2021-11-10
The regulator issues this rule to exempt qualifying entities from standard investment limits, permitting expanded portfolio allocations without breaching statutory caps. This exemption applies to designated fund managers and institutional investors meeting specific capital adequacy thresholds, thereby reducing compliance burdens while preserving market stability. The directive takes effect upon publication and supersedes prior conflicting provisions regarding maximum holding percentages.
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Create Date November 10, 2021
Last Updated November 3, 2024
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