On any Settlement Day, the Net Debit Balance shall be payable to CDP and the Net Credit Balance shall be payable by CDP in accordance with these DVP Rules.
Amended on 25 February 201125 February 2011 and 26 April 201326 April 2013.
On any Settlement Day, the Net Debit Balance shall be payable to CDP and the Net Credit Balance shall be payable by CDP in accordance with these DVP Rules.
Amended on 25 February 201125 February 2011 and 26 April 201326 April 2013.