Financial Holding Companies (Corporate Governance of Designated Financial Holding Companies with Licensed Insurer Subsidiary) Regulations 2022
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S 521/2022
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Financial Holding Companies (Corporate Governance of Designated Financial Holding Companies with Bank Subsidiary) Regulations 2022
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S 522/2022
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Financial Advisers Regulations
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Cap. 110, RG 2
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Financial Advisers (Transitional and Savings Provisions) Regulations
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Cap. 110, RG 1
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Financial Advisers (Structured Deposits — Prescribed Investment Product and Exemption) Regulations
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Cap. 110, RG 7
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Financial Advisers (Remuneration) Regulations 2015
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S 816/2015
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Financial Advisers (Insurance Broking Premium Accounts) (Transitional and Savings Provisions) Regulations
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Cap. 110, RG 4
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Financial Advisers (Exemption from Sections 25 to 29 and 36) Regulations
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Cap. 110, RG 6
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Financial Advisers (Exemption from Requirement to Hold Financial Adviser’s Licence) Regulations 2014
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S 800/2014
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Financial Advisers (Exemption for Cross-Border Arrangements) (Foreign Related Corporations) Regulations 2021
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S 764/2021
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Financial Advisers (Exemption for Cross-Border Arrangements) (Foreign Offices) Regulations 2021
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S 763/2021
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Financial Advisers (Complaints Handling and Resolution) Regulations 2021
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S 912/2021
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Financial Advisers (Appeals) Regulations
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Cap. 110, RG 3
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Financial Advisers (Amendment) Act 2015 (Commencement) Notification 2024
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S 398/2024
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Financial Advisers (Amendment) Act 2015 (Commencement) Notification 2018
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S 614/2018
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Financial Advisers (Amendment) Act 2015 (Commencement) Notification 2015
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S 814/2015
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Financial Advisers (Amendment) Act 2012 (Commencement) Notification 2013
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S 145/2013
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Financial Advisers (Amendment) Act (Commencement) Notification 2010
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S 719/2010
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Financial Advisers (Amendment) Act (Commencement) Notification 2005
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S 361/2005
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Financial Advisers (Amendment) Act (Commencement) Notification 2003
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S 536/2003
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