LCHSA |
LCH SA is submitting for self-certification the updated CDSClear fee grid to be applicable in 2023. |
12/20/2022 |
Certified |
01/05/2023 |
|
1 |
LCHSA |
LCH SA is submitting for self-certification the updated CDSClear fee grid to be applicable in 2024. |
11/09/2023 |
Certified |
11/27/2023 |
|
1 |
LCHSA |
LCH SA is submitting this Weekly Notification of CDS Clearing rule amendments made during the week ending January 12, 2024, in order to update the CDSClear Fee Grid for 2024. |
01/16/2024 |
Notified |
01/16/2024 |
|
1 |
LCHSA |
LCH SA is updating its fee grid following the proposed extension of the scope of instruments eligible to margin collateral |
10/08/2021 |
Certified |
10/25/2021 |
|
1 |
LCHSA |
LCH SA submits this Weekly Notification of CDS Clearing rule amendments |
04/05/2019 |
Notified |
04/05/2019 |
|
1 |
LCHSA |
LCH SA submits this Weekly Notification of CDS Clearing rule amendments |
05/02/2019 |
Notified |
05/02/2019 |
|
1 |
LCHSA |
LCH SA submits this Weekly Notification of CDS Clearing rule amendments made during the week ending January 8, 2021 in order to update the list of ATSS with 2 new SEFs. |
01/19/2021 |
Notified |
01/19/2021 |
|
1 |
LCHLTD |
LCH self certifies a Circular to LCH Clearing Members advising them of the implementation of a portfolio margining floor for initial margin, effective from 2nd October 2017. |
09/01/2017 |
Certified |
09/18/2017 |
|
1 |
LCHLTD |
LCH self certifies a Circular to SwapClear Clearing Members on the implementation of an update to the liquidity margin calculation (IMMFP) for the Rates Service incorporating OIS indices and LIBOR like indices risk. |
09/02/2016 |
Certified |
09/16/2016 |
|
1 |
LCHLTD |
LCH self certifies changes to its rules for SwapClear to:i.remove certain market standard definitions ii.correct the maximum tenors for certain contracts iii.allow Clearing Members to use excess collateral to register Backloaded Trade(s) |
05/01/2017 |
Certified |
05/15/2017 |
|
1 |
LCHLTD |
LCH self certifies changes to its rules on LCH delivery account details and opening hours related to the Listed Interest Rates clearing service |
09/28/2016 |
Certified |
10/12/2016 |
|
1 |
LCHLTD |
LCH self certifies changes to its rules restricting Clearing Members from opening net omnibus type of accounts for clients established in Canada, as required under new regulatory requirements in Canada. |
06/30/2017 |
Certified |
07/17/2017 |
|
1 |
LCHLTD |
LCH self certifies changes to its rules to start clearing float to float swaps in AUD and EUR; and extend the tenors for the following products:MXN IRS,Sterling SONIA OIS,Sterling LIBOR v SONIA and Euro EONIA OIS. The changes concern SwapClear. |
11/13/2017 |
Certified |
11/28/2017 |
|
1 |
LCHLTD |
LCH self certifies changes to the fee structure applicable to the Client Custodial Segregation Account available in SwapClear. The changes only apply to SCMs in respect to the Account, not FCMs as the Account is not currently available to them. |
11/13/2017 |
Certified |
11/28/2017 |
|
1 |
LCHLTD |
LCH self-certifies changes to its rules related to i) the processing of ancillary Compression fees and ii) the requirement for Clearing Members to make payments related to portfolio transfers. |
06/13/2017 |
Certified |
06/27/2017 |
|
1 |
LCHLTD |
LCH self-certifies changes to its rules to clarify that all variation margin payments associated with US-incorporated ForexClear Clearing Members ("US FXCCM Clearing Members") are treated as settlement payments. |
05/16/2018 |
Certified |
05/31/2018 |
|
1 |
LCHLTD |
LCH self-certifies clarification changes to the rules applicable to its Listed Interest Rates clearing service and SwapClear BAU transfers. |
09/09/2016 |
Certified |
09/23/2016 |
|
1 |
LCHLTD |
LCH submits its Clearing Relationship Agreement (CRA), Termination Agreement (TA) and Tripartite Clearing Membership Agreement (TCMA). Only the latter is not subject to a request for confidential treatment. |
09/22/2009 |
Certified |
09/25/2009 |
|
1 |
LCHLTD |
LCH will change the address of its registered office to 10 Paternoster Square, London EC4M 7LS and will reflect this change in certain parts of the Rulebook. |
01/21/2022 |
Certified |
02/04/2022 |
|
5 |
LCHLTD |
LCH will make one correction to its ForexClear Fee Schedule. Additionally, LCH will correct an error in its Rules related to the maximum settlement date for a ForexClear non-deliverable option contract. |
10/21/2021 |
Certified |
11/04/2021 |
|
3 |
LCHLTD |
LCH's notification covers non-substantive rule changes in the General Regulations in respect to the clearing of the FX Options product via the ForexClear service |
08/31/2018 |
Notified |
08/31/2018 |
|
1 |
LCHLTD |
LCH.Clearnet has been planning a migration of the clearing system to one provided by Nodal Exchange LLC ("Nodal Clearing System"), which will perform the functionalitycurrently provided by NYSE Technologies. |
04/22/2014 |
Certified |
05/07/2014 |
|
1 |
LCHLTD |
LCH.Clearnet has identified a number of minor rule changes which it intends to make to its Rulebook, the rule changes have been identified during reviews of the Rulebook and are corrections and clarifications. |
03/25/2015 |
Certified |
04/08/2015 |
|
1 |
LCHLLC |
LCH.Clearnet is amending its rulebook for the SwapClear US service to provide that the SwapClear Tolerance will not be available to any Clearing Member after the final Initial Margin call on any business day which precedes a day that is not a business day |
05/24/2013 |
Certified |
06/11/2013 |
|
1 |
LCHLTD |
LCH.Clearnet is clarifying rights exercised under Regulation 46A and Regulation 45, the Clearing House makes a recovery in respect of the Treasury Default, the Clearing House will (after replenishing its own expenses). |
06/09/2015 |
Certified |
06/22/2015 |
|
1 |
LCHLTD |
