018 June 7, 2018 090-18 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU)- Delisting (Follow-Up)
2018 June 6, 2018 089-18 Self-certification - Amendments to the rules of the Bourse to harmonize and clarify the rules pertaining to committed orders and prearranged transactions
2018 June 6, 2018 088-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 June 5, 2018 087-18 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures™ 2x Daily Bull ETF (HVU)- Delisting
2018 June 4, 2018 086-18 BetaPro S&P 500 VIX Short-Term Futures™ 2X Daily Bull ETF (HVU)- Delisting
2018 June 1, 2018 085-18 Final Contract Adjustment- Spartan Energy Corp. (SPE)- Plan of Arrangement (Follow-Up)
2018 June 1, 2018 084-18 Amendments to the list of fees of Bourse de Montréal Inc. (Effective July 1, 2018)
2018 June 1, 2018 083-18 Request for proposal - Extended hours: Market making of the Options on Three-Month Canadian Bankers’ Acceptance Futures (OBX)
2018 June 1, 2018 082-18 Request for proposal - Extended hours: Market making of Ten-Year Government of Canada Bond Futures (CGB)
2018 June 1, 2018 081-18 Request for proposal - Extended hours: Market making of Three-Month Canadian Bankers’ Acceptance Futures (BAX)
2018 May 31, 2018 080-18 Final Contract Adjustment- DHX Media Ltd. (DHX)- Share Reclassification and CUSIP Change
2018 May 30, 2018 079-18 Final Contract Adjustment- Spartan Energy Corp. (SPE)- Plan of Arrangement
2018 May 30, 2018 078-18 Self-certification - Amendments to the rules of the Bourse to modify the expiry time of BAX futures and options contracts
2018 May 30, 2018 077-18 Self-certification - Introduction and deletion of classes and series of options - Amendments to articles 6394, 6605 and 6606 of Rule Six of the Bourse
2018 May 25, 2018 076-18 Anticipated Contract Adjustment- Aecon Group Inc. (ARE)- Acquisition (Follow-Up)
2018 May 24, 2018 075-18 Final Contract Adjustment- Gluskin Sheff + Associates Inc. (GS)-Special Cash Dividend
2018 May 23, 2018 074-18 Final Contract Adjustment- Pure Industrial Real Estate Trust -(AAR.UN) Acquisition
2018 May 23, 2018 073-18 Montreal Exchange - Moving of Office Location
2018 May 23, 2018 072-18 Request for comments - Amendments to article 4002 of the Rules of the Bourse in order to specify and clarify the circumstances in which an approved participant has the obligation to file a non-compliance report with the Bourse
2018 May 18, 2018 071-18 Introduction of share futures contracts on exchange-traded funds and trust units
2018 May 18, 2018 070-18 Self-certification - Amendments to the rules and procedures of Bourse de Montréal Inc. to expand share futures contracts to exchange traded funds and trust units
2018 May 17, 2018 069-18 Request for comments - Amendments to article 6380 of Rule Six to clarify the minimum volume thresholds applicable to block strategy transactions
2018 May 17, 2018 068-18 Request for comments - Amendments to article 6380 of Rule Six of Bourse de Montréal Inc. to modify the minimum volume thresholds applicable to block transactions on two-year and 30-year government of Canada bond futures contracts (CGZ and LGB)
2018 May 17, 2018 067-18 ERRATUM - Request for comments - Amendments to the Daily settlement price procedures for futures contracts and options on futures contracts
2018 May 17, 2018 066-18 Request for comments - Amendments to the Daily settlement price procedures for futures contracts and options on futures contracts
2018 May 17, 2018 065-18 Final Contract Adjustment- New Flyer Industries Inc. (NFI)- Name and CUSIP Change
2018 May 16, 2018 064-18 ERRATUM -New Equity Option Classes
2018 May 15, 2018 063-18 New Equity Option Classes
2018 May 15, 2018 062-18 Anticipated Contract Ajustement - Aurora Cannabis Inc (ACB) & MedReleaf Corp (LEAF)- Plan of Arrangement
2018 May 10, 2018 061-18 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective June 1, 2018)
2018 May 10, 2018 060-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 May 8, 2018 059-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 May 7, 2018 058-18 Final Contract Adjustment- Canadian Real Estate Investment Trust(REF.UN)- Plan of Arrangement
2018 May 1, 2018 057-18 Final Contract Adjustment- Student Transportation Inc. (STB)-Acquisition
2018 May 1, 2018 056-18 Request for Proposal - Market Making of Five-Year Government of Canada Bond Futures (CGF)
2018 May 1, 2018 055-18 Basis Trades on Close
2018 April 27, 2018 054-18 Self-Certification - Introduction of Basis Trades on Close for Index Futures, Sector Index Futures and Share Futures
2018 April 26, 2018 053-18 Anticipated Contract Adjustment- Canadian Real Estate Investment Trust (REF.UN)-Acquisition
2018 April 20, 2018 052-18 Position Limits for Share Futures Contracts
2018 April 12, 2018 051-18 Anticipated Delisting of Shares BetaPro S&P 500 VIX Short-Term- Futures™ 2X Daily Bull ETF (HVU)- Delisting
2018 April 12, 2018 050-18 Hearing Before the Disciplinary Committee of Bourse de Montréal Inc. — Offer of Settlement - Scotia Capital Inc.
2018 April 11, 2018 049-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 April 11, 2018 048-18 Frequently Asked Questions - Identification of Orders (Article 6376)
2018 April 9, 2018 047-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 April 6, 2018 046-18 Publication of the First Newsletter from the Regulatory Division
2018 April 6, 2018 045-18 Anticipated Contract Adjustment Dollarama Inc.- Stock Split
2018 April 3, 2018 044-18 Additional Futures Contracts on Canadian Shares “Share Futures”
2018 April 2, 2018 043-18 Introduction of Daily Price Limit Functionality on Certain Equity and ETF Options
2018 March 29, 2018 042-18 Final Contract Adjustment- Avigilon Corporation (AVO) Acquisition
2018 March 28, 2018 041-18 Self-Certification - Introduction of daily price limits on futures
2018 March 21, 2018 040-18 Resignation of an Approved Participant - Perimeter Markets Inc.
2018 March 21, 2018 039-18 Resignation of a Foreign Approved Participant - DV Capital, LLC
2018 March 14, 2018 038-18 Position Limits for Share Futures Contracts
2018 March 14, 2018 037-18 Position Limits - Stock and Trust Unit Options - Exchange Traded Fund Unit Options - Sector Index Options - Index Options - Currency Options
2018 March 8, 2018 036-18 Reports Pertaining to the Accumulation of Positions for Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2018 March 7, 2018 035-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 March 6, 2018 034-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 March 2, 2018 033-18 Anticipated Contract Adjustment - Student Transportation Inc. (STB) - Plan of Arrangement
2018 March 1, 2018 032-18 Call for Interest: Extended Hours Market Making Programs
2018 February 26, 2018 031-18 Self-Certification- Introduction of New Daily Price Limits on Options
2018 February 23, 2018 030-18 Position Limits for Share Futures Contracts
2018 February 20, 2018 029-18 Self-Certification - Amendments to Article 6381 of the Rules of Bourse de Montréal Inc.
2018 February 15, 2018 028-18 Amendments to the list of fees of Bourse de Montréal Inc.(effective March 1, 2018)
2018 February 15, 2018 027-18 Mission, Vision, Compliance Priorities and 2018 Regulatory Division Initiatives
2018 February 12, 2018 026-18 Request for comments - Amendments to the rules of the Bourse to modify the expiry time of BAX futures and options contracts
2018 February 12, 2018 025-18 Request for comments - Amendments to the rules of the Bourse to harmonize and clarify the rules pertaining to committed orders and prearranged transactions
2018 February 12, 2018 024-18 Request for comments - Amendments to the rules and procedures of the Bourse in order to expand share futures contracts to exchange traded funds and trust units
2018 February 12, 2018 023-18 Position Limits - Futures Contracts and Options on Futures Contracts
2018 February 9, 2018 022-18 Additional Futures Contracts on Canadian Shares - “Share Futures”
2018 February 8, 2018 021-18 Special Committee - Regulatory Division - Call for Nominations
2018 February 7, 2018 020-18 Self-Certification Modifications to the Contract Specifications for the Three-Month Canadian Bankers’ Acceptance Futures Contract Pertaining to Minimum Price Fluctuation Amendments to Article 15506 of the Rules of Bourse de Montréal Inc.
2018 February 7, 2018 019-18 New Approved Participant - Citadel Securities Canada ULC
2018 February 7, 2018 018-18 Resignation of an Approved Participant - Credit Suisse Securities (Canada), Inc.
2018 February 6, 2018 017-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 February 5, 2018 016-18 Anticipated Contract Adjustment- Avigilon Corporation (AVO)- Acquisition
2018 February 2, 2018 015-18 Self-Certification - Amendments to Article 6380c of the Rules of Bourse de Montréal Inc.
2018 February 2, 2018 014-18 Self-Certification - Introduction of Articles 6024 and 6376a
 and Amendments to Articles 6392 and 6633
 of Rules Six of Bourse de Montréal Inc.
2018 January 31, 2018 013-18 Erratum - Additional Futures Contracts on Canadian Shares “Share Futures”
2018 January 30, 2018 012-18 Trade Execution
2018 January 25, 2018 011-18 Disciplinary Decision – Offer of Settlement - TD Securities Inc.
2018 January 22, 2018 010-18 Penny Program - Replacement of Classes
2018 January 22, 2018 009-18 Additional Futures Contracts on Canadian Share “Share Futures”
2018 January 19, 2018 008-18 Re-Introduction of an ETF Option Class - BetaPro S&P 500 VIX Short-Term Futures 2x Daily Bull ETF (HVU)
2018 January 16, 2018 007-18 REQUEST FOR PROPOSAL- Market making of Three-Month Canadian Bankers’ Acceptance Futures (BAX)
2018 January 12, 2018 006-18 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU)- Reverse Unit Split
2018 January 11, 2018 005-18 Position Limits – Futures Contracts and Options on Futures Contracts
2018 January 11, 2018 004-18 Anticipated Contract Adjustment Pure Industrial Real Estate Trust (AAR.UN)-Acquisition
2018 January 10, 2018 003-18 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2018 January 8, 2018 002-18 New Equity Option Class
2018 January 5, 2018 001-18 KEY INFORMATION DOCUMENTS FOR EUROPEAN UNION PRIIPS LEGISLATION
2017 December 29, 2017 187-17 Self-Certification - Trade Execution
2017 December 28, 2017 186-17 Final Contract Adjustment Potash Corporation of Saskatchewan Inc. (POT and FPO) - Merger and Delisting
2017 December 28, 2017 185-17 Final Contract Adjustment Agrium Inc. (AGU and FGA) - Merger and Delisting
2017 December 20, 2017 184-17 Amendments to the List of Fees of Bourse de Montréal Inc. (effective January 4, 2018)
2017 December 18, 2017 183-17 Final Contract Adjustment Labrador Iron Ore Royalty Corporation (LIF) Special Cash Dividend
2017 December 14, 2017 182-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 December 14, 2017 181-17 Position Limits for Share Futures Contracts
2017 December 14, 2017 180-17 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options and Currency Options
2017 December 13, 2017 179-17 Resignation of a Foreign Approved Participant - Getco LLC
2017 December 13, 2017 178-17 Resignation of an Approved Participant - ITG Canada Corp.
2017 December 13, 2017 177-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 December 12, 2017 176-17 Adjustments Regarding Position Limits - Options on Equity Holding Exchange-Traded Funds
2017 December 12, 2017 175-17 Self-Certification - Amendments to Article 6651 of Bourse de Montreal Inc. Regarding Position Limits for Options on Equity-Holding Exchange-Traded Funds
2017 December 6, 2017 174-17 New Equity and ETF Options Classes
2017 December 5, 2017 173-17 Renewal of the New Traders Training Program on Futures - Call for Applications
2017 December 4, 2017 172-17 Regulatory Division Website Update
2017 November 30, 2017 171-17 ERRATUM - Self-Certification - Market Making Programs Reform - Amendments to Articles 6395 and 6820 of Rule Six of Bourse de Montréal Inc. and Other Anciliary Rules
2017 November 27, 2017 170-17 Self-Certification - Market Making Programs Reform - Amendments to Articles 6395 and 6820 of Rule Six of Bourse de Montréal Inc. and Other Anciliary Rules
2017 November 23, 2017 169-17 Equity Options Traders Training Program - Supplementary Round of Selection - Call for Applications
2017 November 22, 2017 168-17 Holidays and Early Closings 2017-2018
2017 November 21, 2017 167-17 Final Contract Adjustment- Teck Resources Limited (TECK AND FTK)-Special Cash Dividend
2017 November 14, 2017 166-17 Request for Comments - Amendments to the Rules and Procedures of Bourse de Montréal Inc. to Expand the Definition of Approved Persons
2017 November 14, 2017 165-17 Request for Comments - Amendments to the Rules and Procedures of Bourse de Montréal Inc. to Accomodate the Extension of its Trading Hours
2017 November 14, 2017 164-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 November 14, 2017 163-17 Request for Comments - Introduction of Daily Price Limits on Futures
2017 November 14, 2017 162-17 Request for Comments - Amendments to Article 15506 of the Rules of Bourse de Montréal Inc.
2017 November 14, 2017 161-17 Request for Comments - Amendments to the Procedures for the Cancellation or Adjustment of Trades of Bourse de Montreal Inc.
2017 November 13, 2017 160-17 Final Contract Adjustment - Quebecor Inc. (QBR) - Stock Split
2017 November 10, 2017 159-17 Change in Closing Time of SXO SXJ SXV Index Options
2017 November 9, 2017 158-17 Anticipated Contract Adjustment- Quebecor Inc. (QBR.B)- Stock Split
2017 November 8, 2017 157-17 Large Open Position Reporting (LOPR) - Aggregation of Options and Share Futures Positions
2017 November 7, 2017 156-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 November 2, 2017 155-17 Final Contract Adjustment- Dominion Diamond Corporation (DDC)- Acquisition
2017 November 1, 2017 154-17 New Foreign Approved Participant - Freshwater Securities LLC
2017 November 1, 2017 153-17 New Foreign Approved Participant - XTX Markets Limited
2017 October 26, 2017 152-17 Anticipated Contract Adjustment- Aecon Group Inc. (ARE)- Acquistion
2017 October 25, 2017 151-17 Self-Certification - Trade Practices - Amendments to Articles 5002 and 6652 of the Rules of Bourse de Montréal Inc.
2017 October 24, 2017 150-17 Self-Certification - Manipulative or Deceptive Methods of Trading - Amendments to Article 6306 of Rule Six of Bourse de Montréal Inc.
2017 October 23, 2017 149-17 Name Change
2017 October 18, 2017 148-17 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - Scotia Capital Inc.
2017 October 11, 2017 147-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 October 11, 2017 146-17 New Equity Option Class
2017 October 6, 2017 145-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 October 6, 2017 144-17 Final Contract Adjustment- MacDonald, Dettwiler and Associates Ltd. (MDA)- NAME, SYMBOL AND CUSIP CHANGE
2017 October 5, 2017 143-17 Final Contract Adjustment Veresen Inc. (VSN) Acquisition and Delisting (Follow-Up)
2017 October 5, 2017 142-17 Position Limits for Share Futures Contracts
2017 October 5, 2017 141-17 Position Limits, Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2017 October 4, 2017 140-17 Final Contract Adjustment- Veresen Inc. (VSN) - Acquisition and Delisting
2017 October 3, 2017 139-17 Anticipated Contract Adjustment Metro Inc. (MRU) & The Jean Coutu Group Inc. (PJC.A)-Aquisition
2017 September 29, 2017 138-17 Regulatory Division Futures Contracts Margin Rates - File Layout Modification
2017 September 26, 2017 137-17 Request for Comments - Amendments to the Procedures Applicable to the Execution of Cross Transactions and the Execution of Prearranged Transactions of Bourse de Montreal Inc.
2017 September 25, 2017 136-17 Final Contract Adjustment Gluskin Sheff + Associates Inc. (GS)-Special Cash Dividend
2017 September 22, 2017 135-17 Final Contract Adjustment- Labrador Iron Ore Royalty -Corporation (LIF) Special Cash Dividend
2017 September 22, 2017 134-17 Request for Comments - Introduction of New Daily Price Limits on Options
2017 September 20, 2017 133-17 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF)- Special Cash Dividend
2017 September 18, 2017 132-17 Final Contract Adjustment- Trilogy Energy Corp. (TET)- Merger and Delisting (Follow-Up)
2017 September 15, 2017 131-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 September 14, 2017 130-17 Final Contract Adjustment - Trilogy Energy Corp. (TET) - Merger and Delisting
2017 September 14, 2017 129-17 Final Contract Adjustment- BMO ETFs (ZEO and ZEB)- Name and CUSIP change
2017 September 13, 2017 128-17 Supervision and Compliance Obligations - Publication of Guidelines
2017 September 12, 2017 127-17 Self-Certification - Introduction of Auctions
2017 September 11, 2017 126-17 New Weekly Equity Options Classes
2017 September 11, 2017 125-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 September 1, 2017 124-17 Regulatory Guidance on Reports Related to the Accumulation of Large Open Positions (“LOPR”) and Special Inspection on LOPR by the Regulatory Division
2017 August 24, 2017 123-17 New ETF Options Classes
2017 August 16, 2017 122-17 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective September 1, 2017)
2017 August 15, 2017 121-17 Resignation of an Approved Participant - Pollitt & Co. Inc.
2017 August 15, 2017 120-17 Resignation of an Approved Participant - Dundee Securities Ltd.
2017 August 14, 2017 119-17 Self-Certification - Amendments to the Procedures for the Cancellation or Adjustment of Trades of Bourse de Montreal Inc.
2017 August 14, 2017 118-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 August 11, 2017 117-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 August 7, 2017 116-17 Self-Certification - Amendments to the Rules of Bourse de Montreal Inc. to Move to T+2 Settlement
2017 August 2, 2017 115-17 Additional Futures Contracts on Canadian Share “Share Futures”
2017 August 2, 2017 114-17 Final Contract Adjustment- Silver Standard Resources Inc. (SSO)- Name, Symbol and CUSIP Change
2017 July 31, 2017 113-17 Final Contract Adjustment Amaya Inc. (AYA)- Name, Symbol and CUSIP Change
2017 July 21, 2017 112-17 Anticipated Contract Adjustment Dominion Diamond Corp (DDC) - Plan of arrangement
2017 July 21, 2017 111-17 Self-Certification - Liquidation of Positions in Excess of Limits
2017 July 12, 2017 110-17 Position Limits for Share Futures Contracts
2017 July 12, 2017 109-17 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2017 July 12, 2017 108-17 Self-Certification - Mandatory use of the UDS Facility
2017 July 11, 2017 107-17 Position Limits - Futures Contracts and Options on Futures Contracts
2017 July 11, 2017 106-17 New Foreign Approved Participant - Life Trading UK Limited
2017 July 10, 2017 105-17 Anticipated Contract Adjustment Trilogy Energy Corp. (TET) & Paramount Resources Ltd. (POU) - Merger
2017 July 7, 2017 104-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 July 5, 2017 103-17 Final Contract Adjustment Bellatrix Exploration Ltd. (BXE) - Reverse Stock Split
2017 July 5, 2017 102-17 Final Contract Adjustment Canam Group Inc. (CAM) - Acquisition
2017 July 4, 2017 101-17 Final Contract Adjustment Brookfield Asset Management Inc. (BAM)- Spin-Off (Follow-up)
2017 June 30, 2017 100-17 Resignation of a Foreign Approved Participant - Marquette Partners, L.P.
2017 June 28, 2017 099-17 Final Contract Adjustment Penn West Petroleum Ltd. (PWT) - CUSIP, Symbol and Name Change
2017 June 28, 2017 098-17 Re-Introduction of an Option Class - Spartan Energy Corp. (SPE)
2017 June 22, 2017 097-17 Final Contract Adjustment Savanna Energy Services Corp. (SVY)-Acquisition
2017 June 22, 2017 096-17 Final Contract Adjustment- Spartan Energy Corp. (SPE)- Reverse Stock Split
2017 June 21, 2017 095-17 New Equity Option Class
2017 June 20, 2017 094-17 Re-Introduction of an Option Class-Waste Connections Inc. (WCN)
2017 June 20, 2017 093-17 Request for Comments - Amendments to the Procedures for the Cancellation or Adjustment of Trades of Bourse de Montréal Inc.
2017 June 19, 2017 092-17 Final Contract Adjustment The North West Company Inc. (NWC) - CUSIP Change
2017 June 19, 2017 091-17 Final Contract Adjustment Canadian Energy Services & Technology Corp. (CEU) - CUSIP and Name Change
2017 June 15, 2017 090-17 Final Contract Adjustment- DH Corporation (DH)- Plan of Arrangement
2017 June 14, 2017 089-17 Final Contract Adjustment- Labrador Iron Ore Royalty Corporation (LIF)- Special Cash Dividend
2017 June 14, 2017 088-17 Name Change -iShares Canadian Short Term Bond Index ETF
2017 June 12, 2017 087-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 June 12, 2017 086-17 Anticipated Contract Adjustment Agrium Inc. (AGU) & Potash Corporation of Saskatchewan Inc. (POT) - Merger of Equals - UPDATE
2017 June 6, 2017 085-17 Final Contract Adjustment Canyon Services Group Inc. (FRC) - Plan of Arrangement
2017 June 6, 2017 084-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 June 5, 2017 083-17 Regulation Respecting Electronic Trading and Direct Electronic Access to Marketplaces - Frequently Asked Questions
2017 June 2, 2017 082-17 Final Contract Adjustment- Waste Connections, Inc. (WCN)- Stock Split
2017 June 2, 2017 081-17 Final Contract Adjustment- Wi-LAN Inc. (WIN) CUSIP, Symbol and Name Change
2017 May 31, 2017 080-17 Re-Introduction of an Option Class and Future Contracts
2017 May 31, 2017 079-17 Request for Comments - Liquidation of Positions in Excess of Limits
2017 May 31, 2017 078-17 Request for Comments - Basis Trades on Close
2017 May 29, 2017 077-17 Final Contract Adjustment- Brookfield Asset Management Inc. (BAM and FBM)-Spin-Off
2017 May 29, 2017 076-17 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU)- Reverse Unit Split (Follow-Up)
2017 May 26, 2017 075-17 Final Contract Adjustment- BetaPro S&P 500 VIX Short-Term Futures 2X Daily Bull ETF (HVU)- Reverse Unit Split
2017 May 24, 2017 074-17 Final Contract Adjustment- CCL Industries Inc. (CCL) - Stock Split
2017 May 24, 2017 073-17 Final Contract Adjustment- Silver Wheaton Corp. (SLW)- CUSIP, Symbol and Name Change
2017 May 23, 2017 072-17 Anticipated Contract Adjustment Bellatrix Exploration Ltd.(BXE) Share Consolidation
2017 May 19, 2017 071-17 Final Contract Adjustment Painted Pony Petroleum Ltd. - (PPY)CUSIP, Symbol and Name Change
2017 May 19, 2017 070-17 Anticipated Contract Adjustment BetaPro S&P 500 VIX Short-Term Futures 2x Daily Bull ETF – HVU Unit Consolidations
2017 May 17, 2017 069-17 Launch of a New Equity Options Traders Training Program Call for Applications
2017 May 16, 2017 068-17 Request for Comments - Introduction of Auctions - Introduction of Article 6369B and Amendment to Articles 6007, 6368, 6371, 6372, 6375 and 6391 of Rule Six of Bourse de Montreal Inc.
2017 May 16, 2017 067-17 Maximum Order Size - Ten-Year Government of Canada Bond Futures Maximum Strategy Order Quantity
2017 May 15, 2017 066-17 Request for Comments - Amendments to the Procedures Applicable to the Execution of Strategies Involving Options of the Bourse to render the use of the “User-Defined Strategy” Facility by Approved Participants Mandatory. Amendments to the Procedures Applicable to the Execution of Strategies Involving Futures and Options on Futures of the Bourse
2017 May 15, 2017 065-17 Final Contract Adjustment - Silver Wheaton Corp. (SLW) CUSIP, Symbol and Name Change
2017 May 12, 2017 064-17 Self-Certification - Amendments to Rule Fifteen of the Bourse de Montréal Inc. to Update S&P’s Limitation of Liability Disclaimer
2017 May 10, 2017 063-17 Introduction of a Process to Impose Fines for Minor Violations
2017 May 9, 2017 062-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 May 8, 2017 061-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 May 3, 2017 060-17 New Equity Option Classes
2017 May 2, 2017 059-17 Name Change of a Foreign Approved Participant - Spire Europe Limited
2017 May 2, 2017 058-17 Anticipated Contract Adjustment Pembina Pipeline Corporation (PPL) and Veresen Inc. (VSN) - Plan of arrangement
2017 May 2, 2017 057-17 Anticipated Contract Adjustment Waste Connections Inc. (WCN) - Stock Split
2017 May 1, 2017 056-17 Conversion and Name Change of a Foreign Approved Participant - Goldman, Sachs & Co.
2017 May 1, 2017 055-17 Regulatory User Group - Members List
2017 April 28, 2017 054-17 Final Contract Adjustment Milestone Apartments Real Estate Investment Trust (MST.UN) - Acquisition
2017 April 28, 2017 053-17 Anticipated Contract Adjustment Canam Group Inc. (CAM) - Plan of arrangement
2017 April 26, 2017 052-17 Extension of the Request for Comments Period - Amendments to the Rules of Bourse de Montreal Inc. to Clarify the Governance Structure of the Regulatory Division
2017 April 25, 2017 051-17 Disciplinary Decision - Offer of Settlement - Nomura International PLC Inc.
2017 April 20, 2017 050-17 Anticipated Contract Adjustment Trican Well Service Ltd. (TCW) & Canyon Services Group Inc. (FRC) Merger
2017 April 13, 2017 049-17 Position Limits for Share Futures Contracts
2017 April 13, 2017 048-17 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2017 April 11, 2017 047-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 April 11, 2017 046-17 Regulation Respecting Electronic Trading and Direct Electronic Access to Marketplaces
2017 April 7, 2017 045-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 April 5, 2017 044-17 Resignation of an Approved Participant - UBS Securities Canada Inc.
