Business Streams

Circulars

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2012
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
2009
16 December-Securities Provided Pursuant to a Client Consent Form
11 December-PPS Arrangements
08 December-EquityClear® service extension to include Irish securities executed on BATS Europe
08 December-Amendment of single A €GC baskets to exclude Greece
02 December-EquityClear service extension to include Chi-East
30 November-Fee holiday for FFAs and Iron Ore swaps Contracts
27 November-Delivery of December 2009 EUA and CER Forward Emissions Contracts
27 November-Christmas and New Year Opening Times
26 November-EDX Technology Roadmap Changes
13 November-EDX Technology Roadmap Changes
02 November-EquityClear service and Interoperability
27 October-EDX Technology Roadmap Changes
26 October-EquityClear service and Interoperability
26 October-An announcement by the Company Secretary.
23 October-Decommissioning of the LCH EnClear OTC clearing service for UK Power and Gas contracts
20 October-Reminder of Changes to IP addresses
20 October-New Invoicing System
30 September-New Collateral Issuer Category in the Acceptable Collateral List
29 September-Launch of LCH EnClear OTC Clearing Service for Fertilizer Swaps
28 September-Changes to IP addresses
24 September-EquityClear Regulations
14 September-EquityClear service to include all SIX Swiss Exchange Equities
11 September-NYSE Euronext LIFFE Equity Derivatives - Changes to Margining and Settlement
07 September-Implementation of Limits on the Acceptance of Performance Bonds
21 August-Changes to Strike Prices for the PTO Option within the FFA Clearing Service
18 August-Introduction of LCH.Clearnet EnClear OTC Clearing Service for Fertilizer Swaps
04 August-EquityClear service extension to include NYSE Arca Europe
31 July-Zero Rating of VAT on Emissions Contracts
31 July-Reminder of EnClear operating times for OTC cleared contracts on ECS
29 July-Commencement of NYSE Liffe Clearing Arrangements
24 July-Commencement of NYSE Liffe Clearing Arrangements
21 July-Change to Operating Times for OTC Cleared Emissions Contracts
20 July-Changes to EquityClear Member Reports
13 July-Introduction of Fee Holiday for Spot EUA and CER Emissions Contracts
03 July-EquityClear service extension to include Chi-X Europe
03 July-EquityClear service extension to include BATS Europe
25 June-Amendments to LCH.Clearnet Ltd Rulebook further to NYSE Liffe Clearing Arrangements (formerly reffered to as 'LiffeClear')
15 June-Launch of LCH Enclear OTC Clearing Service for Spot EUA and CER Emission Contracts
12 June-SwapClear Revised Initial Margin Multipliers
02 June-Network connectivity - new managed network service
29 May-Changes to EquityClear Member Reports
28 May-EquityClear® service further reduces clearing fees
19 May-Introduction of LCH EnClear OTC Clearing Service for Iron Ore swaps
15 May-SwapClear DMP mini Firedrill June 2009
28 April-Monthly Statements available on Member Reporting
23 April-Exclusion of Securities Provided Pursuant to a Client Consent Form
21 April-Italy Included as Triparty Collateral
21 April-Decommissioning of LCH.Clearnet Grading and Tendering System (GATS)
09 April-EquityClear® service to include SIX Swiss Exchange
06 April-Introduction of Clearing Services for Spot EUA and CER Emission Contracts
31 March-Amendment of AAA €GC Baskets to exclude Republic of Ireland
30 March-Change in Worldscale Rate for TD7 Wet Route on the LCH.Clearnet OTC FFA Clearing Service
27 March-Change to cut-off time for recalling excess cash balances
19 March-New Collateral Category in the Acceptable Collateral List
