Stock Exchanges Control Act definition

Stock Exchanges Control Act means the Stock Exchanges Control Act, 1985 (Act No. 1 of 1985), repealed by this Act;
Stock Exchanges Control Act means the Stock Exchanges Control Act, 1985 (Act No. 1 of 1985); “the Act” means the Pension Funds Act, 1956 (Act No. 24 of 1956); and
Stock Exchanges Control Act means the Stock Exchanges Control Act, 1985 (Act 1 of 1985) as amended from time to time;

Examples of Stock Exchanges Control Act in a sentence

  • A person who carries on the business of rendering investment advice or investment brokering services including a public accountant who carries on such a business, a member of a stock exchange licensed under the Stock Exchanges Control Act 1985 and person who has been approved or who falls within a category or persons approved by the Register of Stock Exchanges or the Registrar of Financial Markets.

  • The Johannesburg Stock Exchange (JSE), which is a self-regulatory organization established under the Stock Exchanges Control Act of 1985, regulates financial reporting by the listed companies through implementation of its rules and listing requirements.

  • No. 74 of 1977;Skills Development Levies Act No. 9 of 1999; Short-term Insurance Act No. 53 of 1998; Stock Exchanges Control Act No. 1 of 1985; Taxation Laws Amendment Act No. 7 of 2010; Trademarks Act No. 194 of 1993;Transfer Duty Act No 40 of 1949;Uncertificated Securities Tax Act No. 31 of 1998; Unemployment Contributions Act 63 of 2001; Unemployment Insurance Act No. 30 of 1966; Value Added Tax Act 89 of 1991.

  • There are plans to replace the Stock Exchange Control Act with a comprehensive Securities Services Bill, which will consolidate four Acts including the Stock Exchanges Control Act.

  • The finaljudgment entry in this case was filed and journalized on either January 29, 2003, the last day of trial, or February 3, 2003, as a final entry.{¶12} Civ.R. 58 concerns the entry of judgment after a general verdict by the jury.

  • The first major change occurred in November 1995, when the Stock Exchanges Control Act opened trading to foreigners and also allowed brokers to buy and sell stock for their own account.

  • A person who has been approved or who falls within a category of persons approved by the Registrar of Stock Exchanges in terms of section 4(1)(a) of the Stock Exchanges Control Act, 1985 (Act No. 1 of 1985).22.

  • The Stock Exchanges Control Act (as amended in 1995) governs stock exchanges.

  • A member of a stock exchange licensed under the Stock Exchanges Control Act, 1985 (Act No. 1 of 1985).19.

  • Sections 25 to 31 purported to amend various provisions of the Stock Exchanges Control Act 1 of 1985.

Related to Stock Exchanges Control Act

  • Stock Exchanges means BSE Limited and National Stock Exchange of India Limited;

  • Stock Exchange Rules means the applicable rules of any stock exchange upon which Shares are listed;

  • Control Act means the Casino Control Act 1984-1985;

  • Stock Exchange The Stock Exchange of Hong Kong Limited

  • the London Stock Exchange means London Stock Exchange plc;

  • Irish Stock Exchange means the Irish Stock Exchange Limited.

  • recognised stock exchange means any stock exchange agreed upon by the competent authorities of the Contracting Parties;

  • Approved Stock Exchange means the New York Stock Exchange, NASDAQ or such other stock exchange in the United States of America, the United Kingdom or Hong Kong as is approved in writing by the Facility Agent or, in each case, any successor thereto.

  • Nasdaq National Market means the National Association of Securities Dealers Automated Quotation National Market or any successor national securities exchange or automated over-the-counter trading market in the United States.

  • HK Stock Exchange means The Stock Exchange of Hong Kong Limited;

  • New York Stock Exchange means the New York Stock Exchange, Inc.

  • London Stock Exchange means London Stock Exchange plc;

  • Central Bank UCITS Regulations means the Central Bank (Supervision and Enforcement)

  • Securities Trading Act means the Securities Trading Act of 2007 no.75 of the Relevant Jurisdiction.

  • Stock Market means a securities market operated by a securities exchange;

  • The Stock Exchange means The International Stock Exchange of the United Kingdom and the Republic of Ireland Limited;

  • Relevant Stock Exchange for the Fund means the primary exchange or quotation system on which shares (or other applicable securities) of the Fund are traded, as determined by the Calculation Agent.

  • Securities Exchange means, at any time, the registered national securities exchange on which the Corporation’s equity securities are then principally listed or traded, which shall be either the New York Stock Exchange or NASDAQ Global Market (or similar national quotation system of the NASDAQ Stock Market) (“NASDAQ”) or any successor exchange of either the New York Stock Exchange or NASDAQ.

  • Society Act means the Society Act of the Province of British Columbia from time to time in force and all amendments to it;

  • National Exchange means any of the following markets or exchanges on which the Common Stock is listed or quoted for trading on the date in question, together with any successor thereto: the NYSE American, The New York Stock Exchange, the Nasdaq Global Market, the Nasdaq Global Select Market and the Nasdaq Capital Market.

  • Designated Stock Exchange Rules means the relevant code, rules and regulations, as amended, from time to time, applicable as a result of the original and continued listing of any Shares or ADSs on the Designated Stock Exchange;

  • NASDAQ means the Nasdaq National Market.

  • Banking Act means the UK Banking Act 2009, as amended.

  • Recognised Futures Exchange means an international futures exchange which is recognised by the SFC or which is approved by the Manager.

  • National Housing Act means the National Housing Act (Canada), a federal law that promotes the construction of new houses and the repair and modernization of existing houses. CMHC provides mortgage default insurance under this law.

  • Capital Instruments Regulations means the Delegated Regulation and any other rules or regulations of the Relevant Authority or which are otherwise applicable to the Issuer or the Group (as the case may be and, where applicable), whether introduced before or after the Issue Date of the relevant Series of Notes, which prescribe (alone or in conjunction with any other rules or regulations) the requirements to be fulfilled by financial instruments for their inclusion in the Own Funds to the extent required under the CRD IV Package;