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Investor Presentaiton

Hong Kong Investor ID Regime Other questions Un Q&A In the documents, it is mentioned that the BCAN should be sent to SEHK for execution (FO). However, it doesn't mention any change about sending the message to CCASS for settlement. In the agency flow, how to distinguish the "Relevant Regulated Intermediary" from the "Non- Relevant Regulated Intermediary"? The "Relevant Regulated Intermediary's" message to SEHK I will have to include the CE number? Is that correct? Will there be a matching process available for OE orders for reconciliations purposes as the input will be manual?
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