To transfer securities from the investor' account at CSD to his account with the broker for sale, or to transfer securities at the brokers to CSD (view procedure).
To trade in said securities with another broker (view procedure)
To obtain the daily, weekly or monthly balance of securities in the investor's account with brokers and clearing.(
To transfer securities between DFM and other markets.
To obtain a statement in writing from the market about the investor's ownership of the securities (view procedure)
To obtain an investor's number or update investor data ( view procedure )
To amend investor's previously updated data in the market (view procedure)
To transfer cash dividends to investor’s IBAN