2017-03-28
The regulatory authority issued the Stock Exchanges Control Act to establish a comprehensive legal framework governing stock exchanges. This legislation mandates compliance standards for exchange operators, outlines licensing requirements, and defines regulatory powers to ensure market stability. Updated to version 20 in October 2024, the Act continues to serve as the primary legal instrument for monitoring securities trading and enforcing regulatory directives.
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Create Date March 28, 2017
Last Updated October 18, 2024
Stock Exchanges Control - Act 1 of 1985
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