Clearing broker: Difference between revisions
Jump to navigation
Jump to search
Amwelladmin (talk | contribs) No edit summary |
Amwelladmin (talk | contribs) No edit summary |
||
Line 2: | Line 2: | ||
===See also=== | ===See also=== | ||
*[[How clearing works|How clearing works - CCP]] | |||
*[[Give-ups]] | *[[Give-ups]] | ||
*[[Exchange-traded derivatives]] | *[[Exchange-traded derivatives]] |
Revision as of 14:25, 26 September 2016
The kind of broker who clears transactions that have been executed by itself or a different executing broker. A concept of particular relevance to ETD contracts.