Clearing and settlement
Settlement ratio
Trades and grosspayment for the AM and PM clearing
AM clearing, growth in volume 2006-2011
PM clearing, growth in volume 2006-2011
Settlement ratio
The information below refers to settlement in the AM and PM sub-markets during the latest month with in Euroclear Sweden's clearing and settlement system. The statistics shows the percentage of trades settled on the instructed settlement day and is based on both CCP instructions and instructions settled bilaterally between clearing members. Trades that do not settle on the instructed settlement day are settled at a later time.
Number of trades and gross payment for both the AM and PM clearing (weekly)
Number of trades and gross payment
Settlement AM sub-market, growth in volume 2006-2011
All securities affiliated to Euroclear Sweden can be processed in the vpc system's AM clearing. The volumes reported may include such instruments as equities, interest-bearing bonds, premium bonds, convertibles and subscription rights.
Turnover in Euroclear Sweden AM sub-market settlement

SEK AM, average per day
Number of AM deliveries, average per day
Settlement PM sub-market, growth in volume 2006-2011
Only the specially approved money market instruments affiliated to Euroclear Sweden may be processed in the vpc system's PM clearing. Among them are treasury bills, commercial mortgage securities, mortgage bonds and government bonds.
Turnover in Euroclear Sweden PM sub-market settlement

SEK PM, average per day
Number of PM deliveries, average per day

Password protected statistics and news for participants can be found under the heading Log on.
Current operational information, information about Euroclear Swedens's test environments and planned system changes is password protected information.
Username and password are available in the vpc system via transaction code INFO with key 090224
