Skip to main content
Feedback
Rulebooks
Main navigation
Rulebooks
Browse Contents
View Updates
SGX Rulebooks
Mainboard Rules
Catalist Rules
SGX-ST Rules
Chapter 1 General
1.1 Application of Rules
1.1.1
1.1.2
1.1.3
1.1.4
1.1.5
1.2 Waivers or Variation
1.2.1
1.2.2
1.3 Rules, Directives and Regulatory Notices
1.3.1
1.3.2
1.4 Practice Notes
1.4.1
1.5 Transitional Arrangements
1.5.1
1.6 Order of Precedence
1.6.1
1.7 Delegation and Assignment
1.7.1
1.7.2
1.8 SGX RegCo's Authority
1.8.1
1.9 Limitation of Liability
1.9.1
1.9.2
1.9.3
1.9.4
1.10 Indemnity
1.10.1
1.10.2
1.10.3
1.11 Provision of Information
1.11.1
1.11.2
1.11.3
1.12 Disclosure of Information by SGX-ST
1.12.1
1.12.2
1.13 Registers
1.13.1
1.13.2
1.14 Fidelity Fund
1.14.1
1.15 Governing Law and Jurisdiction
1.15.1
Chapter 2 Admission and Registration of Trading Members, Chief Executive Officers and Trading Representatives
2.1 Trading Member Admission Criteria
2.1.1
2.1.2
2.2 Application Procedures
2.2.1
2.2.2
2.2.3
2.2.4
2.2.5
2.2.6
2.3 Appeals
2.3.1
2.4 Register of Trading Members
2.4.1
2.5 Trading Rights
2.5.1
2.5.2
2.5.3
2.5.4
2.6 Appointment and Registration of Chief Executive Officer
2.6.1
2.6.2
2.6.3
2.6.4
2.6.5
2.7 De-Registration of Chief Executive Officer
2.7.1
2.7.2
2.8 Appointment and Registration of Trading Representatives
2.8.1
2.8.2
2.8.3
2.8.4
2.8.5
2.8.6
2.8.7
2.9 De-Registration of Trading Representative
2.9.1
2.9.2
2.10 Compliance
2.10.1 Trading Member
2.10.2 Chief Executive Officer
2.10.3 Trading Representative
2.11 Payment
2.11.1
2.12 Constitutional Documents
2.12.1
2.13 Business Name/Contact Details
2.13.1
2.13.2
2.13.3
2.14 Board of Directors
2.14.1
2.14.2
2.15 Directorship of SGX-ST Listed Company
2.15.1
2.15.2
2.16 Change in Control
2.16.1
2.16.2
2.16.3
2.17 Other Businesses
2.17.1
2.17.2
2.17.3
2.17.4
2.17.5
2.17.6
2.17.7
2.17.8
2.17.9
2.17.10
2.18 Reporting of Adverse Events
2.18.1
2.18.2
2.18.3
2.19 Voluntary Liquidation
2.19.1
2.20 Cessation of Trading Rights
2.20.1
2.20.2
2.20.3
2.21 Action against Defaulters
2.21.1
2.21.2
2.21.3
2.21.4
2.21.5
2.21.6
2.22 Suspension and Restriction of Activities
2.22.1
2.22.2
2.22.3
2.22.4
2.22.5
2.23 Termination of Membership
2.23.1
2.23.2
2.23.3
2.24 Notification and Appeal
2.24.1
2.24.2
2.24.3
2.24.4
2.25 Voluntary Suspension of Business
2.25.1
2.25.2
2.25.3
2.26 Resignation
2.26.1
2.26.2
2.26.3
2.26.4
2.27 Obligations of a Former Trading Member, Former Chief Executive Officer and Former Trading Representative
2.27.1
2.27.2
2.27.3
Chapter 3 Capital and Financial Requirements
3.1 Interpretation
3.1.1
3.2 Base Capital Requirement
3.2.1
3.2.2
3.2.3
3.2.4
3.3 Financial Resources Requirement
3.3.1
3.3.2
3.3.3
3.3.4
3.3.5
3.3.6
3.3.7
3.3.8
3.3.9
3.4 Aggregate Indebtedness Requirement
3.4.1
3.4.2
3.4.3
3.4.4
3.4.5
3.4.6
3.5 Powers to Impose Other Requirements
3.5.1
3.6 Exposure to Single Customer
3.6.1
3.6.2
3.6.3
3.6.4
3.6.5
3.6.6
3.7 Remote Trading Member: Exposure to Single Customer
3.7.1
3.7.2
3.7.3
3.8 Exposure to Single Security
3.8.1
3.8.2
3.8.3
3.8.4
3.8.5
3.8.6
3.8.7
3.9 Remote Trading Members: Exposure to Single Security
3.9.1
3.9.2
3.9.3
3.10 Margin Financing
3.10.1
3.10.2
3.10.3
3.10.4
3.10.4A
3.10.5
3.10.6 [Rule has been deleted.]
