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Circulars

2014
25 June-EMIR Account Fees for EnClear, LME, LSE DM, NLX and Nodal Clearing Members
24 June-LCH.Clearnet Ltd Interest Calculations on Cash Balances
24 June-LCH.Clearnet LLC Interest Calculations on Cash Balances
23 June-LSE Trade flow change effective Monday 30 June 2014
17 June-Improvements to buffer margin processing - Enclear, LME, London Stock Exchange Derivatives and NLX
12 June-LCH.Clearnet Ltd receives EMIR authorisation
09 June-LCH.Clearnet LTD - Collateral Management System (CMS) - New Features
02 June-LCH.Clearnet Ltd - Euroclear UK and Ireland (EUI) SWIFT Messaging changes
29 May-LCH.Clearnet LTD - Implementation of Newly Nominated Distribution Lists for Intra-day Margin Calls
29 May-LCH.Clearnet LLC - Implementation of Newly Nominated Distribution Lists for Intra-day Margin Calls
27 May-LCH.Clearnet EnClear BDI Contract - Delisting
22 May-LCH.Clearnet Ltd Treasury Default Loss Allocation Reporting
20 May-LCH.Clearnet LLC US Holiday Banking Arrangements
16 May-Timezone Harmonisation - Accepting Trades with Trade Date T+1
15 May-LCH.Clearnet Ltd – Banking System Upgrade
15 May-LCH.Clearnet LLC – Banking System Upgrade
09 May-Acceptable Collateral Haircut Review – LCH.Clearnet Ltd
07 May-LCH.Clearnet Ltd – Banking System Upgrade
07 May-LCH.Clearnet LLC – Banking System Upgrade
06 May-LCH.Clearnet LTD – Collateral Management System (CMS) Changes
06 May-Decommissioning of TRS/CPS for Nodal Exchange
28 April-Launch of new Capesize Timecharter and Capesize Option contracts in the LCH.Clearnet OTC Freight Forward Agreement (FFA) Clearing Service
15 April-LCH.Clearnet Ltd Notification of Intra-day Margin Calls - Email Addresses
15 April-LCH.Clearnet LLC Notification of Intra-day Margin Calls - Email Addresses
10 April-London Stock Exchange Derivatives Markets (LSEDM) - Interoperating CCP Margin cover for Oslo Børs
08 April-LCH.Clearnet Ltd - Margin Management – Collateral Substitution during Easter period
07 April-Security Deed Arrangements under EMIR
04 April-LCH.Clearnet Ltd – Liquidity and Concentration Risk Margin for LME , NLX, LSEDM and EnClear Markets
03 April-LCH.Clearnet Ltd Banking Arrangements – Easter 2014
01 April-Scheduled LCH.Clearnet Data Centre Switchover
01 April-Scheduled LCH.Clearnet Data Centre Switchover - LLC
31 March-NLX Ltd notice - Clearing Fees for NLX transcations - waiver extension
25 March-LCH.Clearnet - Limited Decommissioning of Banking Reports
24 March-LCH.Clearnet Ltd - Changes in Margin Management
12 March-LCH.Clearnet Ltd Collateral Management System (CMS) - Cash Instruction Splitting
12 March-LCH.Clearnet LLC Collateral Management System (CMS) - Cash Instruction Splitting
07 March-SwapClear Decommissioning of DeClear Functionality
07 March-SwapClear Decommissioning of DeClear Functionality - LLC
05 March-LCH.Clearnet Ltd - Decommissioning of Banking Price Reports
05 March-LCH.Clearnet LLC - Decommissioning of Banking Price Reports
05 March-Implementation of Liquidity Add-on for cleared Nodal Exchange contracts 10 March 2014
28 February-SwapClear Compression Offering Pricing
27 February-RepoClear Default Fund: Review of Cap Size
27 February-Member Self Certification on Nodal Clearing System
27 February-Banking Report Changes - Ltd: Final Update
27 February-Banking Report Changes - LLC: Final Update
24 February-Approved Trade Source System
24 February-Approved Trade Source System (LLC)
19 February-Update – Oslo Bors decimal place change
17 February-LCH.Clearnet Ltd Change to Tri-Party Operating Procedures
17 February-LCH.Clearnet Ltd Acceptable Collateral Haircut Review
17 February-LCH.Clearnet LLC Acceptable Collateral Haircut Review
