|
AMENDMENTS |
|
No. |
Act Number |
Title |
In Force From |
|
1. |
A661 |
SECURITIES INDUSTRY (AMENDMENT) ACT 1987 |
1/6/1987 [P.U.(B) 294/87] 1/10/1987 [P.U.(B) 520/87] |
|
2. |
A790 |
SECURITIES INDUSTRY (AMENDMENT) ACT 1991 |
15/6/1992 [P.U.(B) 269/92] |
|
3. |
A847 |
SECURITIES INDUSTRY (AMENDMENT) ACT 1993 |
1/3/1993 [P.U.(B) 59/93] |
|
4. |
A943 |
SECURITIES INDUSTRY (AMENDMENT) ACT 1996 |
7/3/1996
Other than subpara 3(h) (ii),
s.33 and ss.58 to 69 - Para 3(h)(ii), ss 33, 30/1/1997 [P.U.(B) 100/96] |
|
5. |
A1017 |
SECURITIES INDUSTRY (AMENDMENT) ACT 1998 |
1/4/1998 [P.U.(B) 139/98] |
|
6. |
A1040 |
SECURITIES INDUSTRY (AMENDMENT) (NO. 2) ACT 1998 |
1/11/1998 [P.U.(B) 447/98] |
|
7. |
A1218 |
SECURITIES INDUSTRY (AMENDMENT) Act 2003 |
5/1/2004 |
|
REGULATIONS |
|
No. |
Act Number |
Title |
List of Subsidiary Legislation Revoked |
In Force From |
|
1 |
PU (A) 358/2006 |
Securities Industry (Investment of Capital Market Development Fund) Regulations 2006 |
- |
5 October 2006 |
|
2 |
PU (A) 22/2006 |
Securities Industry (Bond Pricing Agency) Regulations 2006 |
Revoked.Section 388 Schedule 11: CMSA |
13 January 2006 |
|
3 |
PU(A) 52/2005 |
Securities Industry (Licensing of Fund Manager) and Fund Manager's Representative (Amendment) Regulation 2005 |
- |
18 February 2005 |
|
4 |
PU(A) 51/2005 |
Securities Industry (Amendment) Regulations 2005 |
- |
18 February 2005 |
|
5 |
PU(A) 233/2001 |
Securities Industry (Reporting of Substantial Shareholding)(Amendment) Regulations 2001 |
- |
1 August 2001 |
|
6 |
PU(A) 180/1999 |
Securities Industry (Non-Application of Provision Relating to Insider Trading) Regulations 1999 |
Revoked.Section 388 Schedule 11: CMSA |
30 April 1999 |
|
7 |
PU(A) 253/1999 |
Securities Industry (Compliance with Approved Accounting Standards) Regulations 1999 |
- |
Consolidated Accounts for financial period ending on or after 30 June 1999 |
|
8 |
PU(A) 193/1998 |
Securities Industry (Compensation Fund)(Amendment) Regulations 1998 |
- |
16 May 1998 |
|
9 |
PU(A) 396/1998 |
Securities Industry (Reporting of Substantial Shareholding)(Amendment) Regulations 1998 |
- |
1 November 1998 |
|
10 |
PU(A) 174/1998 |
Securities Industry (Reporting of Substantial Shareholding) Regulations 1998 |
- |
1 May 1998 |
|
11 |
PU(A)35/1997 |
Securities Industry (Compensation Fund) Regulations 1997 |
Revoked.Section 388 Schedule 11: CMSA |
30 January 1997 |
|
12 |
PU(A) 37/1997 |
Securities Industry (Dealers Contract Notes) Regulations 1997 |
Revoked.Section 388 Schedule 11: CMSA |
30 January 1997 |
|
13 |
PU(A) 34/1997 |
Securities Industry (Deposit) Regulations 1997 |
Revoked.Section 388 Schedule 11: CMSA |
30 January 1997 |
|
14 |
PU(A) 117/1996 |
Securities Industry (Licensing of Fund Manager and Fund Managers Representative) Regulations 1996 |
- |
7 March 1996 |
|
15 |
PU(A) 314/1987 |
Securities Industry Regulations 1987 |
Revoked.Section 388 Schedule 11: CMSA |
1 October 1987 |
|
ORDER |
|
No. |
Act Number |
