Public Disclosure Requirements (PD)
Circular Ref | Date of Issue | Module Ref. | Circular Subject |
EDBC/14/96 | 17 Jan 1996 | PDB-2 | Public Disclosure of the Trading and Derivatives Activities of Banks and Securities Firms |
BC/2/99 | 21 Feb 1999 | PD 1.3, PD 3.2 | Public Disclosure |
BC/3/02 | 13 Mar 2002 | PD 1.3 | Additional Public Disclosure Requirements Amended Version – 2002 |
no reference (partial) |
Apr 1981 | PD 1.5 | Precious Metals and Commodities |
BMA/751/93 | 8 Jul 1993 | PD 1.1, PD 1.3, PD 1.4, PD 3.2 | Directors' Interest in the Shares of, and the Unaudited Quarterly Financial Statements of, Locally Incorporated Banks Quoted on the Bahrain Stock Exchange. |
EDBC/782/93 | 17 Jul 1993 | PD 1.1 | The Interests of Directors, Chief Executive and Senior Managers in the Shares of Locally Incorporated Banks Quoted on the Bahrain Stock Exchange. |
BC/1/99 | 22 Feb 1999 | PD 2.2 | Enhancing Bank Transparency |
OG/73/02 | 17 Feb 2002 | PD 4.2 | Duty to Display Current Effective Rate of Interest |
OG/50/92 | 4 Mar 1992 | PD 4.2 | Consumer Finance |
OG/107/01 | 3 Mar 2001 | PD 4.3 | Disclosure of BD Interest Rates |
OG/425/94 | 21 Dec 1994 | PD 4.4 | Deposit Protection |
OG/423/93 | 28 Nov 1993 | PD 4.4 | Deposit Protection Scheme (the "Scheme") |