2018-01-01
The Financial Regulatory Authority issued Book No. 3 of 2018 to mandate a minimum trading amount for brokerage companies conducting securities transactions within the same session. This directive standardizes intra-session market activity by requiring all licensed brokers to execute trades that meet the specified threshold. Compliance obligations apply uniformly across daily securities operations, ensuring consistent liquidity and market stability.
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Home Uncategorized كتاب رقم 3 لعام 2018
كتاب رقم 3 لعام 2018
بشأن مبلغ الحد الأدنى لتعامل شركات السمسرة فى الاوراق المالية فى ذات الجلسة
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