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Important Notice The Depository Trust Company #:915618Date:August 13, 2018To:All ParticipantsCategory:DividendsFrom:International ServicesAttention:Operations, Reorg & Dividend Managers, Partners
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Obtain the official CUSIP number for the security or financial instrument you are looking to record.
02
Locate the field in the appropriate form or database where the CUSIP number needs to be entered.
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Carefully input the 9-character alphanumeric CUSIP number in the designated space, ensuring accuracy and avoiding any typographical errors.
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Investment professionals such as portfolio managers, analysts, and brokers who deal with securities and financial instruments requiring CUSIP identification.
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Regulatory bodies, financial institutions, and vendors that rely on CUSIP numbers for tracking and reporting purposes.
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Individual investors who want to access accurate and up-to-date information about a specific security or financial instrument.
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CUSIP 00373L102 record is a unique identifier for a particular security or instrument.
Any entity or individual who holds or trades the security associated with CUSIP 00373L102 may be required to file the record.
The CUSIP 00373L102 record should be filled out with accurate information about the security, including details such as issuer name, coupon rate, maturity date, etc.
The purpose of CUSIP 00373L102 record is to provide a standardized identification system for securities trading and settlement purposes.
Information such as issuer name, security description, maturity date, coupon rate, etc., must be reported on CUSIP 00373L102 record.
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