1999-01-01
The Financial Regulatory Authority issued Law No. 7 of 1999 to regulate the conduct of brokerage companies. This legislation mandates that certain brokerage firms must enter into collective contracts with their clients through record-keeping companies. The regulation establishes a standardized framework for client agreements to ensure compliance and operational consistency within the financial sector.
Search
Menu
YouTube
✕ Main Menu
Home Uncategorized كتاب رقم 7 لعام 1999
كتاب رقم 7 لعام 1999
بشأن قيام بعض شركات السمسرة بالتعاقد الجماعي لعملائها لدى شركات إمساك السجلات
Comments are closed.
About FRA
Contact
Main Legislation Portal
Media Center
Awareness
Electronic Services
Jobs
↑
Close