PD-A.3.2
Prior to the development of this Rulebook, the Agency had issued various circulars representing regulations covering different aspects of public disclosure requirements. These circulars have now been consolidated into this module covering regulations relating to public disclosure requirements. These circulars and their evolution into this module are listed below:
Circular Ref. | Date of Issue | Module Ref. | Circular Subject |
EDBC/14/96 | 17 Jan 1996 | PD-B.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") |