• Financial Markets Control Act, 1989 (Act No. 55 of 1989)
  • Act
  • 1. Definitions
  • 2. Registrar and Deputy Registrar of Financial Markets
  • 3. Financial Markets Advisory Board
  • 4. Restriction on Carrying On of Business...
  • 5. Restrictions on Managing Investments
  • 6. Restrictions on Use of Name or ...
  • 7. Application for Issue or Renewal of ...
  • 8. Issue of Financial Market Licence
  • 9. Financial Market Licence
  • 10. Refusal of Renewal of Financial Market Licence
  • 11. Cancellation or Suspension of Financial ...
  • 12. Juristic Personality of Association
  • 12A. Funds of Financial Exchange
  • 13. Delegation of Functions of ...
  • 14. List of Financial Instruments
  • 15. Removal or Suspension of Listed ...
  • 16. Application of New or Amended Conditions ...
  • 17. Rules of Financial Exchange
  • 17A. Status of Assets Given To or Received ...
  • 17B. Separation of Funds of Members ...
  • 17C. Recognition of Interdealer Brokers
  • 18. Board for Hearing Appeals
  • 19. Right of Appeal Against Acts of ...
  • 20. False Trading and Market Manipulation
  • 21. False or Misleading Statements
  • 21A. Undesirable Advertising or Canvassing ...
  • 22. Fraudulently Inducing Person to Deal ...
  • 23. Action for Damages
  • 24. Certain Written Matter to Bear Names ...
  • 25. Unsolicited Calls
  • 26. Inspections
  • 27. Attendance of Certain Meetings ...
  • 28. Furnishing of Information to Registrar
  • 28A. Disclosure of Information by ...
  • 29. Undesirable Practices
  • 30. Evidence
  • 31. Power of Court to Declare Member ...
  • 32. Voluntary Dissolution of Financial ...
  • 33. Winding-up by Court
  • 34. Judicial Management
  • 35. Appointment of Judicial Manager ...
  • 36. Penalties
  • 37. Regulations
  • 37A. Limitation of Liability
  • 38. Amendment of Laws
  • 39. Savings and Transitional Provisions (Repealed)
  • 40. Application of Act
  • 41. Short Title and Commencement