14 February-Change of Contact for London Stock Exchange Derivatives Market BCS Clearing activities
12 February-LCH.Clearnet Ltd SwapClear Compression Offering Update
11 February-Banking Report Changes - Ltd: Update
07 February-LCH.Clearnet Ltd Opening Days 2014
06 February-Scheduled LCH.Clearnet Data Centre Exercise
06 February-Scheduled LCH.Clearnet Data Centre Exercise -LLC
06 February-LCH.Clearnet Ltd: Migration of "Non-Segregated" Client Business by 31 March 2014 - EnClear, LSE Derivatives Market and NASDAQ OMX NLX services
05 February-EquityClear service to include Oslo Bors
23 January-Refinements to Intra Day and EOD reports for the LCH EnClear OTC Clearing Service
23 January-LCH.Clearnet Ltd – Draft EMIR Rulebook
21 January-LCH.Clearnet Ltd – Liquidity Add-on for cleared Nodal Exchange contracts
20 January-LCH.Clearnet Limited – EquityClear pricing
17 January-LCH.Clearnet LLC Recongnised Currency Holidays 2014
16 January-LCH.Clearnet Ltd Recongnised Currency Holidays 2014
14 January-EquityClear Service enhancement
07 January-Holding and processing collateral with LCH.Clearnet Ltd and SA under EMIR
02 January-Changes to fees for LLC Protected Payments System (PPS*) services
2013
31 December-LCH.Clearnet Ltd - Clarification of margin and netting provisions
23 December-EquityClear Margin Algorithm Changes for CFDs
23 December-Clearing fees for NLX transactions - waiver extension
20 December-Banking Report Changes - Ltd
20 December-Banking Report Changes - LLC
17 December-Fixed Income New Tariff Structure
09 December-New Workflow for SEF Trades - Ltd
09 December-New Workflow for SEF Trades - LLC
09 December-Backloading of SwapClear Transactions - Ltd
09 December-Backloading of SwapClear Transactions - LLC
05 December-LCH.Clearnet Rulebook: Notification of proposed rule amendments in relation to margin-taking, payment netting and close-out netting
05 December-LCH.Clearnet Ltd Christmas and New Year Payment Arrangements 2013
05 December-LCH.Clearnet LLC Christmas and New Year Payment Arrangements 2013
02 December-EquityClear - trade flow
02 December-Christmas and New Year Opening Times
29 November-Reminder - Security Deed Arrangements under EMIR
26 November-Return of Unallocated Excess and FCM Buffer - Ltd
26 November-Return of Unallocated Excess and FCM Buffer - LLC
26 November-Multilateral Compression – Rulebook update
26 November-CMS - SWIFT MX Messaging Service Released - Ltd
26 November-CMS - SWIFT MX Messaging Service Released - LLC
25 November-Changes to fees for LLC Protected Payments System (PPS*) services
21 November-Clearing System Conversion for Nodal Exchange
15 November-LCH.Clearnet Ltd - Banking Reports Reference Guide - updated for EMIR
14 November-Changes to the CMS Access Agreement - Ltd
14 November-Changes to the CMS Access Agreement - LLC
06 November-Nodal US Bank Holiday Intraday calling procedures
05 November-SwapClear Tolerance changes - Ltd
05 November-SwapClear Tolerance changes - LLC
29 October-RepoClear Default Fund: Review of Cap Size
29 October-Reminder of changes to LCH EnClear intra-day and EOD reports
29 October-Change of responsibility for London Stock Exchange Derivatives Market expiry Process
29 October-Bilateral Termination
25 October-EquityClear – EMIR individual client segregated accounts
18 October-Security Deed Arrangements under EMIR
18 October-LCH.Clearnet Ltd - SwapClear Updated Liquidity Margin Levels
18 October-LCH.Clearnet LLC - SwapClear Updated Liquidity Margin Levels
15 October-LCH.Clearnet Ltd - Collateral Management System - SWIFT MX Messaging Service
15 October-LCH.Clearnet LLC - Collateral Management System - SWIFT MX Messaging Service
