6.7.3 Ready Trades

Past version: Effective up to 09 Dec 2018

(1) CDP shall make available a report, at the scheduled time as determined by CDP, listing down all trades for each and every security in respect of which the short Clearing Member has either failed to comply with the obligation set out in Rule 6.5.2A or failed to deliver on the Settlement Day in accordance with Rule 6.5.2.
(2) Buying-in against the short Clearing Member may proceed according to this report and in accordance with Rule 6.7.4, on the Settlement Day or such other Market Day as may be prescribed by CDP.

Amended on 27 March 200727 March 2007 and 20 November 200920 November 2009.