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...
Today (February 23, 2004), the meeting between the Office of the Securities and Exchange Commission (SEC) and the Association of Securities Companies (ASCO) agreed on ASCO?s proposal concerning preventive measures on risk arising from abnormal trading as follows: Shares prohibited from margin loan and net settlement should be applied only to 1. shares with one-week turnover ratio of 100% or over, and 2. shares with P/E ratio of 100 or over or company with net loss. Such prohibitions sho...
This is in response to news on a website stated that the Office of the Securities and Exchange Commission (SEC) will prohibit margin loans and net settlement for shares having turnover ratio of more than 40% or high P/E ratio or operating loss or being in the REHABCO sector. The SEC would like to clarify as follows: - The Association of Securities Companies (ASCO), with its good intention to help prevent settlement risk and market manipulation, has conducted a hearing among its members...
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...
For greater transparency and fairness of the allocation of initial public offering (IPO) or public offering (PO) securities, the SEC approved draft rules prohibiting the allocation of IPO/PO securities to mutual funds of related parties. Such mutual funds of related parties are as follows: (1) a mutual fund that more than 50% of the total investment units sold are held by related parties, or (2) a mutual fund that not more than 50% of the total investment units sold are held by related parties,...
Bangkok, January 9, 2009 ? With reference to the SEC?s earlier complaint filed with the Department of Special Investigation (DSI) against S.E.C. Auto Sales and Services Plc.?s ("SECC") chairman Sompong Witthayaraksan and four accomplices on the grounds of defrauding and misappropriating the company?s assets by falsifying documents to deceive the company into paying money for the purchase of non-existent cars for the benefit of themselves or other persons, causing the company to suffer substantia...
Under the SEC’s policy, digital asset business operators are not allowed to provide or support deposit taking and lending services to prevent possible damage to digital asset investors and the public in the possible event of service discontinuance or financial problems that may occur on a continuous or concurrent basis among service providers as has recently been the case for foreign counterparts. In addition, the draft regulation is expected to further clarify the scope of supervision of digita...
Regulations relating to Conflict of Interest with Real Estate Investment Trust
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