15 October-General Default Fund Restrike: Ballot Result Announcement
14 October-LCH.Clearnet Ltd - Update to Process for Portfolio Transfers Without Collateral
14 October-LCH.Clearnet Ltd - Discontinuation of EURIBOR Tenors, 1 November 2013
14 October-LCH.Clearnet LLC - Discontinuation of EURIBOR Tenors, 1 November 2013
11 October-EquityClear – Margin Parameters
08 October-Updates - Collateral Management System (Ltd)
08 October-Updates - Collateral Management System (LLC)
07 October-Changes to Intra Day and EOD reports for the LCH EnClear OTC Clearing Service
02 October-SwapClear Acceptable Routing of Transactions LTD
02 October-SwapClear Acceptable Routing of Transactions LLC
25 September-LCH EnClear Container Freight contracts – Container route suspension
24 September-Nodal Exchange FCM Transition
20 September-Association of Banks in Singapore changes to SGD-SOR reference rates LTD
20 September-Association of Banks in Singapore changes to SGD-SOR reference rates LLC
19 September-EquityClear Margin Algorithm Changes
18 September-Turquoise Derivatives to London Stock Exchange plc
18 September-Trade Repository Selection
07 August-LCH.Clearnet Ltd Acceptable Collateral Haircut Review
07 August-LCH.Clearnet LLC Acceptable Collateral Haircut Review
05 August-LCH.Clearnet Internal Internet and BT Radianz Tests
30 July-LCH.Clearnet Internal BT Radianz Tests
30 July-Affiliate Treatment – Guidance for FCM Clearing Members of LCH.Clearnet Limited
25 July-LCH.Clearnet Disaster Recovery Tests
10 July-SFTP service for member reporting - update
09 July-LCH.Clearnet Ltd Banking Report Changes
05 July-Invitation to participate in LCH.Clearnet Disaster Recovery Tests
04 July-SFTP service for Member reporting
02 July-Postponement of Initial Determination Date
28 June-Change to timeout settings for idle connections on MemberWeb Service
26 June-Circular issued pursuant to the Default Regulations of LCH.Clearnet LLC
25 June-Changes to Portfolio Transfers
20 June-Changes to Portfolio Transfers
14 June-Postponement of Scheduled LCH.Clearnet Data Centre Switchover
07 June-Turquoise Derivatives - UK Single Stock Options
07 June-Scheduled LCH.Clearnet Data Centre Switchover
04 June-Amendment to Acceptable Collateral
03 June-SwapClear US Launch
31 May-LCH.Clearnet LLC - SwapClear US
24 May-MemberWeb logon improvements
18 May-Hong Kong Mercantile Exchange
17 May-LCH.Clearnet Ltd Banking Reports Availability
16 May-Real Time Trade Registration
15 May-Changes to the LME fees schedule
13 May-SwapClear Member Notification
09 May-Performance Bonds as acceptable collateral
08 May-FCM Clearing Membership Amendment
23 April-EquityClear Trades
19 April-Change to EnClear intraday report (ECS_MBRITR.CSV)
15 April-LCH.Clearnet Limited Banking Report Changes
08 April-Collateral Management System
28 March-Successful management of the Cyprus Popular Bank Co Ltd default
28 March-Default Fund: Review of Cap Size
27 March-Restructuring of the LCH.Clearnet Ltd. General Default Fund and associated default management processes
27 March-Requirement for FCMs to Email Account Debit Instructions
27 March-MemberWeb Service improvements
27 March-LCH.Clearnet Ltd - Banking Report Generation During Easter 2013
27 March-Invoicing Back: General Business
22 March-LCH.Clearnet Ltd Opening - Good Friday 29 March 2013
18 March-ERA Parameters and PC ERA update
13 March-SwapClear Member Notification
12 March-Extension of opening hours for LCH EnClear Coal Options service
12 March-Collateral Management System Upgrade
05 March-LCH.Clearnet Limited Banking Report Changes
01 March-Changes to fees for Protected Payments System (PPS) services
27 February-Collateral Management System
