With effect from start of business on Monday 19 August 2013, European Investment Management Limited ("the firm") will commence trading on SETS and the International Order Book ("IOB") using the settlement codes shown below in bold.
The firm will settle all of its business through a settlement agreement with KAS Bank N.V.
To view this firm's full trading profile, please refer to the Member Firm Codes spreadsheet.
|Issued by: Membership Team|
|Contact: +44 (0) 20 7797 1900 or STX 31900|
|Issue date: 16 August 2013|
|Issue number: 2013/124|
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