7.2.1 (10 December 2018) CDP Settlement Rules >> Rule 7 Settlement >> 7.2 Availability of money and securities in Batch Settlement
Practice Note 9.4.3A(b) Money Received on Account of Customer (10 December 2018) Archive >> SGX-ST Rules >> Practice Notes
7.2.2 (10 December 2018) CDP Settlement Rules >> Rule 7 Settlement >> 7.2 Availability of money and securities in Batch Settlement
Practice Note 8A — Obligations of Trading Members to Mark Sell Orders (10 December 2018) Archive >> SGX-ST Rules >> Practice Notes
9.2.2A (10 December 2018) Archive >> SGX-ST Rules >> Section C — Market Structure >> Chapter 9 — Settlement >> 9.2 Relationship Between Trading Member and Selling Customer