Which of the following is incorrect regarding trading or settlement procedures?
A、 Securities orders are first matched by OTP-C before they are cleared and settled in CCASS
B、 After the securities are matched, they are automatically transferred to CCASS in the evening of the trading day.
C、 The CCASS handles securities trading on a continuous net settlement basis.
D、 The provisional settlement statement is transmitted by CCASS to the clearing participant on the day following the trade date.
发布时间:2025-12-15 23:38:28