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Important Notice The Depository Trust Company B #: 1136-13 Date: July 9, 2013, To: All Participants Category: Dividends From: International Services Attention: Operations, Reorg & Dividend Managers,
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Gold Fields CUSIP 38059T106 is a unique identification number assigned to a specific security issue by the Committee on Uniform Securities Identification Procedures (CUSIP). It is a unique identifier used for trading and clearing purposes.
The entity that issues the security associated with Gold Fields CUSIP 38059T106 is required to file it. This could be a corporation, government agency, or other type of organization.
To fill out Gold Fields CUSIP 38059T106, you would typically need to provide information such as the issuer's name, security description, maturity date, interest rate, and any other relevant details. This information would be submitted to the appropriate regulatory authority or financial institution.
The purpose of Gold Fields CUSIP 38059T106 is to uniquely identify a specific security issue. It allows for easy tracking, trading, and clearing of the security in the financial markets.
The specific information that must be reported on Gold Fields CUSIP 38059T106 can vary depending on the type of security being issued. However, commonly reported information includes the issuer's name, security description, interest rate, maturity date, and any relevant terms or conditions.
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