Date of
Issue
|
Subject
|
06 July 2017 |
Amendments to the Bangladesh Securities and Exchange
Commission (Public Issue) Rules, 2015 Gazette |
13 June 2017 |
বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (ক্লিয়ারিং
অ্যান্ড সেটলমেন্ট) বিধিমালা, ২০১৭
গেজেট |
13 June 2017 |
বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (বাজার
সৃষ্টিকারী) বিধিমালা, ২০১৭
গেজেট |
13 June 2017 |
Bangladesh Securities and Exchange Commission
(Exchange Traded Fund) Rules, 2016. Gazette |
19 February 2017 |
Suspension of Rule 3(5) of the Margin Rules 1999 |
02 January 2017 |
বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (বিনিয়োগ
শিক্ষার উন্নয়ন ও প্রশিক্ষন ) বিধিমালা, ২০১৬ |
28 December 2016 |
wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^
I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb
msiÿY msµvšÍ |
21 December 2016 |
Revised Panel of Auditors of BSEC |
07 December 2016 |
Directive No. BSEC/SRMIC/194-217/508 |
01 December 2016 |
Directive regarding direct listing of unlisted
securities |
24 November 2016 |
Order related to granting exemption on companies under
PPP |
27 October 2016 |
Bangladesh Securities and Exchange Commission
(Qualified Investor Offer by Small Capital Companies) Rules, 2016. Gazette |
28 September 2016 |
Directive No. BSEC/SRMIC/2011-1240/494 |
24 September 2016 |
Amendment to the Depository (User) Regulations, 2003 |
07 September 2016 |
Directive regarding Time limit for stock exchanges for recommendation on
public issue |
07 September 2016 |
Notification regarding board meeting, submission of 1st , 2nd , 3rd
quarterly (Q1 , Q2 , Q3) financial reports, and disclosure of NAV, EPS
and NOCFPS |
01 September 2016 |
Directive on withdrawal of non-marginable
security status of the shares of Shahjibazar Power Company Limited |
31 July 2016 |
Panel of Auditors of BSEC |
20 June 2016 |
Directive on
Guidelines on financial derivatives |
02 May 2016 |
Gazette Notification; Exemption from rule 13 of the
Securities and Exchange Rules, 1987 |
02 May 2016 |
Regarding
payment of money after dissolution of mutual fund scheme |
27 April 2016 |
Directive No. BSEC/SRMIC/2011/1240/445
dated April 27, 2016 |
13 March 2016 |
Gazette Condition Regarding IPO |
15 February 2016 |
Regarding Publication of Price Sensative Information
(PSI) |
31 December 2015 |
Bangladesh Securities and Exchange Commission (Public Issue) Rules, 2015. |
08 December 2015 |
wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^
I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb
msiÿY msµvšÍ |
08 December 2015 |
Order for Extension of Suspension of Rule 3(5) of the Margin
Rules 1999
|
27 October 2015 |
Regarding margin loan
to purchase newly listed securities and securities after change of
categories (for merchant bankers) |
27 October 2015 |
Regarding margin
loan to purchase newly listed securities and securities after change of
categories (for stock brokers)
|
11 October 2015 |
Gazette Notification of
Amendments to the Securities and Exchange Commission
(Private Placement of Debt Securities) Rules, 2012 |
08 October 2015 |
English text of Bangladesh Securities and Exchange
Commission Act, 1993 (Gazette) |
09 September 2015 |
Official Signatory of the Asset Management Company |
16 July 2015 |
Panel of Auditors of BSEC |
14 July 2015 |
Directive No. BSEC/Surveillance/2014-0840/683
dated July 14, 2015 |
08 July 2015 |
Amendment of the Order No.
