|
Type |
Title |
Section |
See Document |
Status |
Notified Date |
Effective Date |
1. |
Act   |
Securities and Exchange Act 2535 |
114 |
|
| 12/03/1992 |
16/05/1992 |
2. |
Notification of the Securities and Exchange Commission  KorThor. 18/2554 |
Principles for Undertaking Securities and Derivatives Businesses |
|
|
| 23/11/2011 |
01/12/2011 |
3. |
Notification of Capital Market Supervisory Board  Tor Thor. 34/2556 |
Repeal of the Notifications related to Operation of Securities Business and Derivatives Business by Securities Company and Derivatives Intermediary |
|
|
| 06/09/2013 |
01/04/2014 |
4. |
Notification of Capital Market Supervisory Board  TorThor. 35/2556 |
Standard Conduct of Business, Management Arrangement, Operating Systems, and Providing Services to Clients of Securities Companies and Derivatives Intermediaries (Codefied) |
|
|
| 06/09/2013 |
01/04/2014 |
| |
Notification of Capital Market Supervisory Board TorThor. 35/2556 |
Standard Conduct of Business, Management Arrangement, Operating Systems, and Providing Services to Clients of Securities Companies and Derivatives Intermediaries |
|
|
|
06/09/2013 |
01/04/2014 |
| |
Notification of the Office of the Securities and Exchange Commission Sor Thor. 14/2558 |
Rules in Detail on the Protection and Management of Conflicts of Interest (Synopsis) |
|
|
|
07/04/2015 |
01/10/2015 |
| |
Notification of the Office of the Securities and Exchange Commission Sor Thor. 68/2558 |
Repeal of the Notification of the Office of the Securities and Exchange Commission regarding Rules for Appointment of Independent Director of Intermediary |
|
|
|
13/08/2015 |
16/09/2015 |
| |
Notification of the Office of the Securities and Exchange Commission Sor Thor. 35/2557 |
Rules in Detail on Communication with and Providing Services to Clients of Securities Companies and Derivatives Intermediaries (Synopsis) |
|
|
|
10/10/2014 |
01/01/2015 |
| |
Notification of the Office of the Securities and Exchange Commission Sor Thor. 15/2558 |
Rules in Detail related to Proprietary Trading of Intermediaries |
|
|
|
07/04/2015 |
16/05/2015 |
| |
Report/Form (Notification of Securities and Exchange Commission) |
Single Form for Capital Market (Individual) |
|
|
|
20/08/2020 |
01/07/2021 |
| |
Report/Form (Notification of Securities and Exchange Commission) |
Single Form for Capital Market (Juristic Investor) |
|
|
|
20/08/2020 |
01/07/2021 |
5. |
Notification of Capital Market Supervisory Board  TorThor 39/2555 |
Providing Compliance Unit of an Intermediary (Codefied) |
|
|
| 14/08/2012 |
01/11/2012 |
| |
Notification of Capital Market Supervisory Board TorThor. 39/2555 |
Providing Compliance Unit of an Intermediary |
|
|
|
14/08/2012 |
01/11/2012 |
6. |
Notification of the Office of the Securities and Exchange Commission  OrThor. 28/2543 |
Re: Guidelines for the Consideration of the Business Operation which Classified as Securities Business in the Category of Securities Dealing |
|
|
| 08/12/2000 |
20/12/2000 |