of selling agents for gold futures trading with key requirements and scope of responsibilities as follows: 1.Licensing of limited derivatives agents1.1 The applicant must be a newly-established limited
Enabler Net Zero Framework Scope 3 (Use of Sold Products) Scope 1+2 Carbon Credit Offset Reforestation & Community GHG Project Biofuel / Low Carbon Product Electric Mobility Renewable Energy in Operations
overall risk management 1) Climate-related metrics 2) Scope 1, 2, 3 GHG Emissions 3) Climate-related targets The organization’s governance around climate-related risks and opportunities. The actual and
: ............................................................................................................................... 2. Starting Date of Operation: ............................................................................................................ 3. Details of the Company: 3.1 Scope of operation of the
: ............................................................................................................................... 2. Starting Date of Operation: ............................................................................................................ 3. Details of the Company: 3.1 Scope of operation of the
’ qualified opinions resulted from limitation on their scope of audit/review. Hence, the auditors were unable to obtain sufficient and appropriate audit evidence with respect to valuation of investment in PT
reporting such incidents to the SEC; (4) To adjust the applicable scope for investment advisory business operators to ensure that they will be able to implement sufficient controls for managing
another person?s bank account. Wittaya?s actions were deemed interference with client assets and performing duties beyond the scope of his responsibilities. Both sanctions took effect on August 7, 2008.
Bangkok, August 13, 2008 ? The SEC conducted in June a public hearing on the revision of takeover regulations regarding the definition and scope of ?acting in concert? subject to reporting or tender
limit, and scope of operation and benefit seeking, as well as a requirement on the filing of fund management scheme and prospectus which must be jointly prepared by a financial advisor to obtain SEC