SEC/CMRRCD/2009-193/104/Admin/26
dated July 27, 2011 |
08 July 2015 |
Conversion
guideline for close-end to open-end mutual fund |
30 June 2015 |
Order for Extension of Suspension of Rule 3(5) of the Margin
Rules 1999 |
30 June 2015 |
Regarding the maintenance of provision against
unrealized losses arising from investment in mutual fund units |
22 June 2015 |
Gazette of Bangladesh Securities and Exchange
Commission (Alternative Investment) Rules, 2015 |
11 June 2015 |
Exemption to the foreign owned companies and the joint
venture companies with foreign investment form the compliance of the
Commission's Notification No. SEC/CMRRCD/2006-159/36/Admin/03-44 dated May
5, 2010 |
14 May 2015 |
Directive regarding distribution of dividend,
fractional bonus share and rights share to the margin accountholders of the
stock brokers |
13 May 2015 |
Order regarding circuit breaker |
19 March 2015 |
Directive No. BSEC/Enforcement/2188/2014/89
dated March 19, 2015 |
04 March 2015 |
Repeal Directive No. SEC/SRMIC/2007-18/1178/270
dated October 12, 2011 |
02 February 2015 |
IPO approval Procedure |
27 January 2015 |
Directive No. BSEC/Enforcement/2137/2014/20
dated January 27, 2015 |
25 January 2015 |
Repeal Directive No. SEC/CMRRCD/2004-129-378
dated December 19,2004 |
12 January 2015 |
wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^
I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb
msiÿY msµvšÍ |
06 January 2015 |
Order for Extension of Suspension of Rule 3(5) of the Margin
Rules 1999 |
18 December 2014 |
Notification Regarding
Conditions for issue of capital, rights issue and IPO |
13 November 2014 |
Notification Regarding Annul General Meeting |
10 November 2014 |
Directive to First Securities Services Limited |
30 September 2014 |
Order for Extension of Suspension of Rule 3(5) of the Margin
Rules 1999 |
10 August 2014 |
Notification
Regarding Exemption from Condition No.2 of the Consent Letter
dated 29 October 2003 for Lafarge Surma Cement Ltd. |
01 July 2014 |
পুঁজিবাজারে
ক্ষুদ্র
বিনিয়োগকারীগণকে মওকুফকৃত ঋনের সুদ মার্চেন্ট ব্যাংক ও স্টক ব্রোকার এর
অনুমোদনযোগ্য ব্যয় বিবেচনা প্রসঙ্গে জাতীয় রাজস্ব বোর্ডের সার্কুলার |
28 May 2014 |
Notification Regarding Exemption from Condition of Corporate Governances
Guideline for ICB. |
28 May 2014 |
wgDPz¨qvj dv‡Ûi m¤ú`
e¨e¯’vc‡Ki wd msµvšÍ
wb‡`©kbvt |
10 April 2014 |
AMENDMENTS To The Securities & Exchange Rules, 1987 |
31 March 2014 |
Extension Order of Suspension of Rule 3(5) of the Margin
Rules 1999 |
10 February 2014 |
BSEC Service Rule
2014 |
06 February 2014 |
Gazette Notification for The Placement Holder
Gazette Date: March 25, 2014 |
12 January 2014 |
Check List for Appointment of Independent Director |
09 December 2013 |
wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^
I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb
msiÿY msµvšÍ |
24 October 2013 |
Circular Regarding listed
Companies AGM. Dated:24 Oct 2013 |
10 October 2013 |
Guidelines on Conversion of Close-end Fund to Open-end
Fund; Dated: October 10, 2013 |
26 September 2013 |
Regarding Order to suspend Rule 3(5) of the Margin
Rules, 1999 |
18 August 2013 |
Notification,Pre-Condition of Right Issue(Complianes of Corporate Governance Guidelines), Dated: August 18,2013 |
18 August 2013 |
Notification, Revaluation of Assets to Issue of Capital; Dated:August 18, 2013 |
24 July 2013 |
Bangladesh Securities and exchange Commission (Research Analysis) Rules, 2013
Gazette. |
24 July 2013 |
wmwKDwiwUR I G·‡PÄ Kwgkb (wgDPz¨qvj dvÛ) wewagvjv, 2001 Gi ms‡kvab
,‡M‡RU
|
21 July 2013 |
Amendment of
Coporate Governance Guidelines Gazette |
21 July 2013 |
Repeal of Directive dated February 14, 2010 by this Directive dated July 21,
2013 |
06 June 2013 |
Directive to stock exchanges not to buy/sell/transfer any fixed assets before demutualization |
02 May 2013
|
G·‡P‡Äm
wWwgDPz¨qvjvB‡Rkb AvBb,2013
|
10 April 2013
|
Suspension of rule 3(5) of Margin Rules, 1999
|
13 March 2013
|
Gazette Notification of the Securities and
“Exchange Commission(Private Placement of Debt Securities)
Rules,2012”
|
27 February 2013
|
Directive: Regarding Unrealized Loss Provision by the
stock Broker/Merchant Banker
|
08 January 2013
|
wmwKDwiwUR
I G·‡PÄ Kwgkb (wgDPz¨qvj dvÛ) wewagvjv, 2001 Gi ms‡kvab
|
30 December 2012
|
Non-Discretionary Portfolio Management Gi
†¶‡Î Agwbevm wnmve †_‡K MÖvn‡Ki c„_K weI wnmve Gi i“cvš—i
|
10 December 2012
|
Securities and
Exchange Commission (Amendment) Act, 2012 (Bangla)
|
10 December 2012
|
Securities and
Exchange (Amendment) Act, 2012
|
28 November 2012
|
Av‡`k bs GmBwm/wmGgAviAviwmwW/2001-50/167
ZvwiL A‡±vei 01, 2009 evwZj Kivi Av‡`k|
|
28 November 2012
|
Directive to
repeal clause 2 of the directive No. SEC/CMRRCD/2001-43/169 dated October 01,
2009.
