Ltd Member Updates
ForexClear - New Trade Sources
23 July 2015
Circular No.
LCH Circular No 3635
Service Circular No.
ForexClear Circular No 2
Date:
23rd July 2015
To:
All ForexClear Members (including FCM Clearing Members)
LCH.Clearnet Ltd – Update on Proposed Changes to PPS arrangements
23 July 2015
Circular No.
LCH Circular No 3636
Date:
23rd July 2015
LCH.Clearnet Limited EnClear – Fertilizer Contracts, Delisting (UNO/UAM/DNO)
15 July 2015
Circular No.
LCH Circular No 3634
Service Circular
EnClear Circular 431
Date:
15th July 2015
Collateral Operations Banking Reports Change
09 July 2015
Circular No.
LCH Circular No 3632
Date:
9th July 2015
EquityClear Settlement Costs in SIS
09 July 2015
Circular No.
LCH Circular No 3633
Service Circular No.
Equityclear Circularr No 33
Date:
9th July 2015
LCH.Clearnet Ltd Recognised Currency Holidays 2015 - Update
06 July 2015
Circular No.
LCH Circular No 3631
Date:
6th July 2015
Collateral Operations – Banking Reports Change
26 June 2015
Circular No.
LCH Circular No 3630
Date:
26 June 2015
To:
All LCH.Clearnet LTD Members
LCH.Clearnet Ltd - Migration of Member Reporting to Portal Reporting
26 June 2015
Circular No.
LCH Circular No 3628
Date:
26 June 2015
To:
All LCH.Clearnet EquityClear, EnClear, LSEDM, NLX, RepoClear and SwapClear Members
LCH.Clearnet Ltd & LLC – 3rd July period Service Opening, Margin Calls and Margin Management
24 June 2015
Circular No.
LCH Circular No 3629
Date:
24 June 2015
To:
All LCH.Clearnet Ltd Members
LCH.Clearnet Limited – Termination of Financial Conduct Authority (FCA) Data Feed – Regulatory Returns
23 June 2015
Circular No.
LCH Circular No 3626
Date:
23 June 2015
To:
All LCH.Clearnet Ltd Members