BANGLADESHSECURITIES AND EXCHANGE COMMISSION Capital Market Intermediaries Their Registration and Functions  Presented by Ruksana Chowdhury Executive.

Slides:



Advertisements
Similar presentations
The Capital Market, The Legal Practitioner And The Investor: A Career As A Capital Market Solicitor By: Anthony I. Idigbe San.
Advertisements

REGULATIONS ON INVESTMENT ADVISERS
Chevalier Spring  Savings – refers to the dollars that become available when people abstain from consumption  Financial System – a network of.
Conference on Voluntary Pension System- August 11, ROLE OF TRUSTEE IN PROTECTING THE PENSION FUND UNDER THE VOLUNTARY PENSION SYSTEM (VPS) AND OTHER.
Presentation topic:- Mutual funds and SEBI guidelines presented by group :- 1 members are :- MD GUFARAN HASIB MD RAFIQUL ISLAM SHEETAL GUPTA VIEJANU RITU.
Preparing Supervisory Authority and Pension Industry for Risk-based Supervision Nzomo Mutuku Manager, Research & Development Retirement Benefits Authority,
Chapter 14 - Raising Capital in the Financial Markets.
Asymmetric Information
FINANCIAL SER V ICES MANAGEMENT
Topic 5 Function, Purpose and Regulations of Financial Institutions.
Lesson 1 Global Banking and Financial Institutions.
Michal Bodlák. Definition  An investment bank is a financial institution that assists: individuals, corporations and governments companies involved in.
3-1 Chapter 3 Financial Intermediaries. 3-2 Deficit Sectors Financial Intermediaries Claims Surplus Sectors $ Claims $$
Stocks and Commodity Market Operations (MBA 826)
An Overview of Banks and Their Services
Industry Research Group 1 1. Fundamental differences of Commercial Banks and Investment Banks, the different job nature and how to make money.
Chapter 13 Nonbank Finance. © 2013 Pearson Education, Inc. All rights reserved.13-2 Insurance Life insurance –Permanent (whole, universal, and variable)
Mutual Funds The Basics. What is a Mutual Fund?  Mutual funds are investment avenues that pool the money of several investors to invest in financial.
Classification of banks According to services rendered.
Ch Rising Capital in The Financial Markets  2002, Prentice Hall, Inc.
Lecturer: Chu Mai Linh, M.Sc. LECTURE 1 BANKING AND YOU.
FINANCIAL SERVICES… Presented by: Ruchika Sharma.
Section 12-2-Regulatory Agencies and Laws.   These agencies make or enforce rules and regulations  Agencies provide oversight or supervision of activities.
NEW SEC AUDITOR INDEPENDENCE REQUIREMENTS Financial Executives International Janet Luallen Director - Technical Activities.
States and Government Companies Murilo Barella Brasília – 12 Março 2013.
Merchant Banking.
Group Members: Muhammad Ahmed MBK Muhammad Dilshad Ali MBK-06-07
Public Affairs Ireland Conference Governance, Accountability and Financial Management in the Public Sector in Ireland 10 November 2004.
SECURITIES AND EXCHANGE BOARD OF INDIA(SEBI). SEBI- GENESIS SEBI is the regulator for the Securities Market in India. In 1988 SEBI was established by.
Copyright © 2010 Pearson Addison-Wesley. All rights reserved. Chapter 13 Nonbank Finance.
GROUP MEMBERS SIDRA ALEEM AILIA BATOOL GHAZI REHMAN ZAID HASSAN.
McGraw-Hill/Irwin ©2008 The McGraw-Hill Companies, All Rights Reserved Chapter Fourteen Investment Banking, Insurance, and Other Sources of Fee Income.
Preparing Supervisory Authority and Pension Industry for Risk-based Supervision Charles Machira, Manager, Supervision Retirement Benefits Authority, Kenya.
McGraw-Hill/Irwin Copyright © 2010 by The McGraw-Hill Companies, Inc. All rights reserved. Accounting and the Business Environment Chapter 1.
Finance & Finance Law. What is finance? Finance describes the act of providing money, capital or other financial resources to assist in facilitating a.