|
23 October 2012
|
Valuer
List
|
21 October 2012
|
Securities and Exchange Commission (Private Placement
of Debt Securities) Rules, 2012
|
30 September 2012
|
Directive:
Regarding Margin Ratio by the Merchant Banker
|
30 September 2012
|
Directive:
Regarding Margin Ratio by the Stock Broker
|
06 September 2012
|
Time
extension of implementation of the government decision as per recommendation
of special scheme committee
|
03 September 2012
|
Revised
Corporate Governance Guidelines
|
10 July 2012
|
Regarding implementation of the Government’s
decision on the basis of the special scheme committee’s recommendations
for adversely affected small investors (Merchant Bankers’ related)
|
10 July 2012
|
Regarding implementation of the Government’s
decision on the basis of the special scheme committee’s recommendations
for adversely affected small investors (CSE related)
|
10 July 2012
|
Regarding
implementation of the Government’s decision on the basis of the special
scheme committee’s recommendations for adversely affected small investors
(DSE related)
|
25 April 2012
|
Acquisition of
minimum shares by sponsors/promoters and directors of listed “Z”
category companies
|
24 April 2012
|
wmwKDwiwUR I G·‡PÄ Kwgkb (gv‡P©›U
e¨vsKvi I †cvU©‡dvwjI g¨v‡bRvi) wewagvjv, 1996 Gi
ms‡kvab
|
12 March 2012
|
Amendment to the Securities and Exchange Commission (Stock-dealer,
Stock-broker and Authorized Representative) Rules, 2000
|
12 March 2012
|
Amendment to the Securities and Exchange Commission
(Merchant Banker and Portfolio Manager) Rules, 1996
|
12 March 2012
|
Amendment to the Securities and Exchange Commission
(Issue of Capital) Rules, 2001
|
23 February 2012
|
Order
regarding Mutual Fund
|
09 February 2012
|
Amendment to
the Securities and Exchange Commission (Stock Dealer, Stock Broker,
Authorized Representative) Rules, 2000 regarding renewal of registration certificate
of Authorized Representative
|
17 January 2012
|
Free Float Gi msÁv wba©viY msµvš— MwVZ KwgwUi mfvi
Kvh©weeiYx †cÖiY cÖm‡½|
|
20 December 2011
|
Amendment to the wmwKDwiwUR
I G·‡PÄ Kwgkb (gv‡P©›U e¨vsKvi I †cvU©‡dvwjI
g¨v‡bRvi) wewagvjv, 1996
|
07 December 2011
|
Notification
for clarification of certain issues, in continuation of the Notification No. SEC/CMRRCD/2009-193/119/Admin/34
dated November 22, 2011
|
23 November 2011
|
Steps Taken
for Stabilizing Capital Market
|
22 November 2011
|
Notification
under section 2CC regarding holding of shares by sponsors/promoters and
directors
|
2 November 2011
|
Amendment
to the Securities and Exchange Commission (Rights Issue) Rules, 2006
|
26 October 2011
|
Notification
regarding Book Building Method
|
18 October 2011
|
Directive
|
18 October 2011
|
Directive
|
17 October 2011
|
Directive
|
13 October 2011
|
Amendment
to the Securities and Exchange Commission (Mutual Fund) Rules-2001
|
5 October 2011
|
Amendment
to the Securities and Exchange Commission (Public Issue) Rules, 2006
|
2 October 2011
|
Notification-Conditions
under Section 2cc in case of issuance for the Security other than right and
bonus share.
