ReportDate,CCPClearingService,Description,Currency,23.1.1,23.1.2,23.2.1 30/06/2017,ASXCL,Equities,AUD,"4,222,597,129","1,020,201"," 10,776,342,481 " 30/06/2017,ASXCL,Structured Products,AUD,"7,139,519",1052.655738," 19,905,215 " 30/06/2017,ASXCL,Interest Rate Hybrid,AUD,"6,289,711",330.3442623," 8,205,961 " 30/06/2017,ASXCL,Exchange Traded Funds,AUD,"64,434,810","2,529"," 213,422,871 " 30/06/2017,ASXCL,Australian Government Bonds,AUD,"319,615",8.409836066," 406,317 " 30/06/2017,ASXCL,Company Options,AUD,"753,886",272.9180328," 1,931,149 " 30/06/2017,ASXCL,Exchange Traded Options,AUD,"86,326,067","445,555",n/a 30/06/2017,ASXCL,Equity OTC,AUD,0,0,n/a