Mr. James Gray Mr. James Gray, the management responsible for Antella Investment Inc., operated securities brokerage businesses without proper licenses granted. SEC Act S.301 Criminal Complaint
the conditions that the REIT has been granted approval from the REIT Unitholders’ Extraordinary Meeting in entering into the related transactions and executions and given consent by the Office of the
securities business. Clause 8. The approval to be listed in the register of person qualified to be property fund manager is given for two-year period, the first approval takes effect as from the approval date
prohibited characteristics of personnel in securities business. Clause 8. The approval to be listed in the register of person qualified to be property fund manager is given for two-year period, the first
prohibited characteristics of personnel in securities business. Clause 8. The approval to be listed in the register of person qualified to be property fund manager is given for two-year period, the first
mutual fund had been given an approval by the Office in accordance with the rules, conditions and procedures as specified in the notification of the SEC.
mutual fund had been given an approval by the Office in accordance with the rules, conditions and procedures as specified in the notification of the SEC.
advisor agreement which also granted the right to use the brand “Centre Point” for one year (1 October 2018 - 30 September 2019), with a renewal option upon mutual agreement. The Board of Directors shall
, unless permission has been granted by the Office to open or close its office at any other hours or days.
, unless permission has been granted by the Office to open or close its office at any other hours or days.