Ltd Member Updates
Revision to ForexClear Fee Tariffs, Effective 1st January 2017
01 November 2016
Circular No.
LCH Circular No 3802
Sevice Circular No.
ForexClear Circular No 3
Date:
1st November 2016
To:
All LCH Ltd Clearing Members
LSEDM Static Data Forms
31 October 2016
Circular No.
LCH Circular No 3801
Service Circular No
EquityClear Circular No 56
Date:
31st October 2016
To:
All EquityClear and LSE-DM Members
Collateral Operations – Go-Live Dates for Changes to Billing, Settlement and Reporting of Collateral Fees
28 October 2016
Circular No.
LCH Circular No 3799
Date:
28th October 2016
To:
All LCH Ltd Clearing Members
LCH.Clearnet Ltd Recognised Currency Holidays 2016 – Update
28 October 2016
Circular No.
LCH Circular No 3800
Date:
28th October 2016
To:
All LCH Ltd Clearing Members
Reminder Extension of GBP Cash Window for Intraday Member Margin PPS Calls
27 October 2016
Circular No.
LCH Circular No 3798
Date:
27th October 2016
To:
All LCH Ltd Clearing Members
LDR/CDR/RDR/Accommodation Charge Notification
18 October 2016
Circular No.
LCH Circular No 3797
Date:
18th October 2016
To:
All LCH Ltd Clearing Members
Collateral Arrangements for the Period 4th November Until 10th November
17 October 2016
Circular No.
LCH Circular No 3796
Date:
17th October 2016
To:
All LCH Ltd Clearing Members
Changes to the LCH CommodityClear Coal Futures clearing service
14 October 2016
Circular No.
LCH Circular No 3795
CommodityClear Circular No 448
Date:
14th October 2016
To:
All LCH Ltd Clearing Members
Extension of GBP cash window for intraday PPS Calls
12 October 2016
Circular No.
LCH Circular No 3793
Date:
12th October 2016
To:
All LCH Ltd Clearing Members
LCH and Voltage SecureMail
10 October 2016
Circular No.
LCH Circular No 3792
Date:
10th October 2016
To:
All LCH Ltd Clearing Members