3.10.7
3.10.8
3.10.9
3.10.10
3.10.11
3.10.12
3.10.13
3.10.14
3.10.15
3.10.16
3.11 Borrowing and Lending of Specified Products
3.11.1
3.11.2
3.11.3
3.12 Submission of Returns
3.12.1
3.12.2
3.12.3
3.12.4
3.13 Annual Financial Audit
3.13.1
3.13.2
3.13.3
3.13.4
3.13.5
3.13.6
3.14 Provision in Annual Accounts
3.14.1
3.15 Other Financial Requirements
3.15.1
3.15.2
3.15.3
3.15.4
3.15.5
3.15.6
3.15.7
Chapter 4 Operational Requirements
4.1 Member Systems
4.1.1
4.2 Direct Market Access and Sponsored Access
4.2.1
4.2.2
4.2.3
4.2.4
4.3 Suspension and Termination of Direct Market Access
4.3.1
4.3.2
4.4 Control of Access
4.4.1
4.5 Responsibility to SGX-ST
4.5.1
4.6 Training and Supervision
4.6.1
4.6.2
4.6.3
4.7 Compliance Review
4.7.1
4.7.2
4.8 Good Business Practice
4.8.1
4.9 Control of Operations
4.9.1
4.9.2
4.9.3
4.10 Risk Management and Financial Controls
4.10.1
4.10.2
4.11 Outsourcing Conditions
4.11.1
4.11.2
4.12 Business Continuity Requirements
4.12.1
4.12.2
4.12.3
4.13 Records for Compliance
4.13.1
4.13.2
4.13.3
4.14 Confidentiality of Customer's Information
4.14.1
4.14.2
4.15 Opening of Customer Accounts
4.15.1
4.15.2
4.15.3
4.15.4
4.15.5
4.16 Risk Disclosure
4.16.1
4.17 Separate Trading Accounts and Account Designation
4.17.1
4.17.2
4.18 Customer Education
4.18.1
4.18.2
4.18.3
4.19 Trading by Employees and Agents
4.19.1
4.19.2
4.20 Arrangements with Remisiers
4.20.1
4.20.2
4.21 Remisiers Working in Teams
4.21.1
4.21.2
4.21.3
4.21.4
4.22 Trading Authority
4.22.1
4.22.2
4.23 Brokerages and Charges
4.23.1
4.23.2
4.24 Contract Notes
4.24.1
4.24.2
4.24.3
4.24.4
4.24.5
4.25 Statements of Account to Customers
4.25.1
4.25.2
4.26 Amendment of Contract
4.26.1
4.26.2
4.27 Communication with Customers
4.27.1
4.27.2
4.27.3
4.27.4
4.28 Payment to Customers
4.28.1
4.28.2
4.28.3
4.29 Segregation of Customer's and Remisier's Monies and Assets
4.29.1
4.29.2
4.29.3
4.29.4
4.30 Segregation of Customer's and Remisier's Monies and Assets — Monies
4.30.1
4.30.2
4.30.3
4.30.4
4.30.5
4.30.6
4.30.7
4.31 Segregation of Customer's and Remisier's Monies and Assets — Assets
4.31.1
4.31.2
4.31.3
4.31.4
4.31.5
4.31.6
4.31.7
4.32 Reporting of Delinquent Accounts
4.32.1
4.32.2
4.33 Stock Account
4.33.1
4.33.2
4.33.3
4.34 Position Accounts
4.34.1
4.34.2
4.34.3
4.34.4
4.34.5
4.35 Broker-linked Balances
4.35.1
4.35.2
4.35.3
4.35.4
4.35.5
4.35.6
4.35.7
4.36 Advertising
4.36.1
4.36.2
4.37 Use of Office Premises
4.37.1
4.38 Soft Dollar Commissions
4.38.1
4.38.2
4.39 Research and Corporate Finance Activities
4.39.1
4.39.2
4.39.3
4.39.4
4.39.5
4.39.6
4.39.7
4.39.8
4.39.9
4.39.10
4.39.11
4.40 Application of Chapter 4 to Remote Trading Member
4.40.1
Chapter 5 Trading Practices and Conduct
5.1 Principal to other Trading Member
5.1.1
5.2 Contracts
5.2.1
5.2.2
5.3 Qualification by a Clearing Member
5.3.1
5.3.2
5.3.3
5.3.4
5.4 Acting as Principal to Customer
5.4.1
5.4.2
5.4.3
5.4.4
5.5 Acting as Agent to Customer
5.5.1
5.6 Separation of Customer and Proprietary Trading Activities
