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Equities

View all Equities info flashes below, or see just those for: Equiduct, ESES & LCH.Clearnet or Clearing of Luxembourg Stock Exchange.

2008
30 June-ESES: Single Order Book, ESES and LCH.Clearnet Flux Bourse
24 June-SmartPool - Detailed Specifications
23 June-ESES: Single Order Book & derivatives clearing
13 June-New record in Settlement Information File (SIF)
09 June-New record in Settlement Information File (SIF)
26 May-SmartPool Annoucement
15 May-Clearing Equiduct - Service offer and membership extension
22 April-ESES: Data referential initialisation of the cash clearing test platform
18 April-Clearing Equiduct - Testing Guide
09 April-ESES: ESES Stream 3: Snapshot of the data referential on 11 April 2008
20 March-Successful Launch
14 March-Clearing of Luxembourg market - Update 3
14 March-Clearing of Luxembourg market - Update 2
14 March-Bourse de Luxembourg market opening
10 March-Equiduct Trading - New Service by end of Q2 2008
07 March-Project's go-live confirmation
06 March-Launch Communication
29 February-Members final readiness EUA Testing
27 February-New settlement connect files
21 February-POA and Clearing Agreements request: 29 February 2008
08 February-Members readiness EUA Testing Session #2
31 January-Change of ISIN in EUA cases
25 January-Assessment EUA Testing session No 1
02 January-Testing of Clearing Bourse de Luxembourg
2007
21 December-Clearing Bourse de Luxembourg
17 December-Testing Guide
17 December-Service Offer and Gap Analysis
05 December-ESES: Launch of ESES Phase 1
27 November-ESES: Launch Scenario - successful launch of ESES phase 1 on the French Cash clearing segment
27 November-ESES: Account structure ESES stream 3 (phase 2)
26 November-ESES: Launch Scenario - sending of SIF/BIF files to members' access point
24 November-ESES: Launch Scenario - reception, integration and content of SIF/PR3
14 November-ESES: Launch Scenario
31 October-New publication and membership extension
24 October-Contacts request
06 September-ESES: Passive Testing: COE details update
05 September-ESES: ESES Additional test cases on cycle 3
03 September-ESES: ESES Additional test cases on cycle 3
22 August-ESES: 2nd Launch rehearsal scenario on the test platform and Passive testing: COE details update
17 August-ESES: 2nd Launch Rehearsal on the Test Platform
03 August-ESES: Homologation Platform unavailability
07 June-ESES: Passive testing: COE details update
29 May-Luxembourg Stock Clearing Exchange Announcement
23 May-ESES: ESES Detailed Testing Guide Update
07 May-ESES: Test platform: Positions to be settled on 11 May will be recycled on 14 May
02 May-ESES: Reminder: TMF code request for trade injection injection in passive testing
27 April-ESES: ESES and LCH.Clearnet Flux Bourse
12 April-ESES: The detailed testing guide and the Euroclear's communication
02 March-ESES: Black Window Periods Update
26 February-ESES: Black Window Periods Update
19 February-ESES: Black Window Periods
15 February-Additional test scenario for Introduction of the record date in the Dutch market on the 26th March 2007
07 February-ESES: Detailed service description / ESES and Central Counterparty services
22 January-Additional test scenario for Introduction of the record date in the Dutch market on the 26th March 2007
10 January-Test scenario for Introduction of the record date in the Dutch market on the 26 March 2007
05 January-ESES: Questions and Answers document
2006
15 December-Introduction of the record date in the Dutch market on the 26th March 2007
04 December-ESES: General Members’ Meetings slides and contacts request
23 November-Change to LCH.Clearnet Fees
23 May-SSE Go live date: 29 May 2006
05 May-Updated Cash clearing flat file: activation date in production
28 April-Updated Cash clearing flat file
28 April-SPAN® parameter file update: availability of files
25 April-SPAN® parameter file update: active on 27th April 2006
07 April-Pilot Members’ testing period
31 March-SPAN® parameter file
24 March-SPAN® parameter file
24 March-Cahier des charges de place – version V1.2
21 March-Package method Testing guide
27 February-Management of the corporate event package method in the C21 clearing system
23 February-LCH.Clearnet SA new fining policy
23 February-Change in fee collection dates
22 February-Purge of positions and trades on the EUA Cash Clearing platform
10 February-Resend of monthly Cash Clearing Fee Files
08 February-Postponement of the Sub record P activation for the SPAN® parameter file
11 January-Reminder: Update of the sub record type “P” in the SPAN® parameter file
2005
23 December-Update of the sub record type “P” in the SPAN® parameter file
28 October-Activation of the sub record type “P” in the SPAN® parameter files
24 October-Cahier des charges de place – version V1
12 October-Settlement connect “Settlement Agent phase 2” (Paris segment)
06 October-Fails positions removed from CLEARING 21® CASH testing platform on 10 October 2005
29 September-Black windows timeframe update Q4 2005
12 September-Settlement connect “Settlement Agent phase 2” (Paris segment)