|
21 September 2011
|
Order related to
sell of shares of Sponsors/Directors/5% and above share holders.
|
15 September 2011
|
Order related to Uniform face value of shares of Tk. 10
each.
|
15 September 2011
|
Order related
to Mutual Fund.
|
24 August 2011
|
Notification
regarding the insurance companies
|
17 August 2011
|
List of Valuers for
re-evaluation of assets and liabilities of state owned companies willing for
listing in capital market
|
27 July 2011
|
Order related
to issue of capital or public offer of securities
|
9 May 2011
|
Notification
08.5.11
|
10 April 2011
|
Directive
10.4.11
|
28 March 1011
|
Advisory
Committee
|
16 March 1011
|
Amendment to the Merchant Bankers rule-06.3.11
|
16 March 2011
|
Amendment of Mutual Fund 14.03.2011
|
10 March 2011
|
Directive-10.3.11
|
10 February 2011
|
Directive-10.2.11
|
20 January 2011
|
Directive-20.1.11
|
20 January 2011
|
Notification
20.1.11
|
17 January 2011
|
Directive-NM
from OTC-16.1.11
|
11 January 2011
|
Directive
Mutual Fund-11.1.11
|
11 January 2011
|
Directive-stock broker-Margin Loan-10.1.11-92
|
11 January 2011
|
Directive Merchant Banker Rule-10.1.11-95
|
11 January 2011
|
Directive Merchant Bank-10.1.11-93
|
11 January 2011
|
Directive10.01.11-Netting & Spot-94
|
9 January 2011
|
Directive-stock broker-Investors limit09.1.11-90
|
9 January 2011
|
Directive
Merchat-09.1.11-89
|
9 January 2011
|
Directive Margin Rin-Merchat-Investor-09.1.11-91
|
9 January 2011
|
Directive
09.01.11-broker-87
|
9 January 2011
|
Directive
09.01.11-broker-88
|
29 December 2010
|
Notification
regarding Book Building Method
|
13 December 2010
|
Directive to stock brokers related to margin loan
|
13 December 2010
|
Directive
to merchant bankers related to margin loan
|
01 December 2010
|
Orders related to member's margin
|
30 November 2010
|
Directive
regarding sending shares of 14 company to spot market
|
28 November 2010
|
Order
related to Member's margin
|
25 November 2010
|
Order
related to Member's margin
|
21 November 2010
|
Directive
to merchant bankers regarding margin loan
|
21 November 2010
|
Directive to stock-brokers regarding margin loan
|
14 November 2010
|
Notification
related to the consent of issue of capital
|
10 October 2010
|
Amendment to Stock Broker, Stock Dealer and Authorized
Representative Rules 2000
|
28 September 2010
|
Directive
related to delisting of companies under Z category which will fail to demat
within 30 September 2010
|
21 September 2010
|
Directive
related to consideration of PE ratio and margin calculation
|
06 September 2010
|
Notification
related to imposition of further conditions to the issue of capital /public
offer of securities for sale
|
06 September 2010
|
Notification
related to imposition of further conditions to the issue of capital of
unlisted securities
|
06 September 2010
|
Directive
related to netting and NAV calculation and margin call
|
31 August 2010
|
Notification on
amendment of Public Issue Rules, 2006
|
30 August 2010
|
Directives
to merchant bankers and stock brokers about limit of 50% of NAV of MF instead
of 15%.
