PREFACE
|
DEFINITIONS
|
PART ONE
|
CCASS
|
SECTION 1
|
INTRODUCTION
|
1.1
|
HKSCC
|
1.2
|
What is CCASS ?
|
1.3
|
Main CCASS services
|
1.4
|
Additional services
|
SECTION 2
|
PARTICIPANTS
|
2.1
|
Admission of Participants
|
2.2
|
Admission fee
|
2.3
|
Stock Accounts and CCMS Collateral Accounts
|
2.4
|
Money Ledger
|
2.5
|
Authorised Signatories
|
2.6
|
Designated Officer and Alternate Designated Officer
|
2.7
|
List of Participants
|
2.8
|
Appeal to the Participant Admission Appeals Committee
|
SECTION 3
|
CCASS TERMINALS / CCASS PHONE SYSTEM / CCASS INTERNET SYSTEM / PARTICIPANT GATEWAYS
|
3.1
|
Direct linkage
|
3.2
|
Commissioning of CCASS Terminals and Participant Gateways
|
3.3
|
Delegated Administrators
|
3.4
|
Authorised Users
|
3.4A
|
SSA Statement Recipients
|
3.5
|
Access control of CCASS Terminals and Participant Gateways |
3.5A |
Access control of RMS |
3.6
|
Operations undertaken through CCASS Terminals, Participant Gateways and RMS |
3.7
|
Servicing of CCASS Terminals, Participant Gateways and RMS |
3.8
|
Back-up Centre for access to CCASS
|
3.9
|
CCASS Terminals and Participant Gateways of Designated Banks
|
3.10
|
CCASS Phone System and CCASS Internet System
|
SECTION 4
|
BACK-UP CENTRE / CUSTOMER SERVICE CENTRE
|
4.1
|
Introduction
|
4.2
|
Customer Service Centre
|
SECTION 5
|
ELIGIBLE SECURITIES
|
5.1
|
Securities accepted as Eligible Securities
|
5.2
|
Currency of denomination and settlement
|
5.3
|
Stock code number and description
|
5.4
|
Restrictions affecting Eligible Securities
|
SECTION 6
|
OPERATIONAL AND SERVICE SCHEDULE
|
6.1
|
Processing and service
|
6.2
|
Daily processing and service schedule for Participants other than Investor Participants
|
6.3
|
Daily service schedule for Designated Banks
|
PART TWO
|
SERVICES AND FACILITIES
|
SECTION 7
|
DEPOSITORY AND RELATED SERVICES
|
7.1
|
CCASS Depository Services
|
7.2
|
Operating principles
|
7.3
|
Procedures for deposit
|
7.4
|
Procedures for withdrawal
|
7.5
|
Security control
|
7.6
|
Forms
|
7.7
|
Withdrawal order functions available for use
|
7.8
|
Purging of withdrawal orders
|
7.9
|
Relevant CCASS reports
|
7.10
|
Exchange Fund Notes, Government Bonds,Specified Instruments and CMU Instruments
|
7.11
|
Foreign Securities
|
7.12
|
Structured Products
|
7.13
|
Procedures for transfer of Multi-counter Eligible Securities
|
7.13A
|
Procedures for conversion of holdings of Eligible Securities subject to parallel trading arrangements
|
7.14
|
Uncertificated Eligible Securities
|
SECTION 8
|
NOMINEE SERVICES |
8.1
|
Provision of nominee services
|
8.2
|
General principles
|
8.3
|
Corporate announcement information
|
8.4
|
Corporate announcements
|
8.5
|
Corporate communications
|
8.6
|
Voting
|
8.7
|
Cash dividend entitlements
|
8.8
|
Bonus issues of securities
|
8.9
|
Dividend entitlements with options
|
8.10
|
Rights issues by issuers of Eligible Securities (other than China Connect Securities and other scripless securities)
|
8.10A
|
Rights issues relating toChina Connect Securities, other scripless securities and non-eligible securities
|
8.11
|
Open offers relating to Eligible Securities other than China Connect Securities
|
8.11A
|
Open offer relating to China Connect Securities
|
8.12
|
Take-over offers
|
8.13
|
Conversion of warrants
|
8.13A
|
[Repealed]
|
8.13B
|
[Repealed]
|
8.14
|
Sub-divisions, consolidations etc.
