Entitlement Reports
A list of shareholders provided by the CDS for a given listed security as at end of trading for a given date, who holds a balance of the said security.
The provided entitlement schedule will contain the following data.
- Full name of the shareholder as per the latest records of CDS
- Shareholding as at the entitlement date
- CDS account number
- Correspondence addressas per the latest records of CDS
- Dividend disposal instructions/Bank details
- Joint holder details if any
- Total CDS quantity of the security as at the given date
- Total number of shareholders as at the particular date
The company secretaries/registrars of the listed companies can request for the entitlement schedules. Based on their needs they can get the report in following variations as well.
- Normal entitlement schedule
- Broker wise entitlement schedule – with client addresses
- Broker wise entitlement schedule – without client addresses
- Entitlement schedule for Subscribed Rights
These reports can be obtained as soft copies or hard copies.
Note: Charges will be applicable for the reports as per the CDS fee circular.
Transaction Details
Transaction details can be provided to a given listed security or a given CDS account number.
Transaction schedules for a given security
This report provides the details of Sells and Buys for a given security within a given period, the minimum period being one day.
This report provides the following details.
- Buyer’s name
- CDS account details of the buyer
- Seller’s name
- CDS account details of the Seller
- Traded quantity
- Price per share
- Trade date
The report can be requested by the company secretaries/registrars of the given security.
Note: Charges will be applicable for the reports as per the CDS fee circular.
Transaction schedules for a Client
This report provides the ledger movements of a given client/CDS account within a given period.
The report will reflect the following data
- Client name
- Account number
- Security ID
- Transaction date
- Quantity
- Price
- Transaction type
- Balance type
The report can be provided to CDS account holders to check their own account movements or to respective company secretaries to track their listed security movements done by a particular client.
The report can be provided with the contra details if requested, only to the company secretaries.
Note: Charges will be applicable for the reports as per the CDS fee circular.
Portfolio Reports
The report reflecting the balance of a CDS account as at a given date.
The report can be provided to CDS account holders to check their own account balances or to respective company secretaries to track their listed security balances held by a particular client.
Note: Charges will be applicable for the reports as per the CDS fee circular.