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Securities and Futures Act
     (CHAPTER 289)

Table of Contents

Long Title

+Part I PRELIMINARY

+Part II MARKETS

+Part III CLEARING FACILITIES

+Part IIIA APPROVED HOLDING COMPANIES

+Part IV CAPITAL MARKETS SERVICES LICENCE AND REPRESENTATIVE’S LICENCE

+Part V BOOKS, CUSTOMER ASSETS AND AUDIT

+Part VI CONDUCT OF BUSINESS

+Part VII DISCLOSURE OF INTERESTS

+Part VIII SECURITIES INDUSTRY COUNCIL AND TAKE-OVER OFFERS

+Part IX SUPERVISION AND INVESTIGATION

+Part X ASSISTANCE TO FOREIGN REGULATORY AUTHORITIES

+Part XI INVESTOR COMPENSATION SCHEME

+Part XII MARKET CONDUCT

+Part XIII OFFERS OF INVESTMENTS

+Part XIV APPEALS

+Part XV MISCELLANEOUS

FIRST SCHEDULE

SECOND SCHEDULE Regulated Activities

THIRD SCHEDULE Specified Persons

FOURTH SCHEDULE Specified Provisions

Legislative Source Key

Legislative History

Comparative Table

History for Provision '190 Power of securities exchange or futures exchange to require production of evidence'.
Left Arrow
Right Arrow
pr190-.
31/12/2002
Formal Consolidation
31 December 2002
2002 RevEd
 

01/04/2006
Informal Consolidation
12 December 2005
Amended
Act 42 of 2005

01/04/2006
Formal Consolidation
12 December 2005
2006 RevEd
 

29/07/2009
Informal Consolidation
23 February 2009
Amended
Act 2 of 2009

26/11/2010
Informal Consolidation
23 February 2009
Amended
Act 2 of 2009

19/11/2012
Informal Consolidation
23 February 2009
Amended
Act 2 of 2009