Settlement of a Clearing Member's right on any Settlement Day to receive securities in respect of Novated Contracts (including any right to receive securities as compensation for corporate action entitlements as provided in these Clearing Rules) shall be effected and final upon CDP crediting such securities into the Clearing Member's Clearing Account.

Amended on 3 April 20083 April 2008, 1 July 20081 July 2008, 23 January 200923 January 2009, 26 April 201326 April 2013 and 10 December 201810 December 2018.