Guidelines
Guidelines | Latest version | Previous versions |
---|---|---|
Advertising Guidelines Applicable to Collective Investment Schemes Authorized under the Product Codes | Apr 2013 | One version |
Client Identity Rule Policy | Apr 2003 | One version |
Core Operational and Financial Risk Management Controls for Over-the-Counter Derivatives Activities of Persons Licensed by or Registered with the Â鶹´«Ã½ | Apr 2003 | One version |
Debt Collection Guidelines for Licensed Corporations | Apr 2003 | One version |
Fit and Proper Guidelines | 1 Jan 2022 | Four versions |
Guidance Note for Persons Advertising or Offering Collective Investment Schemes on the Internet | Apr 2013 | Two versions |
Guidance Note on Cooperation with the SFC | 1 Jun 2023 | Two versions |
Guidance note on directors’ duties in the context of valuations in corporate transactions | 15 May 2017 | - |
Statement on the liability of valuers for disclosure of false or misleading information | 15 May 2017 | - |
Guidance Note on Position Limits and Large Open Position Reporting Requirements | 22 Dec 2023 | Two versions |
Guidance Note on Short Position Reporting | 18 Jun 2012 | - |
Guidance Note on Short Selling Reporting and Stock Lending Record Keeping Requirements | 6 Jun 2023 | One version |
Guideline on Anti-Money Laundering and Counter-Financing of Terrorism (For Licensed Corporations and SFC-licensed Virtual Asset Service Providers) | 1 Jun 2023 | Seven versions |
Guidelines for Electronic Public Offerings | Apr 2003 | One version |
Guidelines for Market Soundings | Effective date: 2 May 2025 | - |
Guidelines for Reducing and Mitigating Hacking Risks Associated with Internet Trading | 27 Oct 2017 | - |
Guidelines for the Approval of Corporations as Approved Lending Agents | 1 Apr 2003 | - |
Guidelines for the Exemption of Listed Corporations and Other Persons from Part XV of the Â鶹´«Ã½ and Futures Ordinance (Disclosure of Interests) | 5 Sep 2014 | Two versions |
Guidelines for the Regulation of Automated Trading Services | 1 Sep 2016 | One version |
Guidelines for Â鶹´«Ã½ Margin Financing Activities | 4 Apr 2019 | - |
Guidelines for Virtual Asset Trading Platform Operators | 1 Jun 2023 | - |
Guidelines on Competence | 2 Oct 2024 | Three versions |
- Appendix C | Jun 2011 | - |
Guidelines on Continuous Professional Training | 1 Jan 2022 | Two versions |
Guidelines on Disclosure of Fees and Charges Relating to Â鶹´«Ã½ Services | 1 Jan 2005 | - |
Guidelines on Disclosure of Inside Information | Jun 2012 | - |
Guidelines on Exempt Fund Manager ("EFM") Status Under the Code on Takeovers and Mergers (the "Code") | 10 Apr 2001(Revised on 30 Sep 2010) | - |
Guidelines on Exempt Principal Trader (EPT) Status Under the Code on Takeovers and Mergers (the Code) | 10 Apr 2001(Revised on 30 Sep 2010) | - |
Guidelines on Marketing Materials for Listed Structured Products | Sep 2006 | - |
Guidelines on Online Distribution and Advisory Platforms | Effective date: 6 Jul 2019 (3-month extension from original effective date i.e. 6 April 2019) | - |
Guidelines on Waivers of Certain Licensing Fees | Mar 2003 | - |
Guidelines on applying for a relaxation from the procedural formalities to be fulfilled upon registration of a prospectus under the Companies Ordinance (Cap.32) | 21 Feb 2003 | - |
Guidelines on revised procedures for applications for Exempt Principal Trader (EPT) status under the Code on Takeovers and Mergers (Code) by principal traders that form part of complex international financial groups | 5 Jul 2013 | Two versions |
Guidelines on revised procedures for applications for Exempt Fund Manager (EFM) status under the Code on Takeovers and Mergers (Code) by fund managers that form part of complex international financial groups | 5 Jul 2013 | Two versions |
Guidelines on the application of the CPMI-IOSCO Principles for Financial Market Infrastructures | 27 May 2016 | One version |
Guidelines on use of offer awareness and summary disclosure materials in offerings of shares and debentures under the Companies Ordinance | Mar 2003 | One version |
Guidelines on using a "dual prospectus" structure to conduct programme offers of shares or debentures requiring a prospectus under the Companies Ordinance (Cap. 32) | 21 Feb 2003 | - |
Guidelines to fund managers on dealing disclosure obligations under Rule 22 of the Code on Takeovers and Mergers (Takeovers Code) | 12 Jan 2017 | One version |
