• ES-2.3 ES-2.3   1 January 2007

    • ES-2.3.1

      Unless otherwise agreed to in writing, investment firm licensees issued a license before 30 April 2006 must comply with the requirements contained in Modules CA, BC and CL by 1 January 2007.

    • ES-2.3.2

      In other words, investment firm licensees licensed prior to the introduction of Volume 4 in April 2006 are required to comply with the first phase release of Volume 4 by 1 July 2006, except for Modules CA, BC and CL which have to be complied with from 1 January 2007 onwards (cf. Rules ES-2.2.1 and ES-2.3.1). Investment firm licensees licensed after the introduction of Volume 4 in April 2006, are required to comply with the first phase release of Volume 4 from the date of issue of their license (cf. Rule ES-2.1.1).

      Amended: July 2010
      Amended: July 2007

    • ES-2.3.3 [This Paragraph deleted 07/2007.]

      Deleted: July 2007

    • ES-2.3.4 [This Paragraph deleted 07/2007.]

      Deleted: July 2007