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AIFC CONDUCT OF BUSINESS RULES AIFC RULES NO. FR0005 OF 2017 (with amendments as of 12 December 2021, which commence on 01 January 2022) Approval Date: 10 December 2017 Commencement Date: 01 January 2018 Nur-Sultan, Kazakhstan

Содержание
1. APPLICATION1.1. General application rule1.2. Modifications and exclusions2. CLIENT CLASSIFICATION2.1. General requirements2.2. Retail Clients2.3. Professional Clients2.4. Deemed Professional Clients2.5. Assessed Professional Clients2.6. Reclassification of a Professional Client as a Retail Client2.7. Market Counterparties2.8. Trusts and Funds2.9. Agent as Client2.10. Record keeping3. COMMUNICATIONS WITH CLIENTS AND FINANCIAL PROMOTIONS3.1. Application3.2. Communications to be fair, clear and not misleading3.3. Financial Promotions3.4. Unsolicited Real Time Financial Promotions3.5. Record keeping4. KEY INFORMATION AND CLIENT AGREEMENT4.1. Application4.2. Client agreement4.3. Content of client agreement4.4. Content of key information4.5. Record keeping5. CONDUCT OF INVESTMENT BUSINESS5.1. Application5.2. Suitability assessment5.3. Appropriateness assessment5.4. Information about the Client5.5. Record keeping5.6. Packaged products—additional disclosure6. ORDER EXECUTION AND ORDER HANDLING6.1. Best execution6.2. Client order handling6.3. Voice and electronic communications6.4. Direct Electronic Access7. CONFLICTS OF INTEREST7.1. The general obligation7.2. Identifying a conflict of interest7.3. Managing a conflict of interest7.4. Inducements7.5. Personal Transactions8. CLIENT ASSETS8.1. Application8.2. Client Money: Investment Business8.3. Client Investments Rules8.4. Mandates8.5. Client money: Insurance Intermediation and Insurance Management9. REPORTING TO CLIENTS9.1. Trade confirmations9.2. Periodic statements10. INVESTMENT RESEARCH10.1. Application10.2. Conflicts of interest10.3. Restrictions on transactions10.4. Physical separation10.5. Key information10.6. Disclosure of conflicts of interests10.7. Restrictions on publication during public offer10.8. Offers of securities11. INSURANCE INTERMEDIARIES11.1. Application11.2. Disclosure requirements11.3. Disclosure of costs and remuneration11.4. Obligation on Client to disclose material facts11.5. Statement of demands and needs11.6. Information about Contract of Insurance or Takaful Contract11.7. Other requirements12. TRUST SERVICE PROVIDERS12.1. Application12.2. Obligations of the Trust Service Provider12.3. Exercise of discretion12.4. Delegation of duties or powers12.5. Professional indemnity insurance12.6. Internal reporting12.7. Use of third parties12.8. Qualification and experience12.9. Books and records12.10.Due diligence12.11.Fitness and Propriety of Persons acting as trustees13. ANCILLARY SERVICE PROVIDERS13.1. Application13.2. Principles for Ancillary Service Providers14. CREDIT RATING AGENCIES14.1. Application14.2. Principles for Credit Rating Agencies15. COMPLAINTS HANDLING AND DISPUTE RESOLUTION15.1. Application15.2. Complaints handling15.3. Referrals15.4. Record keeping16. RECORD KEEPING AND INTERNAL AUDIT16.1. Record keeping requirements16.2. Table summarising record keeping requirements16.3. Internal Audit of Client Statements17. OPERATORS OF A DIGITAL ASSET BUSINESS17.1. Application17.2. Rules Applicable to an Authorised Digital Asset Trading Facility17.3. Admission of Digital Assets to trading17.4. Additional disclosure requirements17.5. The risks to be disclosed pursuant to COB 17.417.6. Complaints17.7. Obligation to report transactions17.8. AFSA power to impose a prohibition or requirement18. BANKS18.1. Application18.2. Accepting Deposits18.3. Terms of business for Accepting Deposits — general requirements18.4. Terms of business for Accepting Deposits — contract18.5. Terms of business for Accepting Deposits — multiple documents18.6. Terms of business for Accepting Deposits — amendment18.7. Terms of business for Accepting Deposits — recordkeeping18.8. Terms of business for Accepting Deposits — minimum content19. CONDUCT OF INSURANCE AND TAKAFUL BUSINESS19.1. Insurance and Takaful business—general19.2. Cancelling Life Policies—Retail Clients19.3. Cancelling Non-Investment Insurance Contracts19.4. Cancelling Contracts of Insurance—recordkeeping19.5. Claims handling20. INSURANCE MANAGEMENT20.1. Application20.2. General20.3. Disclosure requirements20.4. Claims handlingSCHEDULE 1: TRANSACTION RECORDSSCHEDULE 2: KEY INFORMATION AND CONTENT OF CLIENT AGREEMENTSCHEDULE 3: TRADE CONFIRMATIONSCHEDULE 4: PERIODIC STATEMENTSSCHEDULE 5: FINANCIAL PROMOTIONS