or abetting thereof. If the aforesaid behaviors occurred more than ten years ago or such behavior is not severe to the extent that the person should not be entrusted to perform duty as auditor of
and causes damage. Insider Trading, Market Manipulation, and Fraud or Failure to perform duties (Fiduciary Duty). One year from the day when the wrongful act and person bound to make compensation become
and causes damage. Insider Trading, Market Manipulation, and Fraud or Failure to perform duties (Fiduciary Duty). One year from the day when the wrongful act and person bound to make compensation become
) Prospectus After offering to sell shares, the company has duty to disclose information in: Annual Registration Statements (form 56-1) and Annual report (form 56-2) Important information that must be disclose
that the management mechanism will be unable to protect the rights of the shareholders or to treat the shareholders fairly. The role, duties and responsibility of directors/ executives The board of
determine the level of impact: Type of securities Who offers the securities Nature of offers Regulations New securities Public company limited Private Placement General approval / no duty to disclose
duty to report their holdings together with those of the waiver applicant as required under sections 246, 247 of the Securities and Exchange Act; The number of voting rights that the waiver will obtain
duty to report their holdings together with those of the waiver applicant as required under sections 246, 247 of the Securities and Exchange Act; The number of voting rights that the waiver will obtain
, accordingly, cannot undertake any responsibility for its accuracy, nor be held liable for any loss or damages arising out of or in connection with its use. SHARE : For More Information ContactUs Legal
conflicts of interest concerning the fund management, or hold a position that assumes the highest responsibility in the investment-related field of the mutual fund management company. 2.2 The mutual fund