Ltd Member Updates
Client Deposit Rate (CDR)
01 October 2015
Circular No.
LCH Circular No 3659
Service Circular
SwapClear Circular No 143
Date:
01 October 2015
To:
All LCH.Clearnet LTD Members
RepoClear Approved Trade Matching Systems and Automated Trading Systems Now Published on the Clearing House Website
15 September 2015
Circular No.
LCH Circular No 3657
Service Circular
RepoClear Circular No 221
Date:
15th September 2015
To:
All RepoClear Clearing Members
Expansion of EquityClear Clearing Services to Include Polish Securities
14 September 2015
Circular No.
LCH Circular No 3656
Service Circular
EquityClear Circular No 35
Date:
14th September 2015
To:
All LCH.Clearnet EquityClear Members
Change in Margin Model for Freight Option Contracts
11 September 2015
Circular No.
LCH Circular No 3654
Service Circular No.
EnClear Circular No 433
Date:
11th September 2015
To:
All LCH.Clearnet EnClear Members
Changes to the LCH.Clearnet Limited Rulebook - Rulebook Committee of 02 September 2015
11 September 2015
Circular No.
LCH Circular No 3655
Date:
11th September 2015
To:
All LCH.Clearnet Ltd Members
Collateral Operations – Update on Changes to Billing, Settlement and Reporting of Collateral Fees
09 September 2015
Circular No.
LCH Circular No 3652
Date:
9th September 2015
To:
All LCH.Clearnet Ltd Members
CHF payments Migration to Swiss National Bank
08 September 2015
Circular No.
LCH Circular No 3651
Date:
8th September 2015
To:
All LCH.Clearnet Ltd Members
Changes to the LCH.Clearnet Limited Rulebook and FCM Rulebook – Rulebook Committee of 02 September 2015
04 September 2015
Circular No.
LCH Circular No 3650
Date:
4th September 2015
To:
All LCH.Clearnet Ltd Members
Correction - Changes to LCH.Clearnet Ltd Rulebook
04 September 2015
Circular No.
LCH Circular No 3649
Date:
4th September 2015
To:
All LCH.Clearnet Ltd Members
Changes to the LCH.Clearnet Limited Rulebook Section 3 Financial Transactions - PPS
02 September 2015
Circular No.
LCH Circular No 3648
Date:
2nd September 2015
To:
All LCH.Clearnet Ltd Members