2017 April 5, 2017 043-17 New Foreign Approved Participant - Mako Global Derivatives Partnership LLP
2017 March 31, 2017 042-17 Mizuho Securities USA Inc. - Conversion and Name Change of a Foreign Approved Participant
2017 March 29, 2017 041-17 New Equity Option Class
2017 March 28, 2017 040-17 Final Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF)-Special Cash Dividend
2017 March 24, 2017 039-17 No-Cancellation Stage for Index Futures and Share Futures
2017 March 22, 2017 038-17 Request for Comments - Amendments to the Rules of Bourse de Montreal Inc. to Clarify the Governance Structure of the Regulatory Division
2017 March 21, 2017 037-17 Request for Comments - Amendments to Article 6651 of Bourse de Montreal Inc. Regarding Position Limits for Options on Equity-Holding Exchange-Traded Funds
2017 March 21, 2017 036-17 Final Contract Adjustment- Manitoba Telecom Inc. (MBT) Plan of arrangement (Follow-Up)
2017 March 17, 2017 035-17 Final Contract Adjustment Manitoba Telecom Services Inc (MBT) - Plan of Arrangement
2017 March 16, 2017 034-17 Anticipated Contract Adjustment DH Corporation (DH) - Plan of arrangement
2017 March 13, 2017 033-17 Request for Comments - Manipulative or Deceptive Methods of Trading - Amendments to Article 6306 of Rule Six of Bourse de Montreal Inc.
2017 March 10, 2017 032-17 Arrangement Agreement Savanna Energy Services (SVY) - Acquisition Announcement
2017 March 8, 2017 031-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 March 8, 2017 030-17 Position Limits for 39 New Canadian Share Futures Contracts
2017 March 6, 2017 029-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 March 6, 2017 028-17 Anticipated Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
2017 March 6, 2017 027-17 Resignation of a Foreign Approved Participant - Royal Bank of Scotland PLC (The)
2017 February 24, 2017 026-17 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. — Offer of settlement - Nomura International PLC
2017 February 24, 2017 025-17 Treatment of Information Requests to the Regulatory Division
2017 February 21, 2017 024-17 Self-Certification - CDOR - CORRA
2017 February 17, 2017 023-17 Regulatory Division Priorities 2017
2017 February 14, 2017 022-17 Reports Pertaining to the Accumulation of Positions for Derivative Instruments (LOPR) - Reminder Concerning LOPR Reportable Dates
2017 February 14, 2017 021-17 Modification to the Trading Hours - Three-Month Canadian Bankers’ Acceptance Futures (BAX) - Options on Three-Month Canadian Bankers’ Acceptance Futures (OBW, OBX, OBY, OBZ) - 30-Day Overnight Repo Rate Futures (ONX) - Overnight Index Swap Futures (OIS)
2017 February 10, 2017 020-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 February 8, 2017 019-17 NEW EQUITY OPTIONS CLASSES
2017 February 6, 2017 018-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 February 3, 2017 017-17 Additional Futures Contracts on Canadian Share - “Share Futures”
2017 February 3, 2017 016-17 Final Contract Adjustment- Open Text Corporation (OTC)- Symbol Change
2017 January 31, 2017 015-17 Final Contract Adjustment Pan American Silver Corp. (PAA) Symbol Change
2017 January 20, 2017 014-17 Anticipated Contract Adjustment Milestone Apartments REIT (MST) - Plan of arrangement
2017 January 17, 2017 013-17 Self-Certification - Amendments to Articles 6676, 6791, 6795 and 6795.2 of the Rules of Bourse de Montreal Inc. to Adopt a new Foreign Exchange Rate Fixing to Determine the Final Settlement Price of Currency Options
2017 January 17, 2017 012-17 Disciplinary Decision - Offer of Settlement - ABN AMRO Clearing Chicago LLC
2017 January 16, 2017 011-17 Re-Introduction of an Option Class Paramount Resources Ltd. (POU)
2017 January 13, 2017 010-17 Appointment of the Vice President and Chief Regulatory Officer of Bourse de Montréal Inc.
2017 January 13, 2017 009-17 Position Limits for Share Futures Contracts
2017 January 13, 2017 008-17 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options Currency Options
2017 January 11, 2017 007-17 Final Contract Adjustment Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change - (Follow-up)
2017 January 11, 2017 006-17 Position Limits – Futures Contracts and Options on Futures Contracts
2017 January 10, 2017 005-17 Final Contract Adjustment Paramount Resources Ltd. (POU) - Spin-Off (Follow-Up)
2017 January 5, 2017 004-17 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2017 January 5, 2017 003-17 Name Change - HudBay Minerals Inc.
2017 January 4, 2017 002-17 Final Contract Adjustment Open Text Corporation (OTC) Stock Split
2017 January 4, 2017 001-17 Final Contract Adjustment Paramount Resources Ltd. (POU) Spin-Off
2016 December 30, 2016 173-16 Resignation of a Foreign Approved Participant - Tyler Capital Partners LLP
2016 December 30, 2016 172-16 Final Contract Adjustment Horizons ETFs (HOU, HOD, HNU, HND, HXU, HXD, HFU, HFD, HEU, HED, HGU, HGD, HIX) - CUSIP and Name Change
2016 December 29, 2016 171-16 Final Contract Adjustment TransForce Inc. (TFI) - CUSIP, Symbol and Name Change
2016 December 22, 2016 170-16 Anticipated Contract Adjustment Open Text Corporation (OTC) - Stock Split
2016 December 20, 2016 169-16 Revisions to Acceptable Strategies Involving the Three-Month Canadian Bankers’ Acceptance Futures (BAX) and Options on Three-Month Canadian Bankers’ Acceptance Futures (OBX)
2016 December 20, 2016 168-16 Anticipated Contract Adjustment Paramount Resources Ltd. (POU) - Spin-off
2016 December 16, 2016 167-16 Final Contract Adjustment– FOLLOW-UP - Yamana Gold Inc. (YRI) Rights Expiration
2016 December 12, 2016 166-16 Reports Pertaining to the Accumulation of Positions for Derivative Instruments
2016 December 9, 2016 165-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 December 8, 2016 164-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 December 6, 2016 163-16 Final Contract Adjustment Newmarket Gold Inc. (NMI) - Plan of Arrangement (Follow-Up)
2016 December 5, 2016 162-16 Final Contract Adjustment Kirkland Lake Gold Inc. (KLG) Plan of Arrangement (Final)
2016 December 5, 2016 161-16 Final Contract Adjustment Newmarket Gold Inc. (NMI) Plan of Arrangement (Final)
2016 December 1, 2016 160-16 Position Limits for Canadian Share Futures Contracts
2016 November 29, 2016 159-16 New Product - Listing of Futures on Canadian Shares
2016 November 29, 2016 158-16 Final Contract Adjustment Teck Resources Limited (TCK) Symbol Change
2016 November 29, 2016 157-16 Weekly Options - Addition of Multiple Expiries to All Single Weekly Options
2016 November 29, 2016 156-16 Disciplinary Sanctions - Publication of Guidelines
2016 November 29, 2016 155-16 Call for Members - Regulatory User Group
2016 November 28, 2016 154-16 ERRATUM New Equity Option Class
2016 November 28, 2016 153-16 New Equity Option Class
2016 November 28, 2016 152-16 Acceptable Strategies Involving the Three-Month Canadian Bankers’ Acceptance Futures (BAX) and Options on Three-Month Canadian Bankers’ Acceptance Futures (OBX)
2016 November 24, 2016 151-16 Holidays and Early Closings 2016-2017
2016 November 24, 2016 150-16 Follow-Up Yamana Gold Inc. (YRI) - Rights Offering
2016 November 23, 2016 149-16 Large Open Position Reporting (LOPR) of Share Futures
2016 November 23, 2016 148-16 Self-Certification - Amendments to Rules and Procedures of Bourse de Montreal Inc. to Allow for the Introduction of Canadian Share Futures Contracts
2016 November 22, 2016 147-16 Final Contract Adjustment Yamana Gold Inc. (YRI) - Rights Offering
2016 November 22, 2016 146-16 Request for Comments - Introduction of a Process to Impose Fines for Minor Violations - Adoption of Articles 4220 to 4224 of Rule Four of Bourse de Montréal Inc. and Abrogation of Article 6389A of Rule Six of Bourse de Montréal Inc.
2016 November 14, 2016 145-16 Modification to the Trading Hours - Two-Year Government of Canada Bond Futures (CGZ), Five-Year Government of Canada Bond Futures (CGF), Ten-Year Government of Canada Bond Futures (CGB), 30-Year Government of Canada Bond Futures (LGB) and Options on Ten-Year Government of Canada Bond Futures (OGB)
2016 November 9, 2016 144-16 Performance Sports Group Ltd. (PSG) - Delisting
2016 November 9, 2016 143-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 November 9, 2016 142-16 Final Contract Adjustment Westport Fuel Systems Inc. (WPT) - Symbol Change
2016 November 7, 2016 141-16 FOLLOW-UP Pacific Exploration & Production Corporation (PRE2) - Acceleration of Expirations
2016 November 4, 2016 140-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 November 2, 2016 139-16 Resignation of a Foreign Approved Participant - OFE Trading LLC
2016 November 1, 2016 138-16 Final Contract Adjustment Pacific Exploration & Production Corporation -(PRE)
2016 November 1, 2016 137-16 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective January 1, 2017) - Elimination of the Internal Transmission Fee for Real-Time Market Data - Introduction of an Order Router Distribution Fee - Increase of the Transmission Fees for Real-Time Market Data - Increase of SFTI Connectivity Fees
2016 November 1, 2016 136-16 Performance Sports Group Ltd (PSG) - Suspension
2016 October 31, 2016 135-16 Final Contract Adjustment ONEX Corporation (TSX: OCX) Symbol Change
2016 October 31, 2016 134-16 Final Contract Adjustment Enghouse Systems Ltd. (TSX: ESL) Symbol Change
2016 October 31, 2016 133-16 Final Contract Adjustment Colliers International Group Inc. (TSX: CIG) Symbol Change
2016 October 31, 2016 132-16 Final Contract Adjustment Shopify Inc. (TSX: SH) Symbol Change
2016 October 28, 2016 131-16 Hearing Before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - ABN AMRO Clearing Chicago LLC
2016 October 26, 2016 130-16 Update (Follow-up) Pacific Exploration & Production Corporation -(PRE)
2016 October 26, 2016 129-16 Anticipated Contract Adjustment Yamana Gold Inc. (YRI) Spin-off
2016 October 21, 2016 128-16 Launch of a New International Traders Training Program - Call for Applications
2016 October 20, 2016 127-16 Modification of the Request for Proposals - Market Making of Five-Year Government of Canada Bond Futures (CGF)
2016 October 17, 2016 126-16 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2016 October 13, 2016 125-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 October 11, 2016 124-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 October 6, 2016 123-16 Re-Introduction of an Option Class Element Fleet Management Corp. - (EFN)
2016 September 30, 2016 122-16 Lightstream Resources Ltd. (LTS) - Delisting
2016 September 30, 2016 121-16 Final Contract Adjustment Pacific Exploration & Production Corporation (PRE) - Update (Follow-up)
2016 September 30, 2016 120-16 Anticipated Contract Adjustment Newmarket Gold Inc. (NMI) Announces Acquisition by Kirkland Lake Gold Inc. (KLG) - Plan of Arrangement
2016 September 29, 2016 119-16 Final Contract Adjustment Element Financial Corporation(EFN)- Spin-Off
2016 September 28, 2016 118-16 Request for Comments - Introduction and Deletion of Classes and Series of Options - Amendments to Articles 6394, 6605 and 6606 of Rule Six of Bourse de Montréal Inc.
2016 September 27, 2016 117-16 Extension of the Request for Proposals - Market Making of Five-Year Government of Canada Bond Futures (CGF)
2016 September 26, 2016 116-16 Resignation of a Foreign Approved Participant - Susquehanna Government Products, LLLP
2016 September 26, 2016 115-16 Resignation of an Approved Participant - Maple Securities Canada Limited
2016 September 26, 2016 114-16 Resignation of a Foreign Approved Participant - J.P. Morgan Clearing Corp.
2016 September 26, 2016 113-16 Resignation of an Approved Participant - Global Securities Corporation
2016 September 21, 2016 112-16 Re-Introduction of an Option Class Brookfield Infrastructure Partners L.P. - (BIP)
2016 September 20, 2016 111-16 Lightstream Resources Ltd (LTS) - Suspension
2016 September 19, 2016 110-16 Renewal of the New Traders Training Program - Call for Applications
2016 September 14, 2016 109-16 Request for Proposals - Market Making of Five-Year Government of Canada Bond Futures (CGF)
2016 September 14, 2016 108-16 Final Contract Adjustment Kirkland Lake Gold Inc. (KGI) - Symbol Change
2016 September 13, 2016 107-16 Position Limits - Futures Contracts and Options on Futures Contracts
2016 September 12, 2016 106-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 September 1, 2016 105-16 Final Contract Adjustment Brookfield Infrastructure Partners L.P. (BIP.UN) Unit Split
2016 August 24, 2016 104-16 New Equity Option Class
2016 August 11, 2016 103-16 Anticipated Contract Adjustment Brookfield Infrastructure Partners L.P. (BIP.UN) - Unit Split
2016 August 9, 2016 102-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 August 4, 2016 101-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 August 3, 2016 100-16 Withdrawal Notice - Implementation of Inter-Group Contingent Trades for Futures and Options on Futures - Amendments to the Procedures Applicable to the Execution of Cross Transactions and the Execution of Pre-Arranged Transactions and Introduction of New Procedures Applicable to the Execution of Inter-Group Contingent Trades Involving Futures and Options on Futures Contracts
2016 August 3, 2016 099-16 Withdrawal Notice - Modifications to the Terms of Position Limits for Options - Amendments to Articles 6651, 6652 and 6653 of Rule Six of Bourse de Montréal Inc.
2016 August 2, 2016 098-16 Penny Program – Replacement of Classes
2016 July 19, 2016 097-16 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2016 July 12, 2016 096-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 July 5, 2016 095-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 July 5, 2016 094-16 Royal Gold Inc. (RGL) - Delisting
2016 July 4, 2016 093-16 Penny Program - Replacement of Classes
2016 June 29, 2016 092-16 Final Contract Adjustment - Concordia Healthcare Corp. (CXR)- CUSIP AND NAME CHANGE
2016 June 29, 2016 091-16 Request for Comments - Amendments to Rules and Procedures of Bourse de Montréal Inc. to Allow for the Introduction of Share Futures Contracts
2016 June 29, 2016 090-16 Request for Comments - Trade Practices - Amendments to Articles 5002 and 6652 of the Rules of Bourse de Montréal Inc.
2016 June 22, 2016 089-16 Final Contract Adjustment Brookfield Asset Management Inc.(BAM.A) Spin-Off - ERRATUM
2016 June 22, 2016 088-16 Request for Comments - General Updates - Introduction of Article 6663 and Amendments to Articles 6121, 6369, 6369a, 6370, 6373, 6378 and 6654 of the Rules of Bourse de Montréal Inc.
2016 June 22, 2016 087-16 Request for Comments - Trading Practices and Oversight - Amendments to Articles 4002, 4103, 6377, 6651 and 14157 of the Rules of Bourse de Montréal Inc. - Abrogation of Policy C 1 - Exemption Request from a Position Limit
2016 June 22, 2016 086-16 Re-Introduction of an Option Class - Brookfield Asset Management Inc. (BAM)
2016 June 21, 2016 085-16 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective July 1, 2016) - Introduction of the New Order Book Feed (MX-OBF) - Modification to Market Regulation Assessments Fees
2016 June 21, 2016 084-16 Extension of the Request for Comments Period - Market Making Programs Reform - Amendments to Articles 6395 and 6820 of Rule Six of Bourse de Montréal Inc. and Other Ancillary Rules
2016 June 17, 2016 083-16 Resignation of an Approved Participant - Wolverton Securities Ltd.
2016 June 16, 2016 082-16 Final Contract Adjustment iShares Gold Trust (IGT) -Delisting
2016 June 16, 2016 081-16 New Equity Option Class
2016 June 14, 2016 080-16 Resignation of an Approved Participant - Maple Futures Corp.
2016 June 13, 2016 079-16 Final Contract Adjustment Progressive Waste Solutions Ltd - (BIN) Merger and Consolidation (Follow-Up)
2016 June 9, 2016 078-16 Anticipated Contract Adjustment iShares Gold Trust (IGT) -Delisting
2016 June 7, 2016 077-16 Name Change
2016 June 6, 2016 076-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 June 2, 2016 075-16 Re-Introduction of an Option Class - Canadian Natural Resources Limited (CNQ)
2016 June 2, 2016 074-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 June 1, 2016 073-16 Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A)- Spin-Off
2016 May 31, 2016 072-16 Final Contract Adjustment Progressive Waste Solutions Ltd (BIN) - Merger and Consolidation
2016 May 31, 2016 071-16 Re-introduction of ETF Option Classes - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD)
2016 May 30, 2016 070-16 Final Contract Adjustment Canadian Natural Resources Limited (CNQ)-Spin-Off
2016 May 27, 2016 069-16 Final Contract Adjustment Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD) Reverse Unit Split
2016 May 27, 2016 068-16 Final Contract Adjustment Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) and (HOU4)- Reverse Unit Split
2016 May 25, 2016 067-16 Final Contract Adjustment Horizons ETFs HGU and HGU2 - Unit Split
2016 May 24, 2016 066-16 Final Contract Adjustment - RONA Inc. (RON)- Plan of Arrangement
2016 May 20, 2016 065-16 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective June 1, 2016) - Modification to the Process for Requesting the Consolidation of the Fee Cap for Equity Options and ETF Options’ Multi-Leg Strategies
2016 May 19, 2016 064-16 Weekly Options - Expansion of Number of Weekly Options Classes and Classes that Will Graduate to Multiple Weekly Options
2016 May 18, 2016 063-16 Large Open Position Reporting – Frequently Asked Questions (LOPR FAQ)
2016 May 18, 2016 062-16 Anticipated Contract Adjustment Brookfield Asset Management Inc. (BAM.A) -Spin-off
2016 May 16, 2016 061-16 Anticipated Contract Adjustment - Horizons ETFs HGD and HOU - Reverse Unit Split
2016 May 16, 2016 060-16 Anticipated Contract Adjustment - Horizons ETFs HGU - Unit Split
2016 May 12, 2016 059-16 Self-Certification - Updating Articles 15905 and 15922 of Rule Fifteen of Bourse de Montréal Inc. Regarding Specifications of the 30-Day Overnight Repo Rate Futures Contract (ONX)
2016 May 12, 2016 058-16 Self-Certification - Modification of the Expiry Time of Serial and Quarterly Mid-Curve Options on Three-Month Canadian Bankers’ Acceptance Futures Contracts - Amendments to Articles 6763.9, 6764.9 and 6765.9 of Rule Six of Bourse de Montréal Inc.
2016 May 12, 2016 057-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 May 11, 2016 056-16 Request for Comments - Market Making Programs Reform - Amendments to Articles 6395 and 6820 of Rule Six of Bourse de Montréal Inc. and Other Ancillary Rules
2016 May 11, 2016 055-16 Anticipated Contract Adjustment Canadian Natural Resources Limited (CNQ) - Plan of Arrangement
2016 May 9, 2016 054-16 Name Change - Brookfield Renewable Energy Partners L.P.
2016 May 6, 2016 053-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 May 5, 2016 052-16 Final Contract Adjustment Uni-Select Inc. (UNS) - Stock Split
2016 May 4, 2016 051-16 New Equity Option Class
2016 May 2, 2016 050-16 Reports Pertaining to the Accumulation of Positions for Derivative Instruments (LOPR Reports): Launch of LOPR Notification Portal
2016 May 2, 2016 049-16 Anticipated Contract Adjustment Manitoba Telecom Services Inc (MBT) - Plan of Arrangement
2016 April 29, 2016 048-16 Modification of the Liquidity Provider Rebate Program (Effective June 1st, 2016) - Modification of the MX New Trader Program (Effective June 1st, 2016)
2016 April 29, 2016 047-16 Anticipated Contract Adjustment Uni-Select Inc. (UNS) - Stock Split
2016 April 29, 2016 046-16 CHANGING MAXIMUM ORDER SIZE - TEN-YEAR GOVERNMENT OF CANADA BOND FUTURES ROLL
2016 April 29, 2016 045-16 Pacific Exploration & Production Corporation (PRE) – Delisting
2016 April 25, 2016 044-16 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective June 1, 2016) - Modification of the Liquidity Provider Rebate Program - Modification of the MX New Trader Program - Increase of the Client Transaction Fees for the S&P/TSX 60 Index Standard Futures (SXF)
2016 April 21, 2016 043-16 Disciplinary Decision - Offer of Settlement - Scotia Capital Inc.
2016 April 20, 2016 042-16 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective May 1, 2016) - Modification to the Rebate and Fee Cap Programs for Approved Participants (Domestic and Foreign) - Modification to the Equity Options Fee Cap Program for Clients - Consolidation of the Fee Cap for Equity Options and ETF Options’ Multi-Leg Strategies
2016 April 20, 2016 041-16 Pacific Exploration & Production Corporation (PRE) - Suspension
2016 April 12, 2016 040-16 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2016 April 11, 2016 039-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 April 7, 2016 038-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts - ERRATUM
2016 April 6, 2016 037-16 New Equity Options Classes
2016 April 5, 2016 036-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 March 23, 2016 035-16 Request for Comments - Housekeeping Amendments, New Rules and Rules to be Abrogated - Introduction of Articles 6024 and 6376a in the Rules of Bourse de Montréal Inc. - Amendments to Articles 6392 and 6633 of Rule Six of the Bourse
2016 March 23, 2016 034-16 Request for Comments - Trade Execution - Amendments to Rules Five and Six and to the Procedures of Bourse de Montréal Inc.
2016 March 23, 2016 033-16 Final Contract Adjustment Canadian Oil Sands Limited (COS) Acquisition (Final)
2016 March 22, 2016 032-16 Anticipated Contract Adjustment Bankers Petroleum Ltd. (BNK) - Plan of Arrangement
2016 March 15, 2016 031-16 Request for Comments - Modification of the Expiry Time of Serial and Quarterly Mid Curve Options on Three-Month Canadian Bankers’ Acceptance Futures Contracts - Amendments to Articles 6763.9, 6764.9 and 6765.9 of Rule Six of Bourse de Montréal Inc.
2016 March 10, 2016 030-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 March 10, 2016 029-16 New Equity Option Class
2016 March 4, 2016 028-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 February 29, 2016 027-16 Resignation of a Foreign Approved Participant - Barclays Capital Inc.
2016 February 24, 2016 026-16 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. — Offer of Settlement - Scotia Capital Inc.
2016 February 23, 2016 025-16 Weekly Equity Options – Option Classes Changes
2016 February 18, 2016 024-16 Final Contract Adjustment Norbord Inc. (NBD) - Symbol Change
2016 February 18, 2016 023-16 Anticipated Contract Adjustment - Element Financial Corporation (EFN) - Spin-Off
2016 February 17, 2016 022-16 Final Contract Adjustment WestJet Airlines Ltd. (WJA) CUSIP CHANGE
2016 February 12, 2016 021-16 MODIFICATION OF THE MINIMUM QUOTATION SPREAD FOR EQUITY, ETF AND INDEX OPTIONS CONTRACTS END OF PILOT PROJECT AND IMPLEMENTATION OF A PERMANENT PROGRAM REPLACEMENT OF CLASSES
2016 February 12, 2016 020-16 Self-Certification - Exchange for Physical (EFP), Exchange for Risk (EFR) and Substitution of OTC Derivative Instruments for Futures Contracts Amendments to Articles 6815 and 6815A - Amendments to the Procedures for the Execution and Reporting of Exchange for Physical (EFP), Exchange for Risk (EFR) and Substitution of OTC Derivative Instruments for futures contracts transactions
2016 February 10, 2016 019-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 February 4, 2016 018-16 Self-Certification - Amendments to Article 15608 of the Rules of Bourse de Montréal Inc. - Modification of Bond Futures Position Limit Calculation Methodology for the First Contract Month
2016 February 3, 2016 017-16 Anticipated Contract Adjustment RONA Inc. (RON) - Plan of Arrangement
2016 February 3, 2016 016-16 Amendments to the List of Fees of Bourse de Montréal Inc. - Effective April 1, 2016
2016 February 2, 2016 015-16 Anticipated Contract Adjustment Amaya Inc. (AYA) - Acquisition
2016 February 1, 2016 014-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2016 January 28, 2016 013-16 Self-Certification - Settlement Price for Three-Month Canadian Bankers’ Acceptance Futures Contracts - Amendment of the Daily Settlement Price Procedures for Futures Contracts and Options on Futures Contracts
2016 January 25, 2016 012-16 Final Contract Adjustment Cogeco Cable Inc. (CCA) - CUSIP and Name Change
2016 January 21, 2016 011-16 Self-Certification - An Update of the Rules and Procedures of Bourse de Montréal Inc. - Amendments to Rules 6 and 15 of the Bourse - Amendments to the Procedures Applicable to the Execution of Strategies Involving Options - Amendments to the Procedures Applicable to the Execution of Strategies Involving Futures and Options on Futures
2016 January 21, 2016 010-16 Self-Certification - Penny Options Trading - End of Pilot Project and Implementation of a Permanent Program - Amendments to Article 6624 of the Rules of the Bourse
2016 January 21, 2016 009-16 Self-Certification - Introduction of Block Trades Priced at a Basis to Index Close on S&P/TSX Index and Sector Index Futures - Amendments to Article 6380 - Amendments to the Procedures for the Execution of Block Trades
2016 January 21, 2016 008-16 Self-Certification - Eligibility of Criterion for Index Options - Amendments to Article 6602 of Rule Six of Bourse de Montréal Inc.