22 February-Change to EnClear intra day and end of day trade reports
23 January-LCH.Clearnet Ltd Opening Days 2013
18 January-Group Fixed Income Margin
11 January-Changes to fees for Protected Payments System (PPS) services
10 January-LCH.Clearnet Ltd Recongnised Currency Holidays 2013
10 January-EquityClear fees January 2013
2012
31 December-Technology Incident
21 December-Fixed Income Default Fund Phase 2: Ballot Result Announcement
13 December-Launch of new EnClear Freight and Fertilizer contracts
27 November-Christmas and New Year Payment Arrangements 2012
26 November-EquityClear Testing dates Q1 & 2, 2013
26 November-Christmas and New Year Opening Times 2012
23 November-Fixed Income Default Fund Phase 2 Ballot process commencement
21 November-Changes Related to Margin reports
15 November-Information relating to December 2012 LCH EnClear OTC Emissions deliveries
13 November-Further Amendments to the LSOC Rules Regarding the Allocation of Gains or Losses Associated with the Auction/Liquidation of Non-Porting Clients
07 November-Member Reporting Availability
05 November-LSOC update - Guidance for FCM Clearing Members
01 November-Member Reporting Availability
01 November-LSOC Implementation Update (CFTC Regulation Part 22 - Protection of Cleared Swaps Customer Contracts and Collateral)
25 October-EquityClear service to include The London Stock Exchange International Board
25 October-Change to minimum trade size for LCH EnClear Coal Options
19 October-Changes to interest compensation for EURO and USD
16 October-Implementation of the Buy-in Procedure Regulation of the European Parliament and of the Council of the European Union
12 October-Monthly Interest and Accommodation Invoice Changes
11 October-Important Information Regarding Secure Connections to LCH.Clearnet
18 September-Intra-day Margin Call Improvements and New Banking Report
05 September-Member Reporting Availability
31 August-Scheduled LCH.Clearnet Data Centre Switchover
31 August-Amendment to rules for payment arrangements
21 August-Gold as Collateral Acceptable for Margin Cover Purposes
31 July-Changes to interest structure of margin collateral in LCH.Clearnet Limited
26 July-Member Reporting Infrastructure Maintenance
25 July-New Invoice Format for Nodal Exchange
25 July-Futures Commission Merchant (FCM) Update for Enclear and Nodal Exchange Clearing Members
26 June-Buy-in Regulation Notification
25 June-Enhancements to EquityClear service
21 June-Member Reporting Availability
19 June-Extension of the Cape and Panamax Timecharter contracts (CTC and PTC)
29 May-Equiduct UK business
24 May-Changes to LCH.Clearnet Limited Banking Reports
18 May-Changes to LCH.Clearnet Limited Banking Reports
30 April-EquityClear Testing dates Q3 & 4, 2012
26 April-SwapClear Member Circular
26 April-Member Circular
26 April-ForexClear Member Circular
25 April-New Issuer of Securities Acceptable for Margin Cover Purposes
13 April-Turquoise Derivatives Fee Invoices
13 April-PC BODS X25 Dial up
03 April-Buying-in process for Depositary Receipts
29 March-Member Reporting Availability
29 March-Haircut Review - Securities Provided for Margin Cover Purposes
22 March-Scheduled LCH.Clearnet Data Centre Switchover
05 March-Buy-in Procedures
29 February-Fee Holiday for API 2 and API 4 coal swaps and change to minimum trade size
28 February-Launch of an additional two container freight contracts in the LCH.Clearnet EnClear OTC clearing service
23 February-Change to report timings (FX rates and Bond Prices)
21 February-Acceptable Collateral Haircut Review
20 February-OTC Bullion Clearing Service Enhancement to Variation Margin Methodology
20 February-Intraday Margin Call Procedure
