Skip to main content
SGX Logo

Main navigation

  • Rulebooks
  • Browse Contents
  • View Updates
  • Search
  • SGX Rulebooks
    • Mainboard Rules
    • Catalist Rules
    • SGX-ST Rules
    • CDP Clearing Rules
    • CDP Settlement Rules
    • DVP Rules [Entire Rulebook has been deleted]
    • CDP Depository Rules
    • Futures Trading Rules
      • Chapter 1 General Matters
      • Chapter 2 Access and Membership
      • Chapter 3 Conduct of Members, Approved Traders and Representatives
        • 3. Conduct of Members, Approved Traders and Registered Representatives
          • 3.1 Overview
          • 3.2 Duties Applicable to All Members, Approved Traders and Registered Representatives
          • 3.3 Duties of Members Undertaking Agency Trades
          • 3.4 Trading Practices and Conduct Rules of Members, Approved Traders and Registered Representatives
            • 3.4.1 Market Manipulation
            • 3.4.2 Churning
            • 3.4.3 False Trading, Bucketing, Fraudulent Inducement to Trade and Employment of Fraudulent Device
            • 3.4.3A Duty to Monitor for Trading Misconduct
            • 3.4.4 Duty to Inform Exchange of Prohibited Trading Practices
            • 3.4.5 Dissemination of False or Misleading Information
            • 3.4.6 Professional Misconduct
            • 3.4.7 Disclosing Orders Prohibited
            • 3.4.8 Good Faith Bids and Offers.
            • 3.4.9 Fictitious Transactions Without Change In Ownership
            • 3.4.10 Overtrading by a Member, Approved Trader or Customer
            • 3.4.11 Knowingly Taking Advantage of an Error Prohibited
            • 3.4.12 Deemed Rule Violations
            • 3.4.13 Front Running — Priority of Customers' Orders
            • 3.4.14 Trading Against Customers' Orders Prohibited
            • 3.4.15 Prohibited Conduct
          • 3.5 Inspection and Audit
      • Chapter 4 Listing and Trading of Contracts
      • Chapter 5 Physical Delivery
      • Chapter 6 Dispute Resolution and Arbitration
      • Chapter 7 Adverse Events, Rule Violations and Disciplinary Action
      • Chapter 8 Definitions and Interpretation
      • Chapter 9 Transitional Provisions
      • Regulatory Notices
      • Practice Notes
      • Schedules
    • SGX-DC Clearing Rules
    • SIAC DT Arbitration Rules
    • SIAC DC Arbitration Rules
    • Archive
    • Rule Amendments
Whole section Custom print Print Link

Breadcrumb

  1. SGX Rulebooks
  2. Futures Trading Rules
  3. Chapter 3 Conduct of Members, Approved Traders and Representatives
  4. 3. Conduct of Members, Approved Traders and Registered Representatives
  5. 3.4 Trading Practices and Conduct Rules of Members, Approved Traders and Registered Representatives
  6. 3.4.15 Prohibited Conduct
  Versions

 
‹ 3.4.14 Trading Against Customers' Orders Prohibited 3.5 Inspection and Audit ›

3.4.15 Prohibited Conduct

A Member, a Registered Representative or an Approved Trader shall not participate in any prohibited market conduct or in any insider trading, or knowingly assist a person in such conduct.

Added on 16 July 201216 July 2012.

‹ 3.4.14 Trading Against Customers' Orders Prohibited 3.5 Inspection and Audit ›
Contact Us Privacy Policy Terms of Use Cookie Policy Cyber Security
© Singapore Exchange Limited. All Rights Reserved.

Follow us:

Please scan the QR code or search "SGX" in the app to follow
weChat QR Code
View more