Guidelines to capital market intermediaries involved in placing activities for GEM stocks | 5 Aug 2022 | One version |
Licensing Handbook | 2 Oct 2024 | Four versions |
Licensing Handbook for Virtual Asset Trading Platform Operators | 1 Jun 2023 | - |
Management, Supervision and Internal Control Guidelines for Persons Licensed by or Registered with the Â鶹´«Ã½ | 1 Apr 2003 | One version |
Outline of Part XV of the Â鶹´«Ã½ and Futures Ordinance (Cap.571) - Disclosure of Interests | 24 May 2024 | Four versions |
Prevention of Money Laundering and Terrorist Financing Guideline issued by the Â鶹´«Ã½ for Associated Entities of Licensed Corporations and SFC-licensed Virtual Asset Service Providers | 1 Jun 2023 | Four versions |
Project on the Use of Plain Language - How to Create a Clear Prospectus [English version only] | Jan 1998 | - |
Project on the Use of Plain Language — How to Create Clear Announcements | Jul 1997 | - |
Risk Management Guidelines for Licensed Persons Dealing in Futures Contracts | 25 Aug 2023 | - |
SFC Disciplinary Fining Guidelines (for regulated persons under Part 5B of the Anti-Money Laundering and Counter-Terrorist Financing Ordinance) | 1 Jun 2023 | - |
SFC Disciplinary Fining Guidelines (for regulated persons under the Â鶹´«Ã½ and Futures Ordinance) | 10 Aug 2018 | Two versions |
Suggested Control Techniques and Procedures for Enhancing a Firm's Ability to Comply with the Â鶹´«Ã½ and Futures (Client Â鶹´«Ã½) Rules and the Â鶹´«Ã½ and Futures (Client Money) Rules | Apr 2003 | - |
Advertising Guidelines Applicable to Collective Investment Schemes Authorized under the Product Codes
Date |
---|
Jul 2008 - Mar 2013 |
Client Identity Rule Policy
Core Operational and Financial Risk Management Controls for Over-the-Counter Derivatives Activities of Persons Licensed by or Registered with the Â鶹´«Ã½
Debt Collection Guidelines for Licensed Corporations
Fit and Proper Guidelines
Guidance Note for Persons Advertising or Offering Collective Investment Schemes on the Internet
Guidance Note on Cooperation with the SFC
Guidance Note on Position Limits and Large Open Position Reporting Requirements
Guidance Note on Short Selling Reporting and Stock Lending Record Keeping Requirements
Date |
---|
2003 - 5 Jun 2023 |
Guideline on Anti-Money Laundering and Counter-Financing of Terrorism (For Licensed Corporations and SFC-licensed Virtual Asset Service Providers)
Guidelines for Electronic Public Offerings
Date |
---|
Jul 2000 - Mar 2003 |
Guidelines for the Exemption of Listed Corporations and Other Persons from Part XV of the Â鶹´«Ã½ and Futures Ordinance (Disclosure of Interests)
Guidelines for the Regulation of Automated Trading Services
Guidelines on Competence
Guidelines on Continuous Professional Training
Guidelines on revised procedures for applications for Exempt Principal Trader (EPT) status under the Code on Takeovers and Mergers (Code) by principal traders that form part of complex international financial groups
Guidelines on revised procedures for applications for Exempt Fund Manager (EFM) status under the Code on Takeovers and Mergers (Code) by fund managers that form part of complex international financial groups
Guidelines on the application of the CPMI-IOSCO Principles for Financial Market Infrastructures
Guidelines on use of offer awareness and summary disclosure materials in offerings of shares and debentures under the Companies Ordinance
Guidelines to fund managers on dealing disclosure obligations under Rule 22 of the Code on Takeovers and Mergers (Takeovers Code)
Guidelines to capital market intermediaries involved in placing activities for GEM stocks
Note: These Guidelines were formerly known as the “Guideline to sponsors, underwriters and placing agents involved in the listing and placing of GEM stocks”.
Note: These Guidelines were formerly known as the “Guideline to sponsors, underwriters and placing agents involved in the listing and placing of GEM stocks”.
Licensing Handbook
Management, Supervision and Internal Control Guidelines for Persons Licensed by or Registered with the Â鶹´«Ã½
Outline of Part XV of the Â鶹´«Ã½ and Futures Ordinance (Cap.571) - Disclosure of Interests
Prevention of Money Laundering and Terrorist Financing Guideline issued by the Â鶹´«Ã½ for Associated Entities of Licensed Corporations and SFC-licensed Virtual Asset Service Providers
SFC Disciplinary Fining Guidelines (for regulated persons under the Â鶹´«Ã½ and Futures Ordinance)