In this Clearing Circular, ECC provides information regarding the delivery processes for the December 2019 expiry of EEX Emissions Futures and regarding processes over the Christmas and New Year period, specifically:
- Financial Settlement of Spot Market Transactions and Physical Futures
- Holiday Adjustment Initial Margin Spot Market on 24th December 2019
- Cascading Futures on 27th December 2019
- Business Processes on 24th and 31th December 2019
- Reporting Procedures on all holidays and at the weekends
- Settlement Hours of the Derivatives Markets Powernext, NXE and HUDEX.