
| Name | Prohibitions for Securities Companies and Securities Professionals |
|---|---|
| Description | Securities companies and securities professionals are prohibited from conducting activities, including creating, developing and providing securities products to the public without approval from the SC |
| Comments | - |
| Validity From | 10-12-2012 |
| Validity To | 31-12-9999 |
| Reference | art 137 |
| Status | Active |
| Measure Type | Prohibition |
| Agency Name | Security Exchange commission |
| Legal Document | Law on Securities No. 21/NA, dated 10 December 2012 |
| Description |
|---|
| Banking and other financial services (excluding insurance) |
| Other Financial Services |