After considering the issuance of rules, conditions and procedures for collecting, disposing of and allocating assets of REITs to provide business operators with clearer and more consistent and
Re: Determination of Definitions in Notifications relating to Issuance and Offer for Sale of Debt Securities
Determination of Definitions in Notifications relating to Issuance and Offer for Sale of Debt Securities
Determination of Definitions in Notifications concerning Issuance and Offer for Sale of Securities (No. 3)
Determination of Definitions in Notifications relating to Issuance and Offer for Sale of Securities
Determination of Definitions in Notifications relating to Issuance and Offer for Sale of Securities
Re: Determination of Characteristics of Investors for the Purpose of Notifications Relating to Bills
Determination of Definitions in Notifications relating to Issuance and Offer for Sale of Debt Securities
Market Supervisory Board* applied to the property funds, to lay down a practical guideline for consistent and transparent practices of the business operators, taking into account practicality without
including knowledge sharing and promotion of environmental, social and governance (ESG)-focused investments, and (5) revision to the types and definitions of investors to be consistent in all notifications