16 March-Launch of 2 new Tanker routes in the LCH.Clearnet OTC Forward Freight Agreement (FFA) Clearing Service
05 March-LME Matching and Clearing System/SWORD availability on Saturday 7 March 2009
24 February-Removal of Bank-Issued CDs from the acceptable collateral list
20 February-Invitation to LCH.Clearnet Ltd Treasury Operations Member Briefing
16 February-Timing of registration of LME contracts
13 February-LME Matching and Clearing System (MCS) Report Changes
09 February-LCH.Clearnet Ltd Opening Days 2009
09 February-LCH.Clearnet Ltd Opening Days 2009 - Text version
05 February-Network Connectivity
05 February-Euroclear UK and Ireland Tariff Changes
22 January-Euroclear UK and Ireland Auto Allocation Engine
22 January-Amendment of AA €GC Baskets to exclude Portugal
19 January-Amendment of AAA €GC Basket to Exclude Spain
13 January-LME Matching and Clearing System (MCS) availability on Saturday 17 January 2009
05 January-EquityClear® service extension to include International Order Book
2008
31 December-Extension of €GC Basket to Include Slovakia
12 December-Changes to post-default backing provisions of LCH.Clearnet Ltd
11 December-Changes to Strike Prices for the CTO Option within FFA Clearing Service
10 December-Acceptable Haircut Collateral Review
05 December-Banking Report Update - Enhancement to PPS Movement Totals Report
04 December-LCH.Clearnet Rulebook Update
01 December-LCH.Clearnet Ltd Opening Days for 2008
17 November-Price Alignment Interest (PAI) Rates
07 November-LCH.Clearnet / Nodal Exchange Briefing
05 November-Change to LCH.Clearnet Ltd Opening Days - Circular No 2251
27 October-Fee Holiday for Legacy trades in the Forward Freight Agreement (FFA) OTC Clearing Service
14 October-Introduction of new Baltic Exchange Dry Index (BDI) Swap in the LCH.Clearnet OTC Forward Freight Agreement (FFA) Clearing Service
01 October-Change to Collateral by Member Report (REP00023/CLM Report)
29 September-Bradford and Bingley Settlement Arrangements
19 September-Lehman default - update Friday 19 September 2008
17 September-Lehman default - update Wednesday 17 September 2008, 11.30
16 September-Transfer of Client Positions
15 September-Default Notice - Lehman Brothers Special Financing Inc
15 September-Default Notice - Lehman Brothers International Europe
12 September-Preparation for the Transition Weekend ICE Futures Europe and ICE OTC
09 September-EquityClear® service extension to include PLUS Markets
27 August-LCH.Clearnet Limited Maintenance Window over weekend 30 August to 31 August 2008
07 August-LME Extension Prompt Dates - MCS Functional Changes and Member Test Dates
31 July-EquityClear® service extension to include SWX Swiss Block
31 July-EquityClear® service extension to include Equiduct
14 July-EuroClear UK & Ireland CCP settlement fees
25 June-NYMEX/LCH.Clearnet market testing
24 June-LCH.Clearnet and ICEClear Joint Business Migration Approach
13 June-GDP - LME External Interface Application Guide v5.06 - XI Plus Changes for LME Members
13 June-Changes to LCH.Clearnet Freight Margining Rules
11 June-PC Gateway updates required for the NYMEX on LCH.Clearnet Service
11 June-Cash Settlement Procedure
02 June-Group Derivative Platform (GDP) for LME - Programme Update
20 May-Extension of opening hours for ECS on the FFA swaps market
08 May-Euroclear UK & Ireland Tariff Changes
30 April-Introduction of Clearing For ICE Futures ECX Carbon Financial Instrument CER Options Contract
23 April-Replacement Clearing System for the London Metal Exchange
04 April-USD PPS Deadline Changes
27 March-Re-launch of Clearing Services for Natural Gas NBP Contracts
27 March-Fee Reductions for the Tanker Forward Freight Agreement (FFA) clearing service