2016 January 21, 2016 007-16 Anticipated Contract Adjustment Progressive Waste Solutions Ltd. (BIN) - Merger
2016 January 19, 2016 006-16 Changing Maximum Order Size - Equity, Index, ETF and Currency Options
2016 January 15, 2016 005-16 Reminder Concerning LOPR Reportable Dates
2016 January 14, 2016 004-16 Self-certification - Update of the Rules of Bourse de Montréal Inc. – Rules relating to margin and capital requirements - Abrogation of Policy C-3
2016 January 13, 2016 003-16 Position Limits - Stock and Trust Unit Options, Exchange Traded Fund Unit Options, Sector Index Options, Index Options, Currency Options
2016 January 12, 2016 002-16 Position Limits – Futures Contracts and Options on Futures Contracts
2016 January 8, 2016 001-16 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 December 22, 2015 150-15 Final Contract Adjustment Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution
2015 December 10, 2015 149-15 Self-Certification - Harmonization of the Products’ Specifications and the Rules of Bourse de Montréal Inc. - Amendments to Rules 6 and 15 of the Bourse
2015 December 8, 2015 148-15 New Equity Option Class
2015 December 8, 2015 147-15 Position Limits – Futures Contracts and Options on Futures Contracts
2015 December 2, 2015 146-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 December 1, 2015 145-15 Re-introduction of ETF Option Classes
2015 November 30, 2015 144-15 Anticipated Contract Adjustment Boardwalk Real Estate Investment Trust (BEI.UN) - Special Distribution
2015 November 25, 2015 143-15 Final Contract Adjustment Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF - (HGU) Reverse Unit Split
2015 November 25, 2015 142-15 Final Contract Adjustment Horizons BetaPro NYMEX Crude Oil Bull Plus ETF - (HOU) Reverse Unit Split
2015 November 25, 2015 141-15 Final Contract Adjustment Horizons BetaPro S&P/TSX 60 Bear Plus ETF - (HXD) Reverse Unit Split
2015 November 25, 2015 140-15 Final Contract Adjustment Horizons BetaPro NYMEX Natural Gas Bull Plus ETF - (HNU) Reverse Unit Split
2015 November 24, 2015 139-15 Regulatory Division Futures Contracts Margin Rates File Layout Modification
2015 November 23, 2015 138-15 Holidays and Early Closings - 2015 / 2016
2015 November 18, 2015 137-15 Anticipated Contract Adjustment Horizons ETFs HGU, HNU, HOU and HXD - Reverse Unit Split
2015 November 11, 2015 136-15 New Foreign Approved Participant - E D & F Man Capital Markets Inc.
2015 November 11, 2015 135-15 Resignation of a Foreign Approved Participant - Jump Trading International
2015 November 11, 2015 134-15 Request for Comments – An Update of the Rules and Procedures of Bourse de Montréal Inc. - Amendments to Rules 6 and 15 of the Bourse - Amendments to the Procedures Applicable to the Execution of Strategies Involving Options - Amendments to the Procedures Applicable to the Execution of Strategies Involving Futures and Options on Futures
2015 November 10, 2015 133-15 Weekly Options - Launch Date of Multiple Weekly Options Expiries - List of Available Option Classes
2015 November 9, 2015 132-15 Position Limits – Futures Contracts and Options on Futures Contracts
2015 November 5, 2015 131-15 Self-Certification - Modifications Pertaining to Risk Margining Systems - Amendments to Articles 9001 and 9002 of Rule Nine of Bourse de Montréal Inc.
2015 November 4, 2015 130-15 Request for Comments - Amendments to Article 15608 of the Rules of Bourse de Montréal Inc. - Modification of Bond Futures Position Limit Calculation Methodology for the First Contract Month
2015 November 3, 2015 129-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 November 2, 2015 128-15 Regulatory Division Futures Contracts Margin Rates File Layout Modification
2015 October 22, 2015 127-15 Resignation of a Foreign Approved Participant - Nomura International Plc
2015 October 20, 2015 126-15 New Equity Option Class
2015 October 19, 2015 125-15 Final Contract Adjustment BMO S&P/TSX Laddered Preferred Share Index ETF (ZPR) - CUSIP and Name Change
2015 October 9, 2015 124-15 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2015 October 8, 2015 123-15 Anticipated Contract Adjustment Canexus Corporation (CUS) - Plan of arrangement
2015 October 7, 2015 122-15 Position Limits on Futures Contracts and Options on Futures Contracts
2015 October 7, 2015 121-15 Anticipated Contract Adjustment Canadian Oil Sands Limited (COS) -Acquisition
2015 October 6, 2015 120-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 September 23, 2015 119-15 New Equity Options Classes
2015 September 23, 2015 118-15 Request for Comments - Exchange for Physical (EFP, Exchange for Risk (EFR) and Substitution of OTC Derivative Instruments For Futures Contracts - Amendments to Articles 6815 and 6815A - Amendments to Procedures for the Execution and Reporting of Exchange for Physical (EFP), Exchange for Risk (EFR) and Substitution of OTC Derivative Instruments for Futures Contracts Transactions
2015 September 23, 2015 117-15 Request for Comments – Penny Options Trading – End of the Pilot Project and Implementation of a Permanent Program – Amendments to Article 6624 of the Rules of the Bourse
2015 September 23, 2015 116-15 Request for Comments - Amendments to Article 6602 of Rule Six of Bourse de Montréal Inc. - Eligibility of Criterion for Index Options
2015 September 23, 2015 115-15 Request for Comments - Introduction of Block Trades Priced at a Basis to Index Close on S&P/TSX Index and Sector Index Futures - Amendments to Article 6380 - Amendments to the Procedures for the Execution of Block Trades
2015 September 23, 2015 114-15 Reports Pertaining to the Accumulation of Positions for Derivative Instruments
2015 September 22, 2015 113-15 Regulatory Division Futures contracts Margin rates - File Layout Modification
2015 September 17, 2015 112-15 Resignation of a Foreign Approved Participant - Jefferies LLC
2015 September 16, 2015 111-15 Final Contract Adjustment- Empire Company Limited (EMP.A) - Stock Split
2015 September 14, 2015 110-15 Accelarated Expiry Initial Use - Catamaran Corporation – (CCT1) – September 18, 2015
2015 September 14, 2015 109-15 Accelarated Expiry Initial Use - Talisman Energy Inc. – (TLM1) – September 18, 2015
2015 September 11, 2015 108-15 Launch of a New Traders Training Program - Call for Applications
2015 September 10, 2015 107-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 September 9, 2015 106-15 Re-Introduction of an ETF Option Class Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF - (HEU)
2015 September 4, 2015 105-15 Position Limits – Futures Contracts and Options on Futures Contracts
2015 September 2, 2015 104-15 Self-Certification - Introduction of Multiple Weekly Options Expiries and Amendments to Article 6637 of Rule Six of Bourse de Montreal Inc.
2015 August 21, 2015 103-15 Final Contract Adjustment- Horizons BetaPro S&P/TSX Capped Energy Bull Plus ETF (HEU) - Reverse Unit Split
2015 August 18, 2015 102-15 New Equity Options Classes
2015 August 17, 2015 101-15 Final Contract Adjustment Pacific Rubiales Energy Corporation (PRE) - CUSIP AND Name Change
2015 August 12, 2015 100-15 Self-certification - Reports pertaining to the accumulation of positions for derivative instruments - Amendments to article 14102 of Rule Fourteen of Bourse de Montréal Inc.
2015 August 12, 2015 099-15 Update to position limits for S&P/TSX 60 Index Standard Futures contract and S&P/TSX 60 Index Mini Futures contract
2015 August 12, 2015 098-15 Self-certification - Eliminating the position limits on the S&P/TSX 60 Index Standard Futures contract (SXF) and the S&P/TSX 60 Index Mini Futures contract (SXM) - Amendments to article 15708 of the Rules of Bourse de Montréal Inc.
2015 August 12, 2015 097-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 August 7, 2015 096-15 Position Limits – Futures Contracts and Options on Futures Contracts
2015 August 6, 2015 095-15 Discontinuation of the external secure communication solution - EMX (Echoworx) and implementation of an internal secure communication solution - TLS (Ironport) by the Regulatory Division of Bourse de Montréal Inc.
2015 August 5, 2015 094-15 Resignation of a Foreign Approved Participant - Exchange Connectivity, Inc.
2015 August 5, 2015 093-15 Resignation of an Approved Participant - Pace Securities Corp.
2015 August 5, 2015 092-15 New Foreign Approved Participant - TradeLink Worldwide Ltd
2015 July 29, 2015 091-15 Options & Futures Contracts On S&P/TSX Composite Index Banks (Industry Group) and S&P/TSX Capped Utilities Index
2015 July 28, 2015 090-15 Final Contract Adjustment - Canfor Pulp Products Inc. (CFX)- Special Cash Dividend
2015 July 27, 2015 089-15 Final Contract Adjustment Catamaran Corporation. (CCT) - Plan of Arrangement (Final)
2015 July 27, 2015 088-15 Anticipated Contract Adjustment- Canfor Pulp Products Inc. (CFX)- Special Dividend
2015 July 20, 2015 087-15 Update to position limits for stock and trust units options, exchange traded funds units options, index options and currency options
2015 July 20, 2015 086-15 Update to position limits for futures contracts and options on futures contracts
2015 July 15, 2015 085-15 Self-Certification - Removal of Outdated Rules and Policies of Bourse de Montréal Inc. - Amendments to Rules 1 and 6 - Amendments to Policies T-1 and T-4
2015 July 15, 2015 084-15 MODIFICATION OF THE MINIMUM QUOTATION SPREAD FOR EQUITY, ETF AND INDEX OPTIONS CONTRACTS REPLACEMENT OF CLASSES - ERRATUM
2015 July 15, 2015 083-15 MODIFICATION OF THE MINIMUM QUOTATION SPREAD FOR EQUITY, ETF AND INDEX OPTIONS CONTRACTS - REPLACEMENT OF CLASSES
2015 July 13, 2015 082-15 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2015 July 10, 2015 081-15 Position Limits – Futures Contracts and Options on Futures Contracts
2015 July 9, 2015 080-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 July 7, 2015 079-15 Final Contract Adjustment Calloway Real Estate Investment Trust (CWT.UN) - Name, Symbol and CUSIP Change
2015 July 7, 2015 078-15 Final Contract Adjustment Legacy Oil + Gas Inc. (LEG) Plan of Arrangement (Follow-Up)
2015 July 6, 2015 077-15 Final Contract Adjustment Legacy Oil + Gas Inc. (LEG) - Plan of Arrangement
2015 July 3, 2015 076-15 Final Contract Adjustment AuRico Gold Inc. (AUQ) Plan of Arrangement (Final)
2015 July 3, 2015 075-15 Final Contract Adjustment Alamos Gold Inc. (AGI) Plan of Arrangement (Final)
2015 June 23, 2015 074-15 New Equity and ETF Options Classes
2015 June 16, 2015 073-15 New Weekly Equity Options Classes
2015 June 12, 2015 072-15 Final Contract Adjustment Continental Gold Limited (CNL) - Name and CUSIP Change
2015 June 11, 2015 071-15 Amendments to the List of Fees Bourse de Montréal Inc. effective on July 1, 2015
2015 June 10, 2015 070-15 Launch Date Announcement - New Sector Index Futures and Options Contracts: S&P/TSX Composite Index Banks (Industry Group) and S&P/TSX Capped Utilities Index
2015 June 9, 2015 069-15 Expanding User Defined Strategies for Equity Options
2015 June 9, 2015 068-15 Weekly Options End of Pilot Project and Expansion of Number of Weekly Options Classes
2015 June 5, 2015 067-15 Position limits – Futures contracts and options on futures contracts
2015 June 5, 2015 066-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 June 4, 2015 065-15 Self-Certification - New Sector Index Futures and Options Contracts: S&P/TSX Composite Index Banks (Industry Group) (SXK) and S&P/TSX Capped Utilities Index (SXU) - Amendments to Articles 6602, 6651, 6783, 6784, 6786 and 6788 of Rule Six - Amendment to Article 14102 of Rule Fourteen - Amendments to Articles 15755, 15758, 15759, 15760, 15771, 15772, 15773 and 15781 of Rule Fifteen
2015 June 3, 2015 064-15 Disciplinary Decision - BMO Nesbitt Burns Inc.
2015 June 3, 2015 063-15 Anticipated Contract Adjustment Legacy Oil & Gas Inc. (LEG) - Plan of Arrangement
2015 June 3, 2015 062-15 Request for Comments - Modifications Pertaining to Risk Margining Systems - Amendments to Article 9002 of Rule Nine of Bourse de Montréal Inc.
2015 June 3, 2015 061-15 Request for Comments - Reports Pertaining to the Accumulation of Positions for Derivative Instruments - Amendments to Article 14102 of Rule Fourteen of Bourse de Montréal Inc.
2015 May 29, 2015 060-15 Resignation of a Foreign Approved Participant - Jane Street Capital, LLC
2015 May 27, 2015 059-15 Final Contract Adjustment FirstService Corporation (FSV) - Spin-Off
2015 May 26, 2015 058-15 Anticipated Contract Adjustment Pacific Rubiales Energy Corp. (PRE) - Plan of arrangement
2015 May 22, 2015 057-15 Update to Position Limits For Government of Canada Bond Futures and Options on Futures Contracts
2015 May 21, 2015 056-15 Self-Certification - Amendments to Article 15608 of the Rules of Bourse de Montréal Inc. - Modification of Position Limit Calculation Methodology
2015 May 21, 2015 055-15 Self-Certification - Elimination of the Requirement for the Board of Directors to Approve the fees Levied by Bourse de Montréal Inc. - Amendments to Article 3009 of Rule Three of the Bourse - Amendments to Articles 4.4 and 5 of the Rules Regarding the Regulatory Division and Addition of Article 6.15 to the Rules Regarding the Special Committee - Regulatory Division
2015 May 20, 2015 054-15 New Equity and ETF Options Classes
2015 May 15, 2015 053-15 Re-Introduction of an Option Class Brookfield Asset Management Inc. - (BAM)
2015 May 14, 2015 052-15 Self-Certification - Amendments to Policy C-1 - Requests for Exemption from Position Limits for Bona Fide Hedgers and for Risk Management Purposes
2015 May 13, 2015 051-15 Request for Comments - Introduction of Multiple Weekly Options Expiries and Amendments to Article 6637 of Rule Six of Bourse de Montreal Inc.
2015 May 13, 2015 050-15 Final Contract Adjustment Brookfield Asset Management Inc. (BAM.A)- Stock Split - ERRATUM
2015 May 12, 2015 049-15 Reminder Pertaining to LOPR Reportable Dates
2015 May 11, 2015 048-15 Position limits – Futures contracts and options on futures contracts
2015 May 7, 2015 047-15 ERRATUM Erroneous inclusion of Government of Canada Bond as eligible for delivery on the thirty-year Government of Canada Bond Futures (LGB)
2015 May 7, 2015 046-15 List of Deliverable Canadian GovernmentBond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 May 7, 2015 045-15 Final Contract Adjustment Talisman Energy Inc. (TLM) Plan of Arrangement
2015 May 7, 2015 044-15 Self-Certification - Correction of Article 6637 of Rule Six of Bourse de Montréal Inc.
2015 May 7, 2015 043-15 Self-Certification - Implementation of Committed Orders - Amendments to the Procedures Applicable to the Execution of Cross Transactions and Pre-Arranged Transactions and Amendments to Articles 6121 and 6369 of Rule Six
2015 May 6, 2015 042-15 New Foreign Approved Participant - Fluxion Capital Limited
2015 April 30, 2015 041-15 Request for Comments - Removal of Outdated Rules and Policies of Bourse de Montréal Inc. - Amendments to Rules 1 and 6 - Amendments to Policies T-1 and T-4
2015 April 30, 2015 040-15 Final Contract Adjustment Brookfield Asset Management Inc. (BAM.A)- Stock Split
2015 April 20, 2015 039-15 Anticipated Contract Adjustment Alamos Gold Inc. (AGI)- Merger
2015 April 16, 2015 038-15 Anticipated Contract Adjustment Brookfield Asset Management Inc. (BAM.A) Stock Split
2015 April 15, 2015 037-15 Position limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2015 April 10, 2015 036-15 Position limits – Futures contracts and options on futures contracts
2015 April 8, 2015 035-15 Request for Comments - Settlement Price for Three-Month Canadian Bankers’ Acceptance Futures Contracts - Amendment of the Daily Settlement Price Procedures for Futures Contracts and Options on Futures Contracts
2015 April 7, 2015 034-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 April 1, 2015 033-15 Anticipated Contract Adjustment - Catamaran Corporation (CCT)- Acquisition
2015 April 1, 2015 032-15 Regulatory Division Futures Contracts Margin Rates File Layout Modification
2015 March 30, 2015 031-15 Reminder – CGF Incentive Program (Effective April 1, 2015)
2015 March 30, 2015 030-15 Kyte Group Limited (The) - Change of Name
2015 March 27, 2015 029-15 Final Contract Adjustment Keyera Corp. (KEY) - Stock Split
2015 March 26, 2015 028-15 Resignation of an Approved Participant - Deutsche Bank Securities Limited
2015 March 20, 2015 027-15 Allied Nevada Gold Corp. (ANV) - Delisting
2015 March 19, 2015 026-15 Self-Certification - Addition of Three-Month Canadian Bankers’ Acceptance Futures Contracts Quarterlies Five through Eight and Nine through Twelve to the List of Securities and Derivative Instruments Eligible for Block Trades - Amendments to the Procedures for the Execution of Block Trades
2015 March 17, 2015 025-15 Final Contract Adjustment Gildan Activewear Inc. (GIL)- Stock Split
2015 March 16, 2015 024-15 Final Contract Adjustment - Brookfield Residential Properties Inc. (BRP) Plan of Arrangement
2015 March 11, 2015 023-15 Allied Nevada Gold Corp. (ANV) - Suspension
2015 March 10, 2015 022-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 March 9, 2015 021-15 Position limits – Futures contracts and Options on Futures Contracts
2015 March 5, 2015 020-15 Final Contract Adjustment - Magna International Inc. (MG) - Stock Split
2015 March 4, 2015 019-15 Amendment to the List of Fees of Bourse de Montréal Inc. (Effective April 1, 2015) - Introduction of the CGF Incentive Program
2015 March 2, 2015 018-15 Modification of the Minimum Quotation Spread for Equity, Index Participation Unit and Index Options Contracts - Extension of the Penny Pilot program and Replacement of Classes
2015 February 20, 2015 017-15 New Equity Option Class
2015 February 20, 2015 016-15 Anticipated Contract Adjustment Keyera Corp. (KEY) - Stock Split
2015 February 17, 2015 015-15 Anticipated Contract Adjustment FirstService Corporation (FSV) - Spin-Off
2015 February 12, 2015 014-15 Self-certification - Methodology proposed to establish position limits - Amendments to articles 15508, 15608, 15708, 15758, 15908, 15977, 15998.7 and 15999.10
2015 February 10, 2015 013-15 Anticipated Contract Adjustment Gildan Activewear Inc. (GIL) Stock Split
2015 February 5, 2015 012-15 Position limits – Futures contracts and options on futures contracts
2015 February 4, 2015 011-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 February 4, 2015 010-15 Final Contract Adjustment Metro Inc. (MRU) - Stock Split
2015 January 22, 2015 009-15 Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU)
2015 January 21, 2015 008-15 New Equity Options Classes
2015 January 16, 2015 007-15 Final Contract Adjustment Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU1) Reverse Unit Split (Follow-Up)
2015 January 15, 2015 006-15 Final Contract Adjustment Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU) - Reverse Unit Split
2015 January 15, 2015 005-15 IMAX Corporation (IMX) - Delisting
2015 January 13, 2015 004-15 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. – BMO Nesbitt Burns Inc.
2015 January 12, 2015 003-15 Position limits - Stock and trust unit options - Exchange traded fund unit options - Index options - Currency options
2015 January 8, 2015 002-15 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2015 January 7, 2015 001-15 Position limits – Futures contracts and options on futures contracts
2014 December 29, 2014 176-14 Final Contract Adjustment Boardwalk Real Estate Investment Trust (BEI.UN) Special Cash Dividend
2014 December 22, 2014 175-14 Amendments to the List of Fees of Bourse de Montréal Inc. (Effective April 1, 2015) - Increase of the Internal Transmission Fee for Real-Time Market Data - Introduction of an Internal Transmission Fee for Delayed Market Data - Increase of the Monthly Fee for Structured Product Creation and for Using Data to Generate Orders
2014 December 18, 2014 174-14 Anticipated Contract Adjustment- Talisman Energy Inc. (TLM)- Plan of arrangement
2014 December 17, 2014 173-14 New Foreign Approved Participant - Barak Capital G. T. Ltd.
2014 December 17, 2014 172-14 New Foreign Approved Participant - Wedbush Securities Inc.
2014 December 17, 2014 171-14 Resignation of a Foreign Approved Participant - KCG Americas LLC
2014 December 15, 2014 170-14 Final Contract Adjustment Rajustement de contrat final Plan of arrangement (Follow-Up)
2014 December 15, 2014 169-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 December 12, 2014 168-14 Amendments to the List of Fees of Bourse de Montréal Inc. - Reduction of the XIU Fee Cap - Extension of the EMF Transaction Fee Waiver Program - Introduction of Historical Data Fees
2014 December 12, 2014 167-14 New Equity Options Class
2014 December 12, 2014 166-14 Final Contract Adjustment Tim Hortons Inc. (THI) Plan of Arrangement
2014 December 11, 2014 165-14 New Equity and ETF Options Classes - ERRATUM
2014 December 10, 2014 164-14 New Equity and ETF Options Classes
2014 December 9, 2014 163-14 Position limits - Futures contracts and options on futures contracts
2014 December 3, 2014 162-14 Disciplinary Decision — Offer of Settlement Goldman, Sachs & Co.
2014 December 3, 2014 161-14 Final Contract Adjustment Amaya Gaming Group Inc. (AYA) - Name and CUSIP Change
2014 December 3, 2014 160-14 Amalgamation between Mackie Research Capital Corporation and Jennings Capital Inc.
2014 December 1, 2014 159-14 Resignation of an approved participant - MacDougall, MacDougall & MacTier Inc.
2014 November 27, 2014 158-14 Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF - (HOU)
2014 November 21, 2014 157-14 Final Contract Adjustment - Horizons BetaPro NYMEX Crude Oil Bull Plus ETF (HOU)- Reverse Unit Split
2014 November 12, 2014 156-14 Disciplinary Decision - Offer of Settlement - The Kyte Group Limited
2014 November 12, 2014 155-14 Resignation of a Foreign Approved Participant - World Financial Desk LLC
2014 November 12, 2014 154-14 Resignation of an Approved Participant - Blackwatch Capital Corp.
2014 November 11, 2014 153-14 Position limits - Futures contracts and options on futures contracts
2014 November 10, 2014 152-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 November 10, 2014 151-14 Final Contract Adjustment - Genworth MI Canada Inc. (MIC)- Special Cash Dividend
2014 November 7, 2014 150-14 Listing Dates for Weekly Options - Pilot Project - Listing Dates of New Options Expirations: Weekly Options
2014 November 6, 2014 149-14 Newedge Canada Inc. - Change of Name
2014 November 5, 2014 148-14 Holidays and Early Closings - 2014 / 2015
2014 November 5, 2014 147-14 Final Contract Adjustment Dollarama inc. (DOL) - Stock Split
2014 November 3, 2014 146-14 Final Contract Adjustment Bell Aliant (BA) – Acquisition (Follow-Up)
2014 October 30, 2014 145-14 Final Contract Adjustment Bell Aliant (BA) - Acquisition
2014 October 29, 2014 144-14 Final Contract Adjustment - Stantec Inc. (STN)- Stock Split
2014 October 20, 2014 143-14 New Equity Options Classes
2014 October 10, 2014 142-14 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2014 October 8, 2014 141-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 October 7, 2014 140-14 Position limits - Futures contracts and options on futures contracts
2014 October 1, 2014 139-14 Amendments to the list of fees of Bourse de Montréal Inc. - Report pertaining to the accumulation of positions for derivative instruments, not submitted by the prescribed deadline
2014 September 30, 2014 138-14 Final Contract Adjustment - Augusta Resource Corporation (AZC) Amalgamation (Follow-Up)
2014 September 30, 2014 137-14 Weekly Options Official Launch - Pilot Project: Listing of New Options Expirations: Weekly Options
2014 September 29, 2014 136-14 Regulatory Division Futures contracts Margin Rates file layout modification - Postponement of Launch
2014 September 29, 2014 135-14 Request for comments - Methodology proposed to establish position limits and publication frequency of the position limits - Amendments to articles 15508, 15608, 15908 and 15998.7