5.6.1
5.7 Precedence of Customer Orders
5.7.1
5.7.2
5.8 Arrangement with Customers
5.8.1
5.9 Customer Margin Management for Trading Members
5.9.1
5.10 Unauthorised Trading
5.10.1
5.11 Excessive Trading
5.11.1
5.12 Prohibited Trading Conduct
5.12.1
5.12.2
5.12.3
5.12.4
5.12.5
5.12.6
5.12.7
5.12.8
5.12.9
5.13 Record of Orders
5.13.1
5.13.2
5.14 Dealing Assistant
5.14.1
5.14.2
5.14.3
5.14.4
5.15 Responsibility for Orders
5.15.1
5.15.2
5.15.3
5.15.4
5.16 Identification and Password
5.16.1
5.16.2
5.17 Miscellaneous
5.17.1
Chapter 6 Designated Market-Makers
6.1 Registration Criteria
6.1.1
6.2 Application Procedures
6.2.1
6.2.2
6.2.3
6.2.4
6.2.5
6.3 Appeals
6.3.1
6.4 Register of Designated Market-Makers
6.4.1
6.5 Proprietary Accounts
6.5.1
6.6 Obligations of a Designated Market-Maker
6.6.1 Compliance with Rules
6.6.2 Bid and Offer Quotations
6.6.3 Adequate Internal Control Systems
6.6.4 Execution of Trades
6.6.5 Market-Making Representative
6.6.6 Auditors' Report
6.6.7 Payment
6.6.8 Notification of Adverse Events
6.7 Suspension or Restriction of Trades in Specified Instruments
6.7.1
6.7.2
6.7.3
6.8 Suspension and Restriction of Activities
6.8.1
6.9 Revocation of Registration
6.9.1
6.10 Notification of Action and Appeal
6.10.1
6.10.2
6.11 Resignation
6.11.1 Procedures
6.11.2 Acceptance of Resignation by SGX-ST
6.12 Obligations of a Former Designated Market-Maker
6.12.1
6.12.2
Chapter 7 Listing and Quotation
7.1 The Official List
7.1.1
7.1.2
7.2 Non-Listed Securities Traded on SGX-ST
7.2.1
7.2.2
7.2.3
7.2.4
7.2.5
7.2.6
7.2.7
7.3 Futures Contracts Traded on SGX-ST
7.3.1
Chapter 8 Trading
8.1 Trading
8.1.1
8.1.2
8.2 Trading Hours, Market Phases and Rules for Trading Matching
8.2.1
8.3 Closing Price of Prescribed Instrument
8.3.1
8.3.2
8.3.3
8.4 Contingency Order Withdrawal
8.4.1
8.5 Orders
8.5.1
8.5.2
8.5.3
8.6 Trading Basis of Securities
8.6.1
8.6.2
8.6.3
8.6.4
8.7 Marking of Sell Orders
8.7.1
8.7.2
8.7.3
8.7.4
8.7.5
8.7.6
8.7.7
8.7.8
8.8 Publication of Report of Short Sell Orders
8.8.1
8.8.2
8.9 Reporting of Erroneously Marked Sell Orders
8.9.1
8.9.2
8.10 Direct Business
8.10.1
8.10.2
8.10.3
8.10.4
8.10.5
8.10.6
8.11 Designated Instruments
8.11.1
8.11.2
8.11.3
8.11.4
8.12 Corner
8.12.1
8.12.2
8.12.3
8.12.4
8.12.5
8.12.6
8.12.7
8.12.8
8.13 Suspension and Restriction of Trading
8.13.1
8.13.2
8.13.3
8.13.4
8.13.5
8.13.6
8.13.7
8.14 Circuit Breakers and Cooling-Off Periods
8.14.1
8.14.2
8.14.3
8.15 Trading Halts
8.15.1
8.15.2
8.15.3
8.15.4
8.15.5
8.15.6
8.15.7
8.16 Emergency Powers
8.16.1
8.16.2
8.16.3
Chapter 9 Settlement
9.1 Mode of Settlement for Trades Cleared by CDP
9.1.1
9.1.2
9.1.3
9.1.4
9.2 Settlement Basis and Eligibility for Clearing by CDP
9.2.1
9.2.2
9.2.3
9.3 Mode of Settlement for Trades Not Cleared by CDP
9.3.1
9.4 Relationship Between Trading Member and Selling Customer
9.4.1
9.4.2
9.4.3
9.5 Relationship Between Trading Member and Clearing Member
9.5.1
9.5.2
9.5.3
9.5.4
9.5.5
9.6 Relationship Between Trading Member and Buying Customer
