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SM42 Netting Details


Page no: SM42

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: 2560 width (to see all countries in their columns).

 

Netting Details

Japan Exchange Traded Japan OTC  Korea Exchange Traded Korea OTC  Hong Kong (Exchange Traded) Thailand Singapore (Exchange Traded) Australia (Exchange Traded) India (Exchange Traded) Indonesia (Exchange Traded) Malaysia (Exchange Traded) New Zealand (Exchange Traded) Philippines (Exchange Traded) Taiwan (Exchange Traded)
Who does the netting? JSCC will perform net on gross
transactions on Settlement
Korea   Exchange (KRX) …………………………. …………………………. …………………………. CDP …………………………. …………………………. …………………………. …………………………. …………………………. …………………………. ………………………….
Are both cash and securities netted? Net Cash,
Net Securities (source)
Net Cash, Gross securities Does KRX net both cash and securities? net cash & securities market settlement on net basis,
clearing house will net
When does netting happen? on T+1 T+0, 9-10p.m.
Clearing house send report of the net obligations
Terminal or similar available for information? Information from JSCC terminal what is due to settle on the day, Netted trades available in KSD Terminal
Which currencies are netted? Only KRW
File transfer to us?
   
How are net trades sent to members?
Via files ?
or only via KSD Termanal?
Clearing house
Type of netting (Trade Date Netting, 
    Settlement Date Netting,  
    CNS, or others?)
Continuous net settlement,
roll in fails from previous days
(T+3 settlement)
Continuous Net Settlement Net obligation received by Clearing
House, upload function in Clearing house systems to upload the net transactions,
Checking the net result before uploading
Details of CNS Settlement
(if applicable) 
Securities (Stocks, ELW,   Warrants, Beneficiary Certificate)
not delivered by the settlement deadline(16:00) are
carried over to the next day and netted against the
securities to be delivered on the next day.
How does netting work? Specialties
Traded amount is always different
from settlement amount,
setting clearing amount per day,
market valuation taken into consideration
and so the settling amount is different
from when it was traded, and difference
will be booked as adjustment journal. difference only on cash amount.
 what does CNS mean for you? buyer and seller at the same
timeon a particular stock,
cross sync done on negotiate
board
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