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Clearing Notices


Date Description Download
15.05.2012 Change to Default Fund structure as of 30 June 2012 [english]
PDF, 78 kb
23.04.2012 SIX x-clear settlement instructions at Euroclear Finland will change as of 3 May 2012 [english]
PDF, 79 kb
09.03.2012 SIX x-clear settlement instructions at Euroclear Sweden will change as of 26 March 2012 [english]
PDF, 39 kb
20.02.2012 Revision of SIX x-clear Membership Agreements [english]
PDF, 120 kb
02.02.2012 Review – SIX x-clear settlement instructions at VP Denmark will change as of 6 February 2012 [english]
PDF, 80 kb
12.01.2012 SIX x-clear settlement instructions at VP Denmark will change as of 6 February 2012 [english]
PDF, 44 kb
21.10.2011 Supplementary information and clarifications regarding the Financing Agreement for the financing of Inter-CCP Collateral [english]
PDF, 115 kb
24.06.2011 Introduction of a new interoperability regime [english]
PDF, 64 kb
11.01.2011 Obligations resulting from CHF bonds traded on the last trading day on SIX Swiss Exchange [english]
PDF, 59 kb
09.09.2010 Live simulation: Failure of productive computer center [english]
PDF, 68 kb
26.01.2010 Revision of SIX x-clear MTF contractual framework [english]
02/2010
PDF, 77 kb
14.01.2010 Live simulation: failure of productive computer center [english]
01/2010
PDF, 72 kb
29.12.2009 Segregation of SIX x-clear Ltd-specific messages and reports [english]
03/2009
PDF, 108 kb
24.09.2009 Clearing schedule for NYFIX Euro Millennium [english]
02/2009
PDF, 31 kb
22.09.2009 Buy-in period for NYFIX Euro Millennium [english]
01/2009
PDF, 32 kb

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