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Monetary Authority of Singapore
Monetary Authority of Singapore
706 documents, newest first — showing 601–706.
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2011-08-02
Allocation of Foreign Tax Credit to the Various Funds Held by an Insurer
2011-07-26
Notice on Securities Borrowing and Lending Activities
2011-07-21
Notice DIPOP-N02 on Policy Owners' Protection Scheme Returns
2011-06-29
Monetary Authority of Singapore (Sanctions and Freezing of Assets of Persons – Libya) Regulations 2011
2011-04-19
Guidelines on the Cancellation Period for Unlisted Debentures
2011-04-19
Notice FAA-N15 Cancellation Period of Unlisted Debentures
2011-04-19
Notice on the Cancellation Period for Unlisted Debentures [SFA 04/13-N02]
2011-03-30
Notice 806 Minimum Cash Balances and Minimum Liquid Assets
2011-03-15
Securities And Futures (Offers Of Investments) (Collective Investment Schemes) (Exemption From Expert's Consent Requirement) Regulations 2011
2011-02-09
Securities And Futures (Offers Of Investments) (Exemption From Subdivisions (2) and (3) Of Division 1 Of Part XIII For REIT Bonds) Regulations 2011
2010-12-03
Monetary Authority of Singapore (Sanctions and Freezing of Assets of Persons – Somalia) Regulations 2010
2010-11-26
Notice on Appointment and Use of Introducers by Financial Advisers
2010-11-26
Notice 504 Reporting of Misconduct of Broking Staff by Insurance Brokers
2010-11-26
Guidelines on Standards of Conduct for Financial Advisers and Representatives
2010-11-26
Notice SFA 04-N10 Entry Requirements of a Provisional or Temporary Representative
2010-11-26
Notice FAA-N10 Prohibited Representations Made by Persons Exempted under Regulation 27(1)(d) of the Financial Advisers Regulations
2010-11-26
Notice on Entry Requirements of a Provisional Representative
2010-11-26
Guidelines for Exemption for Specialised Units Serving High Net Worth Individuals under Section 100(2) of the Financial Advisers Act
2010-11-23
Monetary Authority of Singapore (Sanctions and Freezing of Assets of Persons – Eritrea) Regulations 2010
2010-03-29
Securities And Futures (Offers Of Investments) (Prescribed Period And Prescribed Day For Registration Of Prospectus And Profile Statement) Regulations 2010
2010-02-03
Insurance (Accounts and Statements) (Amendment) Regulations 2010
2009-05-22
CMD 02/2009 - Trustee's Responsibility for Safe Custody of Assets of a Collective Investment Scheme
2009-03-17
Guidelines on Implementation of Insurance Fund Concept [ID 1/09]
2009-01-09
REITS: Treatment of Refinancing Under The Aggregate Leverage Limit
2008-12-19
Findings From Thematic Inspection of Licensed Trust Companies
2008-07-28
CMI 02/2008 - Survey and Thematic Inspection of Hedge Fund Managers
2008-03-28
Guidelines on the Calculation of Counterparty Risk Requirement for Specified Structured Warrants
2008-02-18
Classification of Tax Liabilities Arising from Non-Guaranteed Benefits of Participating Policies
2008-02-04
Securities And Futures (Offers Of Investments) (Shares) (Exemption From Prospectus Requirements) Regulations 2008
2008-01-03
Guidelines on Market Conduct and Service Standards for Direct General Insurers
2008-01-03
Guidelines on Valuation of Policy Liabilities of General Business
2007-12-14
MAS Notice 628 Securitisation
2007-11-06
Guidelines on the Specification of Entities under Sub-paragraph (b)(vi) of the Definition of Qualifying Deposit in Paragraph 1(4) of the Second Schedule to the Securities and Futures (Financial and Margin Requirements for Holders of Capital Markets Services Licences) Regulations [FMR N01]
2007-10-17
Notice 805 Credit Facilities to Directors, Employees, Related and Associated Companies
2007-09-07
Notice 817 Appointment of Directors and Chief Executives
2007-09-07
MAS Notice 818 Change in Capital and Shareholders
2007-06-29
Notice 320 Management of Participating Life Insurance Business
2007-06-11
Banking (Reserve Fund) (Transitional Provision) Regulations 2007
2007-03-19
Guidelines for Banks Dealing in Government Securities
2006-11-30
Trust Companies (Exemption) (Amendment) Regulations 2006
2006-09-20
Monetary Authority of Singapore (Freezing of Assets of Persons – Sudan) Regulations 2006
2006-08-31
Business Trusts (Appeals) Regulations 2025
2006-07-20
Notice 119 Electronic Submission of Returns
2006-07-10
Circular No. ID 17/06: Internal Audit/Compliance Function and Head Office Oversight
2006-06-16
Securities And Futures (Offers Of Investments) (Exemption For Smp Share Purchase Plan) Regulations 2006
2006-04-26
Business Trust (Appeal Advisory Panel) Notification 2006
2006-03-29
Securities And Futures (Offers Of Investments) (Shares And Debentures) (Exemption From Prospectus And Pricing Statement Requirements) Regulations 2006
2006-03-06
Monetary Authority of Singapore (Freezing of Assets of Persons – Democratic Republic of Congo) Regulations 2006
