Article NO. Content

Title:

Regulations Governing Book-Entry Operations for Centrally Deposited Securities 

Amended Date: 2023.12.29 
Article 13     A CSDE shall verify daily with a participant the quantities of securities deposited, withdrawn, and the net balance recorded on the participant's account books.
    Should any discrepancies be discovered in such verification, the participant shall cooperate immediately with a CSDE to examine the reasons for such discrepancies and shall make corrections accordingly.