Association of Asset Management Companies ? agreed that the SEC should provide more flexibility of offshore investments for domestic investors as summarized below: 1. An institutional investor is allowed
operational flexibility and supervisory effectiveness in support of the overall development of the capital market. The Amendments to the Derivatives Act shall support the separation of powers and functions
matter to allow mutual funds to invest in other mutual funds under management of the same asset management company up to three tiers** to increase flexibility for asset management companies to manage
has been shortened to five business days (from 30 business days). The revised rules and procedures are part of the Change Program to enhance the SEC?s overall efficiency and flexibility in response to
investment management companies while achieving the appropriate right balance between regulatory flexibility and investor protection. At the same time, investors are offered money market funds as an
disclosure of the related party transactions during the past there years; - clearer disclosure of the funding objective in the registration statement and more flexibility in case of change to such objective
licenses; (2) Allowing PE to establish in form of trust for flexibility;(3) Coordinating with the Revenue Department to propose for an exemption of capital gain and dividend taxes for investors investing in
the flexibility of infrastructure with cloud technology, bolstering the cyber resilience abilities, and promoting cybersecurity and data protection awareness to all stakeholders in the capital market
sector burdens and increase savings flexibility for members, and; (4) To develop PVD in support of the draft National Pension Fund Act, which prescribes a compulsory pension fund for the documented
companies and derivatives intermediaries aims to enhance flexibility for business operators in providing services to investors and to support their adjustment to the changing situation. Meanwhile, the SEC