Clearing broker: Difference between revisions

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===See also===
===See also===
*[[How clearing works|How clearing works - CCP]]
*[[How clearing works- CCP|How clearing works]]
*[[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.

See also