BUSINESS SECTION 16. A derivatives business operator shall be a limited company or a public limited company, except for a derivatives advisor which may be an individual, and shall be allowed to undertake a
BUSINESS SECTION 16. A derivatives business operator shall be a limited company or a public limited company, except for a derivatives advisor which may be an individual, and shall be allowed to undertake a
. Chapter 4 Right and Protection of Beneficiary ________________ SECTION 44 Subject to Section 40 and the second paragraph of Section 43, a beneficiary has the right to demand a trustee to manage a trust in
to other trustees, if proven that it had objected or had been defrauded in failing to comply with the trust instrument or this Act. Chapter 4 Right and Protection of Beneficiary ________________
defrauded in failing to comply with the trust instrument or this Act. Chapter 4 Right and Protection of Beneficiary ________________ SECTION 44 Subject to Section 40 and the second paragraph of Section 43, a
. Supervision of Mutual Fund Management and Fund Voting 4/10 • Enhancing mutual fund management supervision for better protection of unitholders’ interests • Improving fund voting mechanism for asset management
investor protection, the SEC may prescribe that the license holder who undertakes business in a specified manner be exempted from undertaking or undertake in a different manner from the provisions under
นบุคคลของสหรัฐอเมริกำบัญญัติไว้ในประมวลกฎหมำย วิธีพิจำรณำควำมอำญำ หรือทีเรียกว่ำ United States Code (USC) Title 18 Crime and Criminal Procedure, Part II Criminal Procedure, Chapter 224 Protection of
SEC may grant a waiver of compliance to a company established by and subject to a foreign law whereby measures for investor protection are prescribed in a similar manner to the measures prescribed in
รัฐอเมริกำบัญญัติไวใ้นประมวลกฎหมำย วิธีพิจำรณำควำมอำญำ หรือทีเรียกว่ำ United States Code (USC) Title 18 Crime and Criminal Procedure, Part II Criminal Procedure, Chapter 224 Protection of Witness