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OTC Clear

Rules

OTC Clear Rates and FX Derivatives Clearing Rules

              View Current

Table of Contents
Preface

PART I 

GENERAL PROVISIONS

Chapter 1

Definitions and Interpretation

101 Definitions
102-110 

Interpretation

Chapter 2

General Provisions

201 Amendment
202-205 Liability
206-211 Force Majeure Events and Illegality
212-214  Disclosure of Information
215-218 Governing Law
219-223 Notice
224 Process Agent
225 Time Reference
226-227 Calculations and Currency
228
Third Party Rights
 
PART II 

MEMBERSHIP

Chapter 3

General Provisions

301 OTC Clear Membership
302 Clearing Members
303 Qualification
304-309

Applications and Approval

Chapter 4

Legal Obligations

401-402 Continuing Obligations
403-404 Capital Requirement
405-408 Transfer of Membership
409-412

Reporting Obligation

Chapter 5

Information Obligations

501 Notifications by Clearing Members
502 Right to Demand Documents
503 Organization Structure
504  Financial Information
505

Record Keeping

Chapter 6

Suspension and Termination of Membership

601-603 Suspension
604-606 Resignation
607 Termination
608-612  Resignation and Termination
613

Former Clearing Members

Chapter 7

Designated Person

701-707 General
708 Continuing Authority of a Designated Person
709

Acknowledgment by a Designated Person

Chapter 7A Sponsored Settlement Member
7A01-7A06

General

PART III  

CLEARING OPERATIONS

Chapter 8

Clearing by OTC Clear

801-805 Acceptance for Registration of Original Transactions
806-811 Creation of Contracts through Submission of Original Transactions by Clearing Members or Clients
812 Clearing Members’ Representations as at Registration Time
813 Creation of Contracts other than through Submission of Original Transaction by Clearing Members or Clients
814-814B Termination of Contracts relating to Ineligible Original Transactions after Registration
815 Transfers of Contracts
816-818 Client Clearing
819-822 Types of Client Clearing Categories
823-824  Segregation of Client Accounts
825-829 Porting of Contracts relating to Clients
830 Full Portfolio Porting
831 Partial Portfolio Porting
832 Porting of Client Collateral
833 Conditions Precedent to Porting of Contracts relating to Clients
834-835

Completion of Porting          

836-837

Transfer of Contracts between Client Accounts and House Accounts

838-843 Multilateral Compression
   
Chapter 8A Clearing by OTC Clear in respect of Original Northbound Transactions
   
8A01-8A06 Acceptance for Registration of Original Northbound Transactions
8A07-8A13 Creation of Contracts through Submission of Original Northbound Transactions by Clearing Members or Clients
8A14-8A16 Other amendments
8A17-8A18 Suspension of the Participantship of the Special Clearing House Participant or Clearing Link Services
8A19

Termination of the Participantship of the Special Clearing House Participant or Clearing Link Services

   
Chapter 9

Accounts

901 Accounts
902 Position Accounts
903-904 Collateral Accounts
905-906 GF Accounts
907 Multiple Client Accounts
908-909

Accounts for Holding of Non-Cash Collateral

Chapter 10

Payments

1001 Contract Payments
1002 Margin and Rates and FX Contribution
1002A Reimbursement of Costs and Expenses
1003 Default Interest
1004 Interest Rates
1005 Income on Cash Collateral
1006-1008C Income and Redemption Proceeds on Non-Cash Collateral
1009-1011 Fees, Levies and Charges
1012-1015

Payments Calculation

Chapter 10A Interest Rate Transition
10A01-10A08

Interest Rate Transition  

Chapter 10B

Floating Rate Conversion

10B01-10B12 Floating Rate Conversion

Chapter 11

Tax

1101-1105

Tax


PART IV


RISK MANAGEMENT AND DEFAULT PROCEDURES

Chapter 12

Margin for Clearing Members

1201-1203 Margin and Collateral
1204-1208 Initial Margin, Additional Margin, Participating Margin, Variation Margin, and Intra-day Variation Margin
1209-1213 Margin Settlement
1214-1218A Acceptable Collateral for Margin and Rates and FX Contribution
1219-1221 Rights relating to Collateral in respect of Margin and Rates and FX Contribution and Representations of Clearing Members
1222-1224 

Position Limits and Notional Exchange Risk Limits

Chapter 13

Default Procedures

1301-1302 Clearing Member Event of Default
1303-1305 Termination following a Clearing Member Event of Default
1306-1310 Calculations of Net Payment following a Clearing Member Event of Default
1311 Termination of the Membership of a Defaulting Clearing Member
1312-1315 General Provisions relating to Clearing Member Event of Default
1316 Indemnity
1317-1321 OTC Clear Failure to Pay Event
1322-1323 OTC Clear Insolvency Event
1324-1325