Revise Lecture Merchant Banking 2 Merchant Banking – An Overview The financial services sector is an important constituent of the financial system.
Overview of the SEC Summer What is the SEC? Securities and Exchange Commission The mission of the U.S. Securities and Exchange Commission is to.
Role of Trustee In Protecting The Pension Fund Under The Pension Fund Under The Voluntary Pension System (VPS) The Voluntary Pension System (VPS) And Other.
Meaning Stock exchange is an organised and regulated market for trading in various securities issued by companies and other institutions.
PRIMARY MARKET ORGANISATIONS: INTERMEDIARIES
World Bank International Standards and their Measures for Financial Institutions and Non-Financial Businesses and Professions to Prevent Money Laundering.
Structure of Banking Industry
© 2004 IRCJ . All rights Reserved IRCJ Industrial Revitalization Corporation of Japan Professor Dr. Shinjiro Takagi Chairman Industrial Revitalization.
REGULATORY FRAMEWORK. Mission and objectives of SEBI Securities & Exchange Board of India (SEBI) formed under the SEBI Act, 1992 with the prime objective.
Miss Smith 7 th Grade Civics *pgs  Money in savings accounts earn interest  Money can be withdrawn when needed  Usually must keep a minimum.
Finance Directors Business Strategy Meeting 2003 Berkeley Court Hotel 18 February 2003.
Consumer Credit Act 1974 Rebecca & Lee. What is it The Consumer Credit Act 1974 regulates consumer credit and consumer hire agreements for amounts up.
1 M O N T E N E G R O Negotiating Team for the Accession of Montenegro to the European Union Working Group for Chapter 9 – Financial Services Bilateral.
May 5, 2016 May 5, Reporting obligations for  Investment banks,  Stockbrokers and dealers  FM and Investment advisers 2. Publication financial.
By Marlon Aldridge, Sr.. Regulation D (Used to Clarify Section 4(2) of the Securities Act, referred to as Safe Harbor) Used for Private Placement Offerings.
 The U.S. Securities and Exchange Commission (SEC) oversees the key participants in the securities world.  Concerned with promoting disclosure of important.
Global Financial Regulatory Framework Regulating International Capital Market Masters in Accountancy (MACC508)
SECURITIES AND EXCHANGE COMMISSION Public Issue of Securities: Mutual Fund Presented by Presented by Mahmudul Haque, Director Mahmudul Haque, Director.
Presentation on Regulatory Framework of Capital Market Prepared by Mohammad Abul Hasan Director Bangladesh Securities and Exchange Commission.
Chapter Fourteen Investment Banking, Insurance, and Other Sources of Fee Income.
Presentation on Regulatory Framework of Capital Market
INSTITUTIONAL STRUCTURE & FUNCTIONS OF MERCHANT BANKERS
Fundamentals of Finance Bob Donchez
1. Capital Markets (meaning, functions, and constituents); 2
Classification of banks According to services rendered.
Investment Management
Meaning Stock exchange is an organised and regulated market for trading in various securities issued by companies and other institutions.
Presented by Ruksana Chowdhury Executive Director, SEC
Fundamentals of Finance Tom C. Nelson, PhD
Welcome from the GWAFP and MAAFP
By Naman Malpani Naresh Kumar Pallavi Keerthi Phanindra Reddy
Good Governance 11/30/2018 By: Rohan Byanjankar.
Accounting and the Business Environment
CAPITAL MARKET Chapter 2 “Financial Services” by R Shanmugham
Chapter 13 Nonbank Finance.
Presentation transcript:

BANGLADESHSECURITIES AND EXCHANGE COMMISSION Capital Market Intermediaries Their Registration and Functions  Presented by Ruksana Chowdhury Executive Director, BSEC

