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Securities Underwriter Business >> Protection of Customer Assets (Section 98(3))

  Type Title Section See Document Status Notified Date Effective Date
1. Act   Securities and Exchange Act 2535   98 12/03/1992 16/05/1992
2. Notification of the Securities and Exchange Commission  Kor Thor. 9/2556 Segregation and Management of Client’s Assets In Case of Intermediary Being under Receivership by Court Order   18/10/2013 01/11/2013
3. Notification of Capital Market Supervisory Board  TorThor. 43/2552 Custody of Clients’ Assets by Securities Companies (Codified) (Codefied)   03/08/2009 01/09/2009
Notification of Capital Market Supervisory Board  TorThor 43/2552 Custody of Assets of Clients by Securities Companies 03/08/2009 01/09/2009
Notification of Capital Market Supervisory Board  TorThor. 13/2555 Custody of Assets of Clients by Securities Companies (No. 3) 28/02/2012 16/03/2012
Notification of Capital Market Supervisory Board  TorThor. 23/2558 Custody of Clients’ Assets by Securities Companies (No. 4) 12/06/2015 16/07/2015
4. Circular  SEC. Nor Phor. (Wor) 27/2558 Clarification on Short Selling and Settlement of Securities for Management of Market Maker’s Risks Borne by Securities Companies and Management of Clients’ Assets In case of Internal Short.   04/09/2015