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Certain accounts are checked to see if they are allowed to transact specific assets in a specific way.
fee paying (payer, paying asset)
market fee sharing (referrer and registrar, receiving asset)
withdraw_permission_claim (from and to, asset)
asset_issue (to, asset)
asset_reserve (from, asset)
asset_settle (from, both assets)
limit_order_create (seller, both assets)
limit_order_update (seller, both assets)
call_order_update (borrower, both assets)
bid_collateral (bidder, both assets)
liquidity_pool_deposit (account, all 3 assets)
liquidity_pool_withdraw (account, all 3 assets)
liquidity_pool_exchange (account, both assets)
transfer (from and to, asset)
override_transfer (to, asset)
credit_offer_create (account, debt asset)
credit_offer_update (account, debt asset (out from account balance only))
credit_offer_accept (owner and borrower, both debt asset and collateral asset)
credit_deal_repay (owner and borrower, debt asset only)
vesting_balance_create (creator and owner, asset)
htlc_create(from and to, asset)
samet_fund_create (account, asset)
samet_fund_update (account, asset(out from account balance only))
samet_fund_borrow (account, asset)
samet_fund_repay (account, asset)