With effect from the start of business on Monday 15 February 2010, Flow Traders B.V. ("Flow Traders" or "the firm") will commence using an additional set of trading codes as shown below in bold. The firm will settle business executed through these codes through a settlement agreement with Merrill Lynch International.
Flow Traders acts in a principal capacity in UK domestic and international securities with access to SETS and the International Order Book ("IOB"). The firm also acts as a market maker in UK domestic securities.
Flow Traders settles business executed through Member ID FLTRNL21 through a Model B agreement with Fortis Bank Global Clearing N.V. ("Fortis").
|Issued by: Client Implementation Team|
|Contact: +44 (0) 20 7797 3232 or STX 33232|
|Issue date: 12 February 2010|
|Issue number: 2010/029|
You will be redirected in five seconds.
You are accessing the London Stock Exchange Annual Report Service powered by PrecisionIR.
You will be redirected in five seconds