| TITLE |
DATA |
| Japanese Government Bond Over-the-Counter Transaction Clearing Business Rules |
|
| Handling Procedures of Japanese Government Bond Over-the-Counter Transaction Clearing Business Rules |
|
| Rules on Fees Concerning JGB OTC Transaction Clearing Business |
|
| Rules applicable for Disciplinary Measures Assessment Committee |
|
| Rules on Handling of Buy-In, Etc. related to JGB OTC Transaction |
|
| Rules on Required Initial Margin Amount related to JGB OTC Transaction |
|
| Rules on Required JGB OTC Transaction Clearing Fund Amount |
|
| Rules on Inspection of Clearing Participant related to JGB OTC Transaction Clearing Business |
|
| JGB OTC Rules on Default Settlement regarding Participants |
|
| JGB OTC Default Management Committee Rules |
|
| JGB OTC Transaction Management Committee Rules |
|
| Increases in Required Initial Margin Amount related to JGB OTC Transaction |
|
| Handling of Net Out Ratio related to Intermediary Service Provider Special Participant |
|
| Market Price Fluctuation Risk Factor and Setoff Categories |
|
| Baskets for Subsequent Collateral Allocation Repos |
|
| Handling of the Collateral Allocation in relation to Subsequent Collateral Allocation Repo Transaction, Etc.
|
|
| Settlement Priority and Fail Allocation Rule for JGB OTC Transaction |
|