equitable treatment to clients; (3) the derivatives broker shall maintain each client’s confidential information and refrain from disclosing personal information, information on trading of derivatives, or a
disclosing personal information, information on trading of derivatives, or a client’s financial information to other persons, unless disclosure is made as a result of its obligation for disclosure; (4) the
disclosing personal information, information on trading of derivatives, or a client’s financial information to other persons, unless disclosure is made as a result of its obligation for disclosure; (4) the
information in the disclosing documents, letters of acknowledgement of obligations or letters for certifications of qualifications Persons who certify the performance of duties of the financial advisor. Report
A CRA should disclose in its credit rating announcement whether the issuer of a structured finance product has informed the CRA that it is publicly disclosing all A-11 relevant information about the
of money laundering under the anti-money laundering law, either of Thailand or a foreign country; 2. provision of financial support to a terrorist movement; or 3. an act to comply with an order
causes a movement or change in the client’s assets under custody of such securities company or in cases under the second paragraph. In cases where it appears that a client does not have any transaction
last business day of each month to the client within the fifth business day of the following month, except the month where no transaction causes a movement or change in the client’s assets under custody
last business day of each month to the client within the fifth business day of the following month, except the month where no transaction causes a movement or change in the client’s assets under custody
the net loss of 1.35 million Baht. LG (TH) closely followed up the market movement in order to timely improve the marketing strategy. SSK Inter Logistics Co., Ltd. (“SSK”) which previously NCL held