2012-11-19

Added

Securities and Futures (Disclosure of Interests) Regulations 2012

The Monetary Authority of Singapore issued the Securities and Futures (Disclosure of Interests) Regulations 2012 to set out exemptions from disclosure requirements under Part VII of the Securities and Futures Act. These regulations implement consequential amendments reflecting changes from the Securities and Futures (Amendment) Act 2009 and enhance prospectus disclosure standards. They specifically support new notification obligations for directors and substantial shareholders of listed corporations regarding their interests.

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Regulations

Published Date: 19 November 2012

Securities and Futures (Disclosure of Interests) Regulations 2012 (G.N. No. S 504/2012)

Sets out certain exemptions from the disclosure of interests requirement under Part VII of the SFA.

Disclosure of Interests

Applies to:

Members of Public

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Securities and Futures (Disclosure of Interests) Regulations 2012 (G.N. No. S 504/2012)

Proposed amendments to the Securities and Futures (Offers of Investments) (Shares and Debentures) Regulations. These are mainly consequential amendments to reflect the changes introduced in the Securities and Futures (Amendment) Act 2009 and enhancements to prospectus disclosure requirements; and on the Securities and Futures (Disclosure of Interests) Regulations, to support the new requirements relating to notification of interests by directors and substantial shareholders of listed corporations.

Consultation number:

P007 - 2010

Start date:

16 April 2010

Closing date:

14 May 2010

MAS response date:

19 September 2012