2005-12-22
Guidelines on Scope of Regulation under the Trust Companies Act
2005-12-22
Notice TCA-N02 on Qualifying Assets and Reduction Percentages
2005-12-22
Guidelines on Standards of Conduct for Licensed Trust Companies [TCA-G03]
2005-12-22
Notice TCA-N01 Effecting Arrangements through Licensed Trust Companies or Exempt Persons under Section 15(1)(a) and 15(1)(b) of the Act
2005-12-15
Notice 302 Product Development and Pricing
2005-12-07
Securities And Futures (Offers Of Investments) (Exemption For Business Trusts) (No. 2) Regulations 2005
2005-12-06
Securities And Futures (Offers Of Investments) (Shares And Debentures) (Exemption Of China Aviation Oil (Singapore) Corporation Ltd) Regulations 2005
2005-11-21
Notice 804 Submission of Statistics
2005-11-21
Notice 807 Licence Fees
2005-11-21
Notice 801 Appointment of Auditors
2005-11-21
Notice 813 Immovable Properties
2005-11-21
Notice 822 Power of the Authority to Secure Compliance with Sections 23, 26, 27 and 31
2005-11-21
Notice 821 Finance Companies' Acquisition of Shares in Companies
2005-11-21
Notice 820 Credit Facilities to a Single Borrower or Group of Borrowers
2005-10-15
Securities and Futures (Affairs of Business Trust and Affairs of Entity) Regulations 2018
2005-10-15
Guidelines on Disclosure of Financial Information in Prospectuses
2005-10-15
Guidelines on the Register of Participants and Sending Accounts and Reports to Participants
2005-10-15
Guidelines on the Aggregation of Offers Made Pursuant to the Exemptions for Small Offers or Private Placement
2005-10-15
Guidelines on the Aggregation of Offers Made Pursuant to the Exemptions for Small Offers or Private Placement
2005-10-15
Monetary Authority of Singapore Guidelines on Disclosure of Financial Information in Prospectuses for Business Trusts
2005-07-01
Guidelines on the Use of the Term "Independent" by Financial Advisers
2005-07-01
Guidelines on Conduct of Business for Execution-Related Advice
2005-07-01
Guidelines on Market Conduct and Service Standards for Insurance Brokers
2005-07-01
Guidelines on Standards of Conduct for Insurance Brokers
2005-04-26
Securities and Futures (ESOS Financing Scheme) (Exemption) Regulations 2005
2005-03-01
MAS Requirement for Financial Institutions to Align HDB Resale Flat Valuations with CPFB Measures
2005-01-31
Guidelines on Investment and Voting Policies
2005-01-06
Business Trusts (Summary Financial Statement) Regulations 2005
2005-01-06
Guidelines on IRB Adoption
2004-12-30
BD 14/2004: Cash Rebates Offered for Housing Loans
2004-12-22
MAS Notice 603: Branches, Places of Business and Automated Teller Machines
2004-10-11
Notice 803 Publication of Financial Statements
2004-07-30
Non-applicability of Extra-territoriality of Act - Criteria for Related Corporations
2004-07-09
Securities And Futures (Exemption Of Phillip Financial Pte Ltd And Phillip Securities Pte Ltd) Regulations 2004
2004-05-28
MAS Notice 1105 Lending of Singapore Dollar to Non-Resident Financial Institutions
2004-05-28
MAS Notice 757 – Lending of Singapore Dollar to Non-Resident Financial Institutions
2004-05-28
MAS Notice 816: Lending of Singapore Dollar to Non-Resident Financial Institutions
2004-05-28
MAS Notice 109 - Lending of Singapore Dollar to Non-Resident Financial Institutions
2004-01-30
Notice 120 Disclosure and Advisory Process Requirements For Accident and Health Insurance Products
2003-07-04
MAS Notice 755 – Weekly Report on S$ Transactions
2003-07-04
MAS Notice 1104 – Weekly Report on S$ Transactions
2003-06-30
Setting Up of Additional Outlets to Provide Remittance and Money-Changing Services
2002-11-20
Outsourcing of Cash and Cheque-related Transactional Services to Another Bank
2002-11-11
Notice 616 Sales of Coins or Medals
2002-10-01
Market Conduct Standards for Life Insurers Providing Financial Advisory Services
2002-10-01
Market Conduct Standards for Direct Life Insurer as a Product Provider
2002-06-25
Guidelines on Electronic Offers of Securities, Securities-based Derivatives Contracts or Units in Collective Investment Schemes
2002-05-23
Securities and Futures (Opportunity to be Heard) Regulations
2002-03-28
Notice 114 Reinsurance Management
2001-07-18
Notice 631 Meaning of Customer under Section 40A
2000-12-06
Internationalisation of the Singapore Dollar
2000-12-04
MAS Notice 628 – Asset Securitisation by Banks
2000-11-30
MAS Notice 627: Capital Treatment for Credit Derivatives
2000-05-09
MAS Notice 806: Minimum Cash Balances and Minimum Liquid Assets
1999-08-18
Notice 208 Financial Reinsurance
1999-05-07
FSG 15/99: MAS Notice 806 to Finance Companies – Maintenance of Minimum Liquid Assets
1998-04-14
MAS Notice 806 to Finance Companies – Minimum Cash Balances and Minimum Liquid Assets
1995-01-31
MAS Notice 108: Staff Agency Business
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