|
04 August 2010
|
Repeal of
order of May 30, 2006
|
01 August 2010
|
Notification
related to book building
|
27 July 2010
|
Notification
related to substantial acquisition of shares
|
25 July 2010
|
Order to
merchant bankers related to margin limit adjustment period
|
25 July 2010
|
Directive
to stock brokers related to margin limit and adjustment period
|
22 July 2010
|
Directive
to stock brokers related to single client exposure limit
|
22 July 2010
|
Directive to
merchant bankers related to single client exposure limit
|
14 July 2010
|
Notification
to sponsors shareholder, director and private placement holders on
declaration before buy/sell/other dispose off
|
14 July 2010
|
Directive
to sponsor unit holders and private placement holders of mutual fund on
declaration before buy/sell/other dispose off
|
08 July 2010
|
Directive
on margin issue to merchant bankers and portfolio managers
|
08 July 2010
|
Directive on margin issue to stock brokers
|
04 July 2010
|
Directive
to companies which declared layoff
|
01 July 2010
|
Directive
related to declaration by sponsor, director, placement holder for
selling/disposing off shares/units
|
30 June 2010
|
Notification related to annual BO accounts maintenance
fee
|
16 June 2010
|
Notification
on amendment of OTC Market Rules related to definition of unlisted securities
|
15 June 2010
|
Directive
to merchant banks related to marginable shares' PE ratio
|
15 June 2010
|
Directive
to brokers/dealers related to marginable shares' PE ratio
|
07 June 2010
|
Related to
brokerage fee/commission collection by merchant bankers
|
01 June 2010
|
Paper securities
under B category will be transferred to Z category on 01 July 2010 and no
trade of paper securities shall take place from 01 October 2010-replace the order of 31 May 10.
|
31 May 2010
|
Notification
on amendment in Mutual Fund Rules related to lock-in and placement limit
|
31 May 2010
|
Paper
securities under B category shall not be traded from 01 July 2010 and be
transferred to Z category and no trade of paper securities shall take
place from 01 October 2010
|
10 May 2010
|
Notification
related to 10 taka phase value of share
|
05 May 2010
|
Notification
on issue of capital related to conversion to public ltd company and public
offer
|
05 May 2010
|
Time Extension of ICB Mutual Funds
|
04 May 2010
|
Notification
related to record date and AGM
|
18 April 2010
|
Letter
to Bangladesh Bank about MICR
|
06 April 2010
|
Notification related to amendment of OTC Rules, 2001
|
23 March 2010
|
Directive
related to margin requirement calculation
|
23 March 2010
|
Notification
related to amendment of Prohibition of Insider Trading Rules 1995
|
15 March 2010
|
Order to
merchant bankers related to margin loan 1:1.5
|
15 March 2010
|
Directive related
to stock brokers margin loan 1:1.5
|
14 March 2010
|
Trust
Deed for Mutual Fund- Umbrella, Trust Deed for Mutual Fund-Single Trust Deed for Unit Fund
|
11 March 2010
|
Notification
related to mutual fund lock-in.
|
11 March 2010
|
Notification
related to public issue
|
07 March 2010
|
Directive
related to stock broker margin for mutual fund extended up to 15% of latest
disclosed NAV
|
07 March 2010
|
Directive
related to merchant banker margin for mutual fund extended up to 15% of
latest disclosed NAV
|
04 March 2010
|
Order related to depository fee of Tk 150 for January-June
2010
|
01 March 2010
|
Circular related
to standardized face value of share Tk 100 and market lot
|
18 February 2010
|
Directive
to GP & Marico related to trade in spot market
|
14 February 2010
|
Needs
approval from SEC before submission of nomination in election of
exchange board of directors
|
11 February 2010
|
Clarification
related to institutional investors
|
10 February 2010
|
Directive related to CSE listing regulation about
financial statement upload on company website
|
09 February 2010
|
Notification related to refund of IPO application money
for unsuccessful applicants
|
09 February 2010
|
Notification related to transfer of dividend
|
08 February 2010
|
Directive related to stopping netting facility for GP
shares
|
03 February 2010
|
Order
related to portfolio managers' margin to 1:1
|
02 February 2010
|
Directive
related to members' margin ratio to 1:1
|
02 February 2010
|
Presentation of
quarterly financial statement
|
