Related to amendment to the Implementing Regulation Licensing and Registration Series 2000 and the Implementing Regulation Offers of Securities Series 6000
Related to amendment to the Implementing Regulation Business Conduct Series 3000 and the Implementing Regulation Licensing and Registration Series 2000
Related to the cancellation of Decision No. 1 dating 11 June 2013, Decision No. 2 dating 11 June 2013, Decision No. 8 dating 27 December 2013, Decision No. 9 dating 27 December 2013
Related to the cancellation of Decision No. 14 related to Collective Investment Schemes dating 10 February 2014, and the cancellation of Decision No. 15 related to Islamic Collective Investment Schemes
Amendment of the Implementing Regulation Licensing & Registration Series 2000 and the cancellation of Decision No. 10 dated 9 January 2014 (relating to the Financial Intermediation Institutions), Decision No. 7 dated 3 December 2013 (relating to the Licensing Documents),
Related to the amendment of the Implementing Regulation Offer of Securities Series 6000 and the cancellation of Deceision No. 13 dated 10 February 2014 relating to Asset Securitization
Related to the Cancellation of Decision No. 16 dated 27 November 2014 on financial instruments and products, and the use of Series 6000 on Offers of Securities.
Related to amendments on the Licensing & Registration Series 2000, and the cancellation of CMA Decison 24 on Qualification requirements for dealing in securities business.
Amendment to the Implementing Regulation Business Conduct Series 3000 and the Cancellation of Decision No. 12 dated 10 February 2014 (relating to the Regulations on Financial Derivative Transactions) and Decision No. 23 of 12 January 2017 (relating to the Account Segregation and Custody Services), Decision No. 17 of 9 March 2015 (relating to the "KYC" (Know Your Customer) model), Decision No. 18 of 31 August 2015 (relating to the Auditors) an Decision No. 20 of 22 February 2016 (relating to the Filing a Complaint)
Amendment of Implementing Regulation Series 4000 "Market Conduct", and Cancellation of CMA Decision 22 dating 9 August 2016 (Price Manipulation) and CMA Decision 6 dating 20 October 2013 (Insider Trading)