NYMEX |
Interest Rate Swap (IRS) Portfolio Margining; IRS Guaranty Fund changes; third party outsourcing; 12-061 |
02/28/2012 |
Certified |
03/14/2012 |
|
1 |
ECC |
Interim Board of Directors |
09/10/2002 |
Certified |
09/10/2002 |
|
0 |
NYMEX |
International Crude and Refined Products Incentive Program; 12-243 |
07/20/2012 |
Certified |
08/04/2012 |
|
2 |
OCC |
Interp clarifying that "securities contracts" and 'commodity contracts" held by a CLM in a proprietary account are held pursuant to "a cross-margining agreement or similar arrangement" for purposes of Section 561(b)(3)(A) of the U.S. Bankruptcy Code |
10/23/2007 |
Certified |
10/29/2007 |
|
1 |
LCHLTD |
Introduction of a discount scheme for SwapClear Clearing Members joining the service in 2014 and with regards to the registration fees for the first 1000 backloaded trades. |
03/04/2014 |
Certified |
03/19/2014 |
|
1 |
SGX-DC |
Introduction of a new trade registration system for the OTCF trades |
11/02/2015 |
Certified |
11/17/2015 |
|
1 |
LCHLTD |
Introduction of a schedule of fees for Compression Services offered by the SwapClear service. |
02/11/2014 |
Certified |
02/27/2014 |
|
1 |
SGX-DC |
Introduction of Affiliate Segregation - Amendments to SGX-DC Clearing Rules and Futures Trading Rules. This is a modification of submission 1601-2712-1615-25. |
04/15/2016 |
Certified |
04/28/2016 |
|
3 |
ICLREU2 |
Introduction of clearing for addtional OTC contracts. |
05/13/2011 |
Certified |
05/13/2011 |
|
1 |
LCHLTD |
Introduction of client clearing fees for ForexClear service. |
07/15/2013 |
Certified |
07/30/2013 |
|
1 |
LCHLTD |
Introduction of forward rate agreements into LCH.Clearnet Ltd.'s SwapClear Futures Commission Merchant Model. |
08/15/2012 |
Certified |
08/30/2012 |
|
1 |
CME |
Introduction of FX spot, forward and swap transactions |
09/23/2011 |
Certified |
10/08/2011 |
|
2 |
LCHLTD |
Introduction of GBP FRAs to be offerred for clearing within the SCM and European client clearing models. |
03/16/2012 |
Certified |
03/26/2012 |
|
1 |
LCHLTD |
Introduction of JPY OIS up to 30 years |
07/11/2014 |
Certified |
07/25/2014 |
|
1 |
LCHLTD |
Introduction of non-deliverable forward FX contracts |
11/04/2011 |
Certified |
11/22/2011 |
|
1 |
LCHLTD |
Introduction of OIS-IBOR Basis Swaps |
07/11/2014 |
Certified |
07/25/2014 |
|
1 |
LCHLLC |
Introduction of SwapClear US's annual clearing member fees, client fee structure, and the volume discount plan. |
04/19/2013 |
Certified |
05/04/2013 |
|
1 |
LCHLTD |
Introduction of SwapClear's Volume Discount Plan, which includes three tiers of discounts applicable to client booking fees. |
04/19/2013 |
Certified |
05/04/2013 |
|
1 |
LCHLTD |
Introduction of the extension of the eligible maturity of Japanese yen interest rate swaps from 30 years to 40 years. Additionally, the introduction of the extension of the eligible maturity of Overnight Index Swaps from denominated in USD, EUR and GBP |
03/16/2012 |
Certified |
04/02/2012 |
|
1 |
CME |
Introduction of the price, plus accrued interest, to value securities on deposit at CME Clearing; 12-345. |
10/19/2012 |
Certified |
11/03/2012 |
|
1 |
SGX-DC |
Introduction of Titan-OTC, a new trade registration system - Amendments to SGX-DC Clearing Rules . This is a modification of submission 1511-0220-3851-31. |
05/20/2016 |
Certified |
06/03/2016 |
|
1 |
LCHLTD |
Introduction of wording to set out the requirements of clearing members to participate in business continuity testing planning coordination and testing programs. |
07/29/2013 |
Certified |
08/13/2013 |
|
1 |
SGX-DC |
Introduction to Affiliate Segregation - Amendments to SGX-DC Clearing Rules and Futures Trading Rules |
01/27/2016 |
Certified |
02/10/2016 |
|
1 |
NYMEX |
Investment of Customer Segregated Funds in Money Market Mutual Funds |
02/20/2001 |
Certified |
02/20/2001 |
|
0 |
CME |
IRS Clearing Member Obligations and Qualifications; 12-123 |
04/20/2012 |
Certified |
05/05/2012 |
|
1 |
CME |
Issuance of CME Group Market Regulation Advisory Notice RA1714-5 Concerning Rule 512. ("Reporting Infractions"). |
10/10/2017 |
Certified |
10/24/2017 |
|
1 |
KKL |
Kalshi Klear LLC - Additional Method to Deposit U.S. Dollars |
10/15/2024 |
Certified |
10/28/2024 |
|
2 |
MIAX |
Language amendments relating to the MGEX Risk Manual and Exhibit A. |
04/28/2023 |
Certified |
05/12/2023 |
|
2 |
CMECE |
Launch of 8 new financiallly settled swaps; 4 propane and 4 light-end |
10/18/2011 |
Certified |
11/02/2011 |
|
1 |
LCHLTD |
LCH Amendment to its Margin Collateral Haircut Schedule |
