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Topic: Regulations No. (C.M.A/S.S./C.G./5/2013) on Regulating the Dealings in Securities of Board of Directors Members, Executive Staff Members, and Other Insiders in Shareholding Companies, and the Method of Disclosure
17 February 2015
Khaled Al-Kharafi Hall (Kuwait Stock Exchange)
 

The Capital Markets Authority (CMA) has held a 5th awareness workshop on Tuesday 17/2/2015 in Khaled Al-Kharafi Hall at Kuwait Stock Exchange at 12:30 PM, which is part of the Awareness Workshops Program of the first quarter of 2015. The workshop was about CMA regulations concerning "Regulating the Dealings in Securities of Board of Directors Members, Executive Staff Members, and Other Insiders in Shareholding Companies, and the Method of Disclosure". The aspects discussed were as follows: 
- Who is the Insider? 
- Data and material information 
- Scope of the Regulations' application 
- Issuer's responsibilities 
- Insider's Responsibility 
- Trading Ban Periods for the Board of Directors members and the Executive staff members 
- Insiders' List 
- Disclosure (time, method, ….) 
- Board of Directors members, their first degree relatives and spouse

  • Mr. Amro A. Al-Muharib : Director of Disclosure Department
  • Mr. Nasser Al-Saqoubi : Senior Financial Analyst / Disclosure Department