Supervision of Credit Institutions, Stock Exchange Member Firms and Investment Business Firms Regulations, 1996
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Supervision of Credit Institutions, Stock Exchange Member Firms and Investment Business Firms Regulations, 1996
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- Council Directive 93/22/EEC of 10 May 1993 on investment services in the securities field
- European Parliament and Council Directive 95/26/EC of 29 June 1995 amending Directives 77/780/EEC and 89/646/EEC in the field of credit institutions, Directives 73/239/EEC and 92/49/EEC in the field of non- life insurance, Directives 79/267/EEC and 92/96/EEC in the field of life assurance, Directive 93/22/EEC in the field of investment firms and Directive 85/611/EEC in the field of undertakings for collective investment in transferable securities (Ucits), with a view to reinforcing prudential supervision
- Council Directive 90/605/EEC of 8 November 1990 amending Directive 78/660/EEC on annual accounts and Directive 83/349/EEC on consolidated accounts as regards the scope of those Directives
- European Communities (Licensing and Supervision of Credit Institutions) Regulations, 1992