Investments » Guernsey - Laws and Regulations

Investments Guernsey - Laws and Regulations
Designated Territories-Jsy-IoM
Protection of Investors (Bailiwick of Guernsey) Law 1987
The Company Securities Law (Insider Dealing)
The FSC (Site-Visits) Ordinance 2008
The Insider Dealing Ordinance (Securities and Regulated Markets)
The Investor Protection Regulations (Designated Countries and Territories) (R-O-Ireland)
The Protection of Investors - Consolidated Text
The Protection of Investors Ordinance (Administration and Intervention)
The Protection of Investors Regulations (Market Abuse)
Authorised Closed ended Investment Schemes Rules 2008
Authorised Collective Investment Schemes (Class A) Rules 2008
Capital Adequacy Rules 2010
Feedback Statement to the Licensees Conduct of Business Rules 2009
FTL Guidance Doc Oct08
Guidance for Entities Acting in Respect of Qualifying Investor Funds or Registered Closed Ended Investment Funds
Guidance in Respect of Fast Track Application Process
Guidance Note to the Licensees (Conduct of Business)Rules
Guidance Note on Correction and Compensation of Incorrect Pricing of Authorised Collective Investment Schemes
Guidance Notes Promotion of Investment 2001
Guidance on Registered Collective Investment Schemes
Guidance Registered Closed Investment Funds
Hedge Fund Flexible Approach to Authorisation Policy
Incorrect Pricing Guide
Instruction-(Number-1)-for-Financial-Services-Businesses
Instruction-(Number-2)-for-Financial-Services-Businesses
Instruction-(Number-3)-for-Financial-Services-Businesses
Instruction-(Number-4)-for-Financial-Services-Businesses
Instruction-(Number-5)-for-Financial-Services-Businesses
Instruction-(Number-6)-for-Financial-ServicesBusinesses
Instruction-(Number-7)-for-Financial-Service-Businesses
Instruction-(Number-8)-for-Financial-Services-Businesses
Instruction-(Number-9)-for-Financial-Services-Businesses
Instruction-(Number-10)-for-Financial-Services-Businesses
IOSCO MMoU
Licensees-Conduct-of-Business-Rules
Non-Guernsey-Schemes-Rules
Notes-Regarding-Independence-of-Managers-and-Trustees-of-Class-A-Collective-Investment-Schemes
Outsourcing-Functions-by-Entities-Licenced-Under-the-POI-Law
Principles- of Conduct of the Derivatives Business
Promotional Activities Policy Guidance
Prospectus-Rules
Qualifying Investor Funds Guidance
Section 28A Guidance
The-Authorised-Closed-Ended-Investment-Schemes-Rules
The-Collective-Investment-Schemes-(Class-A)-Rules-2002
The-Collective-Investment-Schemes-(Compensation-of-Investors)-Rules
The-Collective-Investment-Schemes-Rules-(Class-B)
The-Collective-Investment-Schemes-Rules-(Qualifying-Professional-Investor-Funds)-(Class-Q)
The-Investment-Exchange-Rules-(Notification)
The-Licensees-(Capital-Adequacy-Rules)
The-Licensees-(Conduct-of-Business)-Rules
The-Licensees-Capital-Adequacy-Rules-(Feedback-Statement)
The-Registered-Collective-Investment-Scheme-Rules

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