9.6.1
9.6.2
9.6.3
9.6.4
9.6.5
9.6.6
9.6.7
9.6.8
9.6.9
Chapter 10 Requirements on Specific Securities and Futures Contracts
Marginable Futures Contracts
10.1 Application
10.1.1
10.2 Listing of Marginable Futures Contracts
10.2.1
10.3 Contract Specifications
10.3.1
10.3.2
10.4 Adjustments Due to Corporate Actions
10.4.1
10.4.2
10.4.3
10.5 Selection, Removal and Restrictions on Trading of Marginable Futures Contracts
10.5.1 Nomination of Securities
10.5.2 Removal from Quotation and Restriction of Trading before Last Trading Day
10.6 Trading Halt or Suspension of Trading
10.6.1
10.6.2 Rights to Exercise not Affected by Trading Halt or Suspension
10.6.3 Resumption of Trading
10.7 Management of Positions
10.7.1
10.7.2
10.7.3
10.7.4
10.7.5
10.7.6
10.8 Internal Controls
10.8.1
10.9 Margin Requirements
10.9.1
10.9.2
10.9.3
10.9.4
10.9.5
10.9.6
10.9.7
10.9.8
10.9.9
10.9.10 Under-Margined Accounts
10.9.11 Customer to Comply with Margin Requirements
10.9.12 Prohibition on Margin Financing
10.10 Capital Requirement for Marginable Futures Contracts
10.10.1
10.10.2
10.11 Prohibited Trading Practices
10.11.1 Overtrading
10.12 Settlement of Marginable Futures Contracts
10.12.1
10.12.2
American Depository Receipts
10.13 Additional Obligations in respect of American Depository Receipts
10.13.1
10.13.2
Chapter 11 Cancellation of Contracts and Trades
11.1 Cancellation of Contracts
11.1.1
11.1.2
11.1.3
11.1.4
11.1.5
11.2 Error Trades
11.2.1
11.3 Procedures for Cancellation
11.3.1
11.3.2
11.3.3
11.3.4
11.3.5
11.3.6
11.4 Error Trade Cancellations
11.4.1
11.4.2
11.4.3
11.4.4
11.5 No-Cancellation Range
11.5.1
11.5.2
11.5.3
11.5.4
11.5.5
Chapter 12 Supervision and Enforcement
12.1 Investigations by SGX-ST
12.1.1
12.1.2
12.1.3
12.1.4
12.1.5
12.1.6
12.1.7
12.2 Inspections by SGX-ST
12.2.1
12.2.2
12.2.3
12.2.4
12.2.5
12.2.6
12.3 Disciplinary Action
12.3.1
12.4 Composition by SGX-ST for Rule Violation
12.4.1
12.4.2
12.4.3
12.4.4
12.4.5
12.4.6
12.4.7
12.4.8
12.5 Disciplinary Committee
12.5.1
12.5.2
12.5.3
12.5.4
12.5.5
12.5.6
12.5.7
12.5.8
12.5.9
12.5.10
12.5.11
12.5.12
12.5.13
12.6 Appeals Committee
12.6.1
12.6.2
12.6.3
12.6.4
12.6.5
12.6.6
12.6.7
12.6.8
12.6.9
12.6.10
12.6.11
12.6.12
12.6.13
12.6.14
12.7 Fine
12.7.1
12.7.2
12.7.3
12.8 Payment of Costs
12.8.1
12.8.2
12.8.3
12.9 Confidentiality
12.9.1
12.10 Irregularities
12.10.1
12.10.2
12.11 Exclusion of Liability
12.11.1
Chapter 13 Definitions and Interpretation
13.1 Definitions
13.2 Interpretation
13.2.1
13.2.2
Directives
Regulatory Notices
Regulatory Notice 4.1 — Adequacy of Systems
Regulatory Notice 4.13.1 — Audit Trails and Records
Regulatory Notice 4.13, 4.16, 4.24, 4.25 and 4.29 — Operational Requirements for Remote Trading Members
Regulatory Notice 4.24.1 — Contract Notes
Regulatory Notice 4.34.4 and 4.34.5 — Allocation of Trades to Position Accounts
Regulatory Notice 8.2.1 — Trading Hours, Market Phases, Application of Market Phases and Principles and Rules for Trade Matching
