ReportDate,CCPClearingService,Description,Currency,23.1.1,23.1.2,23.2.1 30/06/2016,ASXCL,Equities,AUD,"3,970,490,713","906,079","57,644,512,612" 30/06/2016,ASXCL,Structured Products,AUD,"7,676,098","1,156","138,343,374" 30/06/2016,ASXCL,Interest Rate Hybrid,AUD,"7,852,065",455,"111,110,010" 30/06/2016,ASXCL,Exchange Traded Funds,AUD,"56,612,551","2,193","926,893,752" 30/06/2016,ASXCL,Australian Government Bonds,AUD,"662,028",10,"14,289,949" 30/06/2016,ASXCL,Company Options,AUD,"1,219,131",386,"16,943,707" 30/06/2016,ASXCL,Exchange Traded Options,AUD," 89,598,325 "," 5,024 ",n/a 30/06/2016,ASXCL,Equity OTC,AUD,0,0,n/a