16 February-Introduction of Clearing of Bilaterally Traded Over The Counter Silver Forward Contracts
31 January-Scheduled IT Disaster Recovery Exercise
25 January-Delivery and settlement of Turquoise Derivatives physical deliveries through the EquityClear service
24 January-Preferential Currencies
16 January-Turquoise Derivatives service status message
16 January-SwapClear DMP Fire Drill
16 January-Liffeclear clearing member service status message
16 January-Launch of LCH EnClear OTC clearing service for Iron Ore Options
11 January-Launch of new $/tonne wet freight contracts
05 January-Member Reporting Infrastructure Maintenance
05 January-LCH.Clearnet Ltd Recognised International Currency Holidays 2012
03 January-LCH.Clearnet Opening Days 2012
2011
12 December-Introduction of LME Swaps Contracts on The London Metal Exchange
09 December-LCH EnClear Forward Emissions Contracts - December 2011 deliveries
08 December-Delivery and settlement of Turquoise Derivatives physical deliveries through the EquityClear service
02 December-SwapClear Enhancement in Valuation Methodology (Variation Margin Calculation)
01 December-Member Reporting Availability
29 November-Enhancements to the EquityClear service
28 November-Member notification: SwapClear Service Upgrade for FCM II and PEP Release
23 November-Christmas and New Year Opening Times
18 November-EquityClear Testing Dates Q1 & Q2 - 2012
10 November-SwapClear FCM Model: Migration from T4 to T2 Model
03 November-Re-scheduled I.T Disaster Recovery exercise
31 October-MF Global UK Ltd
31 October-EquityClear service to include Turquoise
31 October-EquityClear service includes Italian ISINs traded on Equiduct
26 October-Member Reporting availability 5 and 6 November
26 October-LCH.Clearnet Ltd Christmas Period 2011
20 October-New Issuer in the Acceptable Margin Collateral List
19 October-Amendment of AA €GC Baskets
18 October-EquityClear Tender offer of MMC Norilsk Nickel
17 October-EquityClear changes to settlement invoicing
12 October-Change to EquityClear settlement details in Norway
06 October-EquityClear service extension to include Turquoise
29 September-Valuation of Treasury Bills Held as Member Margin Collateral
12 September-Margining of contracts with negative or near zero prices
06 September-Collateral By Member report update
24 August-Extension of the listed series for the C3E contract in LCH.Clearnet's FFA Clearing Service
22 August-Changes to Member Reporting for Derivatives Clearing Members
11 August-Introduction of Additional Volatility Quotes for LME Traded Options and TAPOs
04 August-Banking Reports Update
29 July-Extension of clearing for P2A and P3A Freight routes, settling against average all index days
22 July-Extension of Non-Cash Margin Collateral Deadlines
19 July-BATS Pan-European Clearing
18 July-Reductions in Clearing Fees for the OTC freight clearing service
11 July-EquityClear change to Member Reporting
08 July-Synapse for LME - Maintenance Release 18 July 2011
08 July-Chi-East service extension to include Australian ISINs
07 July-LCH.Clearnet to accept CAD as collateral
07 July-EquityClear service settlement instructions into SIS
07 July-EquityClear service - change to member report
04 July-Changes to the LCH EnClear Hot Rolled Coil contracts
28 June-CFTC proposed relief from certain provisions of Dodd-Frank Act
27 June-Member Reporting availability 2 - 3 July
17 June-Launch of Clearing Service for Emissions Options Contracts
13 June-Introduction of further fee reductions for the EnClear OTC Clearing service for FFAs
06 June-Extension of LCH EnClear Freight Clearing service to Baltex
01 June-Changes to Member Reporting for Derivatives Clearing Members