Regulatory Notice 8.3 — Closing Price of Prescribed Instrument
Appendix A to Regulatory Notice 8.3
Regulatory Notice 8.4 — Procedures for Contingency Order Withdrawal
Regulatory Notice 8.5.2 — Minimum Bid Size
Regulatory Notice 8.7 and 8.9 — Obligations of Trading Members to Mark Sell Orders
Regulatory Notice 8.14.1 — Circuit Breaker
Regulatory Notice 11.4.2(d) — Computation of Monetary Loss
Regulatory Notice 11.4.2(g) — Application of the Force Key
Practice Notes
Practice Note 3.7 and 3.9 Remote Trading Member Exposure to Single Customer and Single Security
1. Introduction
1.1
1.2
2. Adequate Tools and Procedures
2.1
2.2
Practice Note 3.10 Margin Financing
1. Introduction
1.1
1.2
2. Margin Financing Review Framework
2.1
2.2
2.3
2.4
2.5
Practice Note 4.2 Direct Market Access And Sponsored Access
1. Introduction
1.1
2. Direct Market Access
2.1
Practice Note 4.9.3 Conflicts of Interest
1. Introduction
1.1
1.2
2. Separation of Key Functions
2.1
2.2
2.3
Practice Note 4.10.1(b) Pre Execution Checks
1. Introduction
1.1
1.2
2. Pre-execution checks
2.1
2.2
2.3
2.4
2.5
Practice Note 4.10.1(c) Error Prevention Alerts
1. Introduction
1.1
1.2
2. Error-prevention alerts
2.1
2.2
2.3
2.4
2.5
Practice Note 4.10.2 Firm Level Monitoring of Capital and Financial Requirements and Prudential Limits
1. Introduction
1.1
1.2
2. Firm-level monitoring of capital requirements and prudential limits
2.1
Practice Note 4.12 Business Continuity Requirements
1. Introduction
1.1
1.2
2. Business continuity plan
2.1 Critical elements of a business continuity plan
2.1.1
2.2 Emergency response during crisis
2.2.1
2.2.2
2.3 Regular review, testing and training
2.3.1
2.3.2
2.4 Application to a Remote Trading Member
2.4.1
3. Emergency contact persons
3.1
3.2
3.3
Appendix A to Practice Note 4.12 Business Continuity Management Emergency Contact Person(s)
Practice Note 4.15.2(a) and (b) Opening of Customer Accounts: Obtaining Adequate Particulars, Verification of Identity, and Verification of Authority to Trade
1. Introduction
1.1
1.2
2. Individual customer account
2.1
2.2
3. Corporate/Non-individual customer account
3.1
4. Digital Signature
4.1
Practice Note 4.15.2(d) Understanding a Customer's Risk Appetite and Investment Objectives
1. Introduction
1.1
1.2
2. Risk Appetite and Investment Objectives
2.1
2.2
2.3
2.4
Practice Note 4.15.3 Additional Safeguards for Trading by Young Investors
1. Introduction
1.1
1.2
1.3
2. Suitability assessment and risk disclosure
2.1
3. Supervision
3.1
3.2
4. Investor Education
4.1
4.2
Practice Note 4.15.5 Approval of Customer Accounts
1. Introduction
1.1
1.2
2. Approval based on pre-defined criteria approved by senior management or delegate
2.1
2.2
2.3
2.4
Practice Note 4.18 Education for Internet Trading Customers
1. Introduction
1.1
1.2
2. Information, Guidance and Training
2.1
2.2
2.3
2.4
2.5
Practice Note 4.24.3(c) Evidence of Informed Consent for Contract Notes in Electronic Form
1. Introduction
1.1.
1.2.
2. Evidence of Informed Consent
2.1.
