3 February 2014 - EMIR Update: Trade Repository - LCH.Clearnet approach
24 January 2014 - EMIR update: Intra-Day Margin Call (IDMC) and Wrong Way Risk (WWR) launch date reminder
22 January 2014 - EMIR update: target account structure – On boarding process follow-up
08 January 2014 - EMIR Update: Trade Repository - MIC and LEI
07 January 2014 - Holding and processing collateral with LCH.Clearnet Ltd and SA under EMIR
17 December 2013 - Fixed Income New Tariff Structure
16 December 2013 - EMIR Update: Trade Repository - LEI collection
12 December 2013 - EMIR Update Risk Management Confirmation Of Implementation Dates
10 December 2013 - EMIR Update: Risk Management – Implementation Dates & Methodologies
10 December 2013 - PDF 1: Wrong Way Risk Principles Presentation
10 December 2013 - PDF 2: Intra-day Margin Call On Cash Equities Methodology
10 December 2013 - PDF 3: Intra-day Margin Call On Commodities Methodology
04 December 2013 - LCH.Clearnet SA closing days
04 December 2013 - EMIR update - EMIR account structure on boarding - reminder
25 November 2013 - Bulletin: EMIR update: Risk Management - Implementations Postponed
25 November 2013 - SA ETD UTI Methodology
25 November 2013 - EMIR Bulletin Trade Repository
21 November 2013 - Data download on website
14 November 2013 - EMIR Update - Risk Management Changes
4 November 2013 - EMIR Update - Target Account Structure On Boarding Process
25 October 2013 - EMIR update: upgrades of collateral flows with DNB/BNB and new treasury reports implementation on the 4th of November 2013
22 October 2013 - EMIR Update - Account structure implementation and offering update
18 October 2013 - EMIR Update - Data download on website
02 October 2013 - Cash and Derivatives EMIR Test
27 September 2013 - Clearing Fee Holiday for New Currency Pairs
25 September 2013 - EMIR Update
18 September 2013 - Trade Repository Selection
28 January 2013 - Interest Rates on Cash Collateral
21 January 2013 - Electronic Invoices: Useful Process Reminders
3 January 2013 - Volume incentive scheme on Paris Commodity contracts
27 December 2012 - Fee grid update 2013
17 October 2012 - Implementation of the buy-in procedure - Regulation of the European Parliament and of the Council of the European Union
22 May 2012 - LCH.Clearnet SA - Program and Project update Q2 2012
29 March 2012 - CASSIOPEIA Extended Membership Fee holiday
22 March 2012 - Launch of new AMX index futures and options contracts - Clearing fee incentives
5 March 2012 - Buy-in Procedures
1 March 2012 - Extension of collateral assets accepted
17 February 2012 - Customer Technical Helpdesk Extended Support Hours
31 January 2012 - Changes in LCH.Clearnet SA's Default Fund risk calculation methodology on the Cash and Derivatives Default Fund and on the Fixed Income Default Fund
13 January 2012 - LCH.Clearnet SA - Program and Project update Road Map Q4 2011
23 December 2011 - LCH.Clearnet SA Fee Grid Updates for 2012
21 December 2011 - Delivery procedure applied to milling wheat future contract
2 December 2011 - CASSIOPEIA Membership Fee holiday
29 November 2011 - Member Default Update
31 October 2011 - Member Default Information
14 October 2011 - Program and project roadmap 14/10/2011
14 October 2011 - LCH CN SA - Program and project update Q3 2011
27 September 2011 - Update of LCH.Clearnet SA fee grid - EONIA Rate
11 July 2011 - LCH.Clearnet SA - Program project update July 2011
11 July 2011 - Program project update July 2011
14 April 2011 - LCH.Clearnet SA - Program project update April 2011
14 April 2011 - Program project update April 2011
13 January 2011 - Securities on the Luxembourg cash segment as guaranteed securities
13 January 2011 - List of new securities guaranteed on Luxembourg cash segment
22 December 2010 - LCH.Clearnet SA - Program project update December 2010
22 December 2010 - Program project update December 2010
21 December 2010 - LCH.Clearnet SA Fee Grid Updates for 2011
2 November 2010 - Update of EONIA rate
28 October 2010 - Buy-ins historical data available on our website www.lchclearnet.com
22 October 2010 - LCH.Clearnet SA to clear Spanish government bonds and repos
27 September 2010 - Skimmed milk powder futures
10 September 2010 - Clearing fee adjustment due to corporate actions
30 June 2010 - Weekly Options on individual shares
28 June 2010 - Update of LCH.Clearnet SA fee grid - Settlement related costs
14 June 2010 - Treasury services update
7 May 2010 - Malting Barley futures and options
15 April 2010 - Update of LCH.Clearnet SA fee grid - Portuguese equity market
22 March 2010 - Update of LCH.Clearnet SA fee grid
29 January 2010 - Tariff Update
24 December 2009 - 2010 LCH.Clearnet SA Fee Grid
21 December 2009 - CDS status update
30 October 2009 - Tariff Update
15 September 2009 - Tariff Update
2 June 2009 - Derivatives Tariff Update
20 May 2009 - Fee reduction on cash equity clearing fees
28 April 2009 - Fee decrease Trackers/ETF
28 April 2009 - Letter of intent - Liquidity Provider Status
2 April 2009 - Termination of clearing services for Powernext markets
31 March 2009 - Update Tariffs
13 March 2009 - Termination of clearing services for Powernext markets
3 March 2009 - Termination of clearing services for Powernext markets: Tests
23 February 2009 - Termination of clearing services for Powernext markets: reminder
10 February 2009 - Termination of clearing services for Powernext: Testing Phase
30 January 2009 - BlueNext's Market Makers fee holiday
23 December 2008 - 2009 Fee Grids
15 December 2008 - Termination of clearing services for Powernext markets
17 November 2008 - CLEARING 21® trademark replacement
10 November 2008 - Deliveries Process for BlueNext
19 September 2008 - Update on current situation further to our declaring Lehman Brothers International Europe in default
18 September 2008 - Update on Default Notice
16 September 2008 - Transfer of client positions on derivatives markets