04/27/2017 |
Certified |
05/10/2017 |
|
2 |
LCHLTD |
LCH Amendment to the ForexClear fees applied to its major currency (G10) NDF product. |
11/06/2017 |
Certified |
11/21/2017 |
|
1 |
LCHLTD |
LCH amends its Rulebook to clarify the process with respect to the remuneration applied to the ForexClear default fund member contributions, and the rate and spread which may be applied. |
05/08/2017 |
Certified |
05/22/2017 |
|
1 |
LCHLTD |
LCH changes its London Deposit Rate (LDR) applicable to cash balances of clearing members for ForexClear and SwapClear |
04/24/2017 |
Notified |
04/24/2017 |
|
1 |
LCHLTD |
LCH changes to its London Deposit Rate (LDR) paid on clearing member cash balances held within the SwapClear and ForexClear services. These changes became effective on 14 December 2016. |
12/16/2016 |
Notified |
12/16/2016 |
|
1 |
LCHSA |
LCH Clearnet SA is submitting for self-certification a change of Euro Default Fund remuneration rate as of 1st of April 2015. |
03/10/2015 |
Certified |
03/24/2015 |
|
1 |
LCHSA |
LCH Clearnet SA is submitting some amendments to the Section 5 of the CDS Clearing Procedures to reflect the change made to the update of the Trade Information Warehouse ("TIW"). |
11/18/2015 |
Certified |
12/03/2015 |
|
1 |
LCHLTD |
LCH ForexClear service amends its clearing fees. |
11/29/2017 |
Certified |
12/12/2017 |
|
1 |
LCHLTD |
LCH has amended its rules to reflect that only those clearing members that participate in the General Business services are permitted to vote on the LCH's changes to its General Business default management program. |
06/13/2013 |
Certified |
06/28/2013 |
|
1 |
LCHLTD |
LCH has amended Procedure 1 (Clearing Member, Non-Member Market Participant and Dealer Status) to correct a previously incorrect references to clearing member's status in the different categories for net capital requirements. |
12/06/2023 |
Notified |
12/06/2023 |
|
1 |
LCHLTD |
LCH is amending its Rulebook to implement its PPS Reform initiative which is - 1) make more currencies same-day value (1st changes are to CHF and NOK); and 2) PPS calls in an alternative same-day currency when another currency has a currency holiday. |
09/07/2016 |
Certified |
09/20/2016 |
|
1 |
LCHLTD |
LCH is proposing to change its rules to recognise unallocated excess collateral as FCM's buffer and to recognise margin posted by the FCM as FCM's buffer, subject to certain conditions. |
10/19/2016 |
Certified |
11/01/2016 |
|
1 |
LCHLTD |
LCH is re-filing proposed changes to its rulebook to expand the possible actions available to a SwapClear Clearing Member after the early termination of one or more transaction(s) between such SwapClear Clearing Member and its SwapClear Clearing Client. |
03/07/2024 |
Certified |
03/21/2024 |
|
2 |
LCHLTD |
LCH is revising its rules in order to extend the opening hours of the SwapClear Service. |
09/08/2021 |
Certified |
09/22/2021 |
|
3 |
LCHLTD |
LCH is self certifying changes to its rules to clarify the circumstances in which Clearing Members, their Customers and service providers may be permitted, or prohibited, to use LCH's data, as defined in the rules. |
12/14/2017 |
Certified |
12/29/2017 |
|
1 |
LCHLTD |
LCH is self certifying minor rule changes on the ForexClear Service Procedures regarding Calendar Adjustments and the Automatic Exercise of FX Options Contracts |
11/21/2018 |
Certified |
12/06/2018 |
|
1 |
LCHLTD |
LCH is self certifying rule changes to enhance the current arrangements for Collateralisation to Stress Loss for clients |
03/09/2017 |
Certified |
03/23/2017 |
|
1 |
LCHLTD |
LCH is self certifying rules enabling the SwapClear service to i) operationally combine the processing of individual events to create a "Multiple Bulk Event" process; and ii) enhance the Duo Compression offering for Clearing Members. |
03/09/2017 |
Certified |
03/23/2017 |
|
1 |
LCHLTD |
LCH is self-certifying changes to its rules to add Variable Notional Swaps ("VNS") denominated in certain additional currencies (CHF, CZK, DKK, HKD, HUF, NZD, SGD and ZAR) to the list of SwapClear eligible products. |
03/10/2017 |
Certified |
03/24/2017 |
|
1 |
LCHLTD |
LCH is self-certifying changes to its rules to allow updates to a limited set of economic attributes of a cleared trade in the SwapClear service. |
03/10/2017 |
Certified |
03/24/2017 |
|
1 |
LCHLTD |
LCH is self-certifying changes to its rules to offer updated post trade synchronization facility with ATSS in SwapClear. |
03/10/2017 |
Certified |
03/24/2017 |
|
1 |