LankaSecure issues periodic statements to each and every account holder/ investor. The details of such statements are as follows;

  1.  Transaction Summary – A monthly statement confirming the transactions that took place during the month. If no transactions have taken place during the month no statement will be generated by the system.
  2.  Holding Statement – A bi-annual statement confirming the outstanding balance held by each investor in an account type breakdown.
  3.  Payment Statement – A statement issued soon after each and every payment made to the investor indicating the details of such payments (maturity proceeds and coupon payments)

These statements will be issued directly to the name and address of the investor, as registered and recorded in the CDS.