มาตรา : - ข้อ /ประกาศ : ข้อ 22(4) (ประกาศการให้ความเห็นชอบที่ปรึกษาทางการเงินและขอบเขตการดำเนินงาน พ.ศ. 2552) วันที่ถาม : 11/12/2558 วันที่ตอบ : 13/12/2558 คำถาม : ประธานกรรมการตรวจสอบของบริษัทที่ปรึกษาทางการเงิน (FA) จะสามารถเป็นกรรมการอิสระและในขณะเดียวกันเป็นประธานกรรมการของบริษัทลูกค้าที่ FA ร่วมจัดทำคำขออนุญาต IPO ได้หรือไม่ คำตอบ : ตามประกาศการให้ความเห็นชอบที่ปรึกษาทางการเงินและขอบเขตการดำเนินงาน พ.ศ. 2552 ข้อ 22(4) นั้น FA จะรับเป็นที่ปรึกษาในบริษัทลูกค้าไม่ได้หากมีกรรมการเป็นบุคค...
proceedings as agreed in this memorandum shall comply with the laws, rules and regulations for which the three agencies are answerable according to the law and shall not conflict or contradict with the public
Bangkok, January 17, 2014 ? The SEC is seeking public comment on proposed revisions to the rules on prevention and management of conflicts of interest and proprietary trading applicable to both securities and derivatives business operators. The revisions will provide a compilation of rules presently specified in a number of notifications for more clarity and appropriateness. According to the proposed revisions, the business operators will be required to have in place a sound internal control sys...
Bangkok, January 6, 2015 - The Securities and Exchange Commission, Thailand (SEC) and the National Institute of Development Administration (NIDA) signed a memorandum of understanding (MOU) to form ?Academic Alliance? project to develop knowledge management for public and private sectors as well as economic, social and capital market development. The project aims at creating quality graduates through a variety of academic projects. Vorapol Socatiyanurak, SEC Secretary-General said, "This MOU sign...
The new partnership between CDP, which runs the global TCFD-aligned environmental disclosure system, and the SEC will include collaboration on a number of important areas including: • Co-developing a programme to improve the quantity and quality of environmental disclosures from corporates and financial institutions in Thailand • The provision of data and insights from CDP to the SEC and other policy actors to support the priorities laid out in the Sustainable Finance Initiatives for Thailand...
Bangkok, March 10, 2014 ? The SEC jointly with the Association of Investment Management Companies (AIMC), the Stock Exchange of Thailand (SET), the Thai Bankers? Association (TBA), the Association of International Banks (AIB), the Association of Securities Companies (ASCO), and the Thai Listed Companies Association (TLCA), launched a project called ?A thousand baht, Start a journey to your dream? to promote investment discipline among working-age population by conveniently investing at least 1,...
Regulations relating to Conflict of Interest with Real Estate Investment Trust
Bangkok, August 14, 2014 ? Vorapol Socatiyanurak, SEC Secretary-General revealed that the Capital Market Supervisory Board approved the streamlining of structured notes regulations to boost
Office of the Securities and Exchange Commission No. SorRor. 27/2557 Re: Regulations relating to Conflict of Interest with Real Estate Investment Trust _________________ By virtue of Section 9 and Section
information for the decision-making on investment or using the service such as the clients’ assets investment scheme, the risks of ZipUp+ program and the conflict of interest together with relationship among