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| Mandatory Settlements | ||
| Commodity | Volume | |
| AA - S&P / ASX 200 A-REIT Index | 968 | |
| AF - S&P / ASX 200 Financials-x-A-REIT Index | 5 | |
| AP - SPI 200 | 27,591 | |
| AT - S&P /ASX 200 Gross TR Index | 1,000 | |
| IB - 30 Day Interbank Cash Rate | 40,255 | |
| IR - 90-Day Bank Bills | 124,937 | |
| LT - 20 Year Bonds | 29 | |
| VT - 5 Year Bonds | 559 | |
| XT - 10 Year Bonds | 58,385 | |
| YT - 3 Year Bonds | 70,447 | |
| 324,176 | ||
| Options Exercised | ||
| Commodity | Volume | |
| AP - SPI 200 | 23 | |
| YT - 3 Year Bonds | 4,700 | |
| 4,723 | ||
| Report Total | 328,899 | |
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