Subsidiary Legislation

Securities and Futures Act
Status:
Not current version (effective from 02 Jan 2011 to 16 Jan 2012)
Short Title     |   Number
Securities and Futures (Affairs of Business Trust and Affairs of Entity) Regulations 2005
Securities and Futures (Appeals under Parts II and III of Act) Regulations
Securities and Futures (Appeals) Regulations 2005
Securities and Futures (Approved Holding Companies) Regulations 2005
Securities and Futures (Capital Markets Services Licence and Representative’s Licence) (Transitional and Savings Provisions) Regulations
Securities and Futures (Clearing Facilities) Regulations 2005
Securities and Futures (Clearing Facility) Order 2006
Securities and Futures (Composition of Offences) Regulations
Securities and Futures (Corporate Governance of Approved Exchanges, Designated Clearing Houses and Approved Holding Companies) Regulations 2005
Securities and Futures (ESOS Financing Scheme) (Exemption) Regulations 2005
Securities and Futures (Exemption from Financial and Margin Requirements) Regulations 2004
Securities and Futures (Exemption from Requirement to be Approved Holding Company) Regulations 2010
Securities and Futures (Exemption from Requirement to Hold Capital Markets Services Licence) Regulations
Cap. 289, RG 11
Act 16 of 2003, RG 11
Securities and Futures (Exemption from section 99B) Regulations 2010
Securities and Futures (Exemption from Securities Hawking Prohibition) Regulations
Securities and Futures (Exemption from Subdivisions (2) and (3) of Division 1 of Part XIII) Regulations 2004
Securities and Futures (Exemption of Phillip Financial Pte Ltd and Phillip Securities Pte Ltd) Regulations 2004
Securities and Futures (Financial and Margin Requirements for Holders of Capital Markets Services Licences) Regulations
Securities and Futures (Institutional, Professional and Business Investors) Order 2005
Securities and Futures (Investor Compensation Scheme) Order 2010