Business Streams

Notices

TITLENOTICE NUMBERPUBLICATION DATE
Delivery ports2012-024Published March 12, 2012 
Approved Silos - Performance Procedures for services of approved delivery silos2012-023Published March 12, 2012 
French and Spanish Government debt securities Settlement Shaping (English and French version)2012-021Published March 8, 2012
The Principles of registration and the clearing hours in the Clearing Systems 2012-020Published March 8, 2012
Timeframes applicable to Collateral deposits/returns and other notifications pursuant to Instructions IV.4-1, IV.3-1 and IV.3-2 2012-008Published January 31, 2012
Penalty for Net Fails on Dutch subscription rights2011-101Published July 7, 2011 
Information relating to the provision of Clearing Services to Nyse BondMatch and Galaxy Trading system Launch date2011-095Published June 27, 2011
Delivery procedure applied to rapeseed future contract  2011-070Published April 27, 2011
Management of corporate event CRUCELL2011-030Published February 14, 2011 
Delivery procedure applied to milling wheat future contract 2011-022Published February 7, 2011
Management of corporate event Draka/Prysmian2011-020Published February 1, 2011
Principles applied to the determination of the Settlement Price for Transactions on government debt securities 2010-167Published December 16, 2010 
Delivery procedure applied to skimmed milk powder future contract 2010-147Published October 15, 2010 
Delivery procedure applied to corn future contract 2010-134 Published October 4, 2010 
Delivery procedure applied to malting barley future contract 2010-136Published October 4, 2010 
Delivery procedure applied to rapeseed oil future contract2010-137Published October 4, 2010 
Arbitration Courts 2010-139Published October 4, 2010 
Conditions governing accreditation of authorisers 2010-141Published October 4, 2010 
Conditions governing the approval of analysis laboratories 2010-142Published October 4, 2010 
Obligation to inform settlement systems Participants  2010-034 Published March 25, 2010 

The eligibility criteria for the clearing and guarantee of Lending & Borrowing Transactions

 2009-086Published June 18, 2009  
Instruction of Exercise and Abandon on Option Contract (English and French version)2009-071 Published May 18, 2009
New Clearing Rules Intra-text references / Tables of concordance2009-052Published Apr 14, 2009
Cancellation of Notice 2008-022 related to Collateral deposits/returns and other notifications pursuant to Instructions I.5- I.6-1 and V.6-12009-030Published Feb 19, 2009
Cancellation of Notice 2008-021 related to Collateral accepted by LCH.Clearnet SA2009-028Published Feb 19, 2009
Buy-in Procedure - Delivery Timing (English and French version)2009-025Published Jan 28, 2009
Prorogation Notice/Avis de Prorogation - Extension period of suspension - ESES Stream 32009-020Published Jan 20, 2009
Correcting Notice - Temporary Suspension of Procedure - ESES Stream 32009-017Published Jan 16, 2009
Timeframe applicable for the sending of payment and delivery instruction to the relevant CSD of Reference or Securities Settlement Systems2009-013Published Jan 09, 2009
Cease of Lending and Borrowing System on the Belgian Clearing Segment2008-119Published Sep 25, 2008
List of Designated LCH.Clearnet SA Gateways2008-098Published Aug 21, 2008
Corporate event linked to SUEZ/Gaz de France options

Corporate event management Package method Guide
2008-084Published Jul 16, 2008
Calculation of cash compensation on BlueNext2008-053Published Apr 18, 2008
Bourse de Luxembourg-Scope of notices (English and French version)2008-052Published Apr 18, 2008
BlueNext-Scope of notices (English and French version)2008-051Published Apr 18, 2008
Clearing hours on BlueNext2008-050Published Apr 18, 2008
Scope of the clearing services provided on Transactions negociated on BDL (English and French version)2008-032Published Mar 13, 2008
Postponement of the enforcement of the procedure for settling Net Fails (English and French version)2008-031Published Mar 11, 2008
Net Fails and Settlement solution obligation (English and French version)2008-017Published Feb 07, 2008
Buy in Procedure – Settlement for Net Fails on rights (English and French version)2007-110Published Sep 17, 2007
Cap and floor of the clearing fund for transactions registered in CLEARING 21 and the individual additional margin2007-053Published Apr 25, 2007
Intra-day Margin Calls (English version)2007-042Published Mar 30, 2007
Appel de fonds complémentaires (French version)2007-042Published Mar 30, 2007
Parameters of the Calculation of the contributions to the Clearing Fund of LCH.Clearnet SA dedicated to markets cleared through Clearing 21® (English version)2006-0158Published Oct 26, 2006
Paramètres de calcul des contributions aux fonds de garantie de la compensation de LCH.Clearnet SA, dédié aux marchés compensés au sein du système Clearing 21® (French version)2006-0158Published Oct 26, 2006
Parameters for additional margins to cover de-netting risk2006-0113Published June 23, 2006
Transactions guaranted by LCH.Clearnet SA / Transactions garanties par LCH.Clearnet SA2006-0109Published June 14, 2006
Transactions executed on Alternext markets Brussels and Paris / Transactions exécutées sur les marchés Alternext2006-0104Published June 12, 2006
Settlement of net fails of financial instruments listed as securities by a market undertaking which give rignt on the maturity date to securities listed on another market than the one on which the financial instruments are traded.2005-0172Published Dec 7, 2005
Cap and Floor of the Clearing fund for the transactions registered in CLEARING 21® and the individual additional margin2005-0067Published May 4, 2005
Settlement price of securities AEX AMX2004-0142Published Jun 4, 2004