Service Description SIX x-clear Ltd - CCP Clearing Services for Equity Transactions for Members on SECOM | xcl-800
Rules and Regulations SIX x-clear Ltd - Clearing terms of SIX x-clear Ltd for Norwegian Branch | xcl-n-509
Clearing Notice SIX x-clear Ltd - Consolidation of Default Fund Segments
Settlement standing instructions (SSI) notification form for members of SIX x-clear Ltd Zurich - Annex 2 to Form 002 "Market coverage and netting preferences for clients"
FrontLine Update: Update: Postponed effective date for partial settlement and top priority for CCP transactions at Euroclear Finland
Disclosure of SIX SIS Ltd regarding the CPMI-IOSCO principles for FMI in accordance with “Disclosure framework and Assessment methodology”, December 2012
Disclosure of SIX x-clear Ltd regarding the CPMI- IOSCO Principles for FMI in accordance with “Disclosure framework and Assessment methodology”, December 2012
FrontLine: Partial settlement at Euroclear Sweden and enhancement to settlement instructions generated from SIX x-clear Ltd
Appendix II – Contracts for Clearing Services - Overview of contracts concluded between SIX x-clear and its Member
Notification of contact persons - New registration, corrections, addition of contact persons
Interoperating CCP Clearing and Settlement Standing Instructions (CSSI) notification form (for settlement netting via SIX x-clear)
SIX x-clear Static Data Form – CREST Clearing and Settlement Details - Annex 3 to Form 002 "Market coverage and netting preferences for clients"
Member reporting applicable for all trading venues - Annex 1 to Form 002 "Market coverage and netting preferences for clients"
FrontLine: London Stock Exchange Derivatives (LSEDM) extends date of its withdrawal from Linked Order Book for Norwegian derivatives to 29 November 2019
Essential information according to FMIO/FMIA