2014 September 29, 2014 134-14 Final Contract Adjustment - Augusta Resource Corporation (AZC)- Amalgamation
2014 September 26, 2014 133-14 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - Goldman, Sachs & Co.
2014 September 24, 2014 132-14 Final Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
2014 September 24, 2014 131-14 New Foreign Approved Participant - TradeLink L.L.C.
2014 September 24, 2014 130-14 Resignation of a Foreign Approved Participant - Hard Eight Futures, LLC
2014 September 24, 2014 129-14 Final Contract Adjustment Saputo Inc. (SAP) - Stock Split
2014 September 19, 2014 128-14 Self-Certification - Modifications to the Contract Specifications for the Three-Month Canadian Bankers’ Acceptance Futures Contract - Amendment to Article 6807 of Rule Six of Bourse de Montréal Inc. - Minimum Price Fluctuation
2014 September 19, 2014 127-14 Anticipated Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF) Special Cash Dividend
2014 September 12, 2014 126-14 Anticipated Contract Adjustment Dollarama Inc. (DOL) - Stock Split
2014 September 12, 2014 125-14 Anticipated Contract Adjustment - Stantec Inc. (STN) - Stock Split
2014 September 11, 2014 124-14 Anticipated Contract Adjustment Tim Hortons Inc. (THI) – Plan of arrangement
2014 September 10, 2014 123-14 Request for comments - Amendments to article 15608 of the Rules of Bourse de Montréal Inc. - Modification of position limit calculation methodology
2014 September 10, 2014 122-14 Position limits - Futures contracts and options on futures contracts
2014 September 4, 2014 121-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 September 4, 2014 120-14 New Equity Options Classes
2014 September 4, 2014 119-14 Self-certification - Modifications to the contract specifications for the Three-month Canadian Bankers' Acceptance Futures Contract - Amendment to article 6807 of Rule Six of Bourse de Montréal Inc. - Minimum price fluctuation
2014 September 2, 2014 118-14 Amalgamation between Jefferies Bache,LLC and Jefferies LLC
2014 August 29, 2014 117-14 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - The Kyte Group Limited
2014 August 29, 2014 116-14 Three-month Canadian Bankers' Acceptance Futures, quarterlies one through four - The competitive liquidity incentive program
2014 August 29, 2014 115-14 Erratum - Government of Canada Bond future contracts - First contract month position limit file
2014 August 25, 2014 114-14 Reminder to Approved Participants of the Bourse - Regulation Respecting Electronic Trading and Direct Electronic Access to Marketplaces - Article 6366 of the Rules of Bourse
2014 August 25, 2014 113-14 Government of Canada Bond future contracts first contract month position limit file
2014 August 20, 2014 112-14 Regulatory Division Futures contracts margin rates file layout modification
2014 August 12, 2014 111-14 Position limits - Futures contracts and options on futures contracts
2014 August 8, 2014 110-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 August 8, 2014 109-14 Final Contract Adjustment Nordion Inc. (NDN) - Plan of Arrangement
2014 August 7, 2014 108-14 Anticipated Contract Adjustment - Saputo Inc. (SAP)- Stock Split
2014 August 6, 2014 107-14 New Foreign Approved Participant Latour Trading LLC
2014 August 6, 2014 106-14 Amendments to the trading hours & stages product for money market derivatives listed on Bourse de Montréal Inc.
2014 August 5, 2014 105-14 Anticipated Contract Adjustment Bell Aliant Inc.(BA) - Acquisition
2014 July 30, 2014 104-14 Request for Comments – Part II - Modifications to the Contract Specifications for the Three-Month Canadian Bankers’ Acceptance Futures contract - Amendment to Article 6807 of Rule Six of Bourse de Montréal Inc. - Mnimum price fluctuation
2014 July 28, 2014 103-14 Self-certification - Market-wide Trading Halt Upon the Triggering of a Circuit Breaker - Repeal of Policy T-3 (Circuit Breaker) and Amendments to Rule Six
2014 July 18, 2014 102-14 Name Change - iShares Funds (iShares ETFs)
2014 July 14, 2014 101-14 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. - Article 6368 – Trading Stages and to the Specifications of Interest Rates Futures Contracts and Options on Futures Contracts listed on Bourse de Montréal Inc.
2014 July 11, 2014 100-14 Position limits - Futures contracts and options on futures contracts
2014 July 11, 2014 099-14 Final Contract Adjustment Canadian Energy Services & Technology Corp. (CEU) - Stock Split
2014 July 10, 2014 098-14 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2014 July 7, 2014 097-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 June 27, 2014 096-14 Re-Introduction of ETF Option Classes
2014 June 25, 2014 095-14 Final Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF)- Special Cash Dividend
2014 June 19, 2014 094-14 Postponement of Launch: Pilot Project: Listing of new option expirations: Weekly options - Amendment to Article 6637 of Rule Six of Bourse de Montréal Inc.
2014 June 18, 2014 093-14 Final Contract Adjustment Horizons BetaPro S&P/TSX Capped Financials Bear Plus ETF (HFD) Reverse Unit Split
2014 June 18, 2014 092-14 Final Contract Adjustment Horizons BetaPro S&P/TSX Capped Energy Bear Plus ETF (HED) - Reverse Unit Split
2014 June 17, 2014 091-14 Final Contract Adjustment Osisko Mining Corporation (OSK) - Plan of arrangement (Follow-Up)
2014 June 17, 2014 090-14 New Weekly Equity and ETF Options Classes
2014 June 17, 2014 089-14 New Equity Options Classes
2014 June 17, 2014 088-14 Reminder relating to Article 6306 – Manipulative or Deceptive Methods of Trading
2014 June 16, 2014 087-14 Final Contract Adjustment Osisko Mining Corporation (OSK) Plan of Arrangement
2014 June 16, 2014 086-14 Anticipated Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
2014 June 13, 2014 085-14 Self-certification - Execution of cross transactions for equity option strategies - Amendments to the Procedures applicable to the execution of cross transactions and the execution of prearranged transactions and Procedures applicable to the execution of strategies involing options
2014 June 13, 2014 084-14 Self-certification - Interest rate SWAPS acceptable for the execution of exchange for risk (EFR)transactions - Amendments to appendix 1 of the procedures for the execution and reporting of exchange for physical (EFP), exchange for risk (EFR) and substitution of OTC derivative instruments for futures contracts transactions
2014 June 13, 2014 083-14 Self-certification - Pilot project: Listing of new option expirations: weekly options - Amendment to article 6637 of Rule Six
2014 June 13, 2014 082-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 June 12, 2014 081-14 Resignation of a foreign approved patricipant FCStone, LLC
2014 June 11, 2014 080-14 Final Contract Adjustment Aurora Oil & Gas Ltd. (AEF) - Plan of Arrangement
2014 June 10, 2014 079-14 Position limits - Futures contracts and options on futures contracts
2014 June 10, 2014 078-14 Final Contract Adjustment Brookfield Office Properties Inc. (BPO) - Plan of Arrangement
2014 June 9, 2014 077-14 Amendments to the List of Fees of Bourse de Montréal Inc.
2014 June 9, 2014 076-14 FTSE Emerging Markets Index Futures Contract – Competitive Liquidity Incentive Program
2014 June 9, 2014 075-14 New Product – Listing of FTSE Emerging Markets Index Futures (EMF) Contract
2014 June 9, 2014 074-14 Selfcertification – New Product: The FTSE Emerging Markets Index Futures (EMF) Contract – Amendments to article 6380, 6801 to 6804, 6807, 6808, 6812, 14102 and 15001 of the Rules of Bourse de Montréal Inc.; addition of articles 15999.4 to 15999.17; and modifications to the applicable Procedures in order to launch the EMF.
2014 June 4, 2014 073-14 Reminder relating to requirements outlined in Article 15608 – Position limits
2014 June 3, 2014 072-14 Final Contract Adjustment Domtar Corporation (UFS) Stock Split
2014 May 28, 2014 071-14 Modification of the Minimum Quotation Spread for Equity, Index Participation Unit and Index Options Contracts Extension of the Penny Pilot program and Replacement of Classes
2014 May 23, 2014 070-14 Aurora Oil & Gas Ltd. (AEF) Delisting
2014 May 16, 2014 069-14 Anticipated Contract Adjustment Canadian Energy Services & Technology Corp. (CEU) Stock Split
2014 May 15, 2014 068-14 Final Contract Adjustment Calfrac Well Services Ltd. (CFW) - Stock Split
2014 May 12, 2014 067-14 Final Contract Adjustment Dundee Real Estate Investment Trust (D.UN) Name and CUSIP Change
2014 May 9, 2014 066-14 ERRATUM - Self-certification - Corrections and standardization of product specifications of Bourse de Montréal Inc.
2014 May 9, 2014 065-14 Final Contract Adjustment Dundee International Real Estate Investment Trust (DI.UN) - Name, Symbol and CUSIP Change
2014 May 9, 2014 064-14 Special terms transaction reporting form user guide
2014 May 9, 2014 063-14 Self-certification - Amendments to the Procedures of Bourse de Montréal Inc. - Amendments to Procedures applicable to the execution of special terms transactions and to the reporting form
2014 May 7, 2014 062-14 Self-certification - Corrections and standardization of product specifications of Bourse de Montréal Inc.
2014 May 7, 2014 061-14 Position limits - Futures contracts and options on futures contracts
2014 May 7, 2014 060-14 Final Contract Adjustment - Davis + Henderson Corp. (DH) - Name and CUSIP Change
2014 May 6, 2014 059-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 May 2, 2014 058-14 New Foreign Approved Participant OFE Trading LLC
2014 May 1, 2014 057-14 Anticipated Contract Adjustment Domtar Corporation (UFS) Stock Split
2014 April 30, 2014 056-14 Final Contract Adjustment - Santonia Energy Inc. (STE)- Plan of arrangement (Follow-Up)
2014 April 29, 2014 055-14 Anticipated Contract Adjustment Osisko Mining Corporation (OSK) - Plan of Arrangement
2014 April 28, 2014 054-14 Final Contract Adjustment - Santonia Energy Inc. (STE) - Plan of Arrangement
2014 April 22, 2014 053-14 Amendments to the List of Fees of Bourse de Montréal Inc.
2014 April 22, 2014 052-14 New Equity Options Classes
2014 April 10, 2014 051-14 Position limits - Futures contracts and options on futures contracts
2014 April 9, 2014 050-14 Final Contract Adjustment Alimentation Couche-Tard Inc. (ATD.B) - Stock Split
2014 April 9, 2014 049-14 Final Contract Adjustment Shoppers Drug Mart Corporation (SC) - Plan of arrangement (Follow-Up)
2014 April 8, 2014 048-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 April 7, 2014 047-14 Position Limits - Stock and Trust Unit Options - Exchange Traded Fund Unit Options - Index Options - Curreny Options
2014 April 2, 2014 046-14 Anticipated Contract Adjustment - Nordion Inc. (NDN) - Plan of arrangement
2014 March 31, 2014 045-14 Final Contract Adjustment - Shoppers Drug Mart Corporation (SC) Plan of Arrangement
2014 March 26, 2014 044-14 Final Contract Adjustment Labrador Iron Ore Royalty Corp. (LIF) - Special Cash Dividend
2014 March 26, 2014 043-14 Name Change - iShares Funds (iShares ETFs)
2014 March 25, 2014 042-14 Equity Options and Options on ETF Symbol Date Change - ERRATUM
2014 March 24, 2014 041-14 Equity Options and Options on ETF Symbol Date Change
2014 March 24, 2014 040-14 Anticipated Contract Adjustment Alimentation Couche-Tard (ATD.B) - Stock Split
2014 March 20, 2014 039-14 New foreign approved participant - Jane Street Capital, LLC
2014 March 20, 2014 038-14 Resignation of a foreign approved participant G.H. Financials, LLC
2014 March 19, 2014 037-14 Request for comments - Modification to the contract specifications for the Three-Month Canadian Bankers' Acceptance Futures contract - Minimum price fluctuation
2014 March 18, 2014 036-14 Extending the fee rebate program for options on three-month Canadian Bankers' Acceptance Futures
2014 March 18, 2014 035-14 Reminder Regulation respecting electronic trading and direct electronic access to market places Assignment of a client identifier
2014 March 12, 2014 034-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 March 11, 2014 033-14 Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp. (LIF)- Special Cash Dividend
2014 March 7, 2014 032-14 Anticipated Contract Adjustment Augusta Resource Corporation (AZC) - Acquisition - ERRATUM
2014 March 6, 2014 031-14 Anticipated Contract Adjustment Augusta Resource Corporation (AZC) - Plan of arrangement
2014 March 6, 2014 030-14 Position limits - Futures contracts and options on futures contracts
2014 February 28, 2014 029-14 Anticipated Contract Adjustment Calfrac Well Services Ltd. (CFW) - Stock Split
2014 February 27, 2014 028-14 Self-certification - Regulation respecting electronic trading and direct electronic access to market places - Amendments to article 6366 - Access to electronic trading
2014 February 27, 2014 027-14 Regulation Respecting Electronic Trading and Direct Electronic Access to Market Places - Assignment of a Client Identifier
2014 February 24, 2014 026-14 Final Contract Adjustment Home Capital Group Inc. (HCG) - Stock Split
2014 February 24, 2014 025-14 Coeur Mining Inc. (CDM) - Delisting
2014 February 20, 2014 024-14 ERRATUM - Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF - (HND)
2014 February 20, 2014 023-14 Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF - (HND)
2014 February 19, 2014 022-14 Position Limits - Futures Contracts and Options on Futures Contracts
2014 February 13, 2014 021-14 Final Contract Adjustment Horizons BetaPro NYMEX Natural Gas Bear Plus ETF - (HND) - Reverse Unit Split
2014 February 11, 2014 020-14 Anticipated Contract Adjustment - Aurora Oil & Gas Ltd. (AEF) - Acquisition
2014 February 10, 2014 019-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 February 6, 2014 018-14 Anticipated Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND) - Reverse Unit Split
2014 February 5, 2014 017-14 Final Contract Adjustment - Open Text Corporation (OTC)- Stock Split
2014 February 4, 2014 016-14 New Equity Options Classes
2014 February 3, 2014 015-14 Final Contract Adjustment National Bank of Canada (NA) - Stock Split
2014 February 3, 2014 014-14 New Approved Participant R.J. O'Bien & Associates Canada Inc.
2014 January 24, 2014 013-14 Anticipated Contract Adjustment - Open Text Corporation (OTC) - Stock Split
2014 January 22, 2014 012-14 New foreign approved participant KCG Americas LLC
2014 January 22, 2014 011-14 Resignation of an approved participant Richardson GMP Limited
2014 January 21, 2014 010-14 Anticipated Contract Adjustment - Osisko Mining Corporation (OSK) - Plan of Arrangement
2014 January 21, 2014 009-14 Final Contract Adjustment Coastal Energy Company - (CEN) - Merger
2014 January 20, 2014 008-14 Request for comments - Update of the Rules of Bourse de Montréal Inc. - Rules relating to margin and capital requirements - Abrogation of Policy C-3 - Amendments to Rule Six, Rule Seven and Rule Nine
2014 January 20, 2014 007-14 Request for Comments - Market-wide Trading Halt Upon the Triggering of a Circuit Breaker - Abrogation of Policy T-3 (Circuit Breaker) - Abrogation, addition, amendments to Rule Six
2014 January 20, 2014 006-14 Final Contract Adjustment The Toronto-Dominion Bank - (TD) - Stock Split
2014 January 16, 2014 005-14 Position Limits - Stock and Trust Unit Options - Exchange Traded Fund Unit Options - Index Options - Curreny Options
2014 January 10, 2014 004-14 Position Limits - Futures Contracts and Options on Futures Contracts
2014 January 7, 2014 003-14 Final Contract Adjustment - West Fraser Timber Co. Ltd. (WFT)- Stock Split
2014 January 7, 2014 002-14 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2014 January 2, 2014 001-14 Final Contract Adjustment–FOLLOW-UP Turquoise Hill Resources Ltd. (TRQ) Rights Expiration
2013 December 31, 2013 202-13 Final Contract Adjustment - GENIVAR Inc. (GNV) Name, Symbol and Cusip change
2013 December 23, 2013 201-13 Final Contract Adjustment Labrador Iron Ore Royalty Corp. - (LIF) - Special Cash Dividend
2013 December 19, 2013 200-13 Amendments to the List of Fees of Bourse de Montréal Inc.
2013 December 17, 2013 199-13 Final Contract Adjustment Angle Energy Inc. (NGL) - Plan of arrangement (Follow-Up)
2013 December 17, 2013 198-13 Anticipated Contract Adjustment - West Fraser Timber Co. Ltd. (WFT)- Stock Split
2013 December 16, 2013 197-13 Final Contract Adjustment Angle Energy Inc. (NGL) - Plan of arrangement
2013 December 12, 2013 196-13 Anticipated Contract Adjustment - Labrador Iron Ore Royalty Corp.(LIF) -Special Cash Dividend
2013 December 9, 2013 195-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 December 9, 2013 194-13 Anticipated Contract Adjustment - The Toronto-Dominion Bank (TD) - Stock Split
2013 December 6, 2013 193-13 Position limits - Futures contracts and Options on Futures contracts
2013 December 5, 2013 192-13 Anticipated Contract Adjustment National Bank of Canada (NA) Stock Split
2013 December 4, 2013 191-13 Chronological Priority - Crosses and Prearranged Transactions
2013 December 3, 2013 190-13 Final Contract Adjustment Petrominerales Ltd. (PMG) - Plan of arrangement
2013 December 2, 2013 189-13 Final Contract Adjustment Turquoise Hill Resources Ltd. (TRQ) - Rights Offering
2013 November 29, 2013 188-13 Self-certification - Modifications to the 30-Day Overnight Repo Rate Futures Contract (ONX) specifications - Methodology used to calculate the final settlement price
2013 November 27, 2013 187-13 Self-certification - Regulation Respecting Electronic Trading - Amendments to article 3011 - Surveillance and compliance and to article 6366 - Access to electronic trading
2013 November 26, 2013 186-13 ERRATUM - Appointment of the Vice President and Chief Regulatory Officer of Bourse de Montréal Inc.
2013 November 26, 2013 185-13 Appointment of the Vice President and Chief Regulatory Officer of Bourse de Montréal Inc.
2013 November 22, 2013 184-13 Request for comments - Regulation respecting electronic trading and direct electronic access to marketplaces - Amendments to article 6366 - Access to Electronic Trading
2013 November 13, 2013 183-13 Anticipated Contract Adjustment - Brookfield Office Properties Inc. (BPO)- Acquisition
2013 November 13, 2013 182-13 Anticipated Contract Adjustment- Petrominerales Ltd. (PMG)- Plan of arrangement
2013 November 12, 2013 181-13 Final Contract Adjustment Canadian National Railway Company Inc. (CNR) - Stock Split
2013 November 12, 2013 180-13 Final Contract Adjustment The Jean Coutu Group Inc. (PJC.A) -Special Cash Dividend
2013 November 7, 2013 179-13 2013-2014 Holidays and Early Closings
2013 November 7, 2013 178-13 Anticipated Contract Adjustment GENIVAR Inc. (GNV) - Plan of arrangement
2013 November 7, 2013 177-13 Anticipated Contract Adjustment Angle Energy Inc. (NGL) - Plan of arrangement
2013 November 7, 2013 176-13 Amalgamation between Macquarie Private Wealth Inc. and Richardson GMP Limited
2013 November 7, 2013 175-13 New approved participant - Credential Securities Inc.
2013 November 6, 2013 174-13 Position limits - Futures contracts and Options on Futures contracts
2013 November 6, 2013 173-13 Anticipated Contract Adjustment - The Jean Coutu Group Inc. (PJC.A) - Special Cash Dividend
2013 November 6, 2013 172-13 Anticipated Contract Adjustment - Canadian National Railway Company (CNR) - Stock Split
2013 November 6, 2013 171-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 November 1, 2013 170-13 Resignation of an approved participant - National Bank Direct Brokerage Inc.
2013 November 1, 2013 169-13 Amalgamation between two approved participants - Scotia Capital Inc. and DWM Securities Inc. Resignation of an approved participant - DWM Securities Inc.
2013 October 29, 2013 168-13 Name Change - iShares Gold Bullion Fund
2013 October 16, 2013 167-13 Rainy River Resources Ltd. (RR)- Delisting
2013 October 16, 2013 166-13 Position limits - Futures contracts and Options on Futures contracts
2013 October 11, 2013 165-13 Self-certification - Implementation of implied pricing on options on Three-month Canadian Bankers' Acceptance Futures (OBX) and Options on Ten-year Government of Canada Bond Futures (OGB) and Amendments to the Procedures for the Cancellation on Adjustment of Trades
2013 October 9, 2013 164-13 Addendum - Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2013 October 8, 2013 163-13 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2013 October 7, 2013 162-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 October 2, 2013 161-13 Final Contract Adjustment CML HealthCare Inc. (CLC) - Plan of arrangement
2013 October 1, 2013 160-13 Name Change Canaccord Financial Inc.
2013 September 26, 2013 159-13 Anticipated Contract Adjustment BlackBerry Ltd. (BB) Acquisition
2013 September 24, 2013 158-13 New Equity Options Classes
2013 September 18, 2013 157-13 Re-introduction of an ETF and Equity Option Class - Horizons S&P/TSX Index ETF - (HXT) TORC Oil & Gas Ltd. - (TOG)
2013 September 13, 2013 156-13 Amendments to the Competitive Liquidity Incentive Program for Two-Year Government of Canada Bond Futures and Five-Year Government of Canada Bond Futures
2013 September 12, 2013 155-13 Final Contract Adjustment TORC Oil & Gas Ltd. (TOG) - Reverse Stock Split
2013 September 10, 2013 154-13 Position limits - Futures contracts and Options on Futures contracts
2013 September 6, 2013 153-13 Final Contract Adjustment - Horizons S&P/TSX 60 Index ETF (HXT) Reverse Unit Split
2013 September 6, 2013 152-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 September 4, 2013 151-13 Final Contract Adjustment - Inter Pipeline Fund. (IPL.UN) NAME, SYMBOL AND CUSIP CHANGE
2013 August 29, 2013 150-13 Self-certification - Extending OBX to the fifth through eight months of the quarterly cycle - Amendments to options on Three-Month Canadian Bankers' Acceptance Futures Contract specifications
2013 August 23, 2013 149-13 Amendments to the list of fees of Bourse de Montréal Inc.
2013 August 21, 2013 148-13 Modification of the Minimum Quotation Spread for Equity, Index Participation Unit and Index Options Contracts - Replacement of Classes
2013 August 16, 2013 147-13 Self-Certification - Implementation of Implied Pricing on the Two-Year Government of Canada Bond Futures Contract (CGZ), Five-Year Government of Canada Bond Futures Contract (CGF), and 30-Year Government of Canada Bond Futures Contract (LGB)- Amendments to the Procedures for the Cancellation or Adjustment of Trades
2013 August 16, 2013 146-13 Autocertification - Modification to the Overnight Index Swap Futures Contract (OIS) Specifications
2013 August 12, 2013 145-13 Position Limits – Futures contracts and Options on Futures contracts
2013 August 12, 2013 144-13 Final Contract Adjustment- Quebecor Inc. (QBR.B)- Stock Split
2013 August 6, 2013 143-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 August 1, 2013 142-13 New foreign approved participant - World Financial Desk, LLC
2013 August 1, 2013 141-13 New foreign approved participant - SMBC Capital Markets, Inc.
2013 August 1, 2013 140-13 New foreign approved participant - Sibyl Trading Limited
2013 August 1, 2013 139-13 New approved participant - Pace Securities Corp.
2013 August 1, 2013 138-13 Resignation of an approved participant - Loewen, Ondaatje, McCutcheon Limited
2013 July 31, 2013 137-13 Amendments to the Competitive Liquidity Incentive Program for Two-year Government of Canada Bond Futures and Five-year Government of Canada Bond Futures
2013 July 30, 2013 136-13 Self-certification - Rule One - Regulations of the Bourse - Updating of article 1102 - Definitions
2013 July 24, 2013 135-13 Special Terms Transactions (Exchange for Physical (EFP), Exchange for Risk (EFR) and Riskless Basis Cross (RBC)) record keeping requirements
2013 July 22, 2013 134-13 Anticipated Contract Adjustment Rainy River Resources Ltd. (RR) - Acquisition
2013 July 19, 2013 133-13 Anticipated Contract Adjustment CML Healthcare Inc. (CLC) Plan of arrangement
2013 July 18, 2013 132-13 Anticipated Contract Adjustment Shoppers Drug Mart Corporation - (SC)Plan of Arrangement
2013 July 17, 2013 131-13 Anticipated Contract Adjustment TORC Oil & Gas Ltd. - (TOG) Reverse Stock Split
2013 July 17, 2013 130-13 Final Contract Adjustment - Research In Motion Limited (BB)- NAME AND CUSIP CHANGE
2013 July 12, 2013 129-13 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2013 July 11, 2013 128-13 Position Limits - Futures contracts and Options on Futures contracts
2013 July 10, 2013 127-13 Final Contract Adjustment Resverlogix Corp. (RVX) Spin-Off (Follow-Up)
2013 July 10, 2013 126-13 Circuit Breaker Policy (T-3) - Levels of Intervention
2013 July 10, 2013 125-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 July 8, 2013 124-13 Final Contract Adjustment Astral Media Inc. - (ACM.A) Plan of Arrangement (Final)
2013 June 27, 2013 123-13 Final Contract Adjustment - QLT Inc. (QLT) Special Distribution (Follow-Up)
2013 June 27, 2013 122-13 Fee Rebate Program for Options on Three-Month Canadian Bankers' Acceptance Futures
2013 June 27, 2013 121-13 New Market Making Incentive Program - Options on Three-Month Canadian Bankers' Acceptance Futures
2013 June 24, 2013 120-13 New Equity Options Classes
2013 June 19, 2013 119-13 Final Contract Adjustment QLT Inc. - (QLT) Special Distribution
2013 June 17, 2013 118-13 Anticipated Contract Adjustment - Inter Pipeline Fund (IPL.UN) - Plan of Arrangement
2013 June 17, 2013 117-13 lululemon athletica inc. (LLL)- Delisting
2013 June 12, 2013 116-13 Final Contract Adjustment Petrobank Energy and Resources Ltd. - (PBG)Corporate Reorganization (Follow-Up)
2013 June 11, 2013 115-13 Position Limits - Futures contracts and Options on Futures contracts
2013 June 7, 2013 114-13 Re-Introduction of an option class- Dundee Corporation (DC
2013 June 7, 2013 113-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 June 6, 2013 112-13 New foreign approved participant - Nomura International Plc
2013 June 6, 2013 111-13 Disciplinary decision - Timber Hill Canada Company
2013 June 6, 2013 110-13 Final Contract Adjustment - Aurizon Mines Ltd. (ARZ)- Plan of Arrangement (Follow-Up)
2013 June 6, 2013 109-13 Final Contract Adjustment Canadian Utilities Limited - (CU) Stock Split
2013 June 5, 2013 108-13 Request for Comments - Amendments to the Rules of Bourse de Montréal Inc. Article 6368 - Trading stages and to the specifications of interest rates Futures contracts ans Options on Futures contracts listed on Bourse de Montréal Inc.
