Change of Issuer name for existing LSEDM contracts

Effective from 19 December 2017, all active existing ISIN codes for XLOD issued contracts will move to new Issuer IDs, as notified in our Issuer naming convention change for Options & Futures published 19 October 2017.

For your reference please click here to see the old to new Issuer Name / IDs for London Stock Exchange Derivatives Market.