With effect from the close of business on Friday 13 May 2011, Schneider Trading Associates Limited ("Schneider" or "the firm") will cease to act as a market maker in UK domestic securities.
Schneider acts in a principal capacity in UK domestic and international securities. The firm has access to SETS but does not access the International Order Book.
For business settling through CREST Code 303 and Euroclear Bank Code 94589 the firm has a settlement agreement with Goldman Sachs International. For business settling through CREST Code ISMAY Schneider has a settlement agreement with JP Morgan Chase Bank, London Branch.
|Issued by: Client Implementation Team|
|Contact: +44 (0) 20 7797 3232 or STX 33232|
|Issue date: 13 May 2011|
|Issue number: 2011/055|
The Exchange accepts no responsibility for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it.
You will be redirected in five seconds.
You are accessing the London Stock Exchange Annual Report Service powered by PrecisionIR.
The Exchange accepts no responsibility for the content of the reports you are now accessing or for any reliance placed by you or any person on the information contained therein.
You will be redirected in five seconds