{"component": "definition", "props": {"groups": [{"snippet_links": [{"key": "international-central-securities-depositary", "type": "definition", "offset": [9, 52]}], "snippet": "means an International Central Securities Depositary;", "samples": [{"hash": "lI1lYSyAcBN", "uri": "https://dl.avl-investmentfonds.de/fds/IE000MDKBOB3-VERKPROSP-EN-20250102.pdf", "label": "dl.avl-investmentfonds.de", "score": 19.9586105347, "published": false}, {"hash": "6hUG8XAh3si", "uri": "https://dl.avl-investmentfonds.de/fds/IE000YZLMXT9-VERKPROSP-EN-20240528.pdf", "label": "dl.avl-investmentfonds.de", "score": 19.7531433105, "published": false}, {"hash": "1eCuo9zUhXB", "uri": "https://dl.avl-investmentfonds.de/fds/IE00BD5HBQ97-VERKPROSP-EN-20240102.pdf", "label": "dl.avl-investmentfonds.de", "score": 19.7009716034, "published": false}], "size": 48, "hash": "275d7c3329b3c504f4fa775a9271555e", "id": 1}, {"snippet_links": [{"key": "euroclear-and-clearstream", "type": "clause", "offset": [21, 46]}], 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<strong>ICSD</strong> will be displayed on the invoice as a separate market naming convention from local markets.", "In markets with tiered safekeeping fees, local non-<strong>ICSD</strong> issued assets settled through <strong>ICSD</strong> will be tiered independently from non-Euroclear local market assets for purposes of determining the applicable safekeeping fee.", "The Bank may bill local non-International Central Securities Depository (<strong>ICSD</strong>) issued assets that are settled and held through an <strong>ICSD</strong> on the basis of underlying local market safekeeping fees set forth within unless the market is listed in the table \u2018<strong>ICSD</strong> Settled /held\u2019, where separate rates set forth within this table for each market will apply.", "The relevant <strong>ICSD</strong> transfers with respect to the relevant Tranche and against receipt of funds from the Relevant Dealer(s) the proceeds of issue to the Issuer to such account as shall have been 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