1998-01-01

Law No. 6 of 1998 Regarding the Conduct of Licensed Securities Brokerage Companies

The Financial Regulatory Authority issued Law No. 6 of 1998 to regulate the activities of companies licensed to conduct securities brokerage. This legislation establishes the legal framework governing the operational conduct and professional standards of these licensed entities. It serves as a foundational regulatory instrument for maintaining integrity and oversight within the securities brokerage sector.

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Egypt

Financial Regulatory Authority Egypt

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