Practice Note 4.38 Soft Dollar Receipts or Payments
1. Introduction
1.1
1.2
1.3
2. Good and Services that do not qualify as soft dollar receipts or payments
2.1
2.2
Practice Note 5.7 Precedence of Customer Orders
1. Introduction
1.1
1.2
1.3
2. Application of Rule 5.7.1
2.1
2.2
2.3
2.4
2.5
3. Interpretation of Rule 5.7.2
3.1
3.2
Practice Note 5.12 False Trading and Market Rigging
1. Introduction
1.1
1.2
2. False Trading and Market Rigging
2.1
2.2
2.3
2.4
2.5
2.6
3. Guidance on Rule 5.12.2
3.1
3.1.1
3.1.2
3.2
3.2.1
3.2.2
3.2.3
3.3
3.3.1
3.4
3.4.1
3.4.2
3.4.3
3.5
3.5.1
3.6
3.6.1
3.6.2
3.6.3
3.7
3.7.1
3.8
3.8.1
3.8.2
3.9
3.9.1
3.9.2
3.9.3
3.10
3.10.1
3.11
3.11.1
3.12
3.12.1
3.12.2
4. Conclusion
4.1
4.2
4.3
4.4
Practice Note 5.12.3 Transaction with no change in beneficial ownership
1. Introduction
1.1
1.2
2. Guidance on Rule 5.12.3
2.1
Practice Note 5.12.9 Processes for Review of Orders and Trades
1. Introduction
1.1
1.2
2. Guidance on processes
2.1
2.2
3 Parameters to assist in detecting suspicious trading behaviour
3.1
3.2
3.3
3.4
Practice Note 8.11.1 Designated Instruments
1. Introduction
1.1
1.2
2. Designation as a regulatory tool
2.1.
2.2
3. Conditions that may be imposed on a Designated Instrument
3.1
Practice Note 8.13 and 8.15 Characteristics of Suspension and Trading Halt
1. Introduction
1.1
1.2
1.3
2. Characteristics of a suspension and a trading halt
Practice Note 8.13.4 and 8.15.7 Approval of Off-Market Trades in a Security or Futures Contract Subject to Suspension or Trading Halt
1. Introduction
1.1
1.2
1.3
2. Rationale for Rules
2.1
3. Circumstances under which SGX-ST may approve off market trades in a security or futures contract subject to suspension or trading halt
3.1
Practice Note 9.6.4(b) Money Received on Account of Customer
Practice Note 11.1.2 and 11.3 Trade Cancellation Procedures
1. Introduction
1.1
1.2
1.3
2. Cancellation Procedures for Error Trades
2.1 Definitions
2.1.1
2.1.2
2.2 Preliminary Steps
2.2.1
2.2.2
2.2.3
2.3 Cancellation Procedures
2.3.1
Mutual cancellation
No mutual cancellation
2.3.6
2.3.7
2.3.8
2.4 Review Procedures
2.4.1
2.4.2
2.4.3
2.4.4
2.5 No-cancellation Range
2.5.1
2.5.2
2.5.3
2.6 Extension of Time
2.6.1
3. Cancellation Procedures for contracts arising from a Trade at Close
3.1 Cancellation Procedures
3.1.1
3.1.2
Practice Note 11.5.5(c) Alternative Reference Price For No-cancellation Range
1. Introduction
1.1
1.2
1.3.
2. Alternative prices
2.1.
2.2.
2.3.
3. Alternative prices unsuitable
3.1.
Schedule A
Chapter 1 General
Chapter 2 Admission and Registration of Trading Members, Chief Executive Officers and Trading Representatives
Chapter 3 Capital and Financial Requirements
Chapter 4 Operational Requirements
Chapter 5 Trading Practices and Conduct
Chapter 6 Designated Market-Maker ("DMM")
Chapter 7 Listing and Quotation
Chapter 8 Trading
Chapter 9 Settlement
Chapter 10 Requirements on Specific Securities and Futures Contracts
Chapter 11 Cancellation of Contracts and Error Trades
Chapter 12 Supervision and Enforcement
CDP Clearing Rules
CDP Settlement Rules
CDP Depository Rules
DVP Rules [Entire Rulebook has been deleted]
Futures Trading Rules
SGX-DC Clearing Rules
SIAC DT Arbitration Rules
SIAC DC Arbitration Rules
Archive
Rule Amendments
Link copied to clipboard
Print
Custom Print
Link
SGX-ST Rules
Directives
There are no directives at the moment in the SGX-ST Rules.