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Other Rules governing the securities market

Regulations

Transitional Provisions

 

Section 159 (7) of the Securities Act 2005 provides: “Approved investment institutions in existence immediately before the commencement of this Act shall, within 3 years of the commencement of such regulations as may be prescribed, apply for authorisation as collective investment schemes according to conditions and subject to such exemptions as may be specified in FSC Rules.”

Subject to subsection (7), approved investment institutions designated under section 50A of the Stock Exchange Act shall, notwithstanding the repeal in section 157(1)(a) continue to operate subject to the conditions of the Stock Exchange (Approved Investment Institution) Rules 1992.

 

Section 155 of the Securities Act states that the Commission may make rules known as FSC Rules for the registration, operation and control of the activities of investment clubs.

FSC Rules

Securities (Licensing Rules) 2007

Securities (Public Offers) Rules 2007

Securities (Disclosure Obligations of Reporting Issuers) Rules 2007

Repealed Rules and Regulations

Stock Exchange (Operation of Over The Counter Market) Rules 1989 – [Repealed by GN 65/2006]


Stock Exchange (Licensing) Regulations 1989 (GN 60/89) – [Repealed by Section 157 of the Securities Act 2005]


Stock Exchange (Over The Counter Market) Regulations 1990 (GN 53/90) – [Repealed by GN 65/2006]


Stock Exchange (Dealer’s Representatives Examination) Regulations 1992 (GN 76/92) – [Repealed by Section 157 of the Securities Act 2005]


Stock Exchange (Listing Committee) Regulations 1993 (GN 183/93) – [Repealed by Section 157 of the Securities Act 2005]


Stock Exchange (Stockbrokers Examinations) Regulations 1993 (GN 95/93) – [Repealed by Section 157 of the Securities Act 2005]


Companies (Purchase of Own Shares) Regulations 1999 (Regulations made under the Companies Act 2001) (GN 168/01) – [Repealed by Section 157 of the Securities Act 2005]

 



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