- 2.3.1. Conflicts of interest – core obligation
- 3.6.1. General requirements relating to Listing Rules
- 3.6.2. Contents of Listing Rules
- 3.6.4. Compliance with Listing Rules
- 3.6.5. Application for admission of Securities or Units in a Listed Fund to an Official List
- Guidance: Purpose and application of MAR
- 4.1.1. Appointment of sponsors
- 7.1.2. Conditions for admission of Units to trading
- 1.5 Definitions etc.
- 2. Interpretation
- 3. Rules applicable to Authorised Investment Exchange
- 3. Application and Scope
- 13. Admission to trading and Exemption from the Requirement to be Admitted to Trading
- SCHEDULE 1
- 81. Definition of Reporting Entity
- 62. Prohibition – Admission to trading
- 64. Maintaining an Official List
- 65. Listing Rules Requirements
- 66. Admission of Securities or Units in a Listed Fund to an Official List
- 67. AFSA objection to admission of Securities or Units in a Listed Fund to an Official List
- 68. Suspending and delisting Securities or Units in a Listed Fund from an Official List
- 85. Sponsors and compliance advisers
- 88. Takeover Rules
- 8.3. Continuing disclosures relating to Islamic Securities or Units in an Islamic Investment Fund that is a Listed Fund
- Listed Fund
- Reporting Entity