Calculations of Net Payment following OTC Clear Default

Chapter 14

Disciplinary Actions and Proceedings

1401-1402 Situations Calling for Disciplinary Action
1403 Co-operation
1404 Notification
1405 Disciplinary Actions
1406-1408 Procedures relating to Disciplinary Committee
1409-1410 Appeals to the Disciplinary Appeals Committee
1411-1414 Grounds for Appeal
1415-1417

Order as to Costs

Chapter 15

Rates and FX Guarantee Resources

1501-1502 Rates and FX Guarantee Resources Purpose
1503 Calculations relating to the Rates and FX Guarantee Fund, Rates and FX Assessments and Rates and FX Contribution Balance
1504 Initial Rates and FX Contribution
1505  Further Rates and FX Contribution
1506-1507 Rates and FX Assessments Demand
1508-1511 Rates and FX Contribution due to Recalculations or Replenishments
1512-1513 Changes to Calculations relating to the Rates and FX Guarantee Fund and Rates and FX Assessments
1514 OTC Clear Use of Participating Margin Balance and Rates and FX Guarantee Resources
1515-1518 Reduction of Losses on a DMP Event and Application of the Rates and FX Guarantee Resources
1519-1521 Accounts of Rates and FX Guarantee Resources
1522 Recoveries
1523-1528 Loss Distribution Process
1529 Rates and FX Clearing Service Limited Recourse
1530-1540  Winding Down of the Rates and FX Clearing Services
1541-1543A Voluntary Recapitalisation
1544-1545 Multiple DMP Events
1546-1549

Terms of Redelivery or Repayment of Rates and FX Contribution

Chapter 15A Default relating to a Sponsored Settlement Member
   
15A01-15A02

Default relating to a Sponsored Settlement Member

PART V 

DEFAULT MANAGEMENT PROCESS

Chapter 16

Default Management Process

1601-1604 Default Management Process
1605-1608 Default Management Group
1609  Undertaking by Clearing Members
1610-1612

Amendments to Default Management Process

Chapter 17

Porting

1701-1710

Porting

Chapter 18

Hedging

1801-1804

Hedging

Chapter 19

Auction

1901-1904 Auction Portfolios
1905 Auction for Multiple Auction Portfolios
1906-1909 Conduct of Auction
1910-1912 Bidding
1913-1913C Initial Allocation of Resources
1914-1917 Loss Allocation
1918-1919 Successive Auction
1920  OTC Clear Financial Resources
1921-1922  Registration of Auction Contracts (non-PRC Bidders)
1923-1924

Failed Registration (non-PRC Bidders)

Chapter 20

Confidentiality Obligations relating to Receipt of DMP Information

2001-2004 Confidentiality
2005 Term
2006 Rights to DMP Information
2007 Liability of OTC Clear
2008-2009

Relief

Chapter 21

Obligations, Undertaking and Liability of Clearing Members relating to Participation in the Default Management Group

2101-2103 Confidentiality Obligations
2104 Conflict of Interest
2105 Representations and Warranties
2106

No Liability

PART VA

PROVISIONS RELATING TO THE SPECIAL CLEARING HOUSE PARTICIPANT

   
Chapter 21A General Provisions
   
21A01 General Provisions
21A02-21A03
Obligations of the Special Clearing House Participant
21A04-21A06
Liability
21A07-21A09 Disclosure of Information
21A10-21A11
Governing Law
21A12-21A17
Notice
21A18
Process Agent
21A19
Calculations and Currency
21A20
Force Majeure Event and Illegality
21A21 Original Northbound Transactions
   
Chapter 21B Participantship
   
21B01
The Special Clearing House Participant
21B02
Qualification
21B03
Publication


Chapter 21C
Legal Obligations
   
21C01
Continuing Obligations
21C02-21C04
Transfer of Participantship


Chapter 21D    

Information Obligations

   
21D01
Information Obligations


Chapter 21E
Suspension and Termination of Participantship
   
21E01-21E03 Suspension
21E04-21E09
Termination


Chapter 21F Accounts
   
21F01 Accounts
21F02
Position Account
21F03-21F04
Collateral Account


Chapter 21G
Payments
   
21G01
Contract Payments
21G02
Margin
21G03
Default Interest
21G04 Interest Rates
21G05
Income on Cash Collateral
21G06
Fees
21G07-21G09 Payments Calculation
   
Chapter 21H
Tax
   
21H01-21H06
Tax
   
Chapter 21I

Inter-CCP SHCH Margin Amount

   
21I01-21I07
Inter-CCP SHCH Margin Amount, Collateral and Variation Margin
21I08-21I11
Acceptable Collateral for Inter-CCP SHCH Margin Amount21I12-21I14      Rights relating to Collateral in respect of Inter-CCP SHCH Margin Amount and Representations
21I15-21I16
Position Limits
21I17
Inter-CCP OTCC Margin Amount and Collateral
   