25 March-Introduction of Cleared Average Price Swaps Contracts on the London Metal Exchange
04 March-Change to RepoClear Cut-Off Time for 19/03/08
27 February-Introduction of Clearing For ICE Futures ECX Carbon Financial Instrument CER Futures Contract
25 February-Introduction of OTC Clearing Services for CER and EUA Emission Contracts
22 February-Northern Rock Settlement Arrangements
22 February-Introduction of Clearing of Mediterranean and Far East Steel Billet Futures Contracts on the London Metal Exchange
05 February-LCH.Clearnet Ltd Opening Days for 2008
04 February-Introduction Of Clearing Services For Forward Freight Agreement Option Contracts
30 January-Relaunch of the LCH EnClear OTC Energy Service for UK NBP Gas
2007
19 December-EquityClear Fee Reductions
19 December-Christmas and New Year Opening Times
18 December-Reduction to LCH.Clearnet Registration Fee on The London Metal Exchange (LME)
13 December-Acceptable Haircut Collateral Review
05 December-Launch of OTC Clearing service for EU allowances and CER contracts
30 November-Clearing Member Contacts
29 November-Customer Notice Email Issues
29 November-Christmas and New Year Opening Times
28 November-Member Service Interruption 1 December 2007
23 November-Change to RepoClear Cut-Off Time for Wednesday 19th December 2007
01 November-LCH.Clearnet Limited Launch of New Liffe Bclear Currencies
08 October-LCH.Clearnet Limited USD PPS deadline changes
20 September-Authorised Signatories for ICE Futures Deliveries
14 September-LCH.Clearnet Limited USD PPS deadline Changes
03 September-Change to RepoClear Cut-Off Time for Wednesday 19 September 2007
14 August-LCH.Clearnet enhancements to stock contingent trades reporting on Liffe
10 August-LCH.Clearnet Ltd ABS system decommissioning
06 August-Introduction of New Collateral Service
01 August-Launch of new Handysize Timecharter route in the LCH.Clearnet OTC Freight Forward Agreement (FFA) Clearing Service
24 July-Introduction of Clearing for Eight Cash Settled US Daily Power Swap Contracts, Dubai First Line Swap and Gas Oil First Line Swap/Brent First Line Swap Traded on the InterContinentalExchange, Inc (ICE)
16 July-LIFFE - White Sugar Contingent Margin
11 July-Launch of new Handysize Timecharter route in the LCH.Clearnet OTC Freight Forward Agreement (FFA) Clearing Service
19 June-Reduction to LCH.Clearnet Fees on IntercontinentalExchange Inc
19 June-Reduction to LCH.Clearnet Fees on ICE Futures
15 June-Change to RepoClear Cut-Off Time for Tuesday 19th June 2007
13 June-Introduction of Clearing of Polypropylene and Linear Low Density Polyethylene Regional Contracts and Additional Prompt Dates for the existing LL and PP Plastics Contracts on the London Metal Exchange
08 June-Fee Reductions on the Forward Freight Agreement (FFA) OTC Clearing Service
08 June-Change to Minimum Price Increments on US Natural Gas Basis Swaps, US Natural Gas Index Swaps and Penultimate Henry Hub Natural Gas Swap Contract on IntercontinentalExchange Inc
01 May-Introduction of ICE Futures Middle East Sour Crude Oil Futures Contract
16 April-Notice of Termination for Endex Dutch Power Clearing Service
13 April-General Information
12 April-Introduction of ICE Futures West Texas Intermediate Light Sweet Crude Oil Option Contract
03 April-Further fee reductions relating to London Stock Exchange & virt-x cleared business
13 March-Launch of Sterling GC Service
02 March-LCH.Clearnet Ltd Collateral Management
02 March-Change to RepoClear Cut-Off Time for 19th March 2007
16 February-LCH.Clearnet Ltd Opening Days 2007
12 February-Introduction of Raw Sugar contract
12 January-Amendment to LME Matching & Clearing and External Interface Passwords

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