Title |
List of Subsidiary Legislation Revoked |
In Force From |
|
1. |
PU(A) 496/2005 |
Securities Industry (Declaration of Exempt Stock Market) Order 2005 |
Revoked.Section 388 Schedule 11: CMSA |
1 December 2005 |
|
2. |
PU(A) 15/2004 |
Securities Industry (Recognised Clearing House) Order 2004 |
- |
5 January 2004 |
|
3. |
PU(A)314/2002 |
Securities Industry (Exempt Dealer)(No. 2) Order 2002 |
Revoked.Section 388 Schedule 11: CMSA |
1 August 2002 |
|
4. |
PU(A)17/2002 |
Securities Industry (Exempt Dealer) Order 2002 |
Revoked.Section 388 Schedule 11: CMSA |
10 January 2002 |
|
5. |
PU(A) 160/2000 |
Securities Industry (Exempt Dealer) Order 2000 |
Revoked.Section 388 Schedule 11: CMSA |
5 May 2000 |
|
6. |
PU(A) 324/1998 |
Securities Industry (Exempt Dealer) Order 1998 |
Revoked.Section 388 Schedule 11: CMSA |
2 September 1998 |
|
7. |
PU(A) 213/1998 |
Securities Industry (Exempt Dealer) Order 1997 Corrigendum |
- |
5 June 1998 |
|
8. |
PU(A) 340/1997 |
Securities Industry (Exempt Stock Market) Order 1997 |
- |
2 September 1997 |
|
9. |
PU(A) 339/1997 |
Securities Industry (Exempt Dealer) Order 1997 |
Revoked.Section 388 Schedule 11: CMSA |
2 September 1997 |
|
10. |
PU(A) 36/1997 |
Securities Industry (Exempt Fund Manager) Order 1997 |
- |
30 January 1997 |
|
11. |
PU(A) 116-117/1996 |
Securities Industry (Recognised Clearing House) Order 1996 |
- |
7 March 1996 |
|
12. |
PU(A) 21/1996 |
Securities Industry (Exempt Dealer)(NO.2) Order 1996 |
Revoked.Section 388 Schedule 11: CMSA |
18 January 1996 |
|
13. |
PU(A) 20/1996 |
Securities Industry (Exempt Dealer) Order 1996 (pdf) |
Revoked.Section 388 Schedule 11: CMSA |
1 March 1993 |
|
14. |
PU(A) 150-151/1993 |
Securities Industry (Exempt Dealer) 1993 |
- |
1 March 1993 |
|
15. |
PU(A) 290/1993 |
Securities Industry (Intradagang Merchangt Bankers (M) Berhad (Exemption Dealer) Order 1993 |
- |
6 July 1998 |
|
16. |
PU(A) 238/1992 |
Securities Industry (Exemption) Order 1992 – Corrigendum to PU(A) 126/92 |
- |
|
|
17. |
PU(A) 126/1992 |
Securities Industry (Exemption) Order 1992 |
Revoked.Section 388 Schedule 11: CMSA |
1 January 1992 |
|
18. |
PU(A) 86/1997 |
Securities Industry (Exemption) Order 1977 |
- |
27 December 1976 |
|
DECLARATION |
|
No. |
Act Number |
Title |
List of Subsidiary Legislation Revoked |
In Force From |
|
1. |
PU(A) 368/1997 |
Securities Industry (Dealing in Securities)(Amendment) Declaration 1997 |
- |
1 March 1993 |
|
2. |
PU(A) 338/1997 |
Securities Industry (Dealing in Securities) Declaration 1997 |
Revoked.Section 388 Schedule 11: CMSA |
2 September 1997 |
|
3. |
PU(A) 23/1996 |
Securities Industry (Dealing in Securities) Declaration (No. 2) 1996 |
Revoked.Section 388 Schedule 11: CMSA |
18 January 1996 |
|
4. |
PU(B) 22/1996 |
Securities Industry (Dealing in Securities) Declaration 1996 |
Revoked.Section 387(1): CMSA |
1 March 1993 |
|
5. |
PU(A) 149-150/1993 |
Securities Industry (Dealing in Securities) Declaration 1993 |
- |
1 March 1993 |