Home / Dz.U. 1991 nr 35 poz. 155
Law of March 22, 1991 on the Public Trading of Securities and Trust Funds.
Ustawa z dnia 22 marca 1991 r. Prawo o publicznym obrocie papierami wartościowymi i funduszach powierniczych.
Type
Law (Ustawa)
Status
repealed (uchylony)
Announced
1991-03-22
Entry into force
1991-04-25
Texts
The consolidated text (tekst ujednolicony) is unofficial; only the signed PDFs from Dziennik Ustaw / Monitor Polski are legally authentic.
Keywords
companiesBrokersTrust FundscommissionsStock Exchangescivil procedurecriminal proceedingsdepositssecurities
Related acts
Repealing Acts (1)
Implementing Regulations (29)
- Order of the Chairman of the Securities Commission of February 10, 1997, on the procedure and conditions for introducing special securities rights (options and futures) into public trading.
- Order of the Chairman of the Securities and Exchange Commission of September 22, 1997 amending the order on the detailed method of conducting transactions and settlements by a brokerage firm, the rules for keeping records of these transactions, and the procedure in case of securing claims on securities admitted to public trading.
- Order of the Chairman of the Securities Commission of January 17, 1997 amending the order on determining the minimum value of own funds and the maximum amount of credits intended for launching brokerage activities.
- Order of the Chairman of the Securities and Exchange Commission of 28 April 1997 amending the order on the scope and deadlines for providing information on its activities and financial situation by an entity conducting brokerage business.
- Order of the Chairman of the Securities and Exchange Commission of April 1, 1997, on the type, form, and deadlines for submitting current and periodic information by issuers of securities admitted to public trading.
- Order of the Chairman of the Securities and Exchange Commission of 28 June 1996 on the scope of information and publication obligations for issuers of securities admitted to regulated over-the-counter public trading of securities.
- Ordinance of the Chairman of the Securities and Exchange Commission of October 11, 1995, on determining the minimum share capital of an investment fund company.
- Order of the Chairman of the Securities and Exchange Commission of July 7, 1995 on the detailed manner of conducting transactions and settlements by a brokerage firm, the rules for keeping records of these transactions, and the procedure in the case of securing claims on securities admitted to public trading.
- Ordinance of the Chairman of the Securities and Exchange Commission of November 29, 1994, amending the ordinance on the type, form, and deadlines for submitting current and periodic information by issuers of securities admitted to public trading.
- Order of the Chairman of the Securities and Exchange Commission of August 31, 1994 on the scope, procedure, and frequency of announcing reports on the status of unit trusts.
- Regulation of the Chairman of the Securities and Exchange Commission of 31 August 1994 amending the regulation on determining the minimum value of own funds and the maximum amount of loans intended for launching brokerage activities.
- Order of the Chairman of the Securities and Exchange Commission of June 16, 1994, concerning the method of announcing a public tender offer for the sale or exchange of shares and the conditions for acquiring shares listed on the stock exchange through this method.
- Order of the Chairman of the Securities and Exchange Commission of June 16, 1994, concerning the type, form, and deadlines for submitting current and periodic information by issuers of securities admitted to public trading.
- Order of the Chairman of the Securities Commission of April 15, 1994, on the detailed method of conducting transactions and settlements by brokerage firms, the principles of keeping records of these transactions, and the procedure in the case of securing receivables on securities admitted to public trading.
- Order of the Chairman of the Securities Commission of March 17, 1994, on the determination of the minimum value of own funds and the maximum amount of credits intended for launching brokerage activities.
- Order of the Chairman of the Securities Commission of March 17, 1994, on the determination of the minimum amount of share capital of a trust fund company.
- Regulation of the Chairman of the Securities Commission of October 6, 1992, amending the regulation on the detailed method of conducting transactions and settlements by a brokerage firm and the principles of keeping records of these transactions.
- Order of the President of the Securities and Exchange Commission of July 30, 1991, on the detailed method of conducting transactions and settlements by a brokerage firm and the principles of keeping records of these transactions.
- Order of the President of the Securities and Exchange Commission of July 30, 1991, on the principles and procedure for the Securities and Exchange Commission to maintain records of securities introduced into public trading.
- Regulation of the Council of Ministers of September 24, 1996, amending the regulation on detailed conditions that an issue prospectus and information memorandum should meet.
- Regulation of the Council of Ministers of June 30, 1995 on the forms of regulated over-the-counter secondary public trading of securities.
