Payment of annual charge: depositories must remit a monthly percentage of issuer custody fees to the Board under the prescribed schedule. A depository must, within fifteen days from the end of each month, pay a percentage of the annual custody charges received from issuers during the month to the Board in the manner provided in Part B of the Second Schedule, with percentages set out in Part A.
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Provisions expressly mentioned in the judgment/order text.
Payment of annual charge: depositories must remit a monthly percentage of issuer custody fees to the Board under the prescribed schedule.
A depository must, within fifteen days from the end of each month, pay a percentage of the annual custody charges received from issuers during the month to the Board in the manner provided in Part B of the Second Schedule, with percentages set out in Part A.
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