specified period in the private fund management agreement. The information under the first paragraph shall include details on the transaction date, the nature of the transaction, the value of the transaction
agreement; (7) require that the relevant provision or documents relating to the service agreement contains policy on prevention of information leakage which may occurs from the cloud provider; (8) the cloud
criteria: (1) establish conditions and controls relating to information security in an agreement signed by both parties; (2) monitor, evaluate, review and audit service delivery of the outsourcee regularly
clients of provident fund committee, as the case may be, in the period of time as provided in private fund agreement, which such report contain information about the date of engagement transaction, natures
, provide information on the shareholders of the subsidiaries undertaking the core business according to the guidelines under (1); (3) Majority shareholders’ agreement In the event that the majority
restriction (4) Commencement date and expiry date of the agreement (5) Procedure for appointing a custodian (6) Information that should be disclosed to the client and the duration of such disclosure 6.1
purpose of considering ability of a client to perform in respect of servicing agreement, an intermediary shall consider received information as prescribed in Clause 31 in order to provide corresponding
perform in respect of servicing agreement, an intermediary shall consider received information as prescribed in Clause 31 in order to provide corresponding services with such ability of the client . In case
following conditions in the agreement with a client for providing services as derivatives agent: (1) the client agrees to notify and provide the following information, and clarify on such information in
; (c) the information for consideration of clients’ ability in part of investment, debt repayment and pledging collateral, as well as clients’ ability to perform in respect of any servicing agreement