2013 June 5, 2013 107-13 Final Contract Adjustment - Aurizon Mines Ltd. (ARZ)- Plan of Arrangement
2013 June 3, 2013 106-13 Anticipated Contract Adjustment Resverlogix Corp. - (RVX) Spin-Off (Final)
2013 June 3, 2013 105-13 Large Open Position Reporting (LOPR) reminders
2013 May 31, 2013 104-13 Request for comments - Extending OBX to the fifth through eight months of the quarterly cycle - Amendments to options on three-month Canadian Bankers' Acceptance Futures Contract specifications
2013 May 28, 2013 103-13 Anticipated Contract Adjustment Resverlogix Corp. - (RVX) Spin-Off (Follow-Up)
2013 May 28, 2013 102-13 Disciplinary Decision - Offer of Settlement - G.H. Financials Ltd.
2013 May 27, 2013 101-13 Final Contract Adjustment - Dundee Corporation (DC.A) - Plan of Arrangement
2013 May 27, 2013 100-13 Final Contract Adjustment PetroBakken Energy Ltd. (PBN) Name, Symbol and CUSIP Change
2013 May 24, 2013 099-13 Self-certification - Standard monthly Saturday expiry processing move to Friday evening - Modifications to equity options contract specifications and options on exchange-traded fund contract specifications and Modifications to article 6637 of Rule Six
2013 May 23, 2013 098-13 Request for comments - Modification to the 30-day overnight repo rate futures contract (ONX) specifications - Methodology used to calculate the final settlement price
2013 May 22, 2013 097-13 SAM Authorized Persons - Obligation to transmit a Uniform Termination Notice to the Exchange
2013 May 21, 2013 096-13 Request for comments - Eliminating the position limits on the S&P/TSX 60 standard index futures contract (SXF) and the S&P/TSX 60 mini futures contract (SXM)- Amendments to article 15708 of the Rules of Bourse de Montréal Inc.
2013 May 21, 2013 095-13 Request for comments - Modifications to the overnight index SWAP futures contract (OIS) specifications - Minimum price fluctuation
2013 May 21, 2013 094-13 Gatekeeper report
2013 May 16, 2013 093-13 Standard monthly Saturday expiry processing move to Friday evening - Modifications to equity options contract specifications and options on exchange-traded fund contract specifications - and Modifications to article 6637 of Rule Six
2013 May 16, 2013 092-13 Poseidon Concepts Corp. (PSN) - Delisting
2013 May 16, 2013 091-13 Name Change - Cœur d’Alene Mines Corporation
2013 May 15, 2013 090-13 Closing out of long and short futures contract positions
2013 May 13, 2013 089-13 Self-certification - Amendments to interest rate futures, options on interest rate futures, bond futures and options on bond futures contract specifications - Amendments to the daily settlement price procedures for futures contracts and options on futures contracts
2013 May 7, 2013 088-13 Re-Introduction of an ETF Option Class Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF - (HGU)
2013 May 6, 2013 087-13 Position Limits - Futures contracts and Options on Futures contracts
2013 May 3, 2013 086-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 May 3, 2013 085-13 Final Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU) - Reverse Unit Split
2013 May 2, 2013 084-13 Anticipated Contract Adjustment Resverlogix Corp. (RVX)- Spin-Off
2013 May 1, 2013 083-13 Name Change Agnico-Eagle Mines Ltd.
2013 April 24, 2013 082-13 Resignation of an approved participant - Jones, Gable & Company Limited
2013 April 24, 2013 081-13 Resignation of an approved participant - Hampton Securities Limited
2013 April 24, 2013 080-13 New Equity Options Classes
2013 April 23, 2013 079-13 Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) Spin-Off (Follow-Up) - ERRATUM
2013 April 22, 2013 078-13 Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) Spin-Off (Follow-Up)
2013 April 19, 2013 077-13 Re-Introduction of an Option Class Alacer Gold Corp. – (ASR)
2013 April 18, 2013 076-13 Re-Introduction of an Option Class Brookfield Asset Management Inc. – (BAM)
2013 April 17, 2013 075-13 Erratum - Request for comments - Standard Monthly Saturday Expiry Processing Move to Friday Evening - Modifications to article 6637 of Rule Six
2013 April 17, 2013 074-13 Final Contract Adjustment-ERRATUM TELUS Corporation (T) - Stock Split
2013 April 16, 2013 073-13 Final Contract Adjustment Alacer Gold Corp. (ASR) - Special Dividend
2013 April 12, 2013 072-13 Anticipated Contract Adjustment - Alacer Gold Corp. (ASR)- Special Dividend
2013 April 12, 2013 071-13 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2013 April 11, 2013 070-13 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. - Article 6651 "Position Limits for Options"
2013 April 10, 2013 069-13 Final Contract Adjustment - Inmet Mining Corporation (IMN) Plan of Arrangement – New Deliverable
2013 April 10, 2013 068-13 Final Contract Adjustment - Primaris Retail Real Estate Investment Trust (PMZ.UN) - Plan of Arrangement (Follow-Up)
2013 April 10, 2013 067-13 Re-Introduction of an ETF Option Class - Horizons BetaPro NYMEX Natural Gas Bear Plus ETF (HND)
2013 April 9, 2013 066-13 Final Contract Adjustment TELUS Corporation (T) Stock Split
2013 April 9, 2013 065-13 Anticipated Contract Adjustment Inmet Mining Corporation. (IMN) - Plan of Arrangement
2013 April 8, 2013 064-13 Hearing before the Disciplinary Comittee of Bourse de Montréal Inc. - Offer of Settlement - G.H. Financials Ltd.
2013 April 8, 2013 063-13 Position Limits - Futures contracts and Options on Futures contracts
2013 April 8, 2013 062-13 Request for Comments - Amendments to the Rules of Bourse de Montréal Inc. - Updating of article 1102 of Rule One "Regulations of the Bourse"
2013 April 8, 2013 061-13 Request for Comments - Amendments to the Procedures of Bourse de Montréal Inc. - Amendments to Procedures applicable to the execution of special terms transactions and to the reporting form
2013 April 5, 2013 060-13 Final Contract Adjustment - Primaris Retail Real Estate Investment Trust (PMZ.UN)- Plan of Arrangement
2013 April 4, 2013 059-13 Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gaz Bear Plus ETF (HND) - Reverse Unit Split
2013 April 3, 2013 058-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 April 3, 2013 057-13 Request for Comments - Standard Monthly Saturday Expiry Processing Move to Friday Evening
2013 April 3, 2013 056-13 Request for Comments - Execution of Cross Transactions for Equity Option Strategies
2013 April 3, 2013 055-13 Request for Comments - Implementation of Implied Pricing on OBX and OGB
2013 April 2, 2013 054-13 Circuit Breaker Policy (T-3) - 2013 Second Quarter Levels of Intervention
2013 April 1, 2013 053-13 Anticipated Contract Adjustment - Inmet Mining Corporation (IMN) - Acquisition
2013 April 1, 2013 052-13 NEW EQUITY OPTIONS CLASSES
2013 March 28, 2013 051-13 Self-certification - Amendments to the Rules of Bourse de Montréal Inc. - Article 6654 "Reports Related to Options Positions" and article 14102 "Reports Relating to the Accumulation of Positions for Derivative Instruments
2013 March 28, 2013 049-13 Implementation by the Regulatory Division of Bourse de Montréal Inc. of a Secure Electronic Communication Solution-EMX-
2013 March 27, 2013 050-13 Final Contract Adjustment - ShawCor Ltd. (SCL) Special Dividend
2013 March 26, 2013 048-13 Final Contract Adjustment - Harry Winston Diamond (HW) NAME, SYMBOL, CUSIP CHANGE
2013 March 26, 2013 047-13 Final Contract Adjustment - ShawCor Ltd. (SCL.A)- CUSIP CHANGE
2013 March 22, 2013 046-13 Self-certification - Rules Regarding the Special Committee - Regulatory Division - Amendments to article 3 - Composition of the Special Committee
2013 March 22, 2013 045-13 Anticipated Contract Adjustment ShawCor Ltd. (SCL.A) Plan of arrangement – Special Dividend
2013 March 22, 2013 044-13 Final Contract Adjustment Transcontinental Inc. (TCL.A) - Special Dividend
2013 March 21, 2013 043-13 Final Contract Adjustment - Brookfield Asset Management Inc. (BAM.A) - Spin-Off
2013 March 18, 2013 042-13 Update - Montreal Exchange Regulatory Division Large Open Position Reporting tool (LOPR)
2013 March 18, 2013 041-13 Anticipated Contract Adjustment TELUS (T) - Stock Split
2013 March 18, 2013 040-13 Anticipated Contract Adjustment Transcontinental Inc. (TCL.A) - Special Dividend
2013 March 13, 2013 039-13 Resignation of a foreign approved participant - Goldman Sachs International
2013 March 13, 2013 038-13 Resignation of an approved participant - Woodstone Capital Inc.
2013 March 12, 2013 037-13 Disciplinary Decision - Offer of Settlement - RBC Dominion Securities Inc.
2013 March 8, 2013 036-13 Anticipated Contract Adjustment Canadian Utilities Limited (CU) - Stock Split
2013 March 8, 2013 035-13 Anticipated Contract Adjustment Aurizon Mines Ltd. (ARZ) - Plan of Arrangement
2013 March 7, 2013 034-13 Position Limits - Futures contracts and Options on Futures contracts
2013 March 5, 2013 033-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 March 5, 2013 032-13 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Timber Hill Canada Company
2013 February 28, 2013 031-13 Modification of the Minimum Quotation Spread for Equity, Index Participation Unit and Index Options Contracts - Expansion of the Penny Pilot Program and Replacement of Classes
2013 February 28, 2013 030-13 Final Contract Adjustment Keegan Resources Inc. - (KGN) Name, Symbol and CUSIP Change
2013 February 28, 2013 029-13 Final Contract Adjustment Celtic Exploration Ltd. - (CLT) Plan of Arrangement
2013 February 27, 2013 028-13 Final Contract Adjustment Nexen Inc. - (NXY) Plan of Arrangement
2013 February 20, 2013 027-13 Large Derivative Instruments Open Positions Reporting (LOPR) - Guide
2013 February 12, 2013 026-13 Self-certification - Modification to the Delivery Standards - 30-Year Government of Canada Bond Futures Contract (LGB) - Amendment to article 15613 of Rule Fifteen
2013 February 12, 2013 025-13 Self-Certification - Modification to the Delivery Standards - Five-Year Government of Canada Bond Futures Contract (CGF) - Amendment to Article 15613 of Rule Fifteen
2013 February 8, 2013 024-13 Anticipated Contract Adjustment Primaris Retail Real Estate Investment Trust - (PMZ.UN) Plan of Arrangement
2013 February 8, 2013 023-13 Position Limits - Futures contracts and Options on Futures contracts
2013 February 6, 2013 022-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 February 5, 2013 021-13 New Equity Options Classes
2013 February 1, 2013 020-13 Resignation of an approved participant - Penson Financial Services Canada Inc.
2013 January 31, 2013 019-13 Final Contract Adjustment Research In Motion (RIM) SYMBOL CHANGE
2013 January 25, 2013 018-13 New approved participant - Blackwatch Capital Corp.
2013 January 25, 2013 017-13 New foreign approved participant - G.H. Financials, LLC
2013 January 25, 2013 016-13 Anticipated Contract Adjustment Uranium One Inc. (UUU) - Plan of Arrangement
2013 January 24, 2013 015-13 Disciplinary Decision - Offer of Settlement - BMO Nesbitt Burns Inc.
2013 January 18, 2013 014-13 Anticipated Contract Adjustment Keegan Resources Inc (KGN)- Plan of Arrangement
2013 January 18, 2013 013-13 Anticipated Contract Adjustment H&R Real Estate Investment Trust. (HR.UN) - Plan of Arrangement
2013 January 16, 2013 012-13 Electronic Trading Rules and Canadian Securities Regulators Regulation 23-103 and its Companion Policy
2013 January 14, 2013 011-13 Final Contract Adjustment Chartwell Seniors Housing Real Estate Investment Trust (CSH.UN) - CUSIP and Name Change
2013 January 10, 2013 010-13 Final Contract Adjustment Fairborne Energy Ltd. (FEL) - CUSIP, Symbol and Name Change
2013 January 8, 2013 009-13 Position Limits - Futures contracts and Options on Futures contracts
2013 January 8, 2013 008-13 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2013 January 7, 2013 007-13 ERRATUM - Final Contract Adjustment Petrobank Energy and Resources Ltd. (PBG) Corporate Reorganization
2013 January 4, 2013 006-13 Final Contract Adjustment - PetroBakken Energy Ltd. (PBN) CUSIP CHANGE
2013 January 4, 2013 005-13 Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG)- CUSIP CHANGE
2013 January 3, 2013 004-13 Final Contract Adjustment Granite Real Estate Inc. (GRT) NAME, SYMBOL, CUSIP AND ISIN CHANGE
2013 January 3, 2013 003-13 Circuit Breaker Policy (T-3)2013 First Quarter Levels of Intervention
2013 January 3, 2013 002-13 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2013 January 2, 2013 001-13 Final Contract Adjustment - Petrobank Energy and Resources Ltd. (PBG) Corporate Reorganization
2012 December 31, 2012 181-12 Anticipated Contract Adjustment – Follow-Up Petrobank Energy and Resources Ltd. (PBG) - Corporate Reorganization
2012 December 31, 2012 180-12 Resignation of a Foreign Approved Participant - Hudson River Trading Europe Ltd.
2012 December 24, 2012 179-12 Anticipated Contract Adjustment – Follow-Up Petrobank Energy and Resources Ltd. (PBG) Corporate Reorganization
2012 December 19, 2012 178-12 Anticipated Contract Adjustment- Dundee Corporation (DC.A)- Plan of Arrangement
2012 December 18, 2012 177-12 Final Contract Adjustment Viterra Inc. (VT) - Plan of Arrangement
2012 December 18, 2012 176-12 Self-Certification - Reduction of the S&P/TSX 60 Index Option (SXO) Contract Size - Administrative Amendments to Articles 6676 and 6771 to 6779 of Rule Six
2012 December 18, 2012 175-12 Self-Certification - Two-Year Government of Canada Bond Futures Contract (CGZ) - Amendments to Article 6801 of Rule Six and to Article 15613 of Rule Fifteen
2012 December 17, 2012 174-12 New foreign approved participant - Tucana Bay Ltd.
2012 December 17, 2012 173-12 2013 List of Fees of Bourse de Montréal Inc.
2012 December 17, 2012 172-12 The Competitive Liquidity Incentive Program (CLIP)
2012 December 17, 2012 171-12 Termination and Decommissioning of MS Excel/Email based Position Reports A & B
2012 December 17, 2012 170-12 New Foreign approved participant - DRW Investments, LLC
2012 December 17, 2012 169-12 Resignation of a foreign approved participant - Blue Fire Capital, LLC
2012 December 14, 2012 168-12 Request for comments - Modification to the delivery standards - Five-yeatr Government of Canada Bond Futures Contract (CGF) - Amendment to article 15613 of Rule fifteen of Bourse de Montréal Inc.
2012 December 14, 2012 167-12 Final Contract Adjustment Progress Energy Resources Corp. (PRQ) - Plan of Arrangement
2012 December 12, 2012 166-12 Request for Comments - Implementation of Implied Pricing on the CGZ, CGF and LGB futures contracts and Amendments to the Procedures for the Cancellation or Adjustment of Trades
2012 December 11, 2012 165-12 New Market Making Incentive Program - Options on Three-Month Canadian Bankers’ Acceptance Futures (OBX)
2012 December 7, 2012 164-12 Anticipated Contract Adjustment - Primaris Retail REIT (PMZ.UN) - Acquisition
2012 December 7, 2012 163-12 Position Limits - Futures contracts and Options on Futures contracts
2012 December 6, 2012 162-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 December 5, 2012 161-12 Request for Comments - Listing of New Option Expirations: Weekly Options - Amendment to Article 6637 of Rule Six
2012 December 3, 2012 160-12 Modification of the Minimum Quotation Spread For Equity, Index Participation Unit and Index Options Contracts and Replacement of Classes
2012 December 3, 2012 159-12 Final Contract Adjustment iShares Natural Gas Commodity Index Fund (GAS) - Merger
2012 November 28, 2012 158-12 Large Derivative Instruments Open Positions Reporting (LOPR) - Updates regarding Account Owner Identification Requirements
2012 November 27, 2012 157-12 New equity options classes
2012 November 26, 2012 156-12 Anticipated Contract Adjustment - FOLLOW-UP iShares Natural Gas Commodity Index Fund (GAS) - Merger
2012 November 20, 2012 155-12 Final Contract Adjustment- ERRATUM Vero Energy Inc. (VRO) Plan of Arrangement
2012 November 20, 2012 154-12 Anticipated Contract Adjustment - iShares Natural Gas Commodity Index Fund (GAS) - Merger
2012 November 20, 2012 153-12 Final Contract Adjustment - Vero Energy Inc. (VRO) - Plan of Arrangement
2012 November 15, 2012 152-12 Final Contract Adjustment - Garda World Security Corporation (GW)- Plan of Arrangement
2012 November 13, 2012 151-12 2012-2013 Holidays and Early Closings - Important Modification
2012 November 9, 2012 150-12 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of settlement - BMO Nesbitt Burns Inc.
2012 November 9, 2012 149-12 Position Limits - Futures contracts and Options on Futures contracts
2012 November 7, 2012 148-12 New Market Making Incentive Program - S&P/TSX 60 Index Standard Futures Contracts
2012 November 5, 2012 147-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 November 5, 2012 146-12 Anticipated Contract Adjustment Petrobank Energy and Resources Ltd. (PBG) - PetroBakken Energy Ltd. (PBN) - Corporate Reorganization
2012 November 2, 2012 145-12 New approved participant - BBS Securities Inc.
2012 November 2, 2012 144-12 Resignation of an approved participant - Union Securities Ltd.
2012 November 2, 2012 143-12 Resignation of an approved participant - BMO Nesbitt Burns Ltée/Ltd.
2012 October 30, 2012 142-12 Final Contract Adjustment - ERRATUM Guide Exploration Ltd. (GO) - Plan of Arrangement (Follow-Up)
2012 October 30, 2012 141-12 Request for Comments - Addition of Three-Month Canadian Bankers' Acceptance Futures Contracts Quarterlies Five Through Eight and Nine Through Twelve to the List of Securities and Derivative Instruments Eligible for Block Trades
2012 October 29, 2012 140-12 Final Contract Adjustment Guide Exploration Ltd. (GO) - Plan of Arrangement (Follow-Up)
2012 October 25, 2012 139-12 Final Contract Adjustment Guide Exploration Ltd. (GO) Plan of Arrangement
2012 October 24, 2012 138-12 Self-certification - Implementation of Bulk Quote Management - Amendments to the Procedures for the Cancellation of Trades and Addition of Articles 6400 and 6401 to Rule Six
2012 October 23, 2012 137-12 New Equity Options Classes
2012 October 22, 2012 136-12 2012-2013 Holidays and Early Closings
2012 October 17, 2012 135-12 Anticipated Contract Adjustment Celtic Exploration Ltd. (CLT) - Plan of Arrangement
2012 October 16, 2012 134-12 Addendum - Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2012 October 10, 2012 133-12 Request for Comments - Modification to the Delivery Standards - 30-Year Government of Canada Bond Futures Contract (LGB)
2012 October 9, 2012 132-12 Brockhouse & Cooper Inc. - Change of name
2012 October 9, 2012 131-12 Position Limits - Futures contracts and Options on Futures contracts
2012 October 3, 2012 130-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 October 3, 2012 129-12 Request for Comments - Implementation of Inter-Group Contingent Trades for Futures and Options on Futures
2012 October 2, 2012 128-12 Circuit Breaker Policy (T-3) 2012 Fourth Quarter Levels of Intervention
2012 October 2, 2012 127-12 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2012 October 1, 2012 126-12 Request for Comments - Rules Regarding the Special Committee - Regulatory Division - Amendments to Article 3 - Composition of the Special Committee
2012 September 26, 2012 125-12 New Equity Options Classes
2012 September 24, 2012 124-12 Final Contract Adjustment BMO Dow Jones Canada Titans 60 index ETF - (ZCN) Name and CUSIP Change
2012 September 24, 2012 123-12 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - RBC Dominion Securities Inc.
2012 September 18, 2012 122-12 Final Contract Adjustment Catamaran Corporation (CCT) Stock Split
2012 September 18, 2012 121-12 Anticipated Contract Adjustment Vero Energy Inc. (VRO) Plan of Arrangement
2012 September 17, 2012 120-12 Final Contract Adjustment TMX Group Inc. (X) - Plan of Arrangement
2012 September 13, 2012 119-12 Anticipated Contract Adjustment - Garda World Security Corporation (GW)- Plan of Arrangement
2012 September 10, 2012 118-12 Position Limits - Futures Contracts and Options on Futures Contracts
2012 September 6, 2012 117-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 September 5, 2012 116-12 Final Contract Adjustment - ERRATUM Extorre Gold Mines Limited Inc. (XG)- Plan of Arrangement (Follow-Up)
2012 August 27, 2012 115-12 Final Contract Adjustment Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement - (Follow-up)
2012 August 23, 2012 114-12 Final Contract Adjustment Extorre Gold Mines Limited Inc. (XG) - Plan of Arrangement
2012 August 7, 2012 113-12 Final Contract Adjustment- Ivanhoe Mines Ltd. (IVN)- NAME, SYMBOL AND CUSIP CHANGE
2012 August 6, 2012 112-12 Position Limits - Futures contracts and Options on Futures contracts
2012 August 3, 2012 111-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 July 31, 2012 110-12 Anticipated Contract Adjustment Progress Energy Resources Corp. (PRQ) - Plan of Arrangement
2012 July 31, 2012 109-12 Anticipated Contract Adjustment Nexen Inc. (NXY) - Plan of Arrangement
2012 July 20, 2012 108-12 Anticipated Contract Adjustment TMX Group Inc. (X) Plan of Arrangement
2012 July 17, 2012 107-12 Additional Strategy Types for User Defined Strategies Involving Futures Contracts and Options on Futures Contracts
2012 July 16, 2012 106-12 Self-certification - Requirements relative to supervision - Amendments to article 4002
2012 July 12, 2012 105-12 Final Contract Adjustment - Follow Up Ivanhoe Mines Ltd. (IVN) Rights Expiration
2012 July 10, 2012 104-12 Final Contract Adjustment SXC Health Solutions Corp. (SXC) Name, Symbol and CUSIP Change
2012 July 9, 2012 103-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 July 6, 2012 102-12 Position Limits - Stock and trust units options - Exchange traded funds units options - Index options - Currency options
2012 July 6, 2012 101-12 Position Limits - Futures contracts and Options on Futures Contracts
2012 July 5, 2012 100-12 Circuit Breaker Policy (T-3) 2012 Third Quarter Levels of Intervention
2012 July 4, 2012 099-12 Anticipated Contract Adjustment - Extorre Gold Mines Limited Inc.(XG) - Plan of Arrangement
2012 July 4, 2012 098-12 Final Contract Adjustment - Extendicare Real Estate Investment Trust (EXE.UN) - Plan of Arrangement