- Regulation of the Council of Ministers of April 18, 1995, on the principles of operation of the National Depository for Securities.
- Regulation of the Council of Ministers of December 28, 1994 amending the regulation on the determination of cases in which offering securities for purchase does not constitute public trading, and the conditions that must be met in such cases.
- Regulation of the Council of Ministers of 11 October 1994 on the detailed conditions that an issue prospectus and information memorandum must meet.
- Regulation of the President of the Council of Ministers of June 3, 1994 on the approval of changes to the statute of the Securities and Exchange Commission and its office.
- Regulation of the Council of Ministers of April 19, 1994, on the determination of cases in which offering securities for acquisition does not constitute public trading, and the conditions that must be met in such cases.
- Regulation of the Council of Ministers of 8 April 1992 on the principles of operation of the national securities depository.
- Regulation of the Council of Ministers of July 29, 1991, on the detailed conditions that a prospectus of securities introduced for public trading must meet.
- Order of the Chairman of the Securities and Exchange Commission of July 7, 1994, concerning the scope and deadlines for providing information by an entity conducting brokerage business regarding its activities and financial situation.
Amending Acts (15)
- Law of October 9, 1991, on amending the Law - Public Trading in Securities and Investment Funds. · 1991-11-29
- Law of July 26, 1991 on Personal Income Tax. · 1992-01-01
- Law of 14 February 1992 on amending the Banking Law and certain other laws. · 1992-04-07
- Law of 30 April 1993 on National Investment Funds and their Privatization. · 1993-06-13
- Act of January 8, 1993, on value added tax and excise tax. · 1993-07-05
- Law of 29 December 1993 amending the Law - on Public Trading in Securities and Investment Funds and amending certain other laws. · 1994-02-13
- Law of 2 December 1994 - Foreign Exchange Law. · 1994-12-31
- Law of 29 September 1994 on accounting. · 1995-01-01
- Law of 29 March 1996 on amendment of the law on companies with foreign participation and on amendment of certain laws · 1996-05-04
- Law of May 31, 1996 amending the Law on tax liabilities and amending certain other laws. · 1997-01-01
- Law of 8 August 1996 amending certain laws regulating the functioning of the economy and public administration. · 1997-01-01
- Law of 6 March 1997 on compensation for the periodic non-increase of wages in the budgetary sphere and the loss of certain increases or supplements to pensions and annuities. · 1997-04-12
- Law of December 6, 1996, on pledge registration and the pledge register. · 1998-01-01
- Law of August 28, 1997, on investment funds. · 1998-02-21
- Law of 15 September 2000 Commercial Companies Code. · 2001-01-01
Amended Acts (5)
- Law of 15 February 1989 Foreign Exchange Law. · 1991-04-25
- Law of January 31, 1989 on corporate income tax. · 1991-04-25
- Law of December 16, 1972, on income tax. · 1991-04-25
- Law of December 16, 1972, on turnover tax. · 1991-04-25
- Regulation of the President of the Republic of June 27, 1934, Commercial Code. · 1991-04-25
Information on Consolidated Text (1)
References (3)
- Announcement of the Chairman of the Council of Ministers of 17 March 1980 on the promulgation of the uniform text of the Act of 14 June 1960 - Code of Administrative Procedure.
- Law of 17 November 1964 - Code of Civil Procedure.
- Regulation of the President of the Republic of June 27, 1934, Commercial Code.
Acts referring to this act
- Repealed Acts: Law of August 21, 1997 – Law on Public Trading in Securities.
- Amending Acts: Law of January 31, 1989 on corporate income tax.
- Amending Acts: Law of December 16, 1972, on turnover tax.
- Amending Acts: Law of December 16, 1972, on income tax.
- Amending Acts: Regulation of the President of the Republic of June 27, 1934, Commercial Code.
- Amending Acts: Law of 15 February 1989 Foreign Exchange Law.
- Amended Acts: Law of 15 September 2000 Commercial Companies Code.
- Amended Acts: Law of August 28, 1997, on investment funds.
- Amended Acts: Law of December 6, 1996, on pledge registration and the pledge register.
- Amended Acts: Law of 6 March 1997 on compensation for the periodic non-increase of wages in the budgetary sphere and the loss of certain increases or supplements to pensions and annuities.
- Amended Acts: Law of 8 August 1996 amending certain laws regulating the functioning of the economy and public administration.