Market Intermediaries Stock Broker Stock Dealer Authorized Representative Merchant Banker Asset Management Company Trustee Credit Rating Company

Concerned Rule  wmwKDwiwUR I G·‡PÄ Kwgkb (óK-wWjvi, óK-‡eªvKvi I Aby‡gvw`Z cÖwZwbwa) wewagvjv, 2000  wmwKDwiwUR I G·‡PÄ Kwgkb (gv‡P©›U e¨vsKvi I †cvU©‡dvwjI g¨v‡bRvi) wewagvjv, 1996  wmwKDwiwUR I G·‡PÄ Kwgkb (wgDPz¨qvj dvÛ) wewagvjv, 2001  Credit Rating Companies Rules, 1996

Registration Requirements Stock Broker & Stock Dealer Required to be Member of the Stock Exchange Applicant Status- Company/Statutory Body Capital Adequacy and net worth Merchant Banker Portfolio Manager Trustee of the Mutual fund, Custodian or Asset Management Company are not eligible for registration Clean CIB Report

Registration Requirements Applicant or its director must not be convicted of forgery or criminal offence Applicant or its director cannot be declared as insolvent or unsound mind by the Honorable Court Applicant or its director cannot be Member of stock broker, stock dealer whose registration has been cancelled in the last 3 (three) years Compliance Officer

Registration Requirements Authorized Representative Age limit Qualification Training Must not be convicted of forgery or criminal offence Can never get punishment by Securities and Exchange Commission or Stock Exchange

Registration Requirements Merchant Banker Applicant Status- Company/Statutory Body Office Space, required logistic support Officers-Experience in relevant field Capital Adequacy Cannot be involved in security related case, convicted of immoral activities Clean CIB Report Stock Broker, Stock Dealer Asset Management Company Trustee and Custodian of Mutual Fund are not eligible for registration Compliance Officer

Registration Requirements Asset Management Company Applicant Status-Company/ Statutory Body Capital Adequacy and Net worth Clean CIB Report Reputation Applicant or is director cannot be Sponsor or Trustee of Mutual Fund, Stock Dealer, Stock Broker, Merchant Banker, Portfolio Manager or applicant or its subsidiary or cannot be in any relation with the above Chief Executive Officer-Qualification and Experience Business place, required logistic support Compliance Officer

Registration Requirements Trustee Applicant Status-Company, Bank, Financial Institution or Statutory Body Capital Adequacy and Net worth Clean CIB Report Reputation Applicant or is director cannot be Sponsor or Asset Management Company of Mutual Fund, Stock Dealer, Stock Broker, Merchant Banker, Portfolio Manager or applicant or its subsidiary or cannot be in any relation with the above. Chief Executive Officer-Qualification and Experience Business place, required logistic support

Registration Requirements Credit Rating Company Applicant Status- Public Limited Company Capital Adequacy Technical Collaboration Arrangement with reputed Credit Rating Company No director, officer or employee of such company has been convicted of fraud or breach of trust or has been adjudicated as insolvent. Opinion of the Commission-Integrity and special knowledge regarding promoter of such company. Professional Staff – qualification and experience Compliance Officer. Clean CIB Report

Functions Stock Dealer is engaged in Trading Securities in its own account Stock Broker is engaged in Trading Securities in customer’s account Authorized Representative is responsible for Trading Securities according to the concerned Rules. Merchant Banker acts as Issue Manager, Underwriter Portfolio Manager and corporate adviser.

Functions Asset Management Company performs all the functions associated with Fund management. Trustee of the Mutual Fund protect the interest of unit holder, monitors the activities of AMC & keeps property of Mutual Fund under Trust management. Credit Rating Company acts as an Investment adviser company which intends to engage in or is so engaged primarily in the business of evaluation of credit or investment risk through a recognized and formal process of assigning rating to present or proposed loan obligations or equity of any business enterprise

 Thanking you