Past version: Effective up to 28 Dec 2014
Rules 13.13.1 to 13.13.3 shall apply only to a Trading Member that holds a capital markets services licence. A Trading Member that holds a licence specified in Rule 4.1.1(1)(b) shall comply with such requirements established by the Relevant Regulatory Authority, if any, and principles of good business practice in relation to carrying out dealing activities outside its office premises.
Added on 19 May 201419 May 2014.