- CA-A.2 CA-A.2 Module History
- Evolution of Module
- CA-A.2.1- This Module was first issued in April 2006 by the BMA, as part of the first phase of Volume 4 (Investment Business) to be released. It is dated April 2006. Any material changes that have subsequently been made to this Module are annotated with the calendar quarter date in which the change was made: Chapter UG-3 provides further details on Rulebook maintenance and version control. Amended: July 2007
- CA-A.2.2- When the CBB replaced the BMA in September 2006, the provisions of this Module remained in force. Volume 4 was updated in July 2007 to reflect the switch to the CBB; however, new calendar quarter dates were only issued where the update necessitated changes to actual requirements. Adopted: July 2007
- CA-A.2.3- A list of recent changes made to this Module is provided below: - Module Ref. - Change Date - Description of Changes - CA-A.1 - 07/2007 - New Rule CA-A.1.4 introduced, categorising this Module as a Directive. - CA-1.1 - 07/2007 - Minor change to notification period in Rule CA-1.1.4. - CA-2.1.5 - 01/2008 - Clarified the definition of Tier 1 capital re preference shares. - CA-2.1.8 - 01/2008 - Clarified definition of Tier 2 capital - CA-B.1 - 10/2009 - New Rules CA-B.1.4 and CA-B.1.3 introduced to clarify calculation of regulatory capital for overseas investment firm licensees. - CA-1.1 - 10/2009 - New Rule CA-1.1.4 introduced regarding CBB's requirements for maintaining capital in Bahrain. - CA-1.2 and CA-2.1.5 - 10/2009 - Amended terminology. - CA-2.1.8 - 10/2009 - Clarified definition of Tier 2 capital. - CA-3.4 - 10/2009 - Clarified definition of foreign exchange requirement. - CA-A.1.4 - 01/2011 - Clarified legal basis. - CA-B.1 - 01/2011 - New title given to this section. - CA-1 - 01/2011 - Restructured by moving Paragraphs in Section CA-B.1 and categorised capital adequacy requirements for different legal forms of investment firms (Bahraini and Overseas) and added new Rule on the booking of assets and liabilities. - CA-1.1.5A - 01/2011 - Added Guidance on alternative to increase capital. - CA-1.2.11 and CA-1.2.12 - 01/2011 - Paragraphs relocated from Section CA-1.1. - CA-2.1.8 - 01/2011 - Added dated subordinated term debt with an original term of over 5 years to Tier 2 capital instruments. - CA-1.2.9 and CA-1.2.9A - 04/2011 - Clarified notification requirements where investment firm licensees do not meet certain requirements. - CA-3.1 - 04/2011 - Provided new Rule to deal with newly established investment firm licensees. - CA-A.2.3 - 01/2012 - Corrected typo. - CA-2.2.3 - 01/2012 - Corrected cross reference. - CA-1.2.9A - 10/2012 - Clarified Rule. - CA-1.1.5A to CA-1.1.5C - 01/2013 - Updated Rules and Guidance dealing with issuance of subordinated debt. - CA-2.2.2 - 01/2013 - Corrected typo and added cross reference. - CA-3.1.3 - 10/2013 - Removed reference to appointed representatives. - CA-4.1 - 10/2014 - Added new guidance for capital for underwriting purposes. - CA-1.1.7 and CA-1.1.8 - 07/2015 - Guidance paragraphs deleted as reference is out of date. - CA-1.1.5A and CA-2.1.14 - 01/2016 - Corrected cross references. - CA-2.1.3 - 01/2016 - Clarified Rule on type of capital that can be used to satisfy the regulatory capital requirement. - CA-2.1.8 - 01/2016 - Corrected numbering of Subparagraphs. - CA-1.1.1 - 10/2019 - Amended Paragraph on the obligation to maintain adequate capital. - CA-1.1.4 - 10/2019 - Amended Paragraph on minimum capital requirement. - CA-2.1.3 - 10/2019 - Amended Paragraph on eligible components. - CA-3.2.1 - 10/2019 - Added new PRR in Schedule 1 for claims on sovereigns, PSEs, International Organisations and MDBs. - CA-3.2.2 - 10/2019 - Added a new Paragraph on PRR for claims on sovereigns to governments and central banks. - CA-3.2.3 - 10/2019 - Added a new Paragraph on PRR for Bahraini PSEs, International Organisations and MDBs. - CA-1.2.7 - 04/2023 - Amended minimum capital requirement for Category 3 Investment firms. - CA-1.2.7A - 04/2023 - Added a new Paragraph on minimum liquid funds required to be maintained by Category 3 investment firms. 
- Superseded Requirements
- CA-A.2.4- This Module supersedes the following provisions contained in circulars or other regulatory instruments: - Circular/other reference - Provision - Subject - Standard Conditions and Licensing Criteria: investment advisers/brokers. - Article 1 - Capital Funds - Standard Conditions and Licensing Criteria: broking company - Article 1 - Minimum Capital - Standard Conditions and Licensing Criteria: stockbrokerage - Article 1 - Minimum Capital 
- CA-A.2.5- Guidance on the implementation and transition to Volume 4 (Investment Business) is given in Module ES (Executive Summary). 
