CmaBylaw
Executive Bylaws
3-5 Of Module Eight: Conduct of Business
Section: Chapter Three: Conflicts of Interest
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Sunday, 12 February 2017
In relation to cases of conflicts of interest, if precautionary measures made by a Licensed Person under Article (3-4) of this Module are not sufficient to prevent harm to the interests of a client, then the Licensed Person shall disclose in writing to the Client about the cases of conflicts of interest before undertaking business for the client; such disclosure must include sufficient details on the nature of such cases and related persons. In all cases, any transaction - in case of conflicts of interest - may be entered if the Client approves such transaction after disclosing all details related to cases of conflicts of interest and related persons.
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