ReportDate,CCPClearingService,Description,Currency,23.1.1,23.1.2,23.2.1 30/09/2015,ASXCL,Equities,AUD,"4,024,673,845.22","769,866","12,455,282,296.97" 30/09/2015,ASXCL,Structured Products,AUD,"8,934,867.25","1,414","33,329,000.91" 30/09/2015,ASXCL,Interest Rate Hybrid,AUD,"9,084,880.17",476,"32,430,092.15" 30/09/2015,ASXCL,Exchange Traded Funds,AUD,"66,979,979.84","2,636","190,950,459.11" 30/09/2015,ASXCL,Australian Government Bonds,AUD,"459,661.60",6,"896,416.76" 30/09/2015,ASXCL,Company Options,AUD,"687,351.71",263,"1,626,922.87" 30/09/2015,ASXCL,Exchange Traded Options,AUD,n/a,"375,050",0.00