Change of settlement structure for ETPs from the WisdomTree product family
038/2022 Change of settlement structure for ETPs from the WisdomTree product familyXetra Circular 038/22 Change of settlement structure for ETPs from the WisdomTree product family
1. Introduction
Please be advised that the issuer WisdomTree is planning a change of settlement structure for their Exchange Traded Products (ETPs) traded on Xetra (MIC: XETR) and Börse Frankfurt (MIC: XFRA).
2. Required action
There are no required actions.
3. Details of the initiative
The issuer intends to convert the ETPs listed in the attached table to the International Central Securities Depository (ICSD) model with effective date Monday, 22 August 2022. Following successful conversion, shares of these ETPs will be held in non-collective safe custody (NCSC). For DE-ISIN holders, the conversion process also includes a one-to-one DE for JE-ISIN exchange and GB-ISIN exchange, respectively, as listed in the Attachment. The short codes of the ETPs to be converted remain unchanged.
The converting ETPs will remain CCP-eligible. Settlement of converted ETPs will take place on a Clearstream Banking Frankfurt International (“CBF-I”) 6-series account with settlement location “CBL”. Trade confirmations, reports and contract notes will display “7525” as counterparty’s KV number and counterparty’s settlement account. The settlement account of Eurex Clearing will be “67525”.
Attachment:
- List of convertible ETFs WisdomTree
Further information
Recipients: | All Xetra® Members and Vendors | |
Target groups: | Traders, Clearing, Security Administrators, General | |
Contact: | sales.cashmarket@deutsche-boerse.com | |
Web: | www.xetra.com | |
Authorised by: | Michael Krogmann, Dagmar Wojcik (on behalf of the Management Board) |