Market Notices


No.DescriptionDateDownload
398Change of Trading Type and Security Addition23.12.2002
397Change of Trading Type19.12.2002
396Default Contribution Fund19.12.2002
395B. Metzler Seel. Sohn & Co.19.12.2002
394Citibank Aktiengesellschaft19.12.2002
393Amendment of Trade Reversal Provisions12.12.2002
392Barnard Jacobs Mellet (UK) Limited - Change of Network Connectivity Provider11.12.2002
391New Member - Start of Trading Activities - DTS Derivatives Trading System AG11.12.2002
390SWX Europe Central Counterparty Rules29.11.2002
389Amendment of Trade Reversal Provisions27.11.2002
388Additional Member ID - Credit Lyonnais Securities Europe-Switzerland AG 26.11.2002
387HSBC Investment Bank plc - HSBC Bank plc22.11.2002
386Change of Name - Tullett & Tokyo Liberty (Equities) Limited22.11.2002
385Bank of America Securities Limited, Frankfurt 22.11.2002
384Swiss Life Holding Rights Issue20.11.2002
383SMI Security - Name & Symbol Change18.11.2002
382Introduction of new Security15.11.2002
381E*TRADE Securities Ltd. - Change in Settlement Counterparty Instructions11.11.2002
380UBS AG London Branch - Change in Settlement Counterparty Instructions11.11.2002
379Introduction of New Exchange Traded Funds08.11.2002
378Morgan Stanley & Co International Ltd. - Change in Settlement Counterparty Instructions07.11.2002
377Value Dates for Trading during the Christmas and New Year Period 2002/2003

- Attachment: SWX Europe Trading Calendar for 2003
06.11.2002

376Withdrawal of Securities

- Attachment: Securities withdrawn on Nov. 4, 2002
01.11.2002

375List of Securities for Off-Order Book Trading from 4 November 200229.10.2002
374Introduction of new Security24.10.2002
373New Stock List

- Attachment: New stocklist as of Nov. 4, 2002
21.10.2002

372Deletion of Security18.10.2002
371Zurich Financial Services Rights Issue16.10.2002
370Merrill Lynch International - Change in Settlement Counterparty Instructions for Member ID 3120 14.10.2002
369PG Partner Bank AG - Banque SCS Alliance SA 10.10.2002
368New Off-Order Book Service04.10.2002
367Deletion of Security30.09.2002
366Lombard Odier Darier Hentsch & Cie, Geneva30.09.2002
365Introduction of New Securities20.09.2002
364KBC Financial Products UK Ltd.19.09.2002
363Stafford Trading Europe Ltd. - TD Securities Ltd.17.09.2002
362New Member - Start of Trading Activities - Crédit Lyonnais, Paris13.09.2002
361Deletion of Security05.09.2002
360Introduction of new Security30.08.2002
359Merrill Lynch International - Change in Settlement Counterparty Instructions for Member ID 301627.08.2002
358Cazenove & Co Ltd - Change in Settlement Counterparty Instructions23.08.2002
357Credit Lyonnais Securities Ltd. - Switzerland AG - Changes in Member IDs20.08.2002
356ETF Administration Fees09.08.2002
355New Member - Enskilda Securities AB, London Branch07.08.2002
354Introduction of new Security26.07.2002
353Changes to Rules and Directives23.07.2002
352Additional Member ID - Bayerische Hypo-und Vereinsbank AG15.07.2002
351Trade Reporting Deadlines - Swiss Securities10.07.2002
350Christmas and New Year Holidays10.07.2002
349New Off-Order Book Service08.07.2002
348Changes to Rules and Directives05.07.2002
347Introduction of New Security03.07.2002
346C.I.M. Banque SA, Geneva02.07.2002
345Introduction of New Securities27.06.2002
344Lombard Odier & Cie and Darier Hentsch & Cie27.06.2002
343Ferrier Lullin & Cie. SA 25.06.2002
342Exchange Traded Funds - Settlement of FRESCO Products

- Attachment: Standing Settlement Instructions Notification Form - ETFs
24.06.2002

341Introduction of New Securities 21.06.2002
340Start of Trading Activities - Staffort Trading Europe Ltd.05.06.2002
339Introduction of New Securities03.06.2002
338Change of Name - Monument Derivatives Ltd.30.05.2002
337Introduction of New Security28.05.2002
336Change of Closing Auction for MSCI Index Changes 27.05.2002
335Change of Name - E*Trade Institutional Securities Ltd.22.05.2002
334BNP Paribas (Suisse) SA - Change to Settlement Counterparty Instructions21.05.2002
333Introduction of New Security10.05.2002
332Introduction of New Security10.05.2002
331Value Dates for May - June 2002 09.05.2002
330Commerzbank AG, Frankfurt03.05.2002
329Introduction of Exchange Traded Funds - Regulation and Compliance Update03.05.2002
328Introduction of New Exchange Traded Funds 02.05.2002
327DePfa Holding plc (IE0072559994) 26.04.2002
326Susquehanna Ireland Ltd.26.04.2002
325Additional Member ID - Merrill Lynch International24.04.2002
324BNP Paribas (Suisse) SA - Changes in Members IDs23.04.2002
323Introduction of Exchange Traded Funds22.04.2002
322Closed for Trading - 1 May 200215.04.2002
321Hull Trading GmbH, Frankfurt09.04.2002
320Trade Reporting Deadlines28.03.2002
319New Member - Start of Trading Activities - Archelon Suisse GmbH, Switzerland28.03.2002
318Changes to the SWX Europe Member List26.03.2002
317Introduction of Exchange Traded Funds22.03.2002
316Start of Trading Activities - Barclays Capital Securities Ltd.22.03.2002
315Changes to Member ID - BNP PARIBAS Arbitrage SNC, Paris 18.03.2002
314Introduction of new Securities14.03.2002
313Stabilisation Rules 07.03.2002
312BNP Paribas London Branch - Change in Settlement Counterparty Instructions06.03.2002
311Value dates for Trading during Easter 2002 04.03.2002
310Updated SWX Software Licensing Conditions regarding SWX Europe04.03.2002
309Introduction of new Security 01.03.2002
308Change of Name - Instinet UK Ltd.28.02.2002
307Start of Trading Activities Bayerische Hypo- und Vereinsbank AG 25.02.2002
306Introduction of new Security14.02.2002
305BNP Paribas Arbitrage SNC, Paris - Change to Settlement Counterparty Instructions 14.02.2002
304Stop Trading Level for ABB Ltd.12.02.2002
303Disciplinary Fees06.02.2002
302New Member - Abacus Wertpapier Handelsgesellschaft mbH05.02.2002
301Clarification of Proposed Stabilisation Rules01.02.2002
300Optiver V.O.F - Settlement Counterparty Instructions (II)18.01.2002
299Optiver V.O.F - Settlement Counterparty Instructions17.01.2002
298Introduction of new Security11.01.2002
297Introduction of new Security03.01.2002