Rulebooks: Contents

Rulebooks
Mainboard Rules
Definitions and Interpretation
Chapter 1 Introduction
Chapter 2 Equity Securities
Chapter 3 Debt Securities
Chapter 4 Investment Funds
Chapter 5 Structured Warrants
Chapter 6 Prospectus, Offering Memorandum and Introductory Document
Chapter 7 Continuing Obligations
Chapter 8 Changes in Capital
Chapter 9 Interested Person Transaction
Chapter 10 Acquisitions and Realisations
Chapter 11 Takeovers
Chapter 12 Circulars and Annual Reports
Chapter 13 Trading Halt, Suspension and Delisting
Chapter 14 Disciplinary and Appeals Procedures, and Enforcement Powers of the Exchange
Appendices
Practice Notes
Report of the Committee and Code of Corporate Governance
Catalist Rules
SGX-ST Rules
CDP Clearing Rules
DVP Rules
CDP Depository Rules
Futures Trading Rules
SGX-DC Clearing Rules
SIAC DT Arbitration Rules
SIAC DC Arbitration Rules
Rule Amendments

Practice Notes
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Contents:
Practice Note 1.2 Oversight of Issuers
Practice Note 2.1 Equity Securities Listing Procedure
Practice Note 2.2 Global Depository Receipts
Practice Note 3.1 Term Sheet For Debentures and Funds
Practice Note 3.2 Seasoning of Debt Securities
Practice Note 4.1 Profit Forecasts and Right of First Refusals
Practice Note 5.1 Term Sheet for Structured Warrants
Practice Note 6.1 Disclosure Requirements: Pre-listing Information and Transitional Arrangements
Practice Note 6.2 Prospectus Disclosure for Life Science Companies
Practice Note 6.3 Disclosure Requirements for Mineral, Oil and Gas Companies
Practice Note 7.1 Continuing Disclosure
Practice Note 7.2 Monitoring and Querying Unusual Trading Activity
Practice Note 7.3 Takeovers — Receipt of an Offer for Listed Shares
Practice Note 7.4 Guide for Operating and Financial Review
Practice Note 7.5 General Meetings
Practice Note 7.6 Sustainability Reporting Guide
Practice Note 8.1 Rights Issue Timetable
Practice Note 8.2 Sub-underwriting Arrangements
Practice Note 8.3 Rights Issue Limit
Practice Note 10.1 Shareholder Approval for Major Transactions
Practice Note 12.1 Responsibility Statements for Directors, Vendors and Financial Advisers
Practice Note 12.2 Adequacy of Internal Controls
Practice Note 13.1 Procedures for Trading Halt and Suspension
Practice Note 13.2 Watch-List
Transitional Practice Note 1 Transitional Arrangements Regarding Continuing Listing Rules