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  1. Announcement 19.5.2015

    Changes related to Clearstream Banking Release May 2015 - Revision

    L14129
    LuxCSD | Connectivity, Creation via SWIFT, Settlement
  2. Announcement 24.5.2018

    Clearstream Banking November Release 2018

    L18014
    LuxCSD | Asset Services, Xact via SWIFT, Settlement
  3. Announcement 6.7.2017

    T2S final wave: Cross-border transfers of foreign T2S eligible multi-listed securities from remote to home markets between T2S In-CSDs

    L17082
    LuxCSD | Germany, Estonia, Latvia, Lithuania, Portugal, Netherlands, Spain, Italy, France | Settlement
  4. Announcement 4.12.2015

    UK and Ireland: Year-end changes to cash and security deadlines and bank levy

    L15184
    LuxCSD | United Kingdom, Ireland | Settlement, Cash
  5. Announcement 25.10.2016

    UK and Ireland: Year-end changes to cash and security deadlines and bank levy

    L16126
    LuxCSD | United Kingdom, Ireland | Cash, Settlement
  6. Announcement 29.12.2016

    UK and Ireland: Year-end changes to cash and security deadlines and bank levy - reminder

    L16151
    LuxCSD | United Kingdom, Ireland | Cash, Settlement
  7. Announcement 4.11.2016

    Business continuity management: New alert subscription available

    LuxCSD | Asset Services, Cash, Connectivity, Investment Fund Services, Settlement
  8. Announcement 29.3.2016

    Greece: Strike announced for 7 April 2016

    LM16008
    LuxCSD | Greece | Settlement
  9. Announcement 18.1.2016

    Greece: Strike announced for 4 February 2016

    LM16002
    LuxCSD | Greece | Settlement
  10. Announcement 13.4.2017

    Finland: CCP transactions to settle as normal

    LM17015
    LuxCSD | Finland | Settlement