|
8.15
|
Interest payments
|
8.16
|
Conversion of bonds
|
8.17
|
Bond, Exchange Fund Notes, Government Bonds, Specified Instruments and CMU Instruments redemption
|
8.17A
|
Redemption of Shares
|
8.18
|
[Repealed] |
8.18A |
Electronic Application Instructions for New Issue Shares |
8.19
|
Tender Instructions for Exchange Fund Notes, Government Bonds, Specified Instruments and CMU Instruments
|
8.20
|
Electronic Applications for the issue & redemption of Units
and book-entry deposit or withdrawal of Units |
8.20A
|
Scrip and/or cash payment relating to Structured Products
|
8.20B
|
Redemption of Structured Products which have a rollover mechanism
|
8.20C |
Requisitions |
8.21
|
Fractional securities
|
8.22
|
Unclaimed entitlements
|
8.23
|
Decimal places for calculation purposes
|
8.24
|
Forms
|
8.25
|
Intra-day payment in an Eligible Currency
|
8.26
|
Nominee Payment (Evening) Distribution in an Eligible Currency
|
8.27 |
CA ISO Message Service |
SECTION 9
|
OVERVIEW OF CLEARING AND SETTLEMENT IN CCASS
|
9.1
|
Transactions accepted for settlement in CCASS
|
9.2
|
Exchange Trades
|
9.2A
|
China Connect Securities Trades
|
9.3
|
SI Transactions
|
9.4
|
ISI Transactions
|
9.5
|
Clearing Agency Transactions
|
9.6
|
Transfer Instructions
|
9.6A
|
Cross Border Transfer Instructions
|
9.7
|
Securities settlement
|
9.8
|
Money settlement
|
SECTION 10
|
EXCHANGE TRADES - CNS SYSTEM
|
10.1
|
Acceptance for settlement under the CNS System
|
10.2
|
Trade amendments, “late” Exchange Trades and trades not recognized by the Exchange
|
10.3
|
Netting
|
10.4
|
Securities Settlement under the CNS System
|
10.5
|
Money settlement under the CNS System
|
10.6
|
Late delivery : default fee
|
10.7
|
Late delivery : compulsory stock borrowing by HKSCC
|
10.8
|
Late delivery : Buy-in
|
10.9
|
Late delivery : adjustments for entitlements
|
10.10
|
Risk management : Marks
|
10.10A
|
Risk management : Margin
|
10.11
|
Risk management : Collateral
|
10.12
|
Risk management : Securities-on-hold
|
10.13
|
Risk management: Evidence of securities available for settlement
|
10.14
|
Risk management : Closing-out
|
10.15
|
Risk management : Cash and Collateral Securities
|
10.16 |
Risk Management: Contract Termination |
SECTION 10A
|
CHINA CONNECT SECURITIES TRADES - CNS SYSTEM
|
10A.1
|
Acceptance for settlement under the CNS System
|
10A.2
|
Netting
|
10A.3
|
Securities settlement
|
10A.4
|
Money settlement under the CNS System
|
10A.5
|
Late delivery: default fee
|
10A.6
|
Late delivery: Buy-in
|
10A.7
|
Late delivery: adjustments for entitlements
|
10A.7A
|
Late delivery: adjustment of sellable balance for China Connect Securities
|
10A.8
|
Risk management: Mainland settlement deposit
|
10A.9
|
Risk management: Mainland security deposit
|
10A.10
|
Risk management: Marks
|
10A.11
|
Risk management: Collateral
|
10A.12
|
[Repealed]
|
10A.13
|
Risk management: Cash collateral
|
10A.14
|
Risk management: Securities-on-hold of China Connect Securities
|
10A.15
|
Risk management: Closing-out
|
SECTION 11
|
EXCHANGE TRADES - ISOLATED TRADES SYSTEM
|
11.1
|
Settlement under the Isolated Trades System
|
11.2
|
