2007-01-01

Consolidated Securities Act 2007 (to December 18, 2024)

Issued by the Securities Authority of Seychelles, this Act establishes a comprehensive regulatory framework for licensing and supervising securities exchanges, clearing agencies, dealers, and investment advisors. It mandates strict conduct standards, financial resource compliance, and continuous disclosure obligations for issuers while explicitly prohibiting insider dealing, false trading, and market manipulation. The Authority is empowered to conduct inspections, enforce compliance through disciplinary proceedings, and impose substantial penalties for unlicensed operations or statutory offences to ensure market integrity.

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Seychelles

Financial Services Authority Seychelles

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