Appendix No. (1)

Appendix No. (1) – Form for disclosure of the benefit of the person benefiting from the realization and the objective of the acquisition

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Appendix No. (2)

Appendix No. (2) – Form for Disclosure of Change of Interest of a Beneficiary and Change of Objective of Ownership

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Appendix No. (3)

Appendix No. (3) – Disclosure Form for the Group and Objective of Ownership

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Appendix No. (4)

Appendix No. (4) – Disclosure of Interests

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Appendix No. (5) -1

Appendix No. (5) 1- Insiders List Form.

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Appendix No. (5) -2

Appendix No. (5) -2 – Insider List Form – Update

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Appendix No. (6)

Appendix No. (6) – Disclosure Form for Shares Listed on the Stock Exchange and Owned by the Insider with the Listed Company and Minor Children Included in His Jurisdiction Either Directly or Indirectly

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Appendix No. (7)

Appendix No. (7) – Insider’s disclosure form with the listed company after dealing in the securities of the listed company or the parent company

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Appendix No. (8)

Appendix No. (8) – Form for Disclosure of Cases and Judicial Judgments .

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Appendix No. (11)

Appendix No. (11) – Material Information Disclosure Form

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Appendix No. (9)

Appendix No. (9) – Credit Rating Disclosure Form

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Appendix No. (12)

Appendix No. (12) – Corrective Announcement Template

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Appendix No. (13)

Appendix No. (13) – Complementary Disclosure Form

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Capital Markets Authority Law

Law No. 7 of 2010 on the establishment of the Capital Markets Authority and the regulation of securities activity was issued on February 21, 2010, and published in the Official Newspaper on February 28, 2010.

Law No. 108 of 2014 was also passed to amend some provisions of Law No. 7 of 2010 on the establishment of the Capital Markets Authority and the regulation of securities activity on July 23, 2014, and published in the Official Newspaper on August 10, 2014.

Law No. 22 of 2015 amended some provisions of Law No. 7 of 2010 on the establishment of the Capital Markets Authority and the regulation of securities activity on May 4, 2015, and published in the Official Newspaper on May 10, 2015.

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Module One

Glossary

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Module Two

Capital Markets Authority

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Module Three

Enforcement of the Law

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Module Four

Securities Exchanges and Clearing Agencies

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Module Five

Securities Activities and Registered Persons

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Module six

Policies & Procedures of Licensed Persons

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Module Seven

Clients’ Funds and Clients’ Assets

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Module Eight

Conduct of Business

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Module Nine

Mergers and Acquisitions

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Module Ten

Disclosure and transparency

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Module Eleven

Dealing in securities

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Module Twelve

Listing Rules

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Module Thirteen

Collective Investment Schemes

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Module Fourteen

Market Conduct

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Module Fifteen

Corporate Governance

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Module Sixteen

Anti-Money Laundering and Combating Financing of Terrorism

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Module seventeen

Capital Adequacy Regulations for Licensed Persons

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