Ltd Member Updates
LDR/CDR/RDR/Accommodation Charge Notification
18 November 2020
Circular No.
LCH Circular No 4122
Date:
18th November 2020
To:
All LCH Clearing Members
Summary of LCH’s Consultation on its Solution for Outstanding Cleared EONIA Contracts
13 November 2020
Circular No.
LCH Circular No 4121
Date:
13th November 2020
To:
All SwapClear Participants
LCH Ltd EquityClear: change to fixed fail fee in French market
28 October 2020
Circular No.
LCH Circular No 4120
Date:
28th October 2020
To:
All LCH Ltd EquityClear Clearing Members
LDR/CDR/RDR/Accommodation Charge Notification
16 October 2020
Circular No.
LCH Circular No 4119
Date:
16th October 2020
To:
All LCH Clearing Members
LCH Limited (“LCH”) Rule Change Committee meeting of 15 October 2020 Proposed Changes to the LCH Rulebook
15 October 2020
LCH circular number:
4118
Date:
15 October 2020
To:
All LCH Ltd SwapClear Clearing Members
Acceptance of SURE Bonds for collateral
14 October 2020
Circular No.
LCH Circular No 4117
Date:
14th October 2020
To:
All LCH Clearing Members
LCH Limited (“LCH”) Rule Change Committee meeting of 06 October 2020 Proposed Changes to the LCH Rulebook
08 October 2020
LCH circular number:
4116
Date:
06 October 2020
To:
All LCH Limited SwapClear and ForexClear Clearing Members
USD Bank Holiday Call currency change
06 October 2020
Circular No.
LCH Circular No 4115
Date:
6th October 2020
To:
All LCH Clearing Members
LCH Ltd EquityClear: change to Finland settlement fee
29 September 2020
Circular No.
LCH Circular No 4114
Date:
29 September 2020
To:
All LCH Ltd EquityClear Clearing Members
Brexit Update: LCH Limited Article 25 Third Country Recognition by ESMA upon the end of the Transition Period on 31 December 2020; LCH SA continues to benefit from the temporary permissions from Bank of England
28 September 2020
Circular No.
LCH Circular No 4113
Date:
28 September 2020
To:
All LCH Clearing Members