Showing 3434 Documents for "securities"
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- PDPC
- Commission's Decisions
Last revised date:
- Organisations must acquire knowledge of the security settings and be aware of security implications of software features of their IT system, and they must configure the security settings to enable effective protection of personal data stored in the IT system.
- Organisations that employ IT systems or features are responsible for data security.
- on the security of the data collected by the Forms. It also failed to understand the function and operation of the SEO feature. The combination of these acts of omission resulted in the security issues arising leaving the SEO feature enabled. 7.
- MAS
- Speeches
Last revised date:
- securities market.
- MAS currently issues MAS book-entry securities pursuant to section 23(1)(k) of the MAS Act. However, the Act does not provide for a primary dealer framework for MAS book-entry securities.
- distressed or insolvent financial institutions; (c) to update the regulatory framework for the issuance of securities by MAS, including the regulation of primary dealers of these securities and (d) house-keeping changes to enable better administration of the MAS Act. 6 MAS has consulted the industry
- MAS
- Forms and Templates
Last revised date:
- SECURITIES AND FUTURES ACT 2001 SECURITIES AND FUTURES (LICENSING AND CONDUCT OF BUSINESS) REGULATIONS FORM 24 NOTICE OF CESSATION OF BUSINESS LODGED PURSUANT TO PARAGRAPH 7(6)(c) OF THE SECOND SCHEDULE TO THE REGULATIONS BY A PERSON EXEMPTED FROM HOLDING A CAPITAL MARKETS SERVICES LICENCE TO CARRY
- Please refer to the Compliance Toolkit for Approvals, Notifications and Other Regulatory Submissions to MAS (for FIs conducting regulated activities under the SFA other than for fund managers and REIT managers) (https://www.mas.gov.sg/regulation/guidance/compliance-toolkit-for-approvals-notifications-and-other-regulatory-submissions-to-mas-sfa
- MAS
- Forms and Templates
Last revised date:
- SECURITIES AND FUTURES ACT 2001 SECURITIES AND FUTURES (LICENSING AND CONDUCT OF BUSINESS) REGULATIONS FORM 25 ANNUAL DECLARATION LODGED PURSUANT TO PARAGRAPH 7(6)(d) OF THE SECOND SCHEDULE TO THE REGULATIONS BY PERSON EXEMPTED FROM HOLDING CAPITAL MARKETS SERVICES LICENCE TO CARRY ON BUSINESS IN
- Please refer to the Compliance Toolkit for Approvals, Notifications and Other Regulatory Submissions to MAS (for FIs conducting regulated activities under the SFA other than for fund managers and REIT managers) (https://www.mas.gov.sg/regulation/guidance/compliance-toolkit-for-approvals-notifications-and-other-regulatory-submissions-to-mas-sfa
- PDPC
- Commission's Decisions
Last revised date:
- and securing a new contract with its vendor to manage the security of its website.
- This included rectifying the IDOR vulnerability, making server configuration changes to improve security, implementing vulnerability scans, migrating its backup server to an encrypted remote server, deploying additional security software and subscription to security services,
- A financial penalty of $9,000 was imposed on Century Evergreen for failing to put in place reasonable security arrangements to protect the personal data of jobseekers in its possession or under its control. Click here for more information.
- PDPC
- Commission's Decisions
Last revised date:
- and securing a new contract with its vendor to manage the security of its website.
- This included rectifying the IDOR vulnerability, making server configuration changes to improve security, implementing vulnerability scans, migrating its backup server to an encrypted remote server, deploying additional security software and subscription to security services,
- A financial penalty of $9,000 was imposed on Century Evergreen for failing to put in place reasonable security arrangements to protect the personal data of jobseekers in its possession or under its control. Click here for more information.
- PDPC
- Commission's Decisions
Last revised date:
- Their failure to do such tests rendered their efforts to reasonably secure the Personal Data hosted on the notification webpage insufficient. 22 Accordingly, it is assessed that XDEL, like Zero1, did not meet the standard of having reasonable security arrangements in place.
- Both Organisations failed to make reasonable security arrangements 11 After a review of all the evidence obtained by PDPC during its investigation and for the reasons set out below, the Commissioner is of the view that both Organisations had failed to make reasonable security arrangements
- It was meant to secure the URLs against unauthorised access. The webpage was supposed to return the delivery status only when the correct B code of 4-character length was presented.
- PDPC
- Commission's Decisions
Last revised date:
- Their failure to do such tests rendered their efforts to reasonably secure the Personal Data hosted on the notification webpage insufficient. 22 Accordingly, it is assessed that XDEL, like Zero1, did not meet the standard of having reasonable security arrangements in place.
- Both Organisations failed to make reasonable security arrangements 11 After a review of all the evidence obtained by PDPC during its investigation and for the reasons set out below, the Commissioner is of the view that both Organisations had failed to make reasonable security arrangements
- It was meant to secure the URLs against unauthorised access. The webpage was supposed to return the delivery status only when the correct B code of 4-character length was presented.
- MAS
- Guidelines
Last revised date:
- , and prospects of the entity or business trust that is to issue or has issued the securities or securities-based derivatives contracts.
- issued by the Monetary Authority of Singapore (the Authority) pursuant to section 321 of the Securities and Futures Act (Cap. 289) [SFA].
- Guideline No. : SFA 13-G18 Issue Date : 15 October 2005 [last revised on 8 October 2018] OFFERS OF INVESTMENTS (SECURITIES AND SECURITIES-BASED DERIVATIVES CONTRACTS) GUIDELINES ON DISCLOSURES OF FINANCIAL PROSPECTUSES INFORMATION IN I Purpose 1 These Guidelines are
- MAS
- Exemptions
Last revised date:
- View exemptions issued under section 337(2) of the Securities and Futures Act for the period from 1 April 2015 to 30 June 2015. 1 Issue Date: 22 July 2015 EXEMPTIONS ISSUED PURSUANT TO SECTION 337(2) OF THE SECURITIES AND FUTURES ACT (CAP. 289) (SFA) For the period from 1 April 2015 to 30 June
- that 2 Section 99(1)(h) of the SFA, read with section 337(2) of the SFA 10 June 2015 MAS granted an exemption to two IDBs from holding a CMS licence for trading in futures contracts.
- of real estate investment trust management (as defined in section 2 read with the Second Schedule to the SFA).