Settlement of transaction between participants of the Stock Exchange is required to take place in CCASS on the second Business day after any trading day.
联交所参与者之间的交易须于任何交易日后的第二个营业日在中央结算系统内进行交收。
2
You wish to receive the corporate communication for securities of which you are the non-registered underlying owner and are held in the CCASS Depositary.