Singapore Government
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Contents

Long Title

Part I PRELIMINARY

Part II MARKETS

Division 1 — Establishment of Markets

Subdivision (1) — Approved exchange and recognised market operator

Subdivision (2) — Exempt market operator

Division 2 — Regulation of Approved Exchanges

Subdivision (1) — Obligations of approved exchanges

Subdivision (2) — Rules of approved exchanges

Subdivision (3) — Matters requiring approval of Authority

Subdivision (4) — Powers of Authority

Subdivision (5) — Immunity

Division 3 — Regulation of Recognised Market Operators

Division 4 — General Powers of Authority

Part III CLEARING FACILITIES

Division 1 — Establishment of Clearing Facilities

Division 2 — Designation of Persons Operating Clearing Facilities

Division 3 — Regulation of Designated Clearing Houses

Subdivision (1) — Obligations of designated clearing houses

Subdivision (2) — Rules of designated clearing houses

Subdivision (3) — Matters requiring approval of Authority

Subdivision (4) — Powers of Authority

Subdivision (5) — Immunity

Division 4 — Insolvency

Division 5 — General Powers of Authority

Part IIIA APPROVED HOLDING COMPANIES

Division 1 — Establishment of Approved Holding Companies

Division 2 — Regulation of Approved Holding Companies

Part IV CAPITAL MARKETS SERVICES LICENCE AND REPRESENTATIVE’S LICENCE

Division 1 — Licensing

Division 2 — Exemptions

Division 3 — General

Part V BOOKS, CUSTOMER ASSETS AND AUDIT

Division 1 — Books

Division 2 — Customer Assets

Division 3 — Audit

Part VI CONDUCT OF BUSINESS

Division 1 — General

Division 2 — Securities

Division 3 — Futures Contracts and Leveraged Foreign Exchange Trading

Part VII DISCLOSURE OF INTERESTS

Division 1 — Registers of Interests in Securities

Division 2 — Disclosure by Substantial Shareholders

Division 3 — Disclosure by Substantial Unitholders

Part VIII SECURITIES INDUSTRY COUNCIL AND TAKE-OVER OFFERS

Part IX SUPERVISION AND INVESTIGATION

Division 1 — Supervisory Powers of Authority

Subdivision (1) — Powers of Authority to require disclosure of information about securities and futures contracts

Subdivision (2) — Inspection powers of Authority

Division 2 — Power of Minister to Appoint Inspector for Investigating Dealings in Securities, etc.

Division 3 — Investigative Powers of Authority

Subdivision (1) — General

Subdivision (2) — Examination of persons

Subdivision (3) — Powers to obtain information

Part X ASSISTANCE TO FOREIGN REGULATORY AUTHORITIES

Part XI INVESTOR COMPENSATION SCHEME

Part XII MARKET CONDUCT

Division 1 — Prohibited Conduct — Securities

Division 2 — Prohibited Conduct — Futures Contracts, Leveraged Foreign Exchange Trading

Division 3 — Insider Trading

Division 4 — Civil Liability

Part XIII OFFERS OF INVESTMENTS

Division 1 — Shares and Debentures

Subdivision (1) — Interpretation

Subdivision (2) — Prospectus requirements

Subdivision (3) — Debentures

Subdivision (4) — Exemptions

Division 1A — Business Trusts

Subdivision (1) — Interpretation

Subdivision (2) — Prospectus requirements

Subdivision (3) — Exemptions

Subdivision (4) — Debentures

Division 2 — Collective Investment Schemes

Subdivision (1) — Interpretation

Subdivision (2) — Authorisation and recognition

Subdivision (3) — Prospectus requirements

Subdivision (4) — Exemptions

Division 3 — Securities Hawking

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

 
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On 01/11/2014, you requested the version as published on or before 01/11/2014.
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Giving copies of record to other persons
159.
—(1)  The Authority may give a copy of a written record of the examination, or such a copy together with a copy of any related book, to an advocate and solicitor acting on behalf of a person who is carrying on, or is contemplating in good faith, a proceeding in respect of a matter to which the examination relates.
(2)  If the Authority gives a copy to a person under subsection (1), the person, or any other person who has possession, custody or control of the copy or a copy of it, shall not, except in connection with preparing, beginning or carrying on, or in the course of, any proceedings —
(a)
use the copy or a copy of it; or
(b)
publish, or communicate to a person, the copy, a copy of it, or any part of the copy’s contents.
(3)  The Authority may, subject to such conditions or restrictions as it may impose, give to a person a copy of a written record of the examination, or such a copy together with a copy of any related book.
[ASIC 1989, s. 25]