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603 Page 1 22Oct2024Form 603 Corporations Act 2001 Section 671BNotice of initial substantial holder To Company Name/SchemeGOLD ROAD RESOURCES LIMITEDACN/ARSN109 289 5271. Details of substantial holder
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How to fill out securities andor form power

01
Gather all relevant information about the securities being authorized.
02
Obtain the correct 'Securities and/or Power of Attorney' form from the appropriate source.
03
Fill in the name of the individual or entity granting authority.
04
Provide detailed information about the securities involved, including the type, number, and identification details.
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Specify the person or entity receiving the power of attorney.
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Clearly state the extent of the powers granted, including any limitations.
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Sign and date the form in the designated area to validate the authorization.
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Have the form notarized if required, based on jurisdiction or institution policies.
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Submit the completed form to the relevant financial institution or legal authority.

Who needs securities andor form power?

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Individuals or entities looking to authorize someone else to manage their securities.
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Investors who want to delegate authority for handling transactions or decisions related to their investments.
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Legal representatives acting on behalf of a client in securities transactions.
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Securities and/or form power refers to the legal documentation that grants authority to individuals or entities to act on behalf of the securities holder, typically in matters related to the transfer or management of securities.
Individuals or entities who wish to delegate their rights or appoint someone else to manage their securities are required to file the securities and/or form power.
To fill out securities and/or form power, one must provide information such as the name of the securities holder, the name of the appointed agent, the specifics of the powers granted, and any necessary signatures or notarization.
The purpose of securities and/or form power is to legally authorize an agent to manage or transfer securities on behalf of the holder, ensuring the proper handling of financial transactions.
The information that must be reported includes the names of the parties involved, the description of the securities, the scope of authority granted, and relevant signatures.
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