individual, and shall be allowed to undertake a derivatives business only after a license from the SEC has been obtained. Any derivatives business operator which is a legal entity under Section 17 and engages
is to determine the maximum amount of damages claimed in order to ensure that the arbitration serves as an alternative dispute resolution for individual investors in accordance with the purpose of the
attempt log regularly, etc. 2. In order to comply with Clause 20(3)(c), the intermediary should consider putting in place the relevant procedures as follows: (1) require the use of individual user IDs and
, documentation and support of its quality control policies and procedures. 9 Do the individual or individuals assigned operational responsibility for the firm’s QC system by the firm leadership have sufficient and
performs monitoring function? 2 Does the firm have a partner or manager level individual who is responsible for its monitoring process? If yes, Does the responsible person have sufficient and appropriate
able to show that any individual being its director, manager or person with power of management who is in charge of derivatives business of the applicant meets the requirements and does not have any
หลักทรัพย์จดทะเบียนโดยอัตโนมัติ ( Automatic List) และมีหลักทรัพย์อ้างอิง ( Underlying Asset ) เป็นหุ้นสามัญ หุ้นบุริมสิทธิ ใบสำคัญแสดงสิทธิ หรือใบสำคัญแสดงสิทธิในการซื้อหุ้นเพิ่มทุนที่โอนสิทธิได้ที่จด
ทะเบียนโดยอัตโนมัติ ( Automatic List) และมีหลักทรัพย์อ้างอิง ( Underlying Asset ) เป็นหุ้นสามัญ หุ้นบุริมสิทธิ ใบสำคัญแสดงสิทธิ หรือใบสำคัญแสดงสิทธิในการซื้อหุ้นเพิ่มทุนที่โอนสิทธิได้ที่จดทะเบียนในตลาดหลัก
following manners: (a) a spouse or a minor child of such person; (b) an individual or a company holding majority shares of such person, which means: 1. an individual or a company holding shares of such person
; (b) an individual or a company holding majority shares of such person, which means: 1. an individual or a company holding shares of such person in the number of exceeding fifty percent of the total