| Doc # |
Date |
Subject |
E#21-09 |
30 December 2009 |
Correction to EuroCCP Buy-In Schedule |
E#20-09 |
09 November 2009 |
Interoperability - Update on Rule Change consultation and status |
E#19-09 |
05 November 2009 |
Nomination and Appointment of Participant Directors |
E#18-09 |
29 October 2009 |
REVISED - Change to EuroCCP Buy-In Schedule |
E#17-09 |
07 October 2009 |
Rule Change — Interoperability |
E#16-09 |
01 October 2009 |
Clearance and Settlement of Depositary Receipts in Euroclear Bank |
E#15-09 |
01 October 2009 |
Depositary Receipt Processing - - Effectiveness of Rule Changes |
E#14-09 |
22 September 2009 |
Nomination and Appointment of Participant Directors |
E#13-09 |
15 September 2009 |
EuroCCP Fee Reduction |
E#12-09 |
26 August 2009 |
Rule Change - Depositary Receipt Processing |
E#11-09 |
20 August 2009 |
SWIFT Communications Fees |
E#10-09 |
27 July 2009 |
Designation as a System - Rule Change - Revised Procedure VII: Settlement Finality Procedure |
E#9-09 |
15 July 2009 |
Rule Change — Novation |
E#8-09 |
12 June 2009 |
Changes to the Default Rules and Use of Client Accounts |
E#7-09 |
12 May 2009 |
Technical Clarifications to Rules |
E#6-09 |
17 April 2009 |
Enhancement to EuroCCP's Margin Methodology |
E#5-09 |
30 March 2009 |
Change to EuroCCP Buy-In Schedule - Austria |
E#4-09 |
25 March 2009 |
EuroCCP Fee Reduction |
E#3-09 |
13 February 2009 |
Fees for Clearance and Settlement in Spain |
E#2-09 |
13 February 2009 |
Change to EuroCCP Buy-In Schedule - Belgium, France, Netherlands, Portugal |
E#1-09 |
09 February 2009 |
Spanish Equities - Clearance and Settlement Services |