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This form is used for submitting voting instructions for shares held in a CNS long position in relation to corporate meetings such as Annual General Meetings or Special General Meetings, and requires submission by a specific deadline as set by HKSCC.
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How to fill out ccass-form 1

01
Obtain a copy of CCASS-Form 1 from the official source or website.
02
Read the instructions carefully to understand each section of the form.
03
Fill out your personal information in the designated fields, including your full name, address, and contact details.
04
Provide any required identification information, such as your ID number or tax identification number.
05
Complete the sections related to your financial information, including account numbers and transaction details, if applicable.
06
Review all the information entered to ensure accuracy and completeness.
07
Sign and date the form where indicated.
08
Submit the completed form to the relevant authority or organization as specified.

Who needs ccass-form 1?

01
Individuals or entities participating in the CCASS system.
02
Investors who need to open a CCASS account for trading purposes.
03
Brokerage firms that require CCASS-Form 1 for their clients' account setup.
04
Organizations needing to comply with regulatory requirements related to securities.
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CCASS-form 1 is a regulatory document used in the Central Clearing and Settlement System (CCASS) in Hong Kong to report certain financial transactions and account details.
Entities involved in trading and settlement activities within the CCASS framework, including brokers, dealers, and custodians, are required to file ccass-form 1.
To fill out ccass-form 1, complete the designated fields with accurate information regarding transactions and account details, ensuring compliance with regulatory requirements.
The purpose of ccass-form 1 is to provide regulators with necessary data about trades and settlements to ensure market transparency and compliance.
CCASS-form 1 must report information such as transaction details, account numbers, participant IDs, and relevant financial data associated with the trades.
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