Home / M.P. 1996 nr 52 poz. 482
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.
Zarządzenie Przewodniczącego Komisji Papierów Wartościowych z dnia 28 czerwca 1996 r. w sprawie zakresu obowiązków informacyjnych i publikacyjnych dla emitentów papierów wartościowych dopuszczonych do regulowanego pozagiełdowego wtórnego publicznego obrotu papierami wartościowymi.
Type
Order (Zarządzenie)
Status
repealed (uchylony)
Announced
1996-06-28
Entry into force
1996-09-12
Texts
Keywords
FundsMunicipalitiesregisterscommissionsStock Exchangesbilansesecuritiesaccountingprawo bankowe
Related acts
Repealing Acts (1)
References (6)
- Law of June 29, 1995 on bonds.
- 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 11 October 1994 on the detailed conditions that an issue prospectus and information memorandum must meet.
- Law of 29 September 1994 on accounting.
- Law of June 14, 1991, on companies with foreign participation.
- Law of July 28, 1990, on insurance activity.
Legal Basis from Art. (1)
Acts referring to this act
- Repealed Acts: Regulation of the Council of Ministers of 22 December 1998 on the information and publication obligations of issuers of securities introduced exclusively to secondary trading on a regulated over-the-counter market, as well as the deadlines for their submission.
- Implementing Regulations: Law of March 22, 1991 on the Public Trading of Securities and Trust Funds.
- References: 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.