LCH.Clearnet is proposing rule changes for the allocation of non default losses and to augment the range of liquidity tools available to deal with times of market stress. |
04/23/2014 |
Certified |
05/08/2014 |
|
1 |
LCHLTD |
LCH.Clearnet is proposing rule changes to extend the tenors of its existing products by up to one year. |
12/31/2015 |
Certified |
01/14/2016 |
|
1 |
LCHLTD |
LCH.Clearnet is submitting for self certification changes to its rules related to confidentiality during the default management of an FCM and to remove ambiguity around its rules related to the allocation of losses related to a Treasury Default. |
02/08/2016 |
Certified |
02/22/2016 |
|
1 |
LCHLTD |
LCH.Clearnet is submitting for self certification changes to its rules with respect to the introduction of Zero Coupon Inflation-Indexed Swaps clearing in the SwapClear service. |
03/09/2015 |
Certified |
03/20/2015 |
|
1 |
LCHLTD |
LCH.Clearnet is submitting for self certification rule changes which will allow for FCMs and SCMs to present for clearing a Package Transaction. |
02/11/2015 |
Certified |
02/25/2015 |
|
1 |
LCHLTD |
LCH.Clearnet is submitting for self-certification changes to its rules to introduce Australian Dollar Index swaps ("AUD OIS") as an eligible SwapClear Contract. |
10/30/2015 |
Certified |
11/13/2015 |
|
1 |
LCHLTD |
LCH.Clearnet is submitting for self-certification changes to its rules which will allow SwapClear Clearing Members to change the characterisation of their SwapClear Contracts from Collateralised to Market to Settled to Market. |
11/19/2015 |
Certified |
12/03/2015 |
|
2 |
LCHLTD |
LCH.Clearnet is submitting for self-certification changes to its rules with respect to the provision of a client buffer sub-account in the SwapClear service for clients of SCMs. This functionality is not available to FCMs or to US customers. |
02/17/2015 |
Certified |
03/03/2015 |
|
1 |
LCHLTD |
LCH.Clearnet Limited amendments to Rules and Regulations concerning the introduction of LSOC accounts for the ForexClear and EnClear services and the introduction of an FCM model for the Nodal service. |
10/18/2012 |
Certified |
11/02/2012 |
|
1 |
LCHLTD |
LCH.Clearnet Limited and the SwapClear and ForexClear dealers have modified the SwapClear and ForexClear Agreements, respectively, in order to comply with EMIR. |
04/04/2014 |
Certified |
04/19/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited changes to Rulebook Section 4 Procedures to allow non-FCM Clearing Members to lodge AUD securities onshore at Austraclear, a CSD located in Australia. There are also some non-material changes being made. |
03/24/2016 |
Certified |
04/07/2016 |
|
1 |
LCHLTD |
LCH.Clearnet Limited has self-certified changes to its General Default Fund, to be effective on November 6, 2013. |
10/17/2013 |
Certified |
11/01/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited has submitted for self-certification recently amended committee terms of reference. |
05/02/2014 |
Certified |
05/17/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is adding TrueEx as an approved trade source system for the SwapClear service. |
10/25/2013 |
Certified |
11/08/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is amending its Rulebook to provide for a new workflow in respect of the registration of transactions that are executed on swap execution facilities or designated contract markets that have been approved by LCH.Clearnet. |
11/21/2013 |
Certified |
12/07/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is announcing the transition from 'linked' to 'unlinked' model of trade booking workflow; which will mean that the original executing party is no longer visible on LCH.Clearnet Limited member reporting. |
09/16/2014 |
Certified |
09/29/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is implementing changes to the Nodal Clearing Service in anticipation of Nodal Exchange LLC's registration as a DCM. |
09/13/2013 |
Certified |
09/28/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is issuing a circular to provide a process for effecting bilateral terminations of SwapClear contracts by SwapClear Clearing members. |
09/27/2013 |
Certified |
10/29/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is modifying its previous self-certification by removing the customer closeout provisions from the Clearing House Procedures and reserving these sections for future revision. |
09/26/2013 |
Certified |
10/28/2013 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is proposing rule changes to include a definition of the term `Applicable Law' and a requirementfor Clearing Members with clearing clients incorporated in Singapore to provide a disclosure notice tothose clients. |
01/21/2016 |
Certified |
02/04/2016 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is providing notice to FCM Members regarding an additional process available for the allocation of Unallocated FCM SwapClear Contracts. |
01/31/2014 |
Certified |
02/15/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is submitting for certification proposed amendments to RiskCommittee Terms of Reference. |
05/23/2014 |
Certified |
06/10/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is submitting for self-certification a correction to its rules with respect to the transfer of cleared contracts by SwapClear Clearing Members and Futures Commission Merchants. |
02/16/2015 |
Certified |
03/02/2015 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is submitting for self-certification a new schedule of Securities Acceptable for Margin Cover Purposes due to changes to the haircuts applied to margin collateral. |
02/25/2014 |
Certified |
03/12/2014 |
|
1 |
LCHLTD |
LCH.Clearnet Limited is submitting for self-certification rule changes which will enable Futurisation of Commodity swap contracts in the Enclear Service. The reclassification is scheduled for the weekend of the 29th and 30th November 2014. |
11/14/2014 |
Certified |
11/28/2014 |
|
1 |