Ltd Member Updates
LDR/CDR/Accommodation Charge Notification
20 April 2016
Circular No.
LCH Circular No 3726
Date:
20th April 2016
To:
All LCH.Clearnet Limited Clearing Members
Adding Austraclear as a Collateral Location
19 April 2016
Circular No.
LCH Circular No 3725
Date:
19th April 2016
To:
All LCH Members
SwapClear and ForexClear EMIR Account Fee Billing Cycle Change
18 April 2016
Circular No.
LCH Circular No 3723
Date:
18th April 2016
To:
All LCH SwapClear & ForexClear Members
Changes to the LCH.Clearnet Limited Rulebook – Rulebook Committee of 11 April 2016
13 April 2016
Circular No.
LCH Circular No 3722
Date:
13th April 2016
To:
All LCH.Clearnet Clearing Members
Collateral Operations Enhancements
11 April 2016
Circular No.
LCH Circular No 3721
Date:
11th April 2016
To:
LCH.Clearnet Ltd – Collateral Operations Enhancements
Trade Reporting in Japan – Japanese SCM Branches of Non-Japanese SwapClear Clearing Members
05 April 2016
Circular No.
LCH Circular No 3720
Service Circualr No
SwapClear Circular No 151
Date:
5th April 2016
To:
LCH.Clearnet SwapClear Members
Updated Margin Rates
01 April 2016
Originating department:
Risk Management
Circular No.
LCH Circular No 3718
Service Circular No
LSE Derivatives Circular No 34
Date:
1st April 2016
To:
London Stock Exchange Derivatives Market Members
LCH.Clearnet – Member Reporting Changes
30 March 2016
Circular No.
LCH Circular No 3717
Date:
30th March 2016
To:
All LCH.Clearnet EquityClear, EnClear, LSEDM, NLX, RepoClear, SwapClear, ForexClear and CDSClear Members
Changes to the LCH.Clearnet Limited Rulebook – Rulebook Committee of 11 March 2016
24 March 2016
Circular No.
LCH Circular No 3716
Service Circular No.
SwapClear Circular No 149
Date:
24th March 2016
To:
All LCH.Clearnet SwapClear Clearing Members
EnClear Profit and Loss report change
18 March 2016
Circular No.
LCH Circular No 3715
Service Circular No.
EnClear Circular No 441
Date:
18th March 2016
To:
All LCH.Clearnet EnClear Clearing Members