- Auditor
- Guidance: Purpose and application of MAR
- 2.2.7. Principle 6 – Position and prospects
- 2.2.1. Corporate governance principles
- 2.2.2. Principle 1 – Board of directors
- 2.2.8. Principle 7 – Remuneration
- 2.2.3. Principle 2 – Division of responsibilities
- 2.2.4. Principle 3 – Board composition and resources
- 2.2.5. Principle 4 – Risk management and internal control systems
- 2.2.9. Annual reporting on compliance
- 2.3.7. Proxy solicitation
- 2.3.3. Equality of treatment
- 2.3.4. Reduction of share capital
- 2.3.5. Pre-emption rights
- 2.3.6. Communications with shareholders
- 2.3.8. Other matters requiring shareholder approval
- 2.5.1. Application
- 2.5.2. Definitions
- 2.5.3. Related party transaction procedures
- 2.5.4. Exemptions
- 3.1.2 Audit of annual financial statements
- 3.1.3. Financial reporting standards
- 3.2.2 Signing of the annual report
- 3.2.3. Signing of the annual financial report
- 3.3.2. Contents of the semi-annual financial report
- 3.3.3. Signing of the semi-annual financial report
- 3.5.2. Disclosure of changes to accounting reference date
- 4.1.1. Appointment of sponsors
- 4.2.1. Appointment of a compliance adviser
- 4.2.2. Procedure for appointing a compliance adviser
- 4.2.3. Provision of information to the AFSA
- 4.2.4. Conflicts of interest
- 4.2.5. Appointment of a compliance adviser for a specified period
- 4.2.6. Obligation of a Reporting Entity to rectify failure
- 4.2.7. Provision of information to the AFSA
- 4.2.8. Co-operation with the AFSA
- 4.2.9. Co-operation with compliance advisers
- 4.2.10. Termination of appointment
- 4.2.11. Resignation of compliance adviser
- 6.1.1. Obligation to disclose Inside Information to the public
- 6.1.2. Requirements for public disclosure of Inside Information
- 6.1.3. Delaying disclosure
- 6.1.4. Delaying disclosure – protracted processes
- 6.1.6. Obligation to disclose to the public when confidentiality is no longer ensured
- 6.2.1. Obligation to draw up insider lists
- 6.2.2. Reporting Entity is responsible for complying with MAR 8.2.2 (Obligation to draw up insider lists)
- 6.2.7. Record Keeping
- 6.2.4. Persons on the Insider List
- 6.3.1. Notification of transactions
- 6.2.5. Updating the Insider list
- 6.3.3. Content of notification
- 6.3.5. Disclosure to the public
- 6.3.7. List of Persons discharging managerial responsibilities of their obligations
- 6.3.9. Discretion to permit trading with the closed period
- 7.1.3. Application of MAR to Listed Funds
- Chairman and chief executive
- General
- Board and Senior Management
- Balance of skills and independence
- Chairman
- Executive and non-executive directors
- Nomination committee
- Secretary of the reporting entity
- Information and support
- Performance evaluation
- Audit committee
- Other stakeholders
- Directors’ Remuneration
- Remuneration committee
- 81. Definition of Reporting Entity
- 82. Governance
- 83. Market disclosure
- 84. Financial reports
- 85. Sponsors and compliance advisers
- 8.3. Continuing disclosures relating to Islamic Securities or Units in an Islamic Investment Fund that is a Listed Fund