Chapter 21J Default Procedures
   
21J01-21J04
Defaulting Special Clearing House Participant
21J05
Termination of the Participantship of the Special Clearing House Participant
21J06-21J07
Calculations of Net Payment for the Defaulting Special Clearing House Participant
21J08-21J09 General Provisions relating to the Special Clearing House Participant
21J10
Indemnity
21J11-21J14
OTC Clear Default
21J15-21J16
Calculations of Net Payment following OTC Clear Default


Chapter 21K
Rates and FX Guarantee Resources
   
21K01-21K03 Rates and FX Guarantee Resources


Chapter 21L
Default Management Process
   
21L01-21L02
Default Management Process
21L03
General Provisions relating to the Special Clearing House Participant


Chapter 21M
Auction
   
21M01-21M05
General Provisions
21M06-21M07
Successful Auction (PRC Bidders)
21M08-21M09
Failure to Pay where PRC Bidders are Successful Bidders
   
Chapter 21N Confidentiality Obligations relating to receipt of DMP Information
   
21N01-21N04
Confidentiality
21N05
Term
21N06
Rights to DMP Information
21N07-21N08
Relief


Chapter 21O
Product Specific Terms for Inter-CCP Rates Derivatives Contracts
   
21O01
Product Specific Terms for Inter-CCP Rates Derivatives Contracts
21O02
Interpretation
21O03
Economic Terms
21O04-21O05
General Terms


Appendix
Inter-CCP SHCH Charge Agreement
   
PART VI 

PRODUCT SPECIFIC TERMS

Chapter 22

Product Specific Terms for Standard Rates Derivatives Contracts

2201-2202 Product Specific Terms for Standard Rates Derivatives Contracts
2203-2210 Interpretation
2211-2215 Economic Terms
2216 General Terms
2217 Clearing Rules
2218-2221 Economic and Monetary Union (EMU) Provisions
2222 Negative Interest Rates
2223 (Deleted)
2224 Rounding
2225 Tax Provisions
2226 Calculation Agent
2227

Governing Law

Chapter 23

Product Specific Terms for Non Deliverable Rates Derivatives Contracts

2301-2302 Product Specific Terms for Non Deliverable Rates Derivatives Contracts
2303-2310 Interpretation
2311-2315 Economic Terms
2316 General Terms
2317 Clearing Rules
2318 Calculation Agent
2319 Negative Interest Rates
2320 Rounding
2321 Tax Provisions
2322

Governing Law

Chapter 24

Product Specific Terms for Non Deliverable FX Derivatives Contracts

2401-2402 Product Specific Terms for Non Deliverable FX Derivatives Contracts
2403-2411 Interpretation
2412-2416 Economic Terms
2417 General Terms
2418 Clearing Rules
2419 Calculation Agent
2420 Rounding
2421 Tax Provisions
2422 

Governing Law

Chapter 25

Product Specific Terms for Standard Cross-currency Rates Derivatives Contracts

2501-2502 Product Specific Terms for Standard Cross-currency Rates Derivatives Contracts
2503-2510 Interpretation
2511-2515 Economic Terms
2516 General Terms
2517 Clearing Rules
2518 Negative Interest Rates
2519 Rounding
2520 Tax Provisions
2521 Calculation Agent
2522

Governing Law

Chapter 26
Product Specific Terms for Deliverable FX Derivatives Contracts

2601-2602 Product Specific Terms for Deliverable FX Derivatives Contracts
2603-2610 Interpretation
2611-2615 Economic Terms
2616 General Terms
2617 Clearing Rules
2618 Calculation Agent
2619 Rounding
2620 Tax Provisions
2621 Governing Law
   
Chapter 27

Product Specific Terms for Standard Northbound Rates Derivatives Contracts

2701-2702
Product Specific Terms for Standard Northbound Rates Derivatives Contracts
2703-2707
Interpretation
2708-2710
Economic Terms
2711
General Terms
2712
Clearing Rules
2713
Calculation Agent
2714
Tax Provisions
2715
Governing Law



Appendix I
 
Chapter XVII - (deleted)
Supplement I   SOFR DISCOUNTING SWITCH SUPPLEMENT
Supplement II 

SOFR FLOATING RATE CONVERSION SUPPLEMENT

OTC Clearing Hong Kong Limited (“OTC Clear”) has obtained a legal opinion from an independent law firm in respect of the enforceability of certain provisions of the Clearing Rules under Hong Kong law. To promote confidence among Clearing Members and transparency in the clearing system, the opinion may be disclosed to Clearing Members on request for information purposes only, on the basis that it may not be relied upon.   Further, each Clearing Member who requests and receives a copy of the opinion from OTC Clear agrees not to transmit the opinion to anyone else or quote or refer to it in any public document filed with anyone. Please contact OTC_Operations@hkex.com.hk if you wish to receive a copy of the opinion.

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Updated 02 Sep 2024