31 May-SwapClear DMP Fire Drill
31 May-BATS pan European Clearing
25 May-EquityClear Testing dates Q3 & 4, 2011
23 May-Additional Charges imposed by Euroclear UK & Ireland
20 May-Acceptable Collateral Haircut Review
04 May-Synapse for LME - Synapse for LME - Maintenance Release July 2011
03 May-LME clearing services
26 April-NYSE Liffe Margin Calls
21 April-Integration of EDX London Limited into Turquoise Global Holdings Limited
20 April-NYSE Liffe Margin Calls
19 April-NYSE Liffe Margin Calls
13 April-Integration of EDX London Limited into Turquoise Global Holdings Limited
12 April-Easter Banking Arrangements
08 April-Network Maintenance Planned for 16 April 2011
31 March-Nodal Exchange Current Month Margining
31 March-Member Reporting availability for weekend 1 - 3 April 2011
28 March-Introduction of a new Fertilizer Contract in the LCH EnClear OTC Service
25 March-LCH.Clearnet Ltd Opening Days 2011 - Easter
25 March-Amendment of RepoClear €GC Baskets to exclude Portugal
24 March-Management of Sovereign Credit Risk for RepoClear Service
18 March-Enhanced Member Reporting
02 March-NYSE Liffe equity settlements - Euroclear Partials
02 March-Changes to EquityClear Member Reports
28 February-Nodal Exchange Current Month Margining
28 February-EquityClear service to include additional ISINs on SIX Swiss Exchange
23 February-Acceptable Collateral Alignment and Haircut Review
18 February-Enhanced Member Reporting
17 February-Introduction of Additional Volatility Quotes for LME Traded Options
10 February-Addition to Agency Collateral Category in the Acceptable Collateral List
26 January-Changes to strike prices for the CTO Options within the OTC clearing service for freight
26 January-Additional National Holiday - Changes to ECS
25 January-OTC Clearing Service for API 2* and API 4* Coal Option Contracts - Amendment to Last Trading Day
20 January-Launch of OTC Clearing Service for API 2* and API 4* Coal Option Contracts
19 January-LCH EnClear EUA and CER Spot Emissions Contracts - Temporary Market Closure
18 January-Additional National Holiday - changes to LME Synapse
17 January-CER Service Extension - LCH EnClear OTC Forward CER Contracts
07 January-LCH.Clearnet Ltd Recognised International Currency Holidays 2011
05 January-LCH EnClear Spot and Forward Emissions Contracts- CO2 accounts of Holcim Romania
2010
10 December-LCH.Clearnet Ltd Opening Days 2011
09 December-Amendment of RepoClear €GC Baskets to exclude Ireland
08 December-Changes to strike prices for the STO Option and the listed series of the PTO Option within the OTC clearing service for freight
03 December-LCH EnClear Spot and Forward Emissions Contracts- CO2 accounts of Holcim Romania illegally accessed
25 November-Christmas and New Year Opening Times
24 November-Waiver of Clearing Fees for LMEminis
24 November-Extension of LCH EnClear OTC Clearing Service to two additional Steel contracts
09 November-Additional EquityClear member report
05 November-Launch of new $/tonne wet freight contract
04 November-Changes to strike prices for the HTO Option and extension of the C3E and C5E contract series within the OTC clearing service for freight
02 November-Suspension of €GC Greek Country Baskets
01 November-VAT: proposed reverse charge accounting for businesses trading in emissions allowances
01 November-Fee reductions for the EnClear OTC Clearing service for Freight
25 October-Electronic Fee Invoicing - Email Notifications
25 October-Acceptable Haircut Collateral Review
12 October-Launch of LCH EnClear OTC Clearing Service for Hot Rolled Coil Steel Swap contracts
12 October-EquityClear service extension to include Chi-East
11 October-Introduction of Clearing of Bilaterally Traded OTC Gold Forwards Contracts
