SGX Rulebooks
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The Securities Account of the Depositor shall only be credited with the quantity of securities accepted for deposit after the securities have been registered, or in the case of GLB Securities, after the Depository is satisfied that the securities will be imminently issued and registered, in the name of the Depository or its nominee. The Depository shall send the Depositor a statement showing the quantity of securities credited to his Securities Account.

Amended on 21 August 2026.