Trade amendments, “late” Exchange Trades and trades not recognized by the Exchange
|
11.3
|
HKSCC not responsible for Isolated Exchange Trades
|
11.4
|
Settlement of Isolated Exchange Trades
|
11.5
|
Money settlement of Isolated Exchange Trades
|
11.6
|
Late delivery: default fee
|
11.7
|
Late delivery: stock borrowing
|
11.8
|
Late delivery: Buy-in
|
11.9
|
Late delivery: adjustments for entitlements
|
11.10
|
Late delivery: accrued interest of interest bearing Debt Securities
|
SECTION 12
|
NON-EXCHANGE TRADES - SI TRANSACTIONS, CLEARING AGENCY TRANSACTIONS, ISI TRANSACTIONS,TRANSFER INSTRUCTIONSAND NON-TRADE TRANSFERS IN CHINA CONNECT SECURITIES
|
12.1
|
SI Transactions (Between Participants other than Investor Participants)
|
12.2
|
Clearing Agency Transactions
|
12.3
|
ISI Transactions (Involving Investor Participants)
|
12.4
|
Transfer Instructions
|
12.5
|
Cross-Border Transfer Instructions
|
12.6
|
Non-Trade Transfers in China Connect Securities
|
SECTION 12A
|
FOREIGN EXCHANGE SERVICES
|
12A.1
|
The TSF
|
12A.2
|
TSF FX transactions
|
12A.3
|
Money positions in respect of TSF FX transactions
|
12A.4
|
Settlement of TSF final FX positions
|
12A.5
|
Earmarking and de-earmarking of TSF stocks
|
12A.6
|
Stock release requests and stock release FX transactions
|
12A.7
|
Amendments to TSF exchange trades and adjustments to TSF FX transactions
|
12A.8
|
Failure to settle money positions
|
12A.9
|
Risk management: collateral
|
SECTION 13
|
SECURITIES SETTLEMENT
|
13.1
|
General
|
13.2
|
Settlement by DIs
|
13.3
|
Settlement by Batch-settlement-runs
|
13.4
|
Allocation algorithm for long CNS stock positions
|
13.5
|
Enquiries and reports
|
13.6
|
Cancelling stock positions
|
SECTION 14
|
CCASS MONEY SETTLEMENT |
14.1
|
Scope of money settlement services
|
14.2
|
Designated Banks and authorisation forms
|
14.3
|
Instructions by HKSCC to Designated Banks
|
14.4
|
DDIs and DCIs
|
14.5
|
Electronic Payment Instructions
|
14.6
|
[Repealed]
|
14.7
|
CHATS Payment Instructions
|
14.8
|
Intra-day Payment Instructions
|
SECTION 15
|
ENQUIRY SERVICES
|
15.1
|
Enquiry services
|
15.2
|
Use of various enquiry functions available
|
15.3
|
Hours when services are available
|
15.4
|
Access rights to enquiry services
|
SECTION 16
|
STATEMENTS AND REPORTS
|
16.1
|
Statements and reports available
|
16.2
|
Access rights to report retrieval functions
|
16.3
|
Retrieval of reports |
16.4
|
[Repealed] |
16.5
|
Request for re-prints
|
16.6
|
Reports and statements for Participants
|
16.7
|
Reports and statements for Designated Banks
|
16.8
|
Reports and statements for SSA Statement Recipients relating to SSA with Statement Service
|
16.9
|
Errors
|
SECTION 17
|
SUSPENSION OF SERVICES
|
17.1
|
General
|
17.2
|
Typhoons, Extreme Conditions and Rainstorms |
17.3
|
[Repealed] |
17.4
|
Other contingency situations
|
SECTION 17A |
CLEARING SERVICE TERMINATION EVENT |
17A.1 |
Calculations of net payments following a Clearing Service Termination Event |
SECTION 17B |
HKSCC FAILURE TO PAY EVENT OR HKSCC INSOLVENCY EVENT |
17B.1 |
Calculations of net payments under an HKSCC Failure to Pay Event or an HKSCC Insolvency Event |