2012 June 28, 2012 097-12 Amendments to the List of Fees of Bourse de Montréal Inc.
2012 June 27, 2012 096-12 EWT, LLC - Change of Name
2012 June 18, 2012 095-12 Final Contract Adjustment - ERRATUM Neo Material Technologies Inc.(NEM) Plan of Arrangement (Follow-Up)
2012 June 15, 2012 094-12 Final Contract Adjustment - Neo Material Technologies Inc.(NEM) Plan of Arrangement (Follow-Up)
2012 June 15, 2012 093-12 Final Contract Adjustment - MI Developments Inc. (MIM) - NAME, SYMBOL AND CUSIP CHANGE
2012 June 13, 2012 092-12 Erratum - Final Contract Adjustment Ivanhoe Mines Ltd. (IVN) Rights Offering
2012 June 13, 2012 091-12 Final Contract Adjustment Neo Material Technologies Inc. (NEM) - Plan of Arrangement
2012 June 12, 2012 090-12 Final Contract Adjustment Ivanhoe Mines Ltd. (IVN) Rights Offering
2012 June 6, 2012 089-12 Position Limits - Futures Contracts and Options on Futures Contracts
2012 June 6, 2012 088-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 June 4, 2012 087-12 Final Contract Adjustment- NAL Energy Corporation (NAE)- Plan of Arrangement
2012 May 31, 2012 086-12 Resignation of a foreign approved participant - Tyler Capital Limited; and New foreign approved participant - Tyler Capital Partners LLP
2012 May 31, 2012 085-12 New Fee Rebate Program on the S&P/TSX 60 Index Options Contract
2012 May 31, 2012 084-12 Amendments to the List of Fees - S&P/TSX 60 Index Options (SXO)
2012 May 31, 2012 083-12 S&P/TSX 60 Index Options - Amendment to the Contract Mutiplier
2012 May 31, 2012 082-12 S&P/TSX 60 Index Options (SXO)- Contract Size Amendment
2012 May 31, 2012 081-12 New Foreign Approved Participant Aardvark Trading LLC
2012 May 31, 2012 080-12 Resignation of a Foreign Approved Participant Schneider Trading Associates Limited
2012 May 31, 2012 079-12 Resignation of an Approved Participant NCP Northland Capital Partners Inc.
2012 May 31, 2012 078-12 Self-Certification - Reduction of the S&P/TSX 60 Index Option (SXO) Contract Size - Amendments to Articles 6651, 6654, 6773 and 6775 of Rule Six
2012 May 29, 2012 077-12 Final Contract Adjustment - Guide Exploration Ltd. (GO) - ISIN AND CUSIP CHANGE
2012 May 28, 2012 076-12 Disciplinary Decision - Offer of Settlement - Citigroup Global Markets Inc.
2012 May 23, 2012 075-12 New Equity and Index Fund Options Classes
2012 May 14, 2012 074-12 Final Contract Adjustment Athabasca Oil Sands Corp. (ATH) - Name and CUSIP Change
2012 May 10, 2012 073-12 Acceptable Strategy Types for User Defined Strategies Involving Futures Contracts And Options on Futures Contracts
2012 May 9, 2012 072-12 Self-Certification - Implementation of User-Defined Strategies Involving Futures Contracts and Options on Futures Contracts
2012 May 9, 2012 071-12 Anticipated Contract Adjustment Extendicare Real Estate Investment Trust (EXE.UN) - Plan of Arrangement
2012 May 9, 2012 070-12 Re-Introduction of an Option Class NovaGold Resources Inc. ( NG ) - Re-Listing of New Series
2012 May 8, 2012 069-12 Final Contract Adjustment - Groupe Aeroplan Inc. (AIM) - Name and CUSIP Change
2012 May 4, 2012 068-12 Erratum - Position limits - Futures contracts and options on futures contracts
2012 May 4, 2012 067-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 May 3, 2012 066-12 Final Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bear Plus Exchange Traded Fund(HND) - Unit Split
2012 May 3, 2012 065-12 Position limits - Futures contracts and Options on Futures contracts
2012 May 2, 2012 064-12 Final Contract Adjustment NovaGold Resources Inc. (NG) - Plan of Arrangement (Follow-Up)
2012 April 23, 2012 063-12 Final Contract Adjustment NovaGold Resources Inc. (NG) Plan of Arrangement
2012 April 18, 2012 062-12 New foreign approved participant - Jump Trading Futures, LLC
2012 April 13, 2012 061-12 Final Contract Adjustment Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU2) - Reverse Unit Split (Follow-Up)
2012 April 13, 2012 060-12 Re-Introduction of an ETF Option Class Horizons BetaPro NYMEX Natural Gas Bull Plus ETF (HNU)
2012 April 12, 2012 059-12 Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
2012 April 9, 2012 058-12 Final Contract Adjustment Provident Energy Ltd. (PVE) - Plan of Arrangement (Follow-Up)
2012 April 9, 2012 057-12 Position Limits - Stock and Trust Units Options, Exchange Traded Funds Units Options, Index Options and Currency Options
2012 April 9, 2012 056-12 Position Limits - Futures Contracts and Options on Futures Contracts
2012 April 5, 2012 055-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 April 4, 2012 054-12 Final Contract Adjustment - Provident Energy Ltd. (PVE) - Plan of Arrangement
2012 April 4, 2012 053-12 Request for Comments - Implementation of Bulk Quote Management - Amendments to the Procedures for the Cancellation of Trades and Addition of Articles 6400 and 6401 to Rule Six
2012 April 4, 2012 052-12 Final Contract Adjustment - Minefinders Corporation Ltd. (MFL)- Plan of Arrangement
2012 April 3, 2012 051-12 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Offer of Settlement - Citigroup Global Markets Inc.
2012 April 3, 2012 050-12 Circuit Breaker Policy (T-3) - 2012 Second Quarter Levels of Intervention
2012 March 29, 2012 049-12 Selfcertification - Amendments to Equity and Exchange Traded Funds Options Specifications - Opening of Regular Trading Session
2012 March 29, 2012 048-12 Amendments to the List of Fees of Bourse de Montréal Inc.
2012 March 28, 2012 047-12 CUSIP and Name Change on ETF Options
2012 March 27, 2012 046-12 New Equity Option Class
2012 March 27, 2012 045-12 Anticipated Contract Adjustment - NAL Energy Corporation (NAE) - Plan of Arrangement
2012 March 21, 2012 044-12 Anticipated Contract Adjustment Astral Media Inc. (ACM.A) - Plan of Arrangement
2012 March 21, 2012 043-12 Anticipated Contract Adjustment - Viterra Inc. (VT) - Plan of Arrangement
2012 March 16, 2012 042-12 Final Contract Adjustment - Anvil Mining Limited (AVM)- Acquisition
2012 March 15, 2012 041-12 Self-Certification - Procedures for the Execution of Block Trades - Transmitting Block Trade Reporting Forms via the Bourse de Montréal Website
2012 March 15, 2012 040-12 Final Contract Adjustment Vero Energy Inc. (VRO) - Special Cash Dividend
2012 March 14, 2012 039-12 Self-Certification - Amendments to the Procedures for the Cancellation of Trades and Amendments to Article 6303 of Rule Six of the Bourse de Montréal
2012 March 13, 2012 038-12 Anticipated Contract Adjustment Neo Material Technologies Inc. (NEM)- Plan of Arrangement
2012 March 9, 2012 037-12 Anticipated Contract Adjustment Vero Energy Inc. (VRO) - Special Cash Dividend
2012 March 7, 2012 036-12 Position limits - Futures contracts and options on futures contracts
2012 March 6, 2012 035-12 Final Contract Adjustment Quadra FNX Mining Ltd. (QUX) - Plan of Arrangement
2012 March 5, 2012 034-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 March 5, 2012 033-12 Final Contract Adjustment Grande Cache Coal Corporation (GCE)- Plan of Arrangement
2012 March 1, 2012 032-12 Update New Product Listing of Futures Contracts on Canadian Shares
2012 February 29, 2012 031-12 Modification of the Minimum Quotation Spread for Equity, Index Participation Unit and Index Options Contracts - Expansion of the Penny Pilot Program and Replacement of Classes
2012 February 29, 2012 030-12 New foreign approved participant - Tyler Capital Limited
2012 February 29, 2012 029-12 Resignation of a foreign approved participant - Allston Trading LLC
2012 February 29, 2012 028-12 New product - Listing of Futures Contracts on Canadian Shares - Margin requirements and position limits
2012 February 28, 2012 027-12 New Product Listing of Futures Contracts on Canadian Shares
2012 February 27, 2012 026-12 Final Contract Adjustment European Goldfields Limited (EGU) Plan of Arrangement
2012 February 24, 2012 025-12 Erratum New Product Listing of Overnight Index Swap Futures (OIS) Contracts
2012 February 23, 2012 024-12 Update: New overnight index swap future contract (OIS) - Margin requirement, position limits and position reporting threshold
2012 February 22, 2012 023-12 Anticipated Contract Adjustment NovaGold Resources Inc. (NG) Plan of Arrangement
2012 February 22, 2012 022-12 New overnight index swap future contract (OIS) - Margin requirements, position limits and position reporting threshold
2012 February 21, 2012 021-12 Selfcertification - Futures Contracts on Canadian Shares
2012 February 21, 2012 020-12 New Equity Options Classes
2012 February 20, 2012 019-12 Request for Comments - Continuous Trading
2012 February 16, 2012 018-12 Listing Of Overnight Index Swap Futures (OIS) Contracts
2012 February 15, 2012 017-12 Selfcertification - New Product - Overnight Index Swap Futures Contracts (OIS)
2012 February 8, 2012 016-12 Position limits - Futures contracts and options on futures contracts
2012 February 3, 2012 015-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2012 February 2, 2012 014-12 Final Contract Adjustment Metro Inc. (MRU) Underlying Change
2012 January 25, 2012 013-12 Resignation of a foreign approved participant - Limestone Trading LLC
2012 January 25, 2012 012-12 Resignation of a foreign approved participant - Tower Research Capital Europe LLC
2012 January 25, 2012 011-12 Position limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2012 January 24, 2012 010-12 New Equity Options Classes
2012 January 24, 2012 009-12 Anticipated Contract Adjustment - Minefinders Corporation Ltd. (MFL)- Plan of Arrangement
2012 January 17, 2012 008-12 Erratum - Request for comments - Obligations pertaining to supervision - Amendments to article 4002
2012 January 17, 2012 007-12 Anticipated Contract Adjustment - Provident Energy Ltd. (PVE)- Plan of Arrangement
2012 January 17, 2012 006-12 Extension of the Period of Request for Comments
2012 January 16, 2012 005-12 Position limits - Futures contracts and options on futures contracts
2012 January 16, 2012 004-12 Request for comments - Obligations pertaining to supervision - Amendments to article 4002
2012 January 11, 2012 003-12 Positions reports submission: Futures contracts and options on futures contracts ("A" Report)
2012 January 6, 2012 002-12 Circuit Breaker Policy (T-3)- 2012 First Quarter Levels of Intervention
2012 January 5, 2012 001-12 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2011 December 28, 2011 190-11 FINAL CONTRACT ADJUSTMENT Daylight Energy Ltd. (DAY)- Plan of Arrangement
2011 December 21, 2011 189-11 Request for Comments - Futures Contracts on Canadian Shares - Amendments to the Procedures of Bourse de Montréal Inc.
2011 December 20, 2011 188-11 Anticipated Contract Adjustment European Goldfields Limited (EGU) - Plan of Arrangement
2011 December 20, 2011 187-11 Request for Comments - Reduction of the S&P/TSX 60 Index Option (SXO) Contract Size - Amendments to Articles 6651, 6654, 6773 and 6775 of Rule Six
2011 December 20, 2011 186-11 Request for Comments - Amendments to Position Limits for Equity Options and Options on Exchange Traded Funds - Amendments to Article 6651 of Rule Six
2011 December 8, 2011 185-11 Position Limits - Futures contracts and options on futures contracts
2011 December 7, 2011 184-11 Anticipated Contract Adjustment - Quadra FNX Mining Ltd. (QUX) - Plan of Arrangement
2011 December 1, 2011 183-11 2012 List of Fees of Bourse de Montréal Inc.
2011 November 25, 2011 182-11 Re-Introduction of an Option Class Horizons BetaPro Nymex Natural Gas Bull Plus ETF - HNU Re-Listing of New Series
2011 November 24, 2011 181-11 Erratum: Notice on conversion factors used for Five-Year Government of Canada Bond futures (CGF)
2011 November 23, 2011 180-11 Erratum: Notice on conversion factors used for 2-Year Government of Canada Bond futures (CGZ)
2011 November 22, 2011 179-11 Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU)- Reverse Unit Split
2011 November 18, 2011 178-11 Update on the Suspension of MF Global Canada Co.
2011 November 18, 2011 177-11 New Equity Options Classes
2011 November 9, 2011 176-11 Final Contract Adjustment Genworth MI Canada Inc. (MIC) - Special Cash Dividend
2011 November 9, 2011 175-11 Update - MF Global Canada Co.
2011 November 9, 2011 174-11 Anticipated Contract Adjustment Grande Cache Coal Corporation (GCE) Plan of Arrangement
2011 November 8, 2011 173-11 Disciplinary decision - Offer of Settlement - Desjardins Securities Inc.
2011 November 8, 2011 172-11 Erratum - Final Contract Adjustment Open Range Energy Corp. (ONR) - Plan of Arrangement
2011 November 7, 2011 171-11 Final Contract Adjustment Open Range Energy Corp. (ONR) Plan of Arrangement (Follow-Up)
2011 November 3, 2011 170-11 Final Contract Adjustment Galleon Energy Inc. (GO) - Name and Cusip Change
2011 November 3, 2011 169-11 Position limits - futures contracts and options on futures contracts
2011 November 3, 2011 168-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 November 3, 2011 167-11 Final Contract Adjustment Open Range Energy Corp. (ONR) - Plan of Arrangement
2011 November 2, 2011 166-11 Suspension of an approved participant - MF Global Canada Co.
2011 November 2, 2011 165-11 Request for comments - Amendments to the Procedures for the Execution of Block Trades - Transmitting Block Trade Reporting Forms via the Bourse de Montréal Website
2011 October 31, 2011 164-11 2011-2012 Holidays and Early Closings
2011 October 25, 2011 163-11 New Equity Options Classes
2011 October 19, 2011 162-11 New foreign approved participant - Jump Trading International Limited
2011 October 19, 2011 161-11 Anticipated Contract Adjustment Open Range Energy Corp. (ONR) - Plan of Arrangement
2011 October 14, 2011 160-11 Update - Position limits: Stock and trust units options, exchange traded funds units options, index options, currency options
2011 October 13, 2011 159-11 Anticipated Contract Adjustment Daylight Energy Ltd. (DAY) Acquisition
2011 October 13, 2011 158-11 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. -- Offer of Settlement - Desjardins Securities Inc.
2011 October 11, 2011 157-11 Request for Comments - Amendments to Equity and Exchange Traded Fund Options Specifications
2011 October 11, 2011 156-11 Request for Comments - Amendments to the Procedures for the Cancellation of Trades and to Article 6303 of Rules
2011 October 11, 2011 155-11 Request for Comments - Implementation of Committed Orders
2011 October 7, 2011 154-11 ERRATUM - Final Contract Adjustment Groupe Aeroplan Inc. (AER) Symbol Change
2011 October 6, 2011 153-11 Final Contract Adjustment Groupe Aeroplan Inc. (AER) Name and Symbol Change
2011 October 6, 2011 152-11 Position Limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2011 October 6, 2011 151-11 Position Limits - Futures contracts and options on futures contracts
2011 October 6, 2011 150-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 October 5, 2011 149-11 Acceptable Strategy Types for Equity Option User Defined Strategies
2011 October 5, 2011 148-11 Request for Comments - Implementation of User-Defined Strategies Involving Futures Contracts and Options on Futures Contracts
2011 October 4, 2011 147-11 Circuit Breaker Policy (T-3)- 2011 Fourth Quarter Levels of Intervention
2011 October 3, 2011 146-11 Anticipated Contract Adjustment Anvil Mining Limited (AVM) - Acquisition
2011 September 27, 2011 145-11 New Equity Options Classes
2011 September 19, 2011 144-11 Request for candidates - Disciplinary Committee - Bourse de Montréal Inc.
2011 September 15, 2011 143-11 Amendments to the List of Fees of Bourse de Montréal Inc.
2011 September 12, 2011 142-11 Position Limits - Futures contracts and options on futures contracts
2011 September 8, 2011 141-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 September 7, 2011 140-11 Disciplinary Decision - Goldman Sachs International
2011 September 6, 2011 139-11 Final Contract Adjustment - Breakwater Resources Ltd. (BWR) - Acquisition
2011 September 2, 2011 138-11 Self-certification - Actualization of Rule Five - Miscellaneous Rules
2011 September 2, 2011 137-11 Self-certification - Updating of Rule Four - Investigations, Discipline and Appeals and Updating of the Rules regarding the Special Committee - Regulatory Division
2011 September 1, 2011 136-11 Withdrawal of the anonymous complaint form
2011 August 31, 2011 135-11 New foreign approved participant - Citadel Securities LLC
2011 August 31, 2011 134-11 Resignation of a foreign approved participant - Gelber Group, LLC
2011 August 18, 2011 133-11 Final Contract Adjustment Greystar Resources Ltd. (GSL) - Name, Symbol and CUSIP Change
2011 August 17, 2011 132-11 Final Contract Adjustment Breakwater Resources Ltd. (BWR) - Special Cash Dividend
2011 August 10, 2011 131-11 Launch of gatekeeper report
2011 August 8, 2011 130-11 New Equity Options Classes
2011 August 5, 2011 129-11 Final Contract Adjustment First Quantum Minerals Ltd. (FM) - Stock Split
2011 August 5, 2011 128-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 August 4, 2011 127-11 Position Limits - futures contracts and options on futures contracts
2011 July 20, 2011 126-11 Final Contract Adjustment Equinox Minerals Limited (EQN) - Acquisition
2011 July 14, 2011 125-11 Large Open Position Reporting project (LOPR tool)
2011 July 13, 2011 124-11 New foreign approved participant - Spire Europe Limited
2011 July 13, 2011 123-11 Resignation of an approved participant - Industrielle Alliance Securities Inc.
2011 July 11, 2011 122-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGZ and CGZ futures contracts
2011 July 11, 2011 121-11 Update - Position Limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2011 July 7, 2011 120-11 Prudential Bache Commodities, LLC - Change of name
2011 July 7, 2011 119-11 Position Limits : Stock and trust units options, exchange traded funds units options, index options, currency options
2011 July 6, 2011 118-11 Positions Limits - Futures contracts and options on futures contracts
2011 July 5, 2011 117-11 Circuit Breaker Policy (T-3) 2011 Third Quarter Levels of Intervention
2011 June 30, 2011 116-11 Futures contracts margin requirements - New daily publication process
2011 June 29, 2011 115-11 Final Contract Adjustment lululemon athletica inc.(LLL)- Stock Split
2011 June 22, 2011 114-11 New Equity Options Classes
2011 June 22, 2011 113-11 Futures contract on Canada carbon dioxide equivalent (CO2e) units (MCX) - Final settlement price
2011 June 20, 2011 112-11 Anticipated Contract Adjustment First Quantum Minerals Ltd. - (FM) Stock Split
2011 June 17, 2011 111-11 Anticipated Contract Adjustment Breakwater Resources Ltd. - (BWR) Acquisition and Special Dividend
2011 June 16, 2011 110-11 Request for comments - Requests for exemption from position limits for bona fide hedgers and for risk management purposes - Amendments to Policy C-1
2011 June 16, 2011 109-11 Request for comments - Reports related to the accumulation of positions for derivative instruments - Amendments to articles 6654 and 14102
2011 June 16, 2011 108-11 Request for comments - Updating of Rule Five - Miscellaneous Rules
2011 June 16, 2011 107-11 Request for comments - Updating of Rule Four of the Bourse - Investigations,Discipline and Appeals; Updating of the Rules regarding the Special Committee - Regulatory Division
2011 June 16, 2011 106-11 Update - List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 June 14, 2011 105-11 Amendments to the list of fees of Bourse de Montreal Inc.
2011 June 13, 2011 104-11 Final Contract Adjustment Gammon Gold Inc. - (GAM) Name, Symbol and CUSIP Change
2011 June 7, 2011 103-11 Final Contract Adjustment - Follow-up Brookfield Office Properties Inc. (BPO) - Rights Expiration
2011 June 6, 2011 102-11 Position limits - Futures contracts and options on futures contracts
2011 June 3, 2011 101-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 June 3, 2011 100-11 Futures contracts margin requirements
2011 June 3, 2011 099-11 Futures contract on Canada carbon dioxide equivalent (CO2e) units (MCX) - Delisting
2011 June 2, 2011 098-11 Final Contract Adjustment- Toromont Industries Ltd. (TIH)- Spinoff
2011 June 1, 2011 097-11 New foreign approved participant - Marex North America, LLC
2011 June 1, 2011 096-11 New foreign approved participant - Hudson River Trading Europe Ltd.
2011 June 1, 2011 095-11 Morgan Stanley & Co. Incorporated - Change of name
2011 May 25, 2011 094-11 New Long-Term Series on ETF Options
2011 May 25, 2011 093-11 New Equity Options Classes
2011 May 18, 2011 092-11 Final Contract Adjustment Enbridge Inc. (ENB) - Stock Split
2011 May 13, 2011 091-11 Final Contract Adjustment- Consolidated Thompson Iron Mines Limited (CLM)- Plan of Arrangement
2011 May 13, 2011 090-11 Re-Introduction of an Option Class Claymore Natural Gas Commodity ETF Re-Listing of New Series
2011 May 13, 2011 089-11 Self-Certification - Amendment to rule six of Bourse de Montréal Inc. for the adoption of rules applicables to market makers for futures contracts
2011 May 12, 2011 088-11 ERRATUM - Final Contract Adjustment Claymore Natural Gas Commodity ETF (GAS)- Reverse Unit Split
2011 May 11, 2011 087-11 Self-Certification - Amendment to the procedures for the cancellation of trades
2011 May 11, 2011 086-11 Erratum - Margin requirements, Mini future contract on the S&P/TSX 60 Index (SXM)
2011 May 10, 2011 085-11 Final Contract Adjustment - IESI-BFC Ltd. (BIN) - Name and CUSIP Change
2011 May 9, 2011 084-11 Final Contract Adjustment Claymore Natural Gas Commodity ETF (GAS) - Reverse Unit Split
2011 May 6, 2011 083-11 Final Contract Adjustment Brookfield Office Properties Inc. (BPO)- Rights Offering
2011 May 6, 2011 082-11 Final Contract Adjustment Brookfield Properties Corporation (BPO) - Name Change
2011 May 4, 2011 081-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 May 4, 2011 080-11 Position Limits - Futures contracts and options on futures contracts
2011 May 4, 2011 079-11 New product: Mini future contract on the S&P/TSX 60 Index (SXM)
2011 May 4, 2011 078-11 Futures contracts margin requirements
2011 May 4, 2011 077-11 Final Contract Adjustment Centerra Gold Inc. (CG) - Special Cash Dividend
2011 May 4, 2011 076-11 Anticipated Contract Adjustment Brookfield Properties Corporation (BPO) - Rights Offering
2011 May 3, 2011 075-11 New Product - Listing of Mini Futures Contracts on the S&P/TSX 60(TM) Index (SXM)
2011 May 2, 2011 074-11 Large Derivative Instruments Open Positions Reporting Tool Project(LOPR Project)- Requirements changes and clarifications
2011 May 2, 2011 073-11 Anticipated Contract Adjustment - Centerra Gold Inc. (CG) - Special Cash Dividend
2011 May 2, 2011 072-11 Selfcertification new product: mini futures contracts on the S&P/TSX 60 index Amendment to rules six and fifteen of Bourse de Montréal Inc. and Amendment to daily settlement price procedures for futures contracts and options of futures contracts of Bourse de Montréal Inc.
2011 April 26, 2011 071-11 Anticipated Contract Adjustment - Equinox Minerals Limited (EQN) - Acquisition
2011 April 26, 2011 070-11 New Equity Options Classes
2011 April 20, 2011 069-11 Resignation of an approved participant - Polar Securities Inc.
2011 April 13, 2011 068-11 Futures contracts on Canadian heavy crude oil price differential (WCH)
2011 April 8, 2011 067-11 Note to Market Participants on Procedures for the Cancellation of Trades
2011 April 8, 2011 066-11 Final Contract Adjustment - Fronteer Gold Inc. (FRG) - Plan of Arrangement
2011 April 7, 2011 065-11 Position limits: stock and trust units options, exchange traded funts units options, index options, curency options
2011 April 7, 2011 064-11 Final Contract Adjustment - Western Coal Corp. (WTN) - Plan of Arrangement (Follow-up)
2011 April 6, 2011 063-11 Request for comments - Adoption of rules applicable to market makers for futures contracts and amendment to rule six of Bourse de Montréal Inc.
