Derivatives - General Clearing Information 20/12


Finnish Market open for Settlement on December 31st

The 31st of December is a short settlement day on the Finnish Market with adjusted settlement times. 

Cash Settlement: Payments will be handled before 12:00 CET

Physical Settlement: Last settlement batch for deliveries in Hexclear, Euroclear Finland 12.50 CET

For further information regarding this exchange notice, please contact Clearing Operations, telephone +46 8 405 6880 or clearing@nasdaqomx.com

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Pièces jointes

Finnish Market Open for Settlement on December 31st.pdf