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Capital Markets Discipline & Misconduct
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This work also covers the most recent amendments to the Securities Commission Malaysia Prospectus Guidelines, which came into effect on 13 March 2019.
Table of contents
Table of Contents:
Chapter 1 The Framework of Securities Regulation: An Overview
Chapter 2 The Enforcement and Compliance Regime: CMSA and SCA
Chapter 3 The Enforcement and Compliance Regime: Main Board Listing Requirements
Chapter 4 The Chief Executive and Directors of Listed Corporations
Chapter 5 The Equity Capital Market
Chapter 6 Market Securities: Bonds and Sukuk
Chapter 7 The Prospectus
Chapter 8 Regulation of take-over, merger and compulsory acquisition
Chapter 9 Public Disclosure Rules: the MMLR
Chapter 10 Circulars: Requirements under the general law and the MMLR
Chapter 11 Liability for False or Misleading Statements: Part VI of the CMSA
Chapter 12 Market Misconduct
Chapter 13 Insider Trading
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