01 February 2010
|
Directive related to stopping margin for equity
shares with PE more than 50
|
01 February 2010
|
Directive related to members' margin ratio to 1:1.5
|
31 January 2010
|
Directive related to uniform software for members of
both stock exchanges within April 30, 2010
|
24 January 2010
|
Order related to close end mutual fund maturity- 10
years and the cases whose 10 years are exceeded
|
17 January 2010
|
Directive related to quarterly financial statement
publication in the website
|
17 December 2009
|
Directive related to marginable MF units for merchant
bankers and stock brokers
|
09 December 2009
|
Directive related to marginable shares for merchant
bankers and stock brokers
|
07 December 2009
|
Related to
depository fee year--- July-June instead of January-December
|
17 November 2009
|
Amendment
of Credit Rating Companies Rules 1996
|
26 October 2009
|
Directive to
merchant bankers, portfolio managers to stop further margin loan for
Aftab Automobiles Ltd
|
26 October 2009
|
Directive to
DSE, CSE about Aftab Automobiles Ltd related to margin rules
|
26 October 2009
|
Directive to
merchant bankers, portfolio managers to stop further margin loan for
all listed MFs
|
26 October 2009
|
Directive to
DSE, CSE about all listed MFs related to margin loan
|
21 October 2009
|
Directive to
merchant bankers, portfolio managers to stop further margin loan for 28
listed securities
|
21 October 2009
|
Directive to
DSE, CSE about 28 listed securities related to margin loan
|
21 October 2009
|
Directive
to DSE, CSE related to stock broker branch opening
|
20 October 2009
|
Directive
to DSE, CSE related to transaction of physical shares
|
20 October 2009
|
Directive to DSE, CSE not to consider non-dematted
securities as marginable
|
20 October 2009
|
Order
related to non- margin for non-demated securities
|
05 October 2009
|
Notification
|
05 October 2009
|
Order related
to margin loan
|
04 October 2009
|
Directive
related to OTC market
|
01 October 2009
|
Notification
|
01 October 2009
|
Directive
to DSE and CSE
|
01 October 2009
|
Directive
|
01 October 2009
|
Order
related to margin rule
|
27 September 2009
|
Notification
|
06 September 2009
|
Directive
related to OTC market in DSE
|
09 July 2009
|
Conditions under 2CC to the issue of capital
|
02 July 2009
|
Amendment of Capital Issue Rules, 2001
|
24 June 2009
|
Directive to DSE and CSE
|
01 June 2009
|
No.SEC/CMRRCD/2009-193/Admin/03-31:
Notification about NAV & EPS
|
01 June 2009
|
No. SEC/CMRRCD/2008-183/Admin/03-30:Notification under 2CC
related to further conditions to the consent already accorded by it, or
deemed to have been accorded by it, or to be accorded by it in future
|
27 May 2009
|
Directive
on branch opening for stock broker
|
20 April 2009
|
Amendment
of Securities and Exchange Commission (Merchant Bank and Portfolio Manager)
Rules, 2006
|
11 March 2009
|
Notification
on book building method
|
01 December 2008
|
Directive relating to transaction of physical
shares, circuit breaker and suspension of trading, click for the Directive 01December
2008
|
16 October 2008
|
Time for BO Account regularization is
extended up to 31 December 2008, click for the directive 16 October2008-Directive on BO Account Regulation
|
14 August 2008
|
Amendment of Securities and Exchange
Commission (Stock Dealer, Stock Broker & Authorized Representatives)
Rules-2000, click for the Notification August 14, 2008
|
29 July 2008
|
Directive related to opening of branch for
stock brokers, please click Directive 29 July 2008
|
24 July 2008
|
Amendment of Securities and Exchange
Commission (Public Issue) Rules-2006, click for the Notification July 24, 2008
|
30 June 2008
|
Bank Certificate or National ID Card to
regularize BO Account within 30 September 2008, please click BO account
regularization 30June08
|
16 June 2008
|
Amendment of Securities and Exchange
Commission (Custodial Service) Rules-2003, click for the Notification June 16, 2008
|
16 June 2008
|
Amendment of Securities and Exchange
Commission (Merchant Banker and Portfolio Manager) Rules 1996, click for the Notification June 16, 2008
|
16 June 2008
|
Amendment of Securities and Exchange
Commission (Mutual Fund) Rules-2001, click for the Notification June 16, 2008
|
04 June 2008
|
Notification about financial statements,
click for the <a
|