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  TASE Clearing House
Function of the Clearing House
What is the Stock Exchange Clearing House?
What services are provided by the Stock Exchange Clearing House?
Where can the By-Laws of the Clearing House be found?
Who can be a member of the Stock Exchange Clearing House?
Where can a list of Clearing House members be found?
Where can information be found regarding the fees charged by the Clearing House?
Where can the dates when clearing does not take place be found?
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  Corporate events and payments
Where can a list of dates of dividend distributions, interest payments, bond redemptions, tender offers, etc. be found?
Who may receive a receipt/payment from a company?
Can a payment from a company be waived?
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  Mutual Investment Trust funds
Can mutual fund units be redeemed short?
Where can information be found regarding management, representation and clearing of mutual funds?
How are orders for the creation/redemption of mutual fund units to be submitted?
How is the clearing of creation/redemption orders carried out in the case of overseas funds?
Where can information regarding prices, exposure profile, management fees, yield, investment policy, etc. of mutual funds be obtained?
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  Securities that are not listed and share and bond certificates
Where can information be obtained regarding historical securities or printed share/bond certificates?
What are the rules regarding securities that have ceased to be traded and the client pays custody fees to the bank?
Can a security be withdrawn from the Clearing House and be registered in the name of the client?
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  Clearing for dual-listed companies
What services are provided for dual-listed companies by means of the Clearing House account with the DTC?
Where can a list be viewed of all the dual-listed shares that are transferred for trade in Israel by means of the Clearing House account with the DTC?
How much time does the process take for transferring the shares from Israel to the United States and vice versa by means of the Clearing House account with the DTC?
How can shares be transferred from the US to Israel and vice versa, when shares cannot be transferred by means of the Clearing House account with the DTC, due to an insufficient quantity at the Clearing House account? How long the process takes?
How can the quantity of shares of a dual-listed company deposited in the Clearing House account with the DTC be known?
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  Off-Exchange transactions
What is an off-Exchange transaction?
How are off-Exchange transactions carried out?
Can an off-Exchange transaction be carried out in the securities of a company that has been delisted?
How can the off-Exchange transactions reported for a particular day be viewed?
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  Information regarding holders of securities
How can information be obtained as to how the holding of a certain security is distributed?
How is the registration of an investor’s holding of securities managed?
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