ReportDate,CCPClearingService,Description,Currency,23.1.1,23.1.2,23.2.1 31/03/2016,ASXCL,Equities,AUD,"4,020,556,551.02","925,329","10,743,324,075.01" 31/03/2016,ASXCL,Structured Products,AUD,"9,179,373.86","1,478","20,025,292.90" 31/03/2016,ASXCL,Interest Rate Hybrid,AUD,"6,847,043.38",388,"21,995,669.43" 31/03/2016,ASXCL,Exchange Traded Funds,AUD,"56,657,312.26","2,478","160,873,441.40" 31/03/2016,ASXCL,Australian Government Bonds,AUD,"432,609.59",10,"1,092,408.10" 31/03/2016,ASXCL,Company Options,AUD,"711,655.21",259,"2,407,939.20" 31/03/2016,ASXCL,Exchange Traded Options,AUD,0,0,n/a 31/03/2016,ASXCL,Equity OTC,AUD,0,0,n/a