PART THREE
|
DUTIES AND RESPONSIBILITIES OF PARTICIPANTS
|
SECTION 18
|
GUARANTEE FUND
|
18.1
|
General
|
18.2
|
Calculation of Contributions
|
18.3
|
Form of Contributions
|
18.4
|
Review of Contributions
|
18.5
|
Payments to be made out of the Guarantee Fund
|
18.6
|
Assessments, Voluntary Recapitalization and Replenishment of Guarantee Fund
|
SECTION 19
|
FINANCIAL AND ACCOUNTING REQUIREMENTS
|
19.1
|
Financial requirements
|
19.2
|
Accounting requirements
|
SECTION 20
|
DISCIPLINARY ACTION
|
20.1
|
Information
|
20.2
|
Monitoring and investigations
|
20.3
|
Responsibility of Participants
|
20.4
|
Acts of misconduct
|
20.5
|
The disciplinary function of HKSCC
|
20.6
|
Membership of Committee
|
20.7
|
Referral to the Disciplinary Committee
|
20.8
|
Pre-hearing preparation and pre-hearing review
|
20.9
|
The Disciplinary Committee hearing
|
20.10
|
Appeal to the Disciplinary Appeals Committee
|
20.11
|
Publicity and public censure
|
PART FOUR
|
TARIFF
|
SECTION 21
|
COSTS AND EXPENSES |
21.1
|
Clearing and settlement of Exchange Trades
|
21.1A
|
Clearing and settlement of China Connect Securities
|
21.2
|
Clearing and settlement of SI Transactions
|
21.3
|
Clearing and settlement of ISI Transactions
|
21.3A
|
Clearing and settlement of Transfer Instructions
|
21.3B
|
Cross-Border Transfer (Receipts/Deliveries) Instructions
|
21.4
|
[Repealed]
|
21.5
|
Depository and nominee services
|
21.6
|
[Repealed]
|
21.7
|
Other money settlement fees
|
21.8
|
Report reprinting service
|
21.9
|
(i) Repealed
(ii) Repealed
(iii) Fees for CCASS Terminal accessed by smartcard
(iv) Fees for Participant Gateways
|
21.10
|
Applicable interest rates
|
21.11
|
SSA with statement service
|
21.11A
|
Stock Segregated Account Transfer Instructions
|
21.12
|
[Repealed]
|
21.13
|
Costs and expenses - miscellaneous
|
21.14
|
Billing
|
21.15
|
Review of costs and expenses
|
21.16
|
Default fee for later delivery under the CNS System
|
21.17
|
Foreign Currency denominated transactions
|
21.18
|
[Repealed] |
21.18a
|
[Repealed]
|
21.19
|
Clearing and settlement of TSF FX transactions
|
21.20
|
Exception handling fee in relation to settlement of TSF FX transactions and earmarking of TSF stocks
|
21.21
|
Special Segregated Account
|
SECTION 22
|
TARIFF FOR INVESTOR PARTICIPANTS
|
22.1
|
Clearing and settlement of ISI Transactions
|
22.1A
|
Clearing and settlement of TI Instructions
|
22.1B
|
Cross-Border Transfer (Receipts/Deliveries) Instructions
|
22.2
|
Depository and nominee services
|
22.3
|
[Repealed]
|
22.4
|
Other money settlement fees
|
22.5
|
Customer Service Centre
|
22.6
|
Investor accounts maintenance fees
|
22.7
|
Applicable interest rates
|
22.8
|
Costs and expenses - miscellaneous
|
22.9
|
Billing
|
22.10
|
[Repealed]
|
22.11
|
Review of costs and expenses
|
22.12
|
Foreign Currency denominated transactions
|
SECTION 23
|
TARIFF OF ISSUERS
|
23.1
|
Admission of Structured Products
|
23.2 |
Admission of Securities |
Appendix 1-5
|
[Repealed]
|
Appendix 6
|
Compulsory Stock Borrowing and Lending Regulations
|
Appendix 7-8
|
[Repealed]
|
|
|
|
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