) ..................................... ............................... .............................................. (5) ..................................... ............................... .............................................. (Information must be accurate and identical to the information notified to the
accurate and identical to the information the issuer of foreign securities has disclosed to the foreign regulator or the foreign stock exchange. Clause 13 The ordinary shares that are traded on the foreign
documents are identical to those certified by me, I have authorized ____[FULL NAME]______to affix signature on every page of the documents. Any part of the documents not affixed with the signature of
( +,"#1 issue 0 (identical issue) I"(.%#3 ("#10' $/0. " 6 : " # Specific risk )"#13 ' +3- )"#1 " # !2 4 3 2$41%+3 0% credit rating AAA / A-1 $ ' 2% credit rating AA A BBB / A-2 A-3 $ ' 5% credit
, shall be accurate and identical; (5) in cases where the newly issued sukuk is offered for sale by an asset trustee that is a juristic person separate from the originator, the asset trustee shall have the
) “prospectus” means a prospectus which is identical to a draft prospectus filed with the SEC Office; (12) “market maker” means a person appointed by a mutual fund management company to perform duty in managing
identical to a draft prospectus filed with the SEC Office; (12) “market maker” means a person appointed by a mutual fund management company to perform duty in managing the trading price of investment unit of
securities company and the securities underwriter; (11) “prospectus” means a prospectus which is identical to a draft prospectus filed with the SEC Office; (12) “market maker” means a person appointed by a
” means a prospectus which is identical to a draft prospectus filed with the Office; (12) “market maker” means a person appointed by a mutual fund management company to perform duty in managing the trading
identical to a draft prospectus filed with the Office; (12) “market maker” means a person appointed by a mutual fund management company to perform duty in managing the trading price of investment units of an