Financial Markets Control Act, 1989 (Act No. 55 of 1989)
Act
1. Definitions
2. Registrar and Deputy Registrar of Financial Markets
3. Financial Markets Advisory Board
4. Restriction on Carrying On of Business...
5. Restrictions on Managing Investments
6. Restrictions on Use of Name or ...
7. Application for Issue or Renewal of ...
8. Issue of Financial Market Licence
9. Financial Market Licence
10. Refusal of Renewal of Financial Market Licence
11. Cancellation or Suspension of Financial ...
12. Juristic Personality of Association
12A. Funds of Financial Exchange
13. Delegation of Functions of ...
14. List of Financial Instruments
15. Removal or Suspension of Listed ...
16. Application of New or Amended Conditions ...
17. Rules of Financial Exchange
17A. Status of Assets Given To or Received ...
17B. Separation of Funds of Members ...
17C. Recognition of Interdealer Brokers
18. Board for Hearing Appeals
19. Right of Appeal Against Acts of ...
20. False Trading and Market Manipulation
21. False or Misleading Statements
21A. Undesirable Advertising or Canvassing ...
22. Fraudulently Inducing Person to Deal ...
23. Action for Damages
24. Certain Written Matter to Bear Names ...
25. Unsolicited Calls
26. Inspections
27. Attendance of Certain Meetings ...
28. Furnishing of Information to Registrar
28A. Disclosure of Information by ...
29. Undesirable Practices
30. Evidence
31. Power of Court to Declare Member ...
32. Voluntary Dissolution of Financial ...
33. Winding-up by Court
34. Judicial Management
35. Appointment of Judicial Manager ...
36. Penalties
37. Regulations
37A. Limitation of Liability
38. Amendment of Laws
39. Savings and Transitional Provisions (Repealed)
40. Application of Act
41. Short Title and Commencement