Finance Companies (Exemption from sections 23(1)(b) and 25(2)) Notification 2005 (Cancelled)
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S 426/2005
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Financial Advisers (Appeals) Regulations (Spent)
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Cap. 110, RG 3
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Financial Advisers (Exemption from Requirement to Hold Representative’s Licence) (Revocation) Regulations 2010 (Spent)
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S 717/2010
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Financial Advisers (Provisions for Persons and Matters Previously Regulated under Commodity Trading Act) (Revocation) Regulations 2018 (Spent)
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S 612/2018
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Financial Advisers (Provisions for Persons and Matters Previously Regulated under Commodity Trading Act) Regulations 2007 (Revoked)
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S 443/2007
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Financial Advisers (Representatives) (Transitional and Savings Provisions) Regulations 2010 (Spent)
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S 715/2010
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Financial Advisers Act (Commencement) (No. 2) Notification 2002 (Spent)
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S 461/2002
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Financial Advisers Act (Commencement) Notification 2002 (Spent)
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S 391/2002
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Financial Holding Companies Act 2013 (Commencement) Notification 2022 (Spent)
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S 494/2022
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Financial Services and Markets Act 2022 (Commencement) Notification 2022 (Spent)
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S 495/2022
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