2011 April 6, 2011 062-11 ERRATUM Final Contract Adjustment Western Coal Corp. (WTN) Plan of Arrangement
2011 April 6, 2011 061-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 April 6, 2011 060-11 Futures contracts margin requirements
2011 April 6, 2011 059-11 Position limits - Futures contracts and options on futures contracts
2011 April 5, 2011 058-11 Final Contract Adjustment - Western Coal Corp. (WTN) - Plan of Arrangement
2011 April 5, 2011 057-11 Anticipated Contract Adjustment - Equinox Minerals Limited (EQN)- Acquisition
2011 April 4, 2011 056-11 Circuit Breaker Policy (T-3) 2011 Second Quarter Levels of Intervention
2011 April 1, 2011 055-11 Amendments to the list of fees of Bourse de Montréal Inc.
2011 March 31, 2011 054-11 Launch of an anonymous complaint form "Whistleblower Service"
2011 March 30, 2011 053-11 Anticipated Contract Adjustment lululemon athletica inc. (LLL) Stock Split
2011 March 28, 2011 052-11 New Equity Options Classes
2011 March 25, 2011 051-11 Large derivative instruments open positions reporting tool project (LOPR tool - New web link for LOPR
2011 March 23, 2011 050-11 New Long-Term Equity, ETF and Index Options
2011 March 22, 2011 049-11 Final Contract Adjustment Ventana Gold Corp. (VEN) - Acquisition
2011 March 22, 2011 048-11 Modification of the minimum quotation spread for Equity, Index Participation Unit and Index Options contracts - Expansion of the penny pilot program and replacement of classes
2011 March 18, 2011 047-11 SELF-CERTIFICATION - IMPLEMENTATION OF INTRADAY USER DEFINED STRATEGIES
2011 March 11, 2011 046-11 Post Trade Anonymity
2011 March 9, 2011 045-11 New foreign approved participant - DV Capital, LLC
2011 March 9, 2011 044-11 New foreign approved participant - Virtu Financial BD, LLC
2011 March 9, 2011 043-11 New foreign approved participant - FCStone, LLC
2011 March 9, 2011 042-11 Resignation of a foreign approved participant - DRW Investments, LLC
2011 March 9, 2011 041-11 Resignation of an approved participant - Infinium Capital Corporation
2011 March 9, 2011 040-11 Resignation of an approved participant - W.D. Latimer Co. Limited
2011 March 3, 2011 039-11 List of deliverable Canadian government bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 March 3, 2011 038-11 Position limits - Futures contracts and options on futures contracts
2011 March 3, 2011 037-11 Futures contracts margin requirements
2011 March 1, 2011 036-11 Anticipated Contract Adjustment Lundin Mining Corporation (LUN)- Acquisition
2011 February 28, 2011 035-11 Request for Comments - New Product: Mini Futures Contracts on the S&P/TSX 60 Index
2011 February 23, 2011 034-11 New Equity and ETF Options Classes
2011 February 23, 2011 033-11 Anticipated Contract Adjustment Enbridge Inc. (ENB) Stock Split
2011 February 22, 2011 032-11 Final Contract Adjustment Anatolia Minerals Development Limited (ANO) Name, Symbol and Cusip change
2011 February 14, 2011 031-11 Launch of the Yield Curve Project - Market Makers
2011 February 8, 2011 030-11 Final Contract Adjustment Potash Corporation of Saskatchewan Inc. (POT) Stock Split
2011 February 8, 2011 029-11 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 February 8, 2011 028-11 Position limits - Futures contracts and options on futures contracts
2011 February 4, 2011 027-11 Anticipated Contract Adjustment Fronteer Gold Inc. (FRG)- Plan of Arrangement
2011 February 3, 2011 026-11 Futures contracts margin requirements
2011 January 31, 2011 025-11 New approved participant - Dundee Securities Ltd.
2011 January 31, 2011 024-11 Dundee Securities Corporation - Change of name
2011 January 28, 2011 023-11 Anticipated Contract Adjustment Potash Corporation of Saskatchewan Inc. (POT) Stock Split
2011 January 26, 2011 022-11 Resignation of a foreign approved participant - Newedge USA, LLC
2011 January 25, 2011 021-11 New Equity Options Classes
2011 January 19, 2011 020-11 Large derivative instruments open positions reporting tool project (LOPR tool) - Clarification
2011 January 19, 2011 019-11 Final Contract Adjustment - Follow-Up Ivanhoe Mines Ltd. - IVN Rights Expiration
2011 January 18, 2011 018-11 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Desjardins Securities Inc. - Adjournment
2011 January 17, 2011 017-11 Reminder to all approved participants of the Bourse - Role of the Regulatory Division
2011 January 14, 2011 016-11 Technical documents: LOPR SAIL Business Design Guide and LOPR SAIL Specifications Guide
2011 January 14, 2011 015-11 Anticipated Contract Adjustment Inmet Mining Corporation (IMN) - Lundin Mining Corporation (LUN) Plan of Arrangement
2011 January 13, 2011 014-11 Anticipated Contract Adjustment Consolidated Thompson Iron Mines Limited - CLM Plan of Arrangement
2011 January 11, 2011 013-11 Position limits - Stock and trust units options, exchange traded funds units options, index options and curency options
2011 January 10, 2011 012-11 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2011 January 10, 2011 011-11 Position limits - Futures contracts and options on futures contracts
2011 January 7, 2011 010-11 Final Contract Adjustment Penn West Energy Trust (PWT.UN) Plan of Arrangement
2011 January 7, 2011 009-11 Final Contract Adjustment Pengrowth EnergyTrust (PGF.UN) Plan of Arrangement
2011 January 6, 2011 008-11 Final Contract Adjustment George Weston Limited - (WN) Special Cash Dividend
2011 January 6, 2011 007-11 Futures contracts margin requirements
2011 January 6, 2011 006-11 Re-Introduction of an Option Class Petrobank Energy and Resources Ltd. Re-Listing of New Series - PBG
2011 January 5, 2011 005-11 Final Contract Adjustment Enerplus Resources Fund - (ERF.UN) Plan of Arrangement
2011 January 5, 2011 004-11 Final Contract Adjustment Canadian Oil Sands Trust - (COS.UN) Plan of Arrangement
2011 January 5, 2011 003-11 Final Contract Adjustment ARC Energy Trust - (AET.UN) Plan of Arrangement
2011 January 5, 2011 002-11 Final Contract Adjustment NAL Oil & Gas Trust - (NAE.UN) Plan of Arrangement
2011 January 5, 2011 001-11 Circuit Breaker Policy (T-3) 2011 First Quarter Levels of Intervention
2010 December 29, 2010 172-10 Final Contract Adjustment Petrobank Energy and Resources Ltd. (PBG) - Petrominerales Ltd. (PMG) Plan of arrangement (follow-up)
2010 December 24, 2010 171-10 Final Contract Adjustment - Petrobank Energy and Resources Ltd. ( PBG ) - Petrominerales Ltd. ( PMG ) - Corporate Reorganization
2010 December 24, 2010 170-10 Final Contract Adjustment - Ivanhoe Mines Ltd. ( IVN ) - Rights Offering
2010 December 21, 2010 169-10 Anticipated Contract Adjustment - Ivanhoe Mines Ltd. (IVN) - Rights Offering
2010 December 17, 2010 168-10 Anticipated Contract Adjustment George Weston Limited (WN) Special Cash Dividend
2010 December 14, 2010 167-10 Hearing before the Disciplinary Committee of Bourse de Montréal Inc. - Desjardins Securities Inc.
2010 December 10, 2010 166-10 Contract Adjustment Uranium One Inc. - Listing of New Series
2010 December 8, 2010 165-10 Position limits - Futures contracts and options on futures contracts
2010 December 8, 2010 164-10 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 December 7, 2010 163-10 Futures contracts margin requirements
2010 December 6, 2010 162-10 Final Contract Adjustment - Uranium One Inc. (UUU) Special Cash Dividend
2010 December 1, 2010 161-10 2011 List of Fees of Bourse de Montréal Inc.
2010 November 29, 2010 160-10 New Equity Options Classes
2010 November 24, 2010 159-10 Anticipated Contract Adjustment - Western Coal Corp. (WTN) - Acquisition
2010 November 22, 2010 158-10 Amendments to article 5.3 of the Procedures for the cancellation of trades
2010 November 19, 2010 157-10 SAM Authorized Persons - Obligation to transmit a uniform termination notice to the Exchange
2010 November 19, 2010 156-10 Anticipated Contract Adjustment Ventana Gold Corp. (VEN) - Acquisition
2010 November 15, 2010 155-10 Erratum - List of Deliverable Canadian Government Bond Issues for the Five-Year Government of Canada Bond futures contract (CGF)
2010 November 12, 2010 154-10 Contract Adjustment - Valeant Pharmaceuticals International, Inc. - Listing of New Series
2010 November 11, 2010 153-10 Anticipated Contract Adjustment Toromont Industries Ltd. (TIH) - Spinoff
2010 November 11, 2010 152-10 Contract Adjustment - Horizons BetaPro NYMEX Natural Gas Bull Plus ETF Listing of New Series
2010 November 10, 2010 151-10 Final Contract Adjustment Magna International Inc. (MG) - Stock Split
2010 November 9, 2010 150-10 Final Contract Adjustment Valeant Pharmaceuticals International, Inc. (VRX) Special Cash Dividend
2010 November 9, 2010 149-10 Anticipated Contract Adjustment Valeant Pharmaceuticals International, Inc. (VRX) Special cash dividend
2010 November 8, 2010 148-10 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ futures contracts
2010 November 8, 2010 147-10 Position limits - Futures contracts and options on futures contracts
2010 November 5, 2010 146-10 Anticipated Contract Adjustment Petrobank Energy and Resources Ltd. (PBG) - Petrominerales Ltd. (PMG) - Corporate reorganization
2010 November 5, 2010 145-10 Final Contract Adjustment - Horizons BetaPro NYMEX® Natural Gas Bull Plus ETF (HNU) - Reverse Unit Split
2010 November 4, 2010 144-10 Anticipated contract adjustment - ARC Energy Trust (AET.UN) - Plan of arrangement
2010 November 4, 2010 143-10 Futures contracts margin requirements
2010 November 3, 2010 142-10 Self-Certification - Modification to the Delivery Standards - Five-Year Government of Canada Bond Futures Contract (CGF) - Amendment to Article 15613 of Rule 15 of Bourse de Montréal Inc.
2010 October 29, 2010 141-10 2010-2011 Holidays and Early Closings
2010 October 29, 2010 140-10 Final contract adjustment MDS Inc. (MDS) - Name, Symbol and Cusip change
2010 October 29, 2010 139-10 Final contract adjustment Yellow Pages Income Fund (YLO.UN) - Plan of arrangement
2010 October 26, 2010 138-10 New Equity Options Classes
2010 October 22, 2010 137-10 Anticipated contract adjustment - Pengrowth Energy Trust (PGF.UN) - Plan of arrangement
2010 October 22, 2010 136-10 Anticipated contract adjustment - NAL Oil & Gas Trust (NAE.UN) - Plan of arrangement
2010 October 19, 2010 135-10 Position limits - Stock and trust units options, exchange traded funds units options, index options and currency options
2010 October 18, 2010 134-10 2010 Amended List of Fees of Bourse de Montréal Inc.
2010 October 15, 2010 133-10 Request for comments - Implementation of Intraday User Defined Strategies - Amendment to the Procedures for the Cancellation of Trades and Introduction of New Procedures Applicable to the Execution of Strategies Involving Options
2010 October 12, 2010 132-10 Position limits - Futures contracts and options on futures contracts
2010 October 7, 2010 131-10 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 October 5, 2010 130-10 Futures contracts margin requirements
2010 October 4, 2010 129-10 Circuit breaker policy (T-3) - 2010 Fourth quarter levels of intervention
2010 October 1, 2010 128.1 Anticipated contract adjustment - Enerplus Resources Fund (ERF.UN) - Corporate Reorganization
2010 September 30, 2010 127-10 Request for comments - Amendment to Appendix 1 of the Procedures for the execution and reporting of Exchange for Physical (EFP), Exchange for Risk (EFR) and substitution of OTC Derivative Instruments for Futures Contracts Transactions
2010 September 29, 2010 126-10 Self-certification - Modifications to the Specifications - Thirty-Year Government of Canada Bond Futures Contract (LGB) - Amendments to Article 6801 of Rule Six and Article 15613 of Rule Fifteen of Bourse de Montréal Inc.
2010 September 29, 2010 125-10 Self-certification - Amendment to Procedures applicable to the execution of Riskless Basis Cross Transactions of Futures Contracts on S&P/TSX
2010 September 27, 2010 124-10 Amendments to the fees charged to the approved participants by Bourse de Montréal Inc.
2010 September 27, 2010 123-10 Final contract adjustment - Biovail Corporation (BVF) - Name, symbol and cusip change
2010 September 22, 2010 122-10 Final contract adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of arrangement (follow-up)
2010 September 20, 2010 121-10 FINAL CONTRACT ADJUSTMENT Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) Plan of arrangement
2010 September 20, 2010 120-10 New Equity Options Classes
2010 September 20, 2010 119-10 Application of article 14205 of the Rules of Bourse de Montréal Inc. regarding margins on day trading in derivative instruments
2010 September 13, 2010 118-10 Modification of the minimum quotation spread for equity, index participation unit and index options contracts - Expansion of the penny pilot program
2010 September 13, 2010 117-10 New foreign approved participant - EWT, LLC
2010 September 13, 2010 116-10 New foreign approved participant - Allston Trading LLC
2010 September 13, 2010 115-10 New approved participant - NCP Northland Capital Partners Inc.
2010 September 13, 2010 114-10 Position limits - Futures contracts and options on futures contracts
2010 September 13, 2010 113-10 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 September 10, 2010 112-10 Anticipated contract adjustment - Penn West Energy Trust (PWT.UN) - Plan of arrangement
2010 September 9, 2010 111-10 Corrections - Margin rates on paired positions in Three-Month Canadian Bankers' Acceptance Futures Contracts
2010 September 7, 2010 110-10 Final contract adjustment - SXC Health Solutions Corp. (SXC) - Stock Dividend
2010 September 3, 2010 109-10 Futures contracts margin requirements
2010 September 2, 2010 108-10 Anticipated contract adjustment- Follow-up - Uranium One Inc. (UUU) - Special cash dividend
2010 August 31, 2010 107-10 Final contract adjustment - Magna International Inc. (MG) Underlying change
2010 August 31, 2010 106-10 Final contract adjustment - Gerdau Ameristeel Corporation (GNA) - Plan of Arrangement
2010 August 30, 2010 105-10 Self-Certification - Modifications to the Specifications - Two-Year Government of Canada Bond Futures Contract (CGZ) - Amendments to Article 6801 of Rule Six and Articles 15613 and 15619 of Rule Fifteen of Bourse de Montréal Inc.
2010 August 24, 2010 104-10 New equity and ETF options classes
2010 August 9, 2010 103-10 Position limits - Futures contracts and options on futures contracts
2010 August 9, 2010 102-10 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 August 5, 2010 101-10 ERRATUM - Anticipated contract adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of arrangement
2010 August 4, 2010 100-10 Futures Contracts Margin Requirements
2010 August 4, 2010 099-10 Anticipated contract adjustment - Kinross Gold Corporation (K) and Red Back Mining Inc. (RBI) - Plan of arrangement
2010 July 30, 2010 098-10 New Canadian Heavy Crude Oil Differential Price Futures Contract (WCH) - Margin Requirements and Position Limits
2010 July 30, 2010 097-10 Self-Certification - Listing of a new Futures Contract based on the new NGX WCS WTI Daily Weighted Crude Oil Index and amendment to the symbol of the current Futures Contract based on the NGX WCS WTI Monthly Weighted Crude Oil Index
2010 July 27, 2010 096-10 New options classes
2010 July 19, 2010 095-10 Fortis Clearing Americas LLC - Change of name
2010 July 16, 2010 094-10 Final Contract Adjustment Jinshan Gold Mines Inc. (JIN) Name, Symbol and Cusip Change
2010 July 15, 2010 093-10 Position limits - Stock and trust units options, exchange traded funds units options, index options and currency options
2010 July 14, 2010 092-10 Circuit Breaker Policy (T-3) 2010 Third quarter levels of intervention
2010 July 8, 2010 091-10 Position limits - Futures contracts and options on futures contracts
2010 July 8, 2010 090-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 July 6, 2010 089-10 Futures contracts margin requirements
2010 June 30, 2010 088-10 Amendments to Procedures applicable to the Execution of Block Trades in order to lower the threshold level for Block Trades on Ten-Year Government of Canada Bond Futures (CGB)
2010 June 30, 2010 087-10 Anticipated contract adjustment - Uranium One Inc. (UUU) - Special cash dividend
2010 June 29, 2010 086-10 New options classes
2010 June 28, 2010 085-10 Anticipated contract adjustment - Biovail Corporation (BVF) - Merger
2010 June 22, 2010 084-10 Modification of the minimum quotation spread for equity, index participation unit and index options contracts - Expansion of the penny pilot program
2010 June 16, 2010 083-10 Contract Adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus Fund ETF - Listing of New Series
2010 June 15, 2010 082-10 New Canadian Heavy Crude Oil Differential Price Futures Contract (WCH) - Margin requirements and position limits
2010 June 11, 2010 081-10 Resignation of an approved participant - Versant Partners Inc.
2010 June 11, 2010 080-10 New product - Listing of futures contracts on canadian heavy crude oil price differential (WCH)
2010 June 7, 2010 079-10 Anticipated contract adjustment - Gerdau Ameristeel Corporation (GNA) - Plan of Arrangement
2010 June 7, 2010 078-10 Position limits - Futures contracts and options on futures contracts
2010 June 7, 2010 077-10 List of Deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 June 4, 2010 076-10 Futures contracts margin requirements
2010 June 2, 2010 075-10 Final contract adjustment - Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF (HGD) - Reverse Unit Split
2010 June 2, 2010 074-10 Final contract adjustment - Precision Drilling Trust (PD.UN) - Plan of Arrangement
2010 May 28, 2010 073-10 Self-Certification - Amendment of increments related to Government of Canada Bond Futures Contracts and Options on Government of Canada Bond Futures for purposes of calculating the No Cancel Range - Amendments to Article 5.3 of the Procedures for the Cancellation of Trades
2010 May 28, 2010 072-10 Erratum - Final contract adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX) - Plan of Arrangement
2010 May 27, 2010 071-10 Final contract adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX) - Plan of Arrangement
2010 May 20, 2010 070-10 Self-Certification - Introduction of Options on Three-Month Canadian Bankers' Acceptance Futures in the Mid-Portion of the Yield Curve (Mid-Curve) - Amendments to Procedures of Bourse de Montréal Inc.
2010 May 19, 2010 069-10 Self-Certification - Modifications to the Terms of Position Limits for Options - Amendments to Articles 6651, 6652 and 6653 Rule Six of Bourse de Montréal Inc.
2010 May 19, 2010 068-10 Options on three-month Canadian Bankers' Acceptance Futures - Additional series with diverse contract specifications mid-curve
2010 May 19, 2010 067-10 New equity and ETF options classes
2010 May 14, 2010 066-10 Self-Certification - New Product - Listing of Futures Contracts on Canadian Crude Oil (WCH) - Amendments to Articles 6801, 6802, 6803, 6804, 6807, 6808 and 6812 of Rule 6 of Bourse de Montréal and Amendments to Article 15001 and addition of Articles 15996.1 to 15997.5 of Rule 15 of Bourse de Montréal - Amendments to Procedures
2010 May 14, 2010 065-10 New long term equity options
2010 May 14, 2010 064-10 Final contract adjustment - Canadian Natural Resources Limited (CNQ) - Stock Split
2010 May 14, 2010 063-10 Disciplinary decision - Daniel Cutts
2010 May 12, 2010 062-10 Name and cusip change Fronteer Development Group Inc.
2010 May 12, 2010 061-10 Symbology consolidation equity and etf options
2010 May 11, 2010 060-10 Canaccord Financial Ltd. - Change of name
2010 May 7, 2010 059-10 Resignation of a foreign approved participant - MF Global UK Limited
2010 May 7, 2010 058-10 New foreign approved participant - GETCO, LLC
2010 May 6, 2010 057-10 Position limits, futures contracts and options on futures contracts
2010 May 6, 2010 056-10 Anticipated contract adjustment - Canadian Oil Sands Trust (COS.UN) - Plan of arrangement
2010 May 6, 2010 055-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 May 5, 2010 054-10 Futures contracts margin requirements
2010 May 5, 2010 053-10 Symbology consolidation equity options
2010 April 29, 2010 052-10 Final contract adjustment - Celtic Exploration Ltd. (CLT) - Stock Split
2010 April 28, 2010 051-10 Modification of the 2010 List of Fees of Bourse de Montréal Inc.
2010 April 27, 2010 050-10 New options classes
2010 April 26, 2010 049-10 Order identification - Average price accounts
2010 April 22, 2010 048-10 Open positions reporting thresholds for derivative instruments listed on the Bourse
2010 April 22, 2010 047-10 Automation project for large open position reporting (LOPR Project)
2010 April 22, 2010 046-10 Isin & name change on index options
2010 April 21, 2010 045-10 Symbology consolidation equity options
2010 April 14, 2010 044-10 Position limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2010 April 8, 2010 043-10 Position limits, futures contracts and options on futures contracts
2010 April 8, 2010 042-10 Request for comments - Introduction of Options on Three-Month Canadian Bankers' Acceptance Futures in the Mid-portion of the Yield Curve (Mid-Curve) - Amendments to the relevant Procedures of Bourse de Montréal Inc.
2010 April 7, 2010 041-10 Self-Certification - Amendment to Procedures for the Execution and Reporting of Exchange for Physical (EFP), Exchange for Risk (EFR) and Substitution of OTC Derivative Instruments for Futures Contracts Transactions
2010 April 7, 2010 040-10 Request for comments - Modifications to the Specifications - Two-Year Government of Canada Bond Futures Contract (CGZ) - Amendments to Articles 6801 of Rule Six and 15613 and 15619 of Rules Fifteen of Bourse de Montréal Inc.
2010 April 7, 2010 039-10 Request for comments - Amendment of increments related to Government of Canada Bond Futures Contracts and Options on Government of Canada Bond Futures for purposes of calculating the No Cancel Range - Amendments to Article 5.3 of the Procedures for the Cancellation of Trades
2010 April 7, 2010 038-10 Symbology consolidation for long term and equity options
2010 April 6, 2010 037-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 April 5, 2010 036-10 Futures contracts margin requirements
2010 April 5, 2010 035-10 Circuit Breaker Policy (T-3) - 2010 Second quarter levels of intervention
2010 April 1, 2010 034-10 Request for comments - Ten-Year Government of Canada Bond Futures (CGB): Modification of the Threshold Level for Block Trades - Amendments to Procedures applicable to the execution of Block Trades
2010 March 31, 2010 033-10 Anticipated Contract Adjustment - Canadian Natural Resources Limited (CNQ) - Stock Split -
2010 March 30, 2010 032-10 Self-certification - Actualization of Rule Three of the Bourse - Approved Participants
2010 March 29, 2010 031-10 Anticipated Contract Adjustment - Yellow Pages Income Fund (YLO.UN)- Plan of arrangement -
2010 March 26, 2010 030-10 Modification of the minimum quotation spread for equity, index participation unit and index options contracts - Expansion of the penny pilot program
2010 March 25, 2010 029-10 Anticipated Contract Adjustment - Quadra Mining Ltd. (QUA) and FNX Mining Company Inc. (FNX) - Plan of arrangement -
2010 March 24, 2010 028-10 Final contract adjustment - Athabasca Potash Inc. (API)- Plan of arrangement
2010 March 22, 2010 027-10 Actualization of Rule Seven of the Bourse - Operations of Approved Participants - Abrogation of Policies C-2, C-4, C-10, C-11, C-12, C-13 and C-15
2010 March 19, 2010 026-10 Anticipated Contract Adjustment Celtic Exploration Ltd. (CLT) Stock Split
2010 March 10, 2010 025-10 Symbology consolidation currency options, index and options on futures
2010 March 8, 2010 024-10 New options classes
2010 March 5, 2010 023-10 Position limits, futures contracts and options on futures contracts
2010 March 3, 2010 022-10 Futures contracts margin requirements
2010 March 3, 2010 021-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 February 17, 2010 020-10 New option class
2010 February 16, 2010 019-10 Anticipated contract adjustment - Precision Drilling Trust (PD.UN)-Plan of Arrangement
2010 February 10, 2010 018-10 Blackmont Capital Inc. - Change of name
2010 February 8, 2010 017-10 Position limits, futures contracts and options on futures contracts
2010 February 8, 2010 016-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 February 8, 2010 015-10 Research Capital Corporation - Change of name
2010 February 4, 2010 014-10 Futures contracts margin requirements
2010 February 1, 2010 013-10 New options classes
2010 February 1, 2010 012-10 Anticipated contract adjustment - Athabasca Potash Inc. (API) - Plan of Arrangement
2010 January 28, 2010 011-10 Addition of Options on Ten-Year Government of Canada Bond Futures Contracts (OGB) to the Procedures applicable to the execution of cross transactions and the execution of prearranged transactions
2010 January 26, 2010 010-10 Returning to original options symbols
2010 January 22, 2010 009-10 Addition of Riskless Basis Cross Transactions on S&P/TSX (SXF) and Sectorial Index (SXA, SXB, SXH and SXY)- Amendments to Articles 6005 and 6380 of Rule Six of Bourse de Montréal Inc.