- Amended Acts: Law of May 31, 1996 amending the Law on tax liabilities and amending certain other laws.
- Amended Acts: Law of 29 March 1996 on amendment of the law on companies with foreign participation and on amendment of certain laws
- Amended Acts: Law of 29 September 1994 on accounting.
- Amended Acts: Law of 2 December 1994 - Foreign Exchange Law.
- Amended Acts: Law of 29 December 1993 amending the Law - on Public Trading in Securities and Investment Funds and amending certain other laws.
- Amended Acts: Act of January 8, 1993, on value added tax and excise tax.
- Amended Acts: Law of 30 April 1993 on National Investment Funds and their Privatization.
- Amended Acts: Law of 14 February 1992 on amending the Banking Law and certain other laws.
- Amended Acts: Law of July 26, 1991 on Personal Income Tax.
- Amended Acts: Law of October 9, 1991, on amending the Law - Public Trading in Securities and Investment Funds.
- References: Law of 14 February 1992 on amending the Banking Law and certain other laws.
- References: Regulation of the Minister of Finance of October 2, 1991, on stamp duty.
- References: Law of 29 August 1997 on amending the Public Procurement Law.
- References: Regulation of the Council of Ministers of July 29, 1997 on the detailed procedure for the sale of State Treasury shares, the principles of financing the sale of shares, and the form of payment for these shares.
- References: Law of 21 February 1997 amending the Law on the establishment of the Agency for Restructuring and Modernisation of Agriculture and amending certain laws.
- References: Law of 20 February 1997 on amending the law on the Bank Guarantee Fund and amending the law - Banking Law.
- References: Order of the Chairman of the Securities and Exchange Commission of December 21, 1995 on special accounting principles, including the determination of financial statement forms, for organizational units organized and financed separately within a bank conducting brokerage activities.
- References: Order of the Chairman of the Securities and Exchange Commission of December 21, 1995 on special accounting principles, including the determination of financial statement forms, for trust funds.
- References: Order of the Chairman of the Securities and Exchange Commission of December 21, 1995 on special accounting principles, including the determination of financial statement forms, for entities conducting brokerage business.
- References: Regulation of the Minister of State Treasury of November 5, 1996 on the determination of the procedure for exchanging universal participation certificates for shares of National Investment Funds.
- References: Regulation of the Minister of Finance of June 15, 2000 on special accounting rules for brokerage houses and organizational units of banks within which brokerage activity is conducted.
- References: Law of 29 June 1995 on amendment of the Code of Criminal Procedure, the Law on the structure of military courts, the Law on fees in criminal cases and the Law on juvenile proceedings.
- References: Law of June 29, 1995 on bonds.
- References: Law of 21 January 2000 on Amending Certain Laws Related to the Functioning of Public Administration.
- References: Law of 12 May 1995 amending the Law on Telecommunications and certain other laws.
- References: Order of the President of the Securities and Exchange Commission of July 30, 1991, on the principles and procedure for the Securities and Exchange Commission to maintain records of securities introduced into public trading.
- References: Regulation of the Minister of Finance of September 9, 1999 on special accounting principles for investment funds.
- References: Law of February 3, 1995, on the amendment of the Act on Counteracting Monopolistic Practices.
- References: Law of December 14, 1994, on the Bank Guarantee Fund.
- References: Regulation of the Minister of Labour and Social Policy of 18 December 1998 on detailed rules for determining the basis for calculating contributions to retirement and disability pensions.
- References: Regulation of the Council of Ministers of June 9, 1998, amending the regulation on the amount and basis for calculating social insurance contributions, reporting for social insurance, and settling contributions and benefits from social insurance.
- References: Law of June 10, 1994, on Public Procurement.
- References: Regulation of the Council of Ministers of June 9, 1998, amending the regulation on the detailed procedure for the disposal of State Treasury shares, the principles of financing the disposal of shares, and the form of payment for these shares.
- References: Law of August 29, 1997, on covered bonds and mortgage banks.
- References: Budget Law for 1994 of March 25, 1994.
- References: Act of February 3, 1993, on the financial restructuring of enterprises and banks and on amending certain acts.
- References: Act of December 19, 1992, on amending the Act - Banking Law and certain other acts.
- References: Law of August 28, 1997, on the organization and functioning of pension funds.
- Legal Basis: Order of the Chairman of the Securities and Exchange Commission of April 1, 1997, on the type, form, and deadlines for submitting current and periodic information by issuers of securities admitted to public trading.