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      • SGX-ST Rules
        • Definitions and Interpretation
        • Section A — General
        • Section B — Market Participants
        • Section C — Market Structure
        • Section D — Regulatory Framework
          • Chapter 11 — Capital and Financial Requirements
          • Chapter 12 — Operational Requirements
          • Chapter 12A — Position Accounts
          • Chapter 13 — Trading Practices and Conduct
            • 13.1 Acting as Principal
              • 13.1.1
              • 13.1.2
              • 13.1.3
            • 13.2 Acting as Agent
            • 13.3 Separation of Customer and Proprietary Trading Activities
            • 13.4 Customer Orders — Precedence
            • 13.5 Arrangement with Customers
            • 13.5A Margin Management for Trading Members In Respect of Any Margins from Customers
            • 13.6 Unauthorised Trading
            • 13.7 Excessive Trading
            • 13.8 Market Manipulation and False Market
            • 13.9 Record of Orders
            • 13.10 Order Entry Person
            • 13.11 Responsibility for Orders
            • 13.12 Identification and Password
            • 13.13 Off Premises Broking
            • 13.14 Miscellaneous
          • Chapter 14 — Supervisory Rules
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        • Section F — Transitional Provisions
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    • Rule Amendments
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Breadcrumb

  1. SGX Rulebooks
  2. Archive
  3. SGX-ST Rules
  4. Section D — Regulatory Framework
  5. Chapter 13 — Trading Practices and Conduct
  6. 13.1 Acting as Principal
  7. 13.1.2
  Versions

 
  • 18 May 2014
  • 19 May 2014 to 28 Dec 2014
  • 29 Dec 2014
‹ 13.1.1 13.1.3 ›

13.1.2

This Rule shall apply only to a Trading Member that holds a Capital Markets Services Licence. Any contract note relating to the above transaction must show that the Trading Member or Trading Representative acted as principal.

Amended on 19 May 201419 May 2014 and 29 December 201429 December 2014.

‹ 13.1.1 13.1.3 ›
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