2010 January 13, 2010 008-10 Position limits - Stock and trust units options exchange traded funds units options, index options, currency options
2010 January 13, 2010 007-10 Modification of the minimum quotation spread for equity, index participation unit and index options contracts - Expansion of the penny pilot program
2010 January 12, 2010 006-10 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2010 January 12, 2010 005-10 Position limits, futures contracts and options on futures contracts
2010 January 12, 2010 004-10 Fees resulting from late filing of documents or information - 2010 List of fees
2010 January 11, 2010 003-10 Anticipated contract adjustment - Corriente Resources Inc. (CTQ) - Plan of Arrangement
2010 January 7, 2010 002-10 Futures contracts margin requirements
2010 January 6, 2010 001-10 Circuit Breaker Policy (T-3) - 2010 First quarter levels of intervention
2009 December 18, 2009 194-09 2010 List of Fees of Bourse de Montréal Inc.
2009 December 11, 2009 193-09 Resignation of a foreign approved participant - Van der Moolen Derivatives Limited
2009 December 11, 2009 192-09 Resignation of a foreign approved participant - Rand Financial Services Inc.
2009 December 11, 2009 191-09 New foreign approved participant - Blue Fire Capital, LLC
2009 December 11, 2009 190-09 Canaccord Capital Corporation - Change of name
2009 December 9, 2009 187-09 New options classes
2009 December 9, 2009 189-09 Index products floating margin rates and tracking error margin rates
2009 December 9, 2009 188-09 Position limits - Futures contracts and options on futures contracts
2009 December 3, 2009 186-09 Contract adjustment - EnCana Corporation (ECA) - Listing of New Series -
2009 December 3, 2009 185-09 Futures contracts margin requirements and currency option margin rates
2009 December 3, 2009 184-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 December 2, 2009 183-09 Final contract adjustment - EnCana Corporation (ECA) - Corporate Reorganization -
2009 December 1, 2009 182-09 Request for comments - Modification to the notional coupon rate of the 30-Year Government of Canada Bond Futures Contract (LGB) - Amendments to articles 6801, 15613 and 15619 of the Rules of the Bourse
2009 December 1, 2009 181-09 Request for comments - Addition of options on Ten-Year Government of Canada Bond Futures Contract (OGB) to the procedures applicable to the execution of cross transactions and the execution of prearranged transactions
2009 December 1, 2009 180-09 Request for comments - Modification to the delivery standards - Five-Year Government of Canada Bond Futures contract (CGF) - Amendment to article 15613 of Rule Fifteen of the Bourse
2009 November 26, 2009 179-09 Request for comments - Modifications to the terms of position limits for options - Amendments to articles 6651, 6652 and 6653 of Rule Six
2009 November 23, 2009 178-09 Position limits - Stock and trust units options exchange traded funds units options, index options, currency options
2009 November 11, 2009 177-09 Amalgamation between two approved participants - Scotia Capital Inc. and Scotia iTRADE Corp.; Resignation of an approved participant - Scotia iTRADE Corp.
2009 November 6, 2009 176-09 2009-2010 Holidays and early closings
2009 November 4, 2009 175-09 Position limits, futures contracts and options on futures contracts
2009 November 4, 2009 174-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 November 4, 2009 173-09 Index products floating margin rates and tracking error margin rates
2009 November 4, 2009 172-09 Futures contracts margin requirements and currency option margin rates
2009 November 3, 2009 171-09 Returning to original options symbols
2009 October 29, 2009 170-09 Resignation of an approved participant - Pictet Canada L.P.
2009 October 29, 2009 169-09 New foreign approved participant - The Kyte Group Limited
2009 October 26, 2009 168-09 New options classes
2009 October 22, 2009 167-09 Self-Certification - Amendment to articles 15731 and 15781 and abrogation of articles 15732 and 15782 S&P Limitation of liability disclaimer.
2009 October 19, 2009 166-09 SAM Authorized Persons - Obligation to transmit a Uniform Termination Notice to the Exchange
2009 October 15, 2009 165-09 Contract adjustment final - Highpine Oil & Gas Ltd (HPX) - Plan of arrangement
2009 October 7, 2009 164-09 Final contract adjustment - TriStar Oil & Gas Ltd. (TOG) - Plan of arrangement
2009 October 7, 2009 163-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 October 7, 2009 162-09 Position limits, futures contracts and options on futures contracts
2009 October 6, 2009 161-09 Co-location initial allocation deadline
2009 October 5, 2009 160-09 Index products floating margin rates and tracking error margin rates
2009 October 5, 2009 159-09 Contract adjustment follow-up - TriStar Oil & Gas Ltd. (TOG) - Plan of arrangement
2009 October 5, 2009 158-09 Final contract adjustment - Addax Petroleum Corporation (AXC) - Acquisition
2009 October 5, 2009 157-09 Futures contracts margin requirements and currency option margin rates
2009 October 5, 2009 156-09 Petrobank Energy and Resources Ltd. - Additional symbol for an equity option
2009 October 2, 2009 155-09 Circuit Breaker Policy (T-3) - 2009 Fourth quarter levels of intervention
2009 September 25, 2009 154-09 Rules of Bourse de Montréal Inc. - Amendments to Articles 1, 3, 5, 6, 8 and 9 and Abrogation of Article 10 of the Rules Regarding the Special Committee - Regulatory Division - Amendments to articles 1, 3, and 6 of the Rules Regarding the Regulatory Division
2009 September 25, 2009 153-09 Anticipated contract adjustment - Highpine Oil & Gas Ltd (HPX) - Acquisition
2009 September 25, 2009 152-09 Final contract adjustment - Tim Hortons Inc.(THI) - Plan of arrangement
2009 September 23, 2009 151-09 New options classes
2009 September 23, 2009 150-09 National Bank of Canada - Additional symbol for long term equity option
2009 September 23, 2009 149-09 The Toronto-Dominion Banque - Additional symbol for long term equity option
2009 September 23, 2009 148-09 Kinross Gold Corporation - Additional symbol for an equity option
2009 September 23, 2009 147-09 Additional symbol for an equity option
2009 September 23, 2009 146-09 Returning to original option symbols
2009 September 23, 2009 145-09 Additional symbol for an equity option
2009 September 23, 2009 144-09 Returning to original option symbols
2009 September 17, 2009 143-09 Domtar Corporation - Additional symbol for an equity option
2009 September 16, 2009 142-09 Long term equity option symbol change
2009 September 16, 2009 141-09 International Advisory Services Group (IASG) ULC - Change of name
2009 September 16, 2009 140-09 Expansion of co-location services
2009 September 15, 2009 139-09 Anticipated contract adjustment - Encana Corporation (ECA) - Corporate reorganization
2009 September 8, 2009 138-09 Addition of a new procedure and amendments to existing procedures and to Rule 15 of Bourse, amendment to the Daily Settlement Price Procedures for Futures Contracts and Options on Futures Contracts and the addition of the New Final Settlement Price Procedures for Futures Contracts and Options on Futures Contracts and amendments to Rule Fifteen.
2009 September 4, 2009 137-09 Position limits, futures contracts and options on futures contracts
2009 September 4, 2009 136-09 Self-Certification. Addition of S&P/TSX Index Futures Contracts, options on Three-month Canadian Bankers' acceptance Futures Contracts (OBX) and options on Ten-Year Government of Canada Bond Futures Contracts (OGB)in the Early Trading Session.
2009 September 4, 2009 135-09 Index products floating margin rates and tracking error margin rates
2009 September 4, 2009 134-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 September 3, 2009 133-09 Futures contracts margin requirements and currency option margin rates
2009 September 2, 2009 132-09 New options classes
2009 September 1, 2009 131-09 Trading by U.S. Residents - State of California
2009 August 26, 2009 130-09 New foreign approved participant - ADM Investor Services, Inc.
2009 August 14, 2009 129-09 Anticipated contract adjustment - TriStar Oil & Gas Ltd. (TOG) - Plan of Arrangement
2009 August 7, 2009 128-09 Position limits, futures contracts and options on futures contracts
2009 August 7, 2009 127-09 Erratum - Final contract adjustment - Petro-Canada (PCA) - Plan of Arrangement
2009 August 6, 2009 126-09 List of deliverable Canadian Government bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 August 6, 2009 125-09 Futures contracts margin requirements and currency option margin rates
2009 August 6, 2009 124-09 Index products floating margin rates and tracking error margin rates
2009 August 6, 2009 123-09 Long term equity option symbol change
2009 August 5, 2009 122-09 Final contract adjustment - Petro-Canada (PCA) - Plan of Arrangement
2009 August 5, 2009 121-09 Final contract adjustment - Suncor Energy Inc. (SU) - Plan of Arrangement - CUSIP change
2009 July 30, 2009 120-09 New appointment
2009 July 28, 2009 119-09 Exchange for physical (EFP) and exchange for risk (EFR) specific trade execution fee waiver
2009 July 24, 2009 118-09 New options classes
2009 July 24, 2009 117-09 First Quantum Minerals Ltd. - Additional symbol for an equity option
2009 July 24, 2009 116-09 National Bank of Canada - Additional symbol for an equity option
2009 July 23, 2009 115-09 Position limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2009 July 22, 2009 114-09 New long term equity option classes expiring in January 2012
2009 July 21, 2009 113-09 Returning to original options symbols
2009 July 16, 2009 112-09 Option symbol change
2009 July 8, 2009 111-09 Request for comments - Addition of S&P/TSX Index Futures Contracts, Options on 3-month Canadian Bankers' acceptance Futures (OBX) and Options on 10-year Gov. of Canada Bond Futures (OGB) in the early trading session - Addition of Art. 6393A to Rule 6 of the Bourse and modifications to the procedures for the cancellation of trades
2009 July 8, 2009 110-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 July 8, 2009 109-09 Position limits, futures contracts and options on futures contracts
2009 July 7, 2009 108-09 Final contract adjustment - Nova Chemicals Corp. (NCX) - Acquisition
2009 July 6, 2009 107-09 Index products floating margin rates and tracking error margin rates
2009 July 6, 2009 106-09 Symbol conversion long-term equity options expiring in January 2010
2009 July 6, 2009 105-09 Futures contracts margin requirements and currency option margin rates
2009 July 3, 2009 104-09 Circuit Breaker Policy (T-3)- 2009 Third quarter levels of intervention
2009 June 29, 2009 103-09 Anticipated contract adjustment - Addax Petroleum Corporation(AXC)- Acquisition
2009 June 25, 2009 102-09 New long term equity option classes expiring in January and March 2012
2009 June 25, 2009 101-09 Final contract adjustment - Nortel Networks Corporation (NT) - Delisting
2009 June 15, 2009 100-09 New Options Class
2009 June 12, 2009 099-09 Position limits, futures contracts and options on futures contracts
2009 June 11, 2009 098-09 Final contract adjustment - Domtar Corporation (UFS) - Reverse Stock Split
2009 June 10, 2009 097-09 Final contract adjustment - Domtar Corporation (UFS) - Reverse Stock Split
2009 June 10, 2009 096-09 Symbol conversion long-term equity options expiring in January and March 2010
2009 June 8, 2009 095-09 Index products floating margin rates and tracking error margin rates
2009 June 5, 2009 094-09 Anticipated contract adjustment follow-up - Domtar Corporation (UFS)- Reserve Stock Split
2009 June 4, 2009 093-09 New long-term equity options classes expiring in January 2012
2009 June 4, 2009 092-09 Futures contracts margin requirements and currency option margin rates
2009 June 4, 2009 091-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and CGZ futures contracts
2009 June 3, 2009 090-09 Additional symbol for an equity option
2009 May 29, 2009 089-09 Final Contract Adjustment - Follow-up - Precision Drilling Trust (PD.UN) - Rights Offering
2009 May 25, 2009 088-09 New foreign approved participant - Limestone Trading LLC
2009 May 25, 2009 087-09 Resignation of a foreign approved participant - Bear, Stearns International Limited
2009 May 20, 2009 086-09 Index products floating margin rates and tracking error margin rates
2009 May 20, 2009 085-09 Returning to original options symbols
2009 May 15, 2009 084-09 Final contract adjustment - ING Canada (IIC)- Name, symbol and cusip change
2009 May 15, 2009 083-09 Additional symbols for equity options
2009 May 14, 2009 082-09 Additional symbol for an equity option
2009 May 13, 2009 081-09 Mini Futures Contracts On The S&P/TSX Composite(TM) Index (SCF) - Regulatory Amendments
2009 May 13, 2009 080-09 Mini futures contracts on the S&P/TSX composite index (SCF), margin requirements, inter-commodity spreads and positions limits
2009 May 12, 2009 079-09 Returning to original long term equity options symbols
2009 May 8, 2009 078-09 List of deliverable Canadian Government Bond issues for the LGB, CGB, CGF and futures contracts
2009 May 8, 2009 077-09 Position limits, Futures contracts and options on futures contracts
2009 May 8, 2009 076-09 Additional symbol for an equity option
2009 May 7, 2009 075-09 Additional symbol for an equity option
2009 May 5, 2009 074-09 Erratum - New options classes
2009 May 5, 2009 073-09 New options classes
2009 May 5, 2009 072-09 Symbol conversion long-term equity options expiring in January 2010
2009 May 5, 2009 071-09 Futures contracts margin requirements and currency option margin rates
2009 April 30, 2009 070-09 Final contract adjustment - Precision Drilling Trust (PD.UN) - Rights Offering
2009 April 30, 2009 069-09 New long term equity options classes expiring in January 2011 and 2012
2009 April 29, 2009 068-09 Anticipated contract adjustement - Precision Drilling Trust (PD.UN) - Rights Offering
2009 April 29, 2009 067-09 The Toronto-Dominion Bank - Additional symbol for equity options
2009 April 29, 2009 066-09 Royal Bank of Canada - Additional symbol for equity options
2009 April 29, 2009 065-09 Goldcorp Inc. - Additional symbol for equity options
2009 April 29, 2009 064-09 Returning to original options symbols
2009 April 27, 2009 063-09 Final contract adjustment
2009 April 23, 2009 062-09 Self-Certification - Implementation of an implied pricing algorithm in the 3-Month Canadian Bankers' Acceptance Futures ctr. (BAX) - Amendments art. 6303,6369,6381,6383-6385; abrog art. 6382, add. art. 6369A - Amendments to procedures for cancellation of trades as well as daily settlement price for futures ctr. and options on futures ctr.
2009 April 22, 2009 061-09 Returning to original option symbol
2009 April 21, 2009 060-09 Options market - Long-term equity options conversion process for 2009
2009 April 16, 2009 059-09 Self-Certification - Re-listing of the Five-Year Government of Canada Bond Futures Contract (CGF)
2009 April 15, 2009 058-09 Re-listing of the Five-Year Government Of Canada Bond Futures Contract (CGF) - Abrogation of Articles 6809-6811 and amendments to Articles 6808, 6815 and 15607-15608 and to related Procedures
2009 April 9, 2009 057-09 Five-Year Government of Canada Bond Futures Contracts (CGF), deliverable Canadian Government Bond issues, margin requirements, and position limits
2009 April 8, 2009 056-09 Position Limits - Stock and trust units options, exchange traded funds units options, index options, currency options
2009 April 7, 2009 055-09 List of deliverable canadian government bond issues for the LGB, CGB, and CGZ futures contracts
2009 April 7, 2009 054-09 Position limits - Futures contracts and options on futures contracts
2009 April 2, 2009 053-09 Futures contracts margin requirements, index products floating margin rates, currency option margin rates and tracking error margin rates
2009 April 2, 2009 052-09 New Option Classes
2009 April 2, 2009 051-09 Circuit Breaker Policy (T-3) 2009 Second quarter levels of intervention
2009 March 31, 2009 050-09 Request for comments - Updating of Rule Three of the Bourse - Approved Participants
2009 March 30, 2009 049-09 Returning to original option symbol
2009 March 30, 2009 048-09 Returning to original option symbol
2009 March 25, 2009 047-09 New approved participant - International Advisory Services Group (IASG) ULC
2009 March 25, 2009 046-09 Resignation of a foreign approved participant - International Trading Group L.L.C.
2009 March 24, 2009 045-09 Anticipated contract adjustment - Petro-Canada (PCA) - Plan of arrangement
2009 March 24, 2009 044-09 Anticipated contract adjustment - Suncor Energy Inc. (SU) - Plan of arrangement
2009 March 13, 2009 043-09 Anticipated contract adjustment - Domtar Corporation (UFS) - Reverse Stock Split
2009 March 12, 2009 042-09 E*TRADE Canada Securities Corporation - Change of name
2009 March 12, 2009 041-09 Modification to Extended Trading Session (Previously Identified as the Curb Trading Session) - Amendments to Articles 6367 and 6806 and Deletion of Article 6367A of Rule Six of Bourse de Montréal Inc.
2009 March 10, 2009 040-09 Power Financial Corporation - Additional Symbol for an Equity Option
2009 March 6, 2009 039-09 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, and CGZ Futures Contracts
2009 March 6, 2009 038-09 Position Limits - Futures Contracts and Options on Futures Contracts
2009 March 5, 2009 037-09 Futures Contracts Margin Requirements, Index Products Floating Margin Rates, Currency Option Margin Rates and Tracking Error Margin Rates
2009 February 24, 2009 036-09 EnCana Corporation - Additional Symbol for Long Term Equity Option
2009 February 24, 2009 035-09 Great-West Lifeco Inc. - Additional Symbol for an Equity Option
2009 February 24, 2009 034-09 Industrielle Alliance, Assurance Et Services Financiers Inc. - Additional Symbol For An Equity Option
2009 February 24, 2009 033-09 Enerplus Resources Fund - Additional Symbol for an Equity Option
2009 February 24, 2009 032-09 Husky Energy Inc. - Additional Symbols for Long Term Equity Options
2009 February 24, 2009 031-09 Anticipated Contract Adjustment - Nova Chemicals Corporation (NCX) - Acquisition
2009 February 19, 2009 030-09 New Option Classes
2009 February 19, 2009 029-09 New Foreign Approved Participant - Marquette Partners, L.P.
2009 February 19, 2009 028-09 iSHARES CDN S&P/TSX Global Gold Index Fund Additional Symbols for Long Term Equity Index Options
2009 February 18, 2009 027-09 Returning to Original Option Symbol
2009 February 17, 2009 026-09 Final Contract Adjustment - Oilexco Inc. (OIL) - Delisting
2009 February 16, 2009 025-09 Approved Inter-Dealer Bond Brokers - Amendments to the Notes and Instructions of Schedule 5 of the Joint Regulatory Financial Questionnaire and Report - Policy C-3 of the Bourse
2009 February 12, 2009 024-09 Follow Up - Anticipated Contract Adjustment - Oilexco Inc. (OIL) - Delisting
2009 February 9, 2009 023-09 Position limits - Futures contracts and options on futures contracts
2009 February 5, 2009 022-09 List of Deliverable Canadian Government Bond issues for the LGB, CGB and CGZ futures contracts
2009 February 5, 2009 021-09 Request for Comments - Implementation of an Implied Pricing Algorithm (IPA) in the Three-Month Canadian Bankers' Acceptance Futures Contracts (BAX)
2009 February 4, 2009 020-09 Resignation of an approved participant - Credifinance Securities Limited
2009 February 4, 2009 019-09 New approved participant - ITG Canada Corp.
2009 February 4, 2009 018-09 Resignation of a foreign approved participant - The Kyte Group Limited
2009 February 4, 2009 017-09 Futures contracts margin requirements, index products floating margin rates, currency option margin rates and tracking error margin rates
2009 February 2, 2009 016-09 Request for Comments - Re-Listing of the 5-Year Government of Canada Bond Futures Contract (CGF)
2009 January 28, 2009 015-09 Returning to Original Option Symbols
2009 January 26, 2009 014-09 Barrick Gold Corporation - Additional Symbol for an Equity Option
2009 January 22, 2009 013-09 Anticipated Contract Adjustment - Oilexco Inc. (OIL) - Delisting
2009 January 21, 2009 012-09 Royal Bank Of Canada - Additional Symbol for an Equity Option
2009 January 20, 2009 011-09 Index Option Symbol Change
2009 January 20, 2009 010-09 Final Contract Adjustment - ProEx Energy Ltd. (PXE) - Name, CUSIP and Symbol Change
2009 January 15, 2009 009-09 Position limits - Stock and trust units options, exchange traded funds (iSharesTM Funds) units options, index options and currency options
2009 January 14, 2009 008-09 Position Limits - Futures Contracts and Options on Futures Contracts
2009 January 14, 2009 007-09 List of Deliverable Canadian Government Bond Issues for the LGB, CGB, CGF and CGZ Futures Contracts
2009 January 14, 2009 006-09 New Long Term Equity Option Class Expiring in January 2011
2009 January 14, 2009 005-09 Anticipated Contract Adjustment - Lundin Mining Corp. (LUN) - Business Combination
2009 January 8, 2009 004-09 Futures contracts margin requirements, index products floating margin rates, currency option margin rates and tracking error margin rates
2009 January 8, 2009 003-09 Erratum - Circuit Breaker Policy (T-3) - 2009 First Quarter Levels of Intervention
2009 January 6, 2009 002-09 Contract Adjustment - Ballard Power Systems Inc. (BLD) - CUSIP Change
2009 January 5, 2009 001-09 Circuit Breaker Policy (T-3) - 2009 First Quarter Levels of Intervention
2008 December 30, 2008 253-08 Final Contract Adjustment - CI Financial Income Fund (CIX.UN) - Plan of arrangement
2008 December 18, 2008 252-08 Options on Three-Month Bankers' Acceptance Futures - Additional Symbol to the Options on Futures
2008 December 18, 2008 251-08 Request for Comments - New Product - Mini Futures Contracts on the S&P/TSX Composite Index (SCF)
2008 December 18, 2008 250-08 Amalgamation - Newedge Financial Inc. and Newedge USA, LLC; Resignation - Newedge Financial Inc.; New Foreign approved participant - Newedge USA, LLC
2008 December 18, 2008 249-08 New foreign approved participant - Hard Eight Futures, LLC
2008 December 18, 2008 248-08 Resignation of an approved participant - Le Groupe Option Retraite Inc.
2008 December 18, 2008 247-08 Resignation of a foreign approved participant - Lehman Brothers Inc.
2008 December 18, 2008 246-08 Resignation of a foreign approved participant - Geneva Trading USA, LLC
2008 December 17, 2008 245-08 Follow-up - Final Contract Adjustment - Norbord Inc. (NBD) - Rights Offering
2008 December 17, 2008 244-08 National Bank of Canada - Additional Symbols for Long Term Equity Options
2008 December 16, 2008 243-08 Anticipated Contract Adjustment - CI Financial Income Fund (CIX.UN) - Plan of arrangement
2008 December 15, 2008 242-08 Contract Adjustment - Galleon Energy Inc. (GO.A) - Underlying Symbol Change
2008 December 12, 2008 241-08 Gildan Activewear Inc. - Additional Symbol for an Equity Option
2008 December 12, 2008 240-08 List of Deliverable Canadian Government Bond issues for the LGB, CGB and CGZ futures contracts
2008 December 12, 2008 239-08 Position limits - Futures contracts and options on futures contracts
2008 December 11, 2008 238-08 National Bank of Canada - Additional symbol for an equity option
2008 December 11, 2008 237-08 Erratum - Futures contracts margin requirements, index products floating margin rates, currency option margin rates and tracking error margin rates
2008 December 8, 2008 236-08 Penn West Energy Trust - Additional Symbol for an Equity Option
2008 December 5, 2008 235-08 Futures Contracts Margin Requirements, Index Products Floating Margin Rates, Currency Option Margin Rates and Tracking Error Margin Rates
2008 December 5, 2008 234-08 Request for Comments - Modifications to the Daily Settlement Price Procedures applicable to the Three-Month Canadian Bankers' Acceptance Futures Contract (BAX)
2008 December 4, 2008 233-08 New Equity Option Classes
2008 December 1, 2008 232-08 Modifications to the Daily Settlement Price Procedures Applicable to the Three-Month Canadian Bankers' Acceptance Futures Contract (BAX)
2008 December 1, 2008 231-08 2009 List of Fees of Bourse de Montréal Inc.
2008 November 27, 2008 230-08 TD Bank Financial Group - Additional Symbols For Long Term Equity Options
2008 November 25, 2008 229-08 S&P/TSX 60 Index Options - Additional Symbol for an Index Option
2008 November 25, 2008 228-08 Kinross Gold Corporation - Additional Symbol for an Equity Option
2008 November 25, 2008 227-08 TD Bank Financial Group - Additional Symbol for an Equity Option
2008 November 25, 2008 226-08 Bank of Nova Scotia - Additional Symbol for an Equity Option
2008 November 25, 2008 225-08 Bank of Montreal - Additional Symbols for a Long Term Equity Option
2008 November 25, 2008 224-08 Final Contract Adjustment - Norbord Inc. (NBD) - Rights Offering
200