11 October-Adoption of IOSDA forward curve for margining iron ore swaps in the LCH.Clearnet OTC Service: Freight Division
06 October-Amendment of AA €GC baskets to exclude Ireland
05 October-Management of Sovereign Credit Risk for RepoClear Service
24 September-EquityClear Testing dates Q1 and 2, 2011
22 September-Member Reporting Service Enhancement
21 September-Changes to EquityClear Tariff
14 September-Introduction of a new Fertilizer Contract in the LCH.Clearnet OTC Service: Freight Division
06 September-Launch of OTC Clearing Service for Coal Swap Contracts Settled Against Argus/McCloskey API 2* and API 4* Indexes
18 August-EquityClear OTC Clearing service
16 August-Addition of Dry Trip Timecharter Route P1A to LCH.Clearnet's FFA clearing service
13 August-SwapClear: Revised Initial Margin Multipliers
05 August-ERCOT current month margining
02 August-Banking Reports Available in PDF Format on Member Reporting
26 July-Changes to EquityClear settlement related invoices
26 July-Changes to EquityClear Member Reports
14 July-Synapse Go-Live weekend for LME
08 July-Launch of new $/tonne wet freight contracts
08 July-DA/RT Spread Margining
30 June-Synapse Implementation for LME
28 June-Changes to EquityClear Member Reports
23 June-Launch of LCH EnClear OTC Clearing Service for Container Freight Swap Agreements
21 June-Changes to FX and Interest Rate in the Xi+ feed
16 June-Synapse Implementation for LME
16 June-OIS discounting valuation adjustments
11 June-LCH EnClear Spot and Forward Emissions Contracts- Phishing attacks on European emissions trading registry accounts
11 June-Acceptable Collateral Haircut Review
03 June-Launch of OTC Clearing Service for Containers
03 June-LME Matching and Clearing System unavailable on weekends begining Saturday 5 and 12 June 2010
26 May-LCH.Clearnet Ltd EquityClear Service Testing Dates
21 May-SwapClear DMP Fire Drill June 2010
11 May-Introduction of new contracts in the LCH.Clearnet OTC Forward Freight Agreement FFA Clearing Service
06 May-Changes to EquityClear Member Reports
22 April-SwapClear: Extensions to service
16 April-New Collateral Category in the Acceptable Collateral List
15 April-Changes to EquityClear Member Reports
30 March-Service Extension for LCH EnClear OTC Forward EUA Contracts
22 March-Electronic Fee Invoicing - Backloading date change and email notifications
19 March-Circular issued pursuant to Rule 5 of LCH.Clearnet Limited's Default Rules
18 March-Changes to EquityClear Member Report EREP0006
17 March-EquityClear Service Extension to include Centrally Cleared CFD's
15 March-Change in margining methodology for freight options (CTC, PTC, STC), physical codes (CTO, PTO, STO)
15 March-LCH.Clearnet EnClear Spot and Forward CER Contract - CER Credits Permissible for Delivery
12 March-Electronic Fee Invoicing
12 March-Acceptable Collateral Haircut Review
11 March-Easter Banking Arrangements
04 March-Service Extension for LCH EnClear OTC Forward EUA Contracts
22 February-Changes to EquityClear Member Report EREP0006
18 February-Synapse Implementation on LME - Member Testing update
18 February-Fee Reduction for LCH EnClear Spot EUA and CER Emissions Contracts
12 February-Cross Margining Agreement Review
08 February-Link Agreement between LCH.Clearnet and SIX x-clear AG
27 January-SwapClear Extended Opening Hours
22 January-Recognised Currency Holidays 2010
22 January-LCH.Clearnet Ltd Opening Days 2010
19 January-Introduction of clearing of Cobalt and Roasted Molybdenum Concentrate futures contracts on the London Metal Exchange
18 January-Processing of New User and Position Account requests in ECS for LCH.Clearnet EnClear OTC markets