Practice Note 6.7.2(1A), 6.7.4(8), 6.7.7A and 6.7.11 — Buying-in, Procurement and Cash Settlement if Intended Settlement Day is Day with Half Day Trading (10 December 2018) CDP Clearing Rules >> Practice Notes
12.18A.4 (10 December 2018) Archive >> SGX-ST Rules >> Section D — Regulatory Framework >> Chapter 12 — Operational Requirements >> 12.18A Broker-linked balances
Practice Note 6.5.1B(2) — Priority Considerations when Selecting Buy Trades to Cash Settle (10 December 2018) CDP Clearing Rules >> Practice Notes
9.3.2 (10 December 2018) Archive >> SGX-ST Rules >> Section C — Market Structure >> Chapter 9 — Settlement >> 9.3 Relationship Between Trading Member and Clearing Member
9.3.3 (10 December 2018) Archive >> SGX-ST Rules >> Section C — Market Structure >> Chapter 9 — Settlement >> 9.3 Relationship Between Trading Member and Clearing Member