ReportDate,CCPClearingService,Description,Currency,23.1.1,23.1.2,23.2.1 31/03/2017,ASXCL,Equities,AUD,"3,822,588,497","927,477","8,878,194,378" 31/03/2017,ASXCL,Structured Products,AUD,"6,156,329",859.6349206,"9,688,829" 31/03/2017,ASXCL,Interest Rate Hybrid,AUD,"7,349,855",365.6190476,"12,340,209" 31/03/2017,ASXCL,Exchange Traded Funds,AUD,"51,211,089","2,085","134,228,794" 31/03/2017,ASXCL,Australian Government Bonds,AUD,"420,002",8.777777778,"245,096" 31/03/2017,ASXCL,Company Options,AUD,"1,015,143",337.6349206,"1,462,177" 31/03/2017,ASXCL,Exchange Traded Options,AUD,78187381,407874,n/a 31/03